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TPG RE Finance Trust, Inc., a commercial real estate finance company, originates, acquires, and manages commercial mortgage loans and other commercial real estate-related debt instruments in the United States. It invests in commercial mortgage loans; subordinate mortgage interests, mezzanine loans, secured real estate securities, note financing, preferred equity, and miscellaneous debt instruments; and commercial real estate collateralized loan obligations and commercial mortgage-backed securities secured by properties primarily in the multifamily, life science, mixed-use, hospitality, self storage, industrial, and retail real estate sectors. The company qualifies as a real estate investment trust for federal income tax purposes. It generally would not be subject to federal corporate income taxes if it distributes at least 90% of its taxable income to its stockholders. TPG RE Finance Trust, Inc. was incorporated in 2014 and is based in New York, New York. more
Time Frame | TRTX | Sector | S&P500 |
---|---|---|---|
1-Week Return | 0.56% | -1.63% | -0.57% |
1-Month Return | 2.15% | -0.38% | 1.21% |
3-Month Return | 0.11% | 11.39% | 7.57% |
6-Month Return | 7.12% | 21.58% | 11.45% |
1-Year Return | 38.5% | 33.28% | 28.48% |
3-Year Return | -23.8% | 28.35% | 29.52% |
5-Year Return | -55.47% | 61.45% | 90.66% |
10-Year Return | -53.88% | 214.35% | 203.75% |
Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | 5YR TREND | |
---|---|---|---|---|---|---|
Total Revenue | 164.89M | (27.66M) | 169.81M | 156.27M | 27.70M | [{"date":"2019-12-31","value":97.1,"profit":true},{"date":"2020-12-31","value":-16.29,"profit":false},{"date":"2021-12-31","value":100,"profit":true},{"date":"2022-12-31","value":92.02,"profit":true},{"date":"2023-12-31","value":16.31,"profit":true}] |
Cost of Revenue | 34.27M | 22.01M | 15.79M | 13.29M | 14.56M | [{"date":"2019-12-31","value":100,"profit":true},{"date":"2020-12-31","value":64.21,"profit":true},{"date":"2021-12-31","value":46.07,"profit":true},{"date":"2022-12-31","value":38.78,"profit":true},{"date":"2023-12-31","value":42.48,"profit":true}] |
Gross Profit | 164.89M | (27.66M) | 154.02M | 142.98M | 13.14M | [{"date":"2019-12-31","value":100,"profit":true},{"date":"2020-12-31","value":-16.78,"profit":false},{"date":"2021-12-31","value":93.41,"profit":true},{"date":"2022-12-31","value":86.71,"profit":true},{"date":"2023-12-31","value":7.97,"profit":true}] |
Gross Margin | 100.00% | 100.00% | 90.70% | 91.49% | 47.44% | [{"date":"2019-12-31","value":100,"profit":true},{"date":"2020-12-31","value":100,"profit":true},{"date":"2021-12-31","value":90.7,"profit":true},{"date":"2022-12-31","value":91.49,"profit":true},{"date":"2023-12-31","value":47.44,"profit":true}] |
Operating Expenses | (38.00M) | (108.86M) | (30.20M) | 9.13B | 10.54M | [{"date":"2019-12-31","value":-0.42,"profit":false},{"date":"2020-12-31","value":-1.19,"profit":false},{"date":"2021-12-31","value":-0.33,"profit":false},{"date":"2022-12-31","value":100,"profit":true},{"date":"2023-12-31","value":0.12,"profit":true}] |
Operating Income | 126.89M | (136.52M) | 139.61M | 87.64B | 2.60M | [{"date":"2019-12-31","value":0.14,"profit":true},{"date":"2020-12-31","value":-0.16,"profit":false},{"date":"2021-12-31","value":0.16,"profit":true},{"date":"2022-12-31","value":100,"profit":true},{"date":"2023-12-31","value":"-","profit":true}] |
Total Non-Operating Income/Expense | (9.87M) | 69.20M | 319.14M | 95.86M | (16.39M) | [{"date":"2019-12-31","value":-3.09,"profit":false},{"date":"2020-12-31","value":21.68,"profit":true},{"date":"2021-12-31","value":100,"profit":true},{"date":"2022-12-31","value":30.04,"profit":true},{"date":"2023-12-31","value":-5.14,"profit":false}] |
Pre-Tax Income | 126.89M | (136.52M) | 139.61M | (59.54M) | (116.37M) | [{"date":"2019-12-31","value":90.89,"profit":true},{"date":"2020-12-31","value":-97.78,"profit":false},{"date":"2021-12-31","value":100,"profit":true},{"date":"2022-12-31","value":-42.64,"profit":false},{"date":"2023-12-31","value":-83.35,"profit":false}] |
Income Taxes | 579.00K | 305.00K | 1.06M | 530.00K | 259.00K | [{"date":"2019-12-31","value":54.42,"profit":true},{"date":"2020-12-31","value":28.67,"profit":true},{"date":"2021-12-31","value":100,"profit":true},{"date":"2022-12-31","value":49.81,"profit":true},{"date":"2023-12-31","value":24.34,"profit":true}] |
Income After Taxes | 126.31M | (136.83M) | 138.55M | (60.07M) | (116.63M) | [{"date":"2019-12-31","value":91.17,"profit":true},{"date":"2020-12-31","value":-98.76,"profit":false},{"date":"2021-12-31","value":100,"profit":true},{"date":"2022-12-31","value":-43.35,"profit":false},{"date":"2023-12-31","value":-84.18,"profit":false}] |
Income From Continuous Operations | 126.31M | (136.83M) | 138.55M | (60.07M) | (86.82M) | [{"date":"2019-12-31","value":91.17,"profit":true},{"date":"2020-12-31","value":-98.76,"profit":false},{"date":"2021-12-31","value":100,"profit":true},{"date":"2022-12-31","value":-43.35,"profit":false},{"date":"2023-12-31","value":-62.66,"profit":false}] |
Income From Discontinued Operations | - | - | - | - | - | [{"date":"2019-12-31","value":"-","profit":true},{"date":"2020-12-31","value":"-","profit":true},{"date":"2021-12-31","value":"-","profit":true},{"date":"2022-12-31","value":"-","profit":true},{"date":"2023-12-31","value":"-","profit":true}] |
Net Income | 126.31M | (136.83M) | 138.55M | (60.07M) | (116.63M) | [{"date":"2019-12-31","value":91.17,"profit":true},{"date":"2020-12-31","value":-98.76,"profit":false},{"date":"2021-12-31","value":100,"profit":true},{"date":"2022-12-31","value":-43.35,"profit":false},{"date":"2023-12-31","value":-84.18,"profit":false}] |
EPS (Diluted) | 1.72 | 1.54 | 1.10 | 1.01 | (3.39) | [{"date":"2019-12-31","value":100,"profit":true},{"date":"2020-12-31","value":89.53,"profit":true},{"date":"2021-12-31","value":63.95,"profit":true},{"date":"2022-12-31","value":58.72,"profit":true},{"date":"2023-12-31","value":-197.09,"profit":false}] |
These ratios help you determine the liquidity of the company. Higher is better.
TRTX | |
---|---|
Cash Ratio | 4.77 |
Current Ratio | 5.43 |
Quick Ratio | -0.01 |
These ratios help you understand the company's efficiency in using its assets to generate returns. Higher is better. For ROE, average long term is around 14%, less than 10% is poor.
TRTX | |
---|---|
ROA (LTM) | 1.73% |
ROE (LTM) | 6.19% |
These ratios help you understand the company's liabilities, gauging the riskiness of the investment.
TRTX | |
---|---|
Debt Ratio Lower is generally better. Negative is bad. | 0.69 |
Common Equity/Total Assets Higher is better. Lower can suggest investment is riskier. | 0.31 |
These ratios help you understand the company's valuation. Lower may indicate cheaper stocks.
TRTX | |
---|---|
Trailing PE | 13.09 |
Forward PE | 11.11 |
P/S (TTM) | 5.52 |
P/B | 0.65 |
Price/FCF | 32 |
EV/R | 20.77 |
EV/Ebitda | NM |
TPG RE Finance Trust Inc (TRTX) share price today is $9.03
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Yes, you can purchase fractional shares of TPG RE Finance Trust Inc (TRTX) via the Vested app. You can start investing in TPG RE Finance Trust Inc (TRTX) with a minimum investment of $1.
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The 52-week high price of TPG RE Finance Trust Inc (TRTX) is $9.39. The 52-week low price of TPG RE Finance Trust Inc (TRTX) is $4.69.
The price-to-earnings (P/E) ratio of TPG RE Finance Trust Inc (TRTX) is 13.0435
The price-to-book (P/B) ratio of TPG RE Finance Trust Inc (TRTX) is 0.65
The dividend yield of TPG RE Finance Trust Inc (TRTX) is 10.67%
The market capitalization of TPG RE Finance Trust Inc (TRTX) is $731.59M
The stock symbol (or ticker) of TPG RE Finance Trust Inc is TRTX