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Year on year TPG RE Finance Trust Inc had net income fall 94.17% from a loss of 60.07m to a larger loss of 116.63m despite a 27.66% increase in revenues from 305.71m to 390.25m.
Gross margin | 92.08% |
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Net profit margin | 19.07% |
Operating margin | 17.33% |
Return on assets | 1.73% |
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Return on equity | 4.90% |
Return on investment | 1.75% |
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Cash flow in USDView more
In 2023, cash reserves at TPG RE Finance Trust Inc fell by 47.30m. However, Cash Flow from Investing totalled 1.10bn, indicating this company earned more from the sale of existing assets than it spent on the purchase of new assets. In addition the company generated 80.13m in cash from operations while cash used for financing totalled 1.22bn.
Cash flow per share | 0.8873 |
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Price/Cash flow per share | 10.15 |
Book value per share | 13.90 |
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Tangible book value per share | 13.62 |
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Balance sheet in USDView more
Current ratio | -- |
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Quick ratio | -- |
Total debt/total equity | 2.21 |
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Total debt/total capital | 0.6887 |
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Growth rates in USD
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Div yield(5 year avg) | 10.39% |
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Div growth rate (5 year) | -8.64% |
Payout ratio (TTM) | 140.54% |
EPS growth(5 years) | -- |
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EPS (TTM) vs TTM 1 year ago | 153.14 |
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