Company: MTB-PJ
Filing Date: 2025-02-19
Form Type: 10-K
Source: 0001628280-25-006267
Chunk: 49

Company: M&T BANK CORP
Filing Date: 2025-02-19
Form: 10-K
Item: Item 8
Chunk 49
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)Net change in loans originated for sale(128)(192)771 Net change in trading account and other non-hedging derivative assets and liabilities(57)(266)1,227 Net cash provided by operating activities3,610 3,905 4,574 Cash flows from investing activitiesProceeds from sales of investment securities:Available for sale167 — — Equity and other securities610 1,014 242 Proceeds from maturities of investment securities:Available for sale6,072 743 795 Held to maturity1,158 1,170 1,516 Purchases of investment securities:Available for sale(14,476)(346)(7,222)Held to maturity— (2,948)(1,890)Equity and other securities(467)(1,205)(456)Net increase in loans and leases(2,030)(2,770)(3,639)Net (increase) decrease in interest-bearing deposits at banks9,196 (3,110)26,107 Capital expenditures, net(216)(256)(214)Net (increase) decrease in loan servicing advances(26)274 1,579 Acquisition, net of cash consideration:Bank and bank holding company— — 394 Other, net(538)(440)(620)Net cash provided (used) by investing activities(550)(7,874)16,592 Cash flows from financing activitiesNet decrease in deposits(2,182)(248)(20,994)Net increase (decrease) in short-term borrowings(4,256)1,761 2,613 Proceeds from long-term borrowings5,497 5,035 999 Payments on long-term borrowings(1,009)(824)(907)Proceeds from issuance of Series J preferred stock733 — — Redemption of Series E preferred stock(350)— — Purchases of treasury stock(396)(594)(1,800)Dividends paid — common(895)(868)(784)Dividends paid — preferred(138)(100)(97)Other, net114 18 (14)Net cash provided (used) by financing activities(2,882)4,180 (20,984)Net increase in cash, cash equivalents and restricted cash178 211 182 Cash, cash equivalents and restricted cash at beginning of period1,731 1,520 1