Synovus Financial Cash Flow Statement 2009-2024 | SNV

Fifteen years of historical annual cash flow statements for Synovus Financial (SNV).

Annual Data | Millions of US $ except per share data

Metric Name
Net Income/Loss
Total Depreciation And Amortization - Cash Flow
Other Non-Cash Items
Total Non-Cash Items
Change In Accounts Receivable
Change In Inventories
Change In Accounts Payable
Change In Assets/Liabilities
Total Change In Assets/Liabilities
Cash Flow From Operating Activities
Net Change In Property, Plant, And Equipment
Net Change In Intangible Assets
Net Acquisitions/Divestitures
Net Change In Short-term Investments
Net Change In Long-Term Investments
Net Change In Investments - Total
Investing Activities - Other
Cash Flow From Investing Activities
Net Long-Term Debt
Net Current Debt
Debt Issuance/Retirement Net - Total
Net Common Equity Issued/Repurchased
Net Total Equity Issued/Repurchased
Total Common And Preferred Stock Dividends Paid
Financial Activities - Other
Cash Flow From Financial Activities
Net Cash Flow
Stock-Based Compensation
Common Stock Dividends Paid
202320222021202020192018201720162015201420132012201120102009
$542$758$760$374$564$428$275$247$226$195$159$830$-60.84$-790.86$-1,429.34
$93.46$69.17$114$69.63$8.08$55.17$59.12$58.23$56.74$54.95$59.31$64.40$47.63$46.42$52.44
$315$123$-32.66$209$206$106$336$169$170$169$194$-427.69$472$1,210$2,223
$408$192$80.90$278$215$161$395$227$227$224$253$-363.29$519$1,256$2,275
$386$345$8.62$-596.89$-77.33$10.31$6.18$5.54$2.32$-17.19$153$-39.34$82.24$-61.49$37.95
$0$0$0$0$0$0$0$0$8.77$-7.75$4.99$5.76$5.43$-7.92$10.14
$0$0$0$0$0$0$0$0$0$0$0$-8.25$-16.68$-23.88$-64.47
$-46.14$-104.25$-55.97$-93.28$-84.57$-61.76$-45.44$-13.84$-18.77$-6.73$34.15$30.00$112$541$-385.60
$339$240$-47.35$-690.17$-161.90$-51.45$-39.26$-8.30$-7.69$-31.68$192$-11.83$185$452$-414.05
$1,283$1,191$794$17.03$621$538$631$466$445$387$605$472$646$911$424
$-32.21$-30.11$-25.95$-30.10$-61.21$-53.16$-51.11$-34.32$-28.38$-38.68$-28.47$-27.11$-11.06$-18.61$-32.74
$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0
$8.36$0$0$0$201$0$0$6.15$0$-90.57$56.33$0$0$69.47$0
$0$0$0$0$0$0$7.44$-4.25$-110.81$-56.46$886$104$1,541$-1,162.50$-513.17
$212$-461.71$-3,263.57$-965.91$-374.77$-87.81$-281.75$-285.85$-592.97$211$-315.47$684$-207.76$-254.05$689
$212$-461.71$-3,263.57$-965.91$-374.77$-87.81$-274.31$-290.10$-703.78$154$570$788$1,334$-1,416.55$176
$135$-4,363.67$-1,094.64$-1,356.97$-1,918.98$-1,197.08$-1,148.49$-1,098.67$-1,374.56$-1,191.88$-625.50$56.99$943$2,166$714
$324$-4,855.48$-4,384.17$-2,352.97$-2,153.86$-1,338.05$-1,473.90$-1,416.94$-2,106.72$-1,166.77$-27.59$818$2,266$801$857
$-2,183.82$2,923$0$-963.45$340$49.95$-578.56$-338.69$47.75$109$310$369$-436.42$61.57$-304.66
$-557.40$486$28.69$-1,683.61$1,002$627$101$-67.33$50.11$-21.22$-53.11$-112.51$-185.47$24.16$-250.81
$-2,741.22$3,409$28.69$-2,647.06$1,342$676$-477.07$-406.01$97.85$88.00$257$256$-621.88$85.73$-555.47
$1.94$-15.81$-188.37$-10.84$-718.08$-181.44$-171.64$-257.93$-193.58$-85.76$173$0$0$1,035$571
$1.94$-15.81$-188.37$-10.84$-376.07$-116.30$-171.64$-257.93$-193.58$-85.76$-669.35$0$0$1,035$571
$-252.01$-229.31$-227.84$-223.13$-185.66$-120.20$-64.91$-69.66$-65.59$-53.04$-72.90$-79.86$-79.81$-73.90$-73.57
$1,858$-531.49$2,735$8,283$796$571$1,490$1,400$1,705$846$-237.08$-1,362.56$-2,088.55$-2,933.23$-1,183.63
$-1,132.94$2,632$2,347$5,402$1,576$1,011$777$666$1,543$795$-722.52$-1,185.98$-2,790.24$-1,886.74$-1,241.48
$474$-1,032.07$-1,243.06$3,066$43.35$211$-66.11$-285.14$-118.40$15.86$-145.00$104$121$-175.46$40.16
$32.22$27.90$27.80$18.64$24.49$16.64$14.18$13.62$12.56$10.23$7.47$9.40$6.03$7.16$8.36
$-216.06$-196.15$-194.68$-189.97$-167.92$-106.22$-54.67$-59.43$-55.35$-42.81$-36.43$-31.46$-31.41$-25.50$-29.75