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TPG RE Finance Trust (TRTX) Free Cash Flow

Annual FCF

$74.76 M
-$20.67 M-21.66%

31 December 2023

TRTX Free Cash Flow Chart

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Quarterly FCF

$23.26 M
-$724.00 K-3.02%

30 September 2024

TRTX Quarterly FCF Chart

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TTM FCF

$103.42 M
-$518.00 K-0.50%

30 September 2024

TRTX TTM FCF Chart

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TRTX Free Cash Flow Performance

PeriodPeriodAnnualAnnualQuarterlyQuarterlyTTMTTM
1 y1 year-+15.2%+38.3%
3 y3 years-43.4%-33.8%-21.8%
5 y5 years-38.5%-31.2%-15.0%

TRTX Free Cash Flow High & Low

PeriodPeriodAnnual vs highAnnual vs highAnnual vs lowAnnual vs lowQuarter. vs highQuarter. vs highQuarter. vs lowQuarter. vs lowTTM vs highTTM vs highTTM vs lowTTM vs low
3 y3 years-43.4%at low-35.3%+218.1%-25.3%+56.2%
5 y5 years-43.4%at low-38.0%+218.1%-25.8%+56.2%
alltimeall time-43.4%at low-38.0%+218.1%-25.8%+469.1%

TPG RE Finance Trust Free Cash Flow History

DateAnnualQuarterlyTTM
Sept 2024
-
$23.26 M(-3.0%)
$103.42 M(-0.5%)
June 2024
-
$23.99 M(-33.3%)
$103.94 M(+19.1%)
Mar 2024
-
$35.97 M(+78.1%)
$87.26 M(+16.7%)
Dec 2023
$74.76 M(-21.7%)
$20.20 M(-15.1%)
$74.76 M(+3.1%)
Sept 2023
-
$23.78 M(+225.2%)
$72.52 M(+9.5%)
June 2023
-
$7.31 M(-68.8%)
$66.21 M(-27.5%)
Mar 2023
-
$23.47 M(+30.7%)
$91.35 M(-9.1%)
Dec 2022
$95.44 M(-27.8%)
$17.96 M(+2.8%)
$100.50 M(-14.6%)
Sept 2022
-
$17.47 M(-46.2%)
$117.68 M(-13.6%)
June 2022
-
$32.46 M(-0.5%)
$136.18 M(-1.6%)
Mar 2022
-
$32.62 M(-7.2%)
$138.44 M(+4.7%)
Dec 2021
$132.17 M(+0.1%)
$35.14 M(-2.3%)
$132.17 M(+4.1%)
Sept 2021
-
$35.96 M(+3.6%)
$126.99 M(+3.7%)
June 2021
-
$34.72 M(+31.8%)
$122.47 M(+1.3%)
Mar 2021
-
$26.34 M(-12.1%)
$120.90 M(-8.5%)
Dec 2020
$132.09 M
$29.97 M(-4.7%)
$132.09 M(-2.8%)
Sept 2020
-
$31.44 M(-5.2%)
$135.92 M(-2.5%)
June 2020
-
$33.15 M(-11.7%)
$139.35 M(+4.7%)
DateAnnualQuarterlyTTM
Mar 2020
-
$37.53 M(+11.0%)
$133.16 M(+9.4%)
Dec 2019
$121.67 M(+13.0%)
$33.80 M(-3.1%)
$121.67 M(+3.7%)
Sept 2019
-
$34.88 M(+29.4%)
$117.38 M(+8.2%)
June 2019
-
$26.96 M(+3.6%)
$108.53 M(-1.6%)
Mar 2019
-
$26.03 M(-11.8%)
$110.28 M(+2.4%)
Dec 2018
$107.70 M(+18.3%)
$29.51 M(+13.4%)
$107.70 M(+5.5%)
Sept 2018
-
$26.03 M(-9.3%)
$102.12 M(+12.4%)
June 2018
-
$28.70 M(+22.4%)
$90.81 M(+1.3%)
Mar 2018
-
$23.45 M(-2.0%)
$89.61 M(-1.6%)
Dec 2017
$91.06 M(+6.8%)
$23.93 M(+62.5%)
$91.06 M(+7.1%)
Sept 2017
-
$14.72 M(-46.5%)
$85.04 M(-13.9%)
June 2017
-
$27.50 M(+10.5%)
$98.71 M(+6.8%)
Mar 2017
-
$24.90 M(+39.1%)
$92.47 M(+7.9%)
Dec 2016
$85.23 M(-13.6%)
$17.91 M(-36.9%)
$85.73 M(+26.4%)
Sept 2016
-
$28.40 M(+33.6%)
$67.83 M(+72.0%)
June 2016
-
$21.26 M(+17.0%)
$39.43 M(+117.0%)
Mar 2016
-
$18.17 M
$18.17 M
Dec 2015
$98.61 M
-
-

FAQ

  • What is TPG RE Finance Trust annual free cash flow?
  • What is the all time high annual FCF for TPG RE Finance Trust?
  • What is TPG RE Finance Trust quarterly free cash flow?
  • What is the all time high quarterly FCF for TPG RE Finance Trust?
  • What is TPG RE Finance Trust quarterly FCF year-on-year change?
  • What is TPG RE Finance Trust TTM free cash flow?
  • What is the all time high TTM FCF for TPG RE Finance Trust?
  • What is TPG RE Finance Trust TTM FCF year-on-year change?

What is TPG RE Finance Trust annual free cash flow?

The current annual FCF of TRTX is $74.76 M

What is the all time high annual FCF for TPG RE Finance Trust?

TPG RE Finance Trust all-time high annual free cash flow is $132.17 M

What is TPG RE Finance Trust quarterly free cash flow?

The current quarterly FCF of TRTX is $23.26 M

What is the all time high quarterly FCF for TPG RE Finance Trust?

TPG RE Finance Trust all-time high quarterly free cash flow is $37.53 M

What is TPG RE Finance Trust quarterly FCF year-on-year change?

Over the past year, TRTX quarterly free cash flow has changed by +$3.07 M (+15.18%)

What is TPG RE Finance Trust TTM free cash flow?

The current TTM FCF of TRTX is $103.42 M

What is the all time high TTM FCF for TPG RE Finance Trust?

TPG RE Finance Trust all-time high TTM free cash flow is $139.35 M

What is TPG RE Finance Trust TTM FCF year-on-year change?

Over the past year, TRTX TTM free cash flow has changed by +$28.66 M (+38.33%)