TPG RE Finance Trust: stocks, financial statements

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TPG RE Finance Trust, Inc. is a holding company, which engages in the provision of commercial real estate finance services. It originates, acquires, and manages commercial mortgage loans and other commercial real estate-related debt instruments in North America. The company was founded on October 24, 2014 and is headquartered in New York, NY.

  • TRTX Ticker
  • NYSE Exchange
  • Employees
3 rated
  • $12.80, +$0.46 (+3.73%) Previous Close
  • 181,606 Previous Volume
  • $5.08 / $13.18 52 week low / high
  • -6.37% Percent off 52 week high
  • 2021-05-14 Updated
  • 6.73% Dividend Yield (trailing)
  • 6.48% Dividend Yield (forward)
  • 0 Public float
  • 76,897,102 Outstanding shares
  • 9.35 P/E
  • 948.91 M Market Cap
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Financial statements — TPG RE Finance Trust

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20 ← 17 2020 2019 2018 2017
Total Revenue
280M 340M 270M 200M
Cost Of Revenue
0 0 0 0
Gross Profit
280M 340M 270M 200M
Research and Development
0 0 0 0
Selling General and Admin
3.6M 5.6M 4M 3M
Operating Expense
220M 210M 160M 110M
Operating Income
67M 130M 110M 94M
Other Income Expense Net
0 0 0 0
EBIT
67M 130M 110M 94M
Interest Income
0 0 0 0
Pretax Income
-140M 130M 110M 94M
Income Tax
310K 580K 340K 150K
Minority Interest
0 0 0 0
Net Income
-160M 130M 110M 94M
Net Income Basic
-160M 130M 110M 94M
20 ← 17 2020 2019 2018 2017
Current cash
0 0 0 0
Short term investments
4.6M 790M 74M 86M
Receivables
29M 44M 120M 17M
Inventory
99M 0 0 0
Other current assets
4.6M 0 0 0
Current assets
4.9B 5.9B 4.5B 3.4B
Long term investments
0 1.1M 670K 860K
Property plant equipment
0 0 0 0
Goodwill
0 0 0 0
Intangible assets
0 0 0 0
Other assets
0 1.1M 670K 860K
Total assets
4.9B 5.9B 4.5B 3.4B
Accounts payable
0 0 0 0
Current long term debt
3.4B 4.3B 3.1B 2.1B
Other current liabilities
54M 57M 50M 39M
Total current liabilities
3.4B 4.4B 3.2B 2.2B
Long term debt
0 0 0 0
Other liabilities
0 0 0 0
Minority Interest
0 0 0 0
Total Liabilities
3.4B 4.4B 3.2B 2.2B
Common stock
77M 73M 63M 54M
Retained earning
-290M -28M -26M -15M
Treasury stock
0 0 0 0
Capital surplus
Shareholder equity
1.5B 1.5B 1.3B 1.2B
Net tangible assets
1.5B 1.5B 1.3B 1.2B
20 ← 17 2020 2019 2018 2017
Net Income
-160M 130M 110M 94M
Depreciation
0 0 0 0
Changes in receivables
-15M -73M 100M 17M
Changes in inventories
99M 0 0 0
Cash change
240M 39M -35M 75M
Cash flow
130M 120M 110M 91M
Capital expenditures
0 0 0 -110K
Investments
Investing activity other
Total investing cash flows
-960M -1.3B -1.2B -700M
Dividends paid
Net borrowings
-1.1B -1.4B -1.2B -1.1B
Other financing cash flows
Cash flow financing
860M 1.2B 1.1B 580M
Exchange rate effect
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