TPG RE Finance Trust, Inc. (TRTX)

USD 8.51

(-3.84%)

Annual Cash Flows

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 80.12 Million 100.49 Million 132.16 Million 132.08 Million 121.66 Million 107.69 Million
Net Income -116.63 Million -60.06 Million 138.55 Million -136.82 Million 126.31 Million 106.94 Million
Depreciation & Amortization 3.05 Million -11.08 Million 8.68 Million 2.41 Million 2.7 Million 1.24 Million
Deferred income taxes -626 Thousand - -8.68 Million -2.41 Million -2.7 Million -1.24 Million
Stock-based compensation 8.02 Million 5.05 Million 5.76 Million 5.76 Million 2.55 Million 665 Thousand
Change in working capital 849 Thousand -9.41 Million -63 Thousand -7.72 Million -10.19 Million -1.67 Million
Other non-cash items 185.45 Million 176.01 Million -12.08 Million 270.86 Million 2.98 Million 1.76 Million
Investing Cash Flow 1.09 Billion -452.56 Million -342.89 Million 964.58 Million -1.3 Billion -1.19 Billion
Investments in PPE -5.36 Million -5.06 Million - - - -
Acquisitions 335.25 Million 602.22 Million - - - -
Investment purchases -335.25 Million -1.66 Billion -1.76 Billion -168.88 Million -815.03 Million -143.5 Million
Sales/Maturities of investments 247.64 Million 1.06 Billion 147.98 Million 766.43 Million 94.79 Million 2.69 Million
Other Investing Activities 853.1 Million -447.5 Million 1.27 Billion 367.03 Million -588.38 Million -1.05 Billion
Financing Cash Flow -1.22 Billion 345.34 Million 152.1 Million -856.66 Million 1.22 Billion 1.05 Billion
Debt repayment -1.74 Billion -2.36 Billion -314.58 Million -964.19 Million -1.19 Billion -2.55 Billion
Dividends payments -88.41 Million -92.88 Million -79.08 Million -96.94 Million -124.61 Million -103.2 Million
Common Stock Repurchased - - -247.48 Million 14.4 Million -42 Thousand -8.96 Million
Common Stock Issuance - - 201.25 Million 237.89 Million 173.42 Million 139.44 Million
Other Financing Activities 607.34 Million 2.8 Billion -64.19 Million 219.16 Million 157.27 Million 3.58 Billion
Accounts receivables 11.39 Million -17.04 Million 1.78 Million 2.64 Million -8.85 Million -5.16 Million
Accounts payables -855 Thousand 8.35 Million 93 Thousand -4.03 Million 519 Thousand 761 Thousand
Inventory -9.06 Million - - - - 961.78 Million
Other working capital -626 Thousand -728 Thousand -1.94 Million -6.33 Million -1.85 Million -959.05 Million
Cash at beginning of period 254.31 Million 261.03 Million 319.66 Million 79.66 Million 40.72 Million 75.73 Million
Cash at end of period 207.01 Million 254.31 Million 261.03 Million 319.66 Million 79.66 Million 40.72 Million
Capital Expenditure -5.36 Million -5.06 Million - - - -
Effect of forex changes on cash - - - - - -
Net cash flow / Change in cash -47.29 Million -6.72 Million -58.63 Million 240 Million 38.94 Million -35.01 Million
Free Cash Flow 74.76 Million 95.43 Million 132.16 Million 132.08 Million 121.66 Million 107.69 Million

Cash Flow Charts