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Entity: SunTrust
2003-01-01 to 2003-12-31 2002-01-01 to 2002-12-31 2001-01-01 to 2001-12-31
- Increase/(Decrease) in Cash and Cash Equivalents
- Net Cash Flows Provided By/(Used In) Financing Activities ®
Restricted stock activity - 2,606 -
- Increase/(Decrease) in Deposits
Net increase (decrease) in foreign and brokered deposits (1,328,925) 4,224,638 (7,641,830)
Increase/(Decrease) in Deposits (Excluding Deposits Purchased or Sold) 2,404,052 3,481,945 5,644,915
Increase/(Decrease) in Deposits - Total 1,075,127 7,706,583 (1,996,915)
- Increase/(Decrease) in Debt, Net ®
Increase/(Decrease) in Short Term Borrowings (1,124,378) (131,681) (902,003)
- Increase/(Decrease) in Long Term Debt and Capital Securities
Proceeds from Issuance of Long Term Debt and Capital Securities, Net ® 3,281,676 1,451,692 7,114,068
Repayments of Long Term Debt and Capital Securities ® 257,119 2,236,225 3,389,198
Increase/(Decrease) in Long Term Debt and Capital Securities - Total 3,024,557 (784,533) 3,724,870
Total Net value of all repayments and proceeds of borrowings. 1,900,179 (916,214) 2,822,867
- Increase/(Decrease) in Equity
Payment for Repurchases of Equity ® 182,152 340,656 551,485
- Proceeds from Issuance of Equity
Proceeds from Issuance of Common Stock ® 44,268 40,809 22,235
Proceeds from Stock Options Exercised ® 36,667 12,824 19,013
Proceeds from Issuance of Equity - Total 80,935 53,633 41,248
Increase/(Decrease) in Equity - Total (101,217) (287,023) (510,237)
Payment of Dividends ® 505,396 489,543 463,529
Net Cash Flows Provided By/(Used In) Financing Activities - Total 2,368,693 6,011,197 (147,814)
- Net Cash Flows Provided By/(Used In) Operating Activities ®
- Adjustments to Reconcile Net Income/(Loss) to Net Cash Provided By/(Used In) Operations - Increase/(Decrease) ®
Amortization of compensation element of performance stock 5,475 3,074 6,110
Net gain on extinguishment of debt - - 9,720
Origination of mortgage servicing rights 384,198 277,343 159,278
Depreciation, Amortization and Accretion, Net 881,542 619,965 357,371
- Provision for Loan and Lease, Foreclosed Asset and Other Losses
Provision for Loan and Lease Losses ® 313,550 469,792 275,165
Provision for Other Losses 1,117 938 376
Provision for Loan and Lease, Foreclosed Asset and Other Losses - Total 314,667 470,730 275,541
- Increase/(Decrease) in Working Capital ®
- Increase/(Decrease) in Current Assets
- Increase/(Decrease) in Loans Held for Sale ®
Origination and Purchases of Loans Held for Sale 43,816,219 28,954,686 21,455,760
Proceeds from Sales of Loans Held for Sale 46,011,952 25,526,486 18,895,447
Increase/(Decrease) in Loans Held for Sale - Total (2,195,733) 3,428,200 2,560,313
Increase/(Decrease) in Other Operating Assets ® 526,923 852,597 679,140
Increase/(Decrease) in Current Assets - Total (1,668,810) 4,280,797 3,239,453
Increase/(Decrease) in Current Liabilities 271,207 643,203 359,155
Increase/(Decrease) in Working Capital - Total (1,940,017) 3,637,594 2,880,298
Deferred Income Taxes ® 179,905 146,326 42,035
Gain/(Loss) on Sale/Retirement of Property, Plant and Equipment 12,596 16,030 8,467
Unrealized Gain/(Loss) on Securities 123,876 204,547 153,080
Adjustments to Reconcile Net Income/(Loss) to Net Cash Provided By/(Used In) Operations - Increase/(Decrease) - Total 2,800,936 (2,895,419) (2,529,786)
Net Income ® 1,332,297 1,331,809 1,375,537
Net Cash Flows Provided By/(Used In) Operating Activities - Total 4,133,233 (1,563,610) (1,154,249)
- Net Cash Flows Provided By/(Used In) Investing Activities
Net cash proceeds received from consolidation of affordable housing partnerships 13,932 - -
- Increase/(Decrease) in Loans and Leases
Loan and Lease Originations and Principal Collections 5,533,737 2,744,616 (332,021)
Proceeds from Sales of Loans and Leases Held for Investment 392,412 721,195 762,405
Increase/(Decrease) in Loans and Leases - Total 5,141,325 2,023,421 (1,094,426)
Acquisition/(Divestiture) of Business Activities, Net 34,261 (1,160,333) -
Capital Additions ® 157,608 123,245 89,224
Proceeds from Sale of Other Assets ® 39,324 29,599 35,889
- Purchase of Investments ®
- Purchase of Marketable Securities ®
Purchase of Available for Sale Securities 19,933,984 14,687,010 7,754,258
Purchase of Marketable Securities - Total 19,933,984 14,687,010 7,754,258
Purchase of Investments - Total 19,933,984 14,687,010 7,754,258
- Disposal of Investments ®
- Proceeds from Marketable Securities
- Proceeds from Available for Sale Securities ®
Proceeds from Maturities, Prepayments and Calls of Available for Sale Securities ® 10,841,607 5,217,479 3,114,827
Proceeds from Sales of Available for Sale Securities ® 7,633,468 5,626,929 5,419,095
Proceeds from Available for Sale Securities - Total 18,475,075 10,844,408 8,533,922
Total Proceeds from Marketable Securities 18,475,075 10,844,408 8,533,922
Disposal of Investments - Total 18,475,075 10,844,408 8,533,922
Net Cash Flows Provided By/(Used In) Investing Activities - Total (6,738,847) (4,799,336) 1,820,755
Increase/(Decrease) in Cash and Cash Equivalents - Total (236,921) (351,749) 518,692

footnote:

() 1Includes dividends on 48,266,496 shares of common stock of The Coca-Cola Company $ 42,475 () 1Includes dividends on 48,266,496 shares of common stock of The Coca-Cola Company $ 38,613 () 1Includes dividends on 48,266,496 shares of common stock of The Coca-Cola Company $ 34,752