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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
- Statement of Cash Flows - Indirect Method
- Net Cash Flows Provided By/(Used In) Operating Activities, Indirect
Net Income ® 1,332,297 1,331,809 1,375,537
- Adjustments to Reconcile Net Income/(Loss) to Net Cash Provided By/(Used In) Operations
Net gain on extinguishment of debt - - 9,720
- Depreciation, Amortization and Accretion
Depreciation, Amortization and Accretion, Net 881,542 619,965 357,371
Gain/(Loss) on Sale/Retirement of Property, Plant and Equipment 12,596 16,030 8,467
Amortization of compensation element of performance stock 5,475 3,074 6,110
Deferred Income Taxes ® 179,905 146,326 42,035
- 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 314,667 470,730 275,541
Origination of mortgage servicing rights 384,198 277,343 159,278
Unrealized Gain/(Loss) on Securities 123,876 204,547 153,080
- Increase/(Decrease) in Working Capital
- Increase/(Decrease) in Current Assets
- Increase/(Decrease) in Loans Held for Sale
Proceeds from Sales of Loans Held for Sale 46,011,952 25,526,486 18,895,447
- Origination and Purchases of Loans Held for Sale
Origination and Purchases of Loans Held for Sale 43,816,219 28,954,686 21,455,760
Increase/(Decrease) in Other Operating Assets ® 526,923 852,597 679,140
- Increase/(Decrease) in Current Liabilities
Increase/(Decrease) in Current Liabilities 271,207 643,203 359,155
Net Cash Flows Provided By/(Used In) Operating Activities ® 4,133,233 (1,563,610) (1,154,249)
- Net Cash Flows Provided By/(Used In) Investing Activities
- Purchase of Investments
- Purchase of Marketable Securities
Purchase of Available for Sale Securities 19,933,984 14,687,010 7,754,258
- Disposal of Investments
- Proceeds from Marketable Securities
- Proceeds from Available for Sale Securities
Proceeds from Sales of Available for Sale Securities ® 7,633,468 5,626,929 5,419,095
Proceeds from Maturities, Prepayments and Calls of Available for Sale Securities ® 10,841,607 5,217,479 3,114,827
- 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
Proceeds from Sales of Loans and Leases Held for Investment 392,412 721,195 762,405
Capital Additions ® 157,608 123,245 89,224
Net cash proceeds received from consolidation of affordable housing partnerships 13,932 - -
- Acquisition/(Divestiture) of Business Activities, Net
Acquisition/(Divestiture) of Business Activities, Net 34,261 (1,160,333) -
Proceeds from Sale of Other Assets ® 39,324 29,599 35,889
Net Cash Flows Provided By/(Used In) Investing Activities (6,738,847) (4,799,336) 1,820,755
- Net Cash Flows Provided By/(Used In) Financing Activities
- Increase/(Decrease) in Debt
- Increase/(Decrease) in Short Term Borrowings
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
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
Repayments of Long Term Debt and Capital Securities ® 257,119 2,236,225 3,389,198
- Increase/(Decrease) in Equity
- 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
- Payment for Repurchases of Equity
Payment for Repurchases of Equity ® 182,152 340,656 551,485
Restricted stock activity - 2,606 -
- Payment of Dividends
Payment of Dividends ® 505,396 489,543 463,529
- Increase/(Decrease) in Deposits
Increase/(Decrease) in Deposits (Excluding Deposits Purchased or Sold) 2,404,052 3,481,945 5,644,915
Net increase (decrease) in foreign and brokered deposits (1,328,925) 4,224,638 (7,641,830)
Net Cash Flows Provided By/(Used In) Financing Activities ® 2,368,693 6,011,197 (147,814)
Increase/(Decrease) in Cash and Cash Equivalents (236,921) (351,749) 518,692
- Supplemental Disclosure ®
Cash Interest Expense ® 1465030 1926320 3118383

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