US Stock MarketDetailed Quotes

TRTX TPG RE Finance Trust Inc

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  • 8.740
  • -0.140-1.58%
Close Nov 15 16:00 ET
  • 8.740
  • 0.0000.00%
Post 20:01 ET
707.31MMarket Cap12.67P/E (TTM)

TPG RE Finance Trust Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-9.22%23.71M
249.42%25.55M
59.21%37.37M
-20.27%80.13M
29.33%23.22M
49.52%26.12M
-77.47%7.31M
-28.03%23.47M
-23.96%100.5M
-48.91%17.96M
Net income from continuing operations
136.26%22.19M
135.73%24.72M
127.04%16.74M
-94.17%-116.63M
-82.37%6.38M
46.59%-61.21M
-1,172.97%-69.17M
-68.99%7.38M
-143.35%-60.07M
-19.35%36.19M
Depreciation and amortization
201.41%3.21M
339.42%4.24M
--4.17M
--3.05M
--1.02M
--1.07M
--964K
--0
--0
--0
Other non cashItems
-101.53%-2K
-48.09%-194K
116.24%1.17M
45.85%-6.49M
-1,102.57%-7.03M
--131K
98.99%-131K
73.16%542K
17.17%-11.98M
104.47%701K
Change in working capital
-134.88%-2.71M
92.80%-1.11M
37.53%8.9M
109.02%849K
125.41%2.07M
209.08%7.77M
-337.22%-15.47M
1,085.39%6.47M
-14,847.62%-9.42M
-517.72%-8.16M
-Change in receivables
-528.45%-3.05M
80.31%3.24M
-82.74%1.19M
166.87%11.4M
141.46%3.17M
93.26%-485K
68.83%1.8M
311.21%6.92M
-1,054.96%-17.05M
-475.02%-7.64M
-Change in payables and accrued expense
-98.70%104K
22.48%-2.75M
-15.99%-2.09M
-75.56%2.1M
-129.95%-567K
850.66%8.02M
-160.53%-3.55M
-194.84%-1.8M
299.84%8.59M
1,471.74%1.89M
-Change in deferred charges
71.88%-153K
131.03%369K
-124.82%-317K
-291.40%-178K
243.30%278K
-192.36%-544K
-65.14%-1.19M
205.50%1.28M
278.85%93K
-144.91%-194K
-Change in other current assets
-50.45%387K
84.26%-1.97M
12,388.89%10.12M
-1,084.33%-12.47M
63.55%-807K
42.00%781K
-4,140.65%-12.53M
-73.09%81K
-142.09%-1.05M
-484.17%-2.21M
Cash from discontinued operating activities
Operating cash flow
-9.22%23.71M
249.42%25.55M
59.21%37.37M
-20.27%80.13M
29.33%23.22M
49.52%26.12M
-77.47%7.31M
-28.03%23.47M
-23.96%100.5M
-48.91%17.96M
Investing cash flow
Cash flow from continuing investing activities
-99.25%3.3M
-60.50%189.47M
493.41%365.52M
342.04%1.1B
-31.31%112.85M
186.32%441.32M
378.51%479.62M
129.93%61.6M
-31.98%-452.56M
1,687.55%164.28M
Net proceeds payment for loan
-99.16%3.74M
-60.17%191.04M
495.68%366.91M
270.25%1.03B
-54.32%40.44M
186.78%443.66M
1,722.33%479.62M
129.93%61.6M
-51.59%-602.22M
236.80%88.53M
Capital expenditure
80.83%-448K
---1.57M
---1.4M
-6.01%-5.36M
40.18%-3.03M
---2.34M
--0
--0
---5.06M
---5.06M
Net other investing changes
----
----
----
-51.25%75.43M
----
----
----
----
184.58%154.72M
--80.81M
Cash from discontinued investing activities
Investing cash flow
-99.25%3.3M
-60.50%189.47M
493.41%365.52M
342.04%1.1B
-31.31%112.85M
186.32%441.32M
378.51%479.62M
129.93%61.6M
-31.98%-452.56M
1,687.55%164.28M
Financing cash flow
Cash flow from continuing financing activities
87.32%-59.94M
53.53%-158.65M
-129.40%-406.54M
-454.09%-1.22B
-40.67%-231.4M
-226.55%-472.78M
-166.05%-341.41M
-166.98%-177.22M
127.05%345.34M
-388.32%-164.5M
Net issuance payments of debt
92.09%-35.57M
57.27%-136.03M
-147.76%-384.08M
-347.43%-1.13B
-47.49%-207.61M
-211.86%-449.83M
-202.21%-318.3M
-151.51%-155.02M
45.28%457.01M
-1,276.90%-140.76M
Net preferred stock issuance
----
----
----
--0
----
----
----
----
--0
----
Cash dividends paid
-3.73%-22.94M
-0.87%-22.31M
-0.87%-22.31M
4.81%-88.42M
-0.94%-22.07M
-1.11%-22.12M
-1.25%-22.12M
19.00%-22.11M
5.50%-92.88M
-0.54%-21.86M
Net other financing activities
-67.15%-1.39M
68.73%-308K
-83.72%-158K
80.68%-3.63M
8.14%-1.73M
87.53%-831K
14.35%-985K
99.05%-86K
-4.59%-18.79M
-9.11%-1.88M
Cash from discontinued financing activities
Financing cash flow
87.32%-59.94M
53.53%-158.65M
-129.40%-406.54M
-454.09%-1.22B
-40.67%-231.4M
-226.55%-472.78M
-166.05%-341.41M
-166.98%-177.22M
127.05%345.34M
-388.32%-164.5M
Net cash flow
Beginning cash position
-15.58%259.74M
25.40%203.36M
-18.60%207.02M
-2.58%254.32M
27.80%302.35M
-13.76%307.69M
-53.98%162.17M
-2.58%254.32M
-18.34%261.04M
-12.36%236.58M
Current changes in cash
-516.57%-32.94M
-61.26%56.37M
96.03%-3.66M
-603.41%-47.3M
-637.45%-95.33M
95.56%-5.34M
3,234.58%145.52M
-200.84%-92.15M
88.53%-6.72M
299.49%17.74M
End cash position
-24.99%226.8M
-15.58%259.74M
25.40%203.36M
-18.60%207.02M
-18.60%207.02M
27.80%302.35M
-13.76%307.69M
-53.98%162.17M
-2.58%254.32M
-2.58%254.32M
Free cash flow
-2.18%23.26M
227.99%23.99M
53.26%35.97M
-21.66%74.76M
56.61%20.2M
36.14%23.78M
-77.47%7.31M
-28.03%23.47M
-27.79%95.44M
-63.31%12.9M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -9.22%23.71M249.42%25.55M59.21%37.37M-20.27%80.13M29.33%23.22M49.52%26.12M-77.47%7.31M-28.03%23.47M-23.96%100.5M-48.91%17.96M
Net income from continuing operations 136.26%22.19M135.73%24.72M127.04%16.74M-94.17%-116.63M-82.37%6.38M46.59%-61.21M-1,172.97%-69.17M-68.99%7.38M-143.35%-60.07M-19.35%36.19M
Depreciation and amortization 201.41%3.21M339.42%4.24M--4.17M--3.05M--1.02M--1.07M--964K--0--0--0
Other non cashItems -101.53%-2K-48.09%-194K116.24%1.17M45.85%-6.49M-1,102.57%-7.03M--131K98.99%-131K73.16%542K17.17%-11.98M104.47%701K
Change in working capital -134.88%-2.71M92.80%-1.11M37.53%8.9M109.02%849K125.41%2.07M209.08%7.77M-337.22%-15.47M1,085.39%6.47M-14,847.62%-9.42M-517.72%-8.16M
-Change in receivables -528.45%-3.05M80.31%3.24M-82.74%1.19M166.87%11.4M141.46%3.17M93.26%-485K68.83%1.8M311.21%6.92M-1,054.96%-17.05M-475.02%-7.64M
-Change in payables and accrued expense -98.70%104K22.48%-2.75M-15.99%-2.09M-75.56%2.1M-129.95%-567K850.66%8.02M-160.53%-3.55M-194.84%-1.8M299.84%8.59M1,471.74%1.89M
-Change in deferred charges 71.88%-153K131.03%369K-124.82%-317K-291.40%-178K243.30%278K-192.36%-544K-65.14%-1.19M205.50%1.28M278.85%93K-144.91%-194K
-Change in other current assets -50.45%387K84.26%-1.97M12,388.89%10.12M-1,084.33%-12.47M63.55%-807K42.00%781K-4,140.65%-12.53M-73.09%81K-142.09%-1.05M-484.17%-2.21M
Cash from discontinued operating activities
Operating cash flow -9.22%23.71M249.42%25.55M59.21%37.37M-20.27%80.13M29.33%23.22M49.52%26.12M-77.47%7.31M-28.03%23.47M-23.96%100.5M-48.91%17.96M
Investing cash flow
Cash flow from continuing investing activities -99.25%3.3M-60.50%189.47M493.41%365.52M342.04%1.1B-31.31%112.85M186.32%441.32M378.51%479.62M129.93%61.6M-31.98%-452.56M1,687.55%164.28M
Net proceeds payment for loan -99.16%3.74M-60.17%191.04M495.68%366.91M270.25%1.03B-54.32%40.44M186.78%443.66M1,722.33%479.62M129.93%61.6M-51.59%-602.22M236.80%88.53M
Capital expenditure 80.83%-448K---1.57M---1.4M-6.01%-5.36M40.18%-3.03M---2.34M--0--0---5.06M---5.06M
Net other investing changes -------------51.25%75.43M----------------184.58%154.72M--80.81M
Cash from discontinued investing activities
Investing cash flow -99.25%3.3M-60.50%189.47M493.41%365.52M342.04%1.1B-31.31%112.85M186.32%441.32M378.51%479.62M129.93%61.6M-31.98%-452.56M1,687.55%164.28M
Financing cash flow
Cash flow from continuing financing activities 87.32%-59.94M53.53%-158.65M-129.40%-406.54M-454.09%-1.22B-40.67%-231.4M-226.55%-472.78M-166.05%-341.41M-166.98%-177.22M127.05%345.34M-388.32%-164.5M
Net issuance payments of debt 92.09%-35.57M57.27%-136.03M-147.76%-384.08M-347.43%-1.13B-47.49%-207.61M-211.86%-449.83M-202.21%-318.3M-151.51%-155.02M45.28%457.01M-1,276.90%-140.76M
Net preferred stock issuance --------------0------------------0----
Cash dividends paid -3.73%-22.94M-0.87%-22.31M-0.87%-22.31M4.81%-88.42M-0.94%-22.07M-1.11%-22.12M-1.25%-22.12M19.00%-22.11M5.50%-92.88M-0.54%-21.86M
Net other financing activities -67.15%-1.39M68.73%-308K-83.72%-158K80.68%-3.63M8.14%-1.73M87.53%-831K14.35%-985K99.05%-86K-4.59%-18.79M-9.11%-1.88M
Cash from discontinued financing activities
Financing cash flow 87.32%-59.94M53.53%-158.65M-129.40%-406.54M-454.09%-1.22B-40.67%-231.4M-226.55%-472.78M-166.05%-341.41M-166.98%-177.22M127.05%345.34M-388.32%-164.5M
Net cash flow
Beginning cash position -15.58%259.74M25.40%203.36M-18.60%207.02M-2.58%254.32M27.80%302.35M-13.76%307.69M-53.98%162.17M-2.58%254.32M-18.34%261.04M-12.36%236.58M
Current changes in cash -516.57%-32.94M-61.26%56.37M96.03%-3.66M-603.41%-47.3M-637.45%-95.33M95.56%-5.34M3,234.58%145.52M-200.84%-92.15M88.53%-6.72M299.49%17.74M
End cash position -24.99%226.8M-15.58%259.74M25.40%203.36M-18.60%207.02M-18.60%207.02M27.80%302.35M-13.76%307.69M-53.98%162.17M-2.58%254.32M-2.58%254.32M
Free cash flow -2.18%23.26M227.99%23.99M53.26%35.97M-21.66%74.76M56.61%20.2M36.14%23.78M-77.47%7.31M-28.03%23.47M-27.79%95.44M-63.31%12.9M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----------------Unqualified Opinion--

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