美股市場個股詳情

TRTX TPG RE Finance Trust, Inc.

添加自選
  • 8.510
  • 0.0000.00%
收盤價 12/19 16:00 (美東)
  • 8.540
  • +0.030+0.35%
盤後 20:01 (美東)
6.89億總市值12.33市盈率TTM

TPG RE Finance Trust, Inc.關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額
-9.22%2,371萬
249.42%2,555.3萬
59.21%3,737.1萬
-20.27%8,012.6萬
29.33%2,322.3萬
49.52%2,611.7萬
-77.47%731.3萬
-28.03%2,347.3萬
-23.96%1億
-48.91%1,795.6萬
持續經營淨收入
136.26%2,219.4萬
135.73%2,471.5萬
127.04%1,674.4萬
-94.17%-1.17億
-82.37%638.1萬
46.59%-6,121.3萬
-1,172.97%-6,917.3萬
-68.99%737.5萬
-143.35%-6,006.6萬
-19.35%3,619.4萬
折舊和攤銷
201.41%321.3萬
339.42%423.6萬
--416.7萬
--305.3萬
--102.3萬
--106.6萬
--96.4萬
--0
--0
--0
其他非現金項目
-101.53%-2,000
-48.09%-19.4萬
116.24%117.2萬
45.85%-648.6萬
-1,102.57%-702.8萬
--13.1萬
98.99%-13.1萬
73.16%54.2萬
17.17%-1,197.7萬
104.47%70.1萬
營運資金變動
-134.88%-271萬
92.80%-111.3萬
37.53%890.4萬
109.02%84.9萬
125.41%207.3萬
209.08%776.9萬
-337.22%-1,546.7萬
1,085.39%647.4萬
-14,847.62%-941.7萬
-517.72%-815.8萬
-應收款項(增)減
-528.45%-304.8萬
80.31%324.2萬
-82.74%119.4萬
166.87%1,139.9萬
141.46%316.9萬
93.26%-48.5萬
68.83%179.8萬
311.21%691.7萬
-1,054.96%-1,704.6萬
-475.02%-764.3萬
-應付款項及遞延費用(減)增
-98.70%10.4萬
22.48%-275.2萬
-15.99%-208.9萬
-75.56%209.9萬
-129.95%-56.7萬
850.66%801.7萬
-160.53%-355萬
-194.84%-180.1萬
299.84%858.9萬
1,471.74%189.3萬
-遞延費用變動
71.88%-15.3萬
131.03%36.9萬
-124.82%-31.7萬
-291.40%-17.8萬
243.30%27.8萬
-192.36%-54.4萬
-65.14%-118.9萬
205.50%127.7萬
278.85%9.3萬
-144.91%-19.4萬
-其他流動資產變化
-50.45%38.7萬
84.26%-197.2萬
12,388.89%1,011.6萬
-1,084.33%-1,247.1萬
63.55%-80.7萬
42.00%78.1萬
-4,140.65%-1,252.6萬
-73.09%8.1萬
-142.09%-105.3萬
-484.17%-221.4萬
非持續經營活動現金流
經營活動現金淨額
-9.22%2,371萬
249.42%2,555.3萬
59.21%3,737.1萬
-20.27%8,012.6萬
29.33%2,322.3萬
49.52%2,611.7萬
-77.47%731.3萬
-28.03%2,347.3萬
-23.96%1億
-48.91%1,795.6萬
投資活動現金流量
持續投資活動現金淨額
-99.25%329.5萬
-60.50%1.89億
493.41%3.66億
342.04%10.95億
-31.31%1.13億
186.32%4.41億
378.51%4.8億
129.93%6,159.6萬
-31.98%-4.53億
1,687.55%1.64億
貸款淨收益
-99.16%374.3萬
-60.17%1.91億
495.68%3.67億
270.25%10.25億
-54.32%4,044.4萬
186.78%4.44億
1,722.33%4.8億
129.93%6,159.6萬
-51.59%-6.02億
236.80%8,853萬
資本支出
80.83%-44.8萬
---156.7萬
---139.7萬
-6.01%-536.4萬
40.18%-302.7萬
---233.7萬
--0
--0
---506萬
---506萬
其他投資活動的淨現金流
----
----
----
-51.25%7,543.4萬
----
----
----
----
184.58%1.55億
--8,081萬
非持續投資現金淨額
投資活動現金流淨額
-99.25%329.5萬
-60.50%1.89億
493.41%3.66億
342.04%10.95億
-31.31%1.13億
186.32%4.41億
378.51%4.8億
129.93%6,159.6萬
-31.98%-4.53億
1,687.55%1.64億
融資活動現金流量
持續融資活動現金淨額
87.32%-5,994.2萬
53.53%-1.59億
-129.40%-4.07億
-454.09%-12.23億
-40.67%-2.31億
-226.55%-4.73億
-166.05%-3.41億
-166.98%-1.77億
127.05%3.45億
-388.32%-1.64億
債務發行/償還的淨現金流
92.09%-3,557.4萬
57.27%-1.36億
-147.76%-3.84億
-347.43%-11.31億
-47.49%-2.08億
-211.86%-4.5億
-202.21%-3.18億
-151.51%-1.55億
45.28%4.57億
-1,276.90%-1.41億
優先股發行/償還的淨現金流
----
----
----
--0
----
----
----
----
--0
----
現金股利支付
-3.73%-2,294.2萬
-0.87%-2,231.4萬
-0.87%-2,230.6萬
4.81%-8,841.8萬
-0.94%-2,206.5萬
-1.11%-2,211.7萬
-1.25%-2,212.2萬
19.00%-2,211.4萬
5.50%-9,288.2萬
-0.54%-2,185.9萬
其他融資活動的淨現金流額
-67.15%-138.9萬
68.73%-30.8萬
-83.72%-15.8萬
80.68%-362.9萬
8.14%-172.7萬
87.53%-83.1萬
14.35%-98.5萬
99.05%-8.6萬
-4.59%-1,878.8萬
-9.11%-188萬
非持續融資活動現金淨額
融資活動現金流淨額
87.32%-5,994.2萬
53.53%-1.59億
-129.40%-4.07億
-454.09%-12.23億
-40.67%-2.31億
-226.55%-4.73億
-166.05%-3.41億
-166.98%-1.77億
127.05%3.45億
-388.32%-1.64億
現金淨流量
期初現金流
-15.58%2.6億
25.40%2.03億
-18.60%2.07億
-2.58%2.54億
27.80%3.02億
-13.76%3.08億
-53.98%1.62億
-2.58%2.54億
-18.34%2.61億
-12.36%2.37億
當期現金流變化
-516.57%-3,293.7萬
-61.26%5,637.4萬
96.03%-365.6萬
-603.41%-4,729.7萬
-637.45%-9,532.7萬
95.56%-534.2萬
3,234.58%1.46億
-200.84%-9,214.9萬
88.53%-672.4萬
299.49%1,773.7萬
期末現金流
-24.99%2.27億
-15.58%2.6億
25.40%2.03億
-18.60%2.07億
-18.60%2.07億
27.80%3.02億
-13.76%3.08億
-53.98%1.62億
-2.58%2.54億
-2.58%2.54億
自由現金流
-2.18%2,326.2萬
227.99%2,398.6萬
53.26%3,597.4萬
-21.66%7,476.2萬
56.61%2,019.6萬
36.14%2,378萬
-77.47%731.3萬
-28.03%2,347.3萬
-27.79%9,543.6萬
-63.31%1,289.6萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
審計意見
--
--
--
--
--
--
--
--
無保留意見
--
(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31
經營活動現金流量(間接法)
持續經營活動現金淨額 -9.22%2,371萬249.42%2,555.3萬59.21%3,737.1萬-20.27%8,012.6萬29.33%2,322.3萬49.52%2,611.7萬-77.47%731.3萬-28.03%2,347.3萬-23.96%1億-48.91%1,795.6萬
持續經營淨收入 136.26%2,219.4萬135.73%2,471.5萬127.04%1,674.4萬-94.17%-1.17億-82.37%638.1萬46.59%-6,121.3萬-1,172.97%-6,917.3萬-68.99%737.5萬-143.35%-6,006.6萬-19.35%3,619.4萬
折舊和攤銷 201.41%321.3萬339.42%423.6萬--416.7萬--305.3萬--102.3萬--106.6萬--96.4萬--0--0--0
其他非現金項目 -101.53%-2,000-48.09%-19.4萬116.24%117.2萬45.85%-648.6萬-1,102.57%-702.8萬--13.1萬98.99%-13.1萬73.16%54.2萬17.17%-1,197.7萬104.47%70.1萬
營運資金變動 -134.88%-271萬92.80%-111.3萬37.53%890.4萬109.02%84.9萬125.41%207.3萬209.08%776.9萬-337.22%-1,546.7萬1,085.39%647.4萬-14,847.62%-941.7萬-517.72%-815.8萬
-應收款項(增)減 -528.45%-304.8萬80.31%324.2萬-82.74%119.4萬166.87%1,139.9萬141.46%316.9萬93.26%-48.5萬68.83%179.8萬311.21%691.7萬-1,054.96%-1,704.6萬-475.02%-764.3萬
-應付款項及遞延費用(減)增 -98.70%10.4萬22.48%-275.2萬-15.99%-208.9萬-75.56%209.9萬-129.95%-56.7萬850.66%801.7萬-160.53%-355萬-194.84%-180.1萬299.84%858.9萬1,471.74%189.3萬
-遞延費用變動 71.88%-15.3萬131.03%36.9萬-124.82%-31.7萬-291.40%-17.8萬243.30%27.8萬-192.36%-54.4萬-65.14%-118.9萬205.50%127.7萬278.85%9.3萬-144.91%-19.4萬
-其他流動資產變化 -50.45%38.7萬84.26%-197.2萬12,388.89%1,011.6萬-1,084.33%-1,247.1萬63.55%-80.7萬42.00%78.1萬-4,140.65%-1,252.6萬-73.09%8.1萬-142.09%-105.3萬-484.17%-221.4萬
非持續經營活動現金流
經營活動現金淨額 -9.22%2,371萬249.42%2,555.3萬59.21%3,737.1萬-20.27%8,012.6萬29.33%2,322.3萬49.52%2,611.7萬-77.47%731.3萬-28.03%2,347.3萬-23.96%1億-48.91%1,795.6萬
投資活動現金流量
持續投資活動現金淨額 -99.25%329.5萬-60.50%1.89億493.41%3.66億342.04%10.95億-31.31%1.13億186.32%4.41億378.51%4.8億129.93%6,159.6萬-31.98%-4.53億1,687.55%1.64億
貸款淨收益 -99.16%374.3萬-60.17%1.91億495.68%3.67億270.25%10.25億-54.32%4,044.4萬186.78%4.44億1,722.33%4.8億129.93%6,159.6萬-51.59%-6.02億236.80%8,853萬
資本支出 80.83%-44.8萬---156.7萬---139.7萬-6.01%-536.4萬40.18%-302.7萬---233.7萬--0--0---506萬---506萬
其他投資活動的淨現金流 -------------51.25%7,543.4萬----------------184.58%1.55億--8,081萬
非持續投資現金淨額
投資活動現金流淨額 -99.25%329.5萬-60.50%1.89億493.41%3.66億342.04%10.95億-31.31%1.13億186.32%4.41億378.51%4.8億129.93%6,159.6萬-31.98%-4.53億1,687.55%1.64億
融資活動現金流量
持續融資活動現金淨額 87.32%-5,994.2萬53.53%-1.59億-129.40%-4.07億-454.09%-12.23億-40.67%-2.31億-226.55%-4.73億-166.05%-3.41億-166.98%-1.77億127.05%3.45億-388.32%-1.64億
債務發行/償還的淨現金流 92.09%-3,557.4萬57.27%-1.36億-147.76%-3.84億-347.43%-11.31億-47.49%-2.08億-211.86%-4.5億-202.21%-3.18億-151.51%-1.55億45.28%4.57億-1,276.90%-1.41億
優先股發行/償還的淨現金流 --------------0------------------0----
現金股利支付 -3.73%-2,294.2萬-0.87%-2,231.4萬-0.87%-2,230.6萬4.81%-8,841.8萬-0.94%-2,206.5萬-1.11%-2,211.7萬-1.25%-2,212.2萬19.00%-2,211.4萬5.50%-9,288.2萬-0.54%-2,185.9萬
其他融資活動的淨現金流額 -67.15%-138.9萬68.73%-30.8萬-83.72%-15.8萬80.68%-362.9萬8.14%-172.7萬87.53%-83.1萬14.35%-98.5萬99.05%-8.6萬-4.59%-1,878.8萬-9.11%-188萬
非持續融資活動現金淨額
融資活動現金流淨額 87.32%-5,994.2萬53.53%-1.59億-129.40%-4.07億-454.09%-12.23億-40.67%-2.31億-226.55%-4.73億-166.05%-3.41億-166.98%-1.77億127.05%3.45億-388.32%-1.64億
現金淨流量
期初現金流 -15.58%2.6億25.40%2.03億-18.60%2.07億-2.58%2.54億27.80%3.02億-13.76%3.08億-53.98%1.62億-2.58%2.54億-18.34%2.61億-12.36%2.37億
當期現金流變化 -516.57%-3,293.7萬-61.26%5,637.4萬96.03%-365.6萬-603.41%-4,729.7萬-637.45%-9,532.7萬95.56%-534.2萬3,234.58%1.46億-200.84%-9,214.9萬88.53%-672.4萬299.49%1,773.7萬
期末現金流 -24.99%2.27億-15.58%2.6億25.40%2.03億-18.60%2.07億-18.60%2.07億27.80%3.02億-13.76%3.08億-53.98%1.62億-2.58%2.54億-2.58%2.54億
自由現金流 -2.18%2,326.2萬227.99%2,398.6萬53.26%3,597.4萬-21.66%7,476.2萬56.61%2,019.6萬36.14%2,378萬-77.47%731.3萬-28.03%2,347.3萬-27.79%9,543.6萬-63.31%1,289.6萬
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