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Real Estate - REIT - Mortgage - NYSE - US
$ 8.74
-1.58 %
$ 707 M
Market Cap
12.67
P/E
INCOME STATEMENT
27.7 M REVENUE
-82.27%
2.6 M OPERATING INCOME
-100.00%
-117 M NET INCOME
-94.17%
EFFICIENCY
Earnings Waterfall TPG RE Finance Trust, Inc.
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Revenue 27.7 M
Cost Of Revenue 14.6 M
Gross Profit 13.1 M
Operating Expenses 10.5 M
Operating Income 2.6 M
Other Expenses 119 M
Net Income -117 M

Income Statement

Millions
Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015
REVENUE
Revenue 27.7 156.3 169.8 (27.7) 164.9 138.2 119.3 88.8 77.1
GROSS PROFIT
Cost Of Revenue 14.6 13.3 15.8 22.0 30.6 26.4 100.0 78.7 61.7
Gross Profit 13.1 143.0 154.0 (49.7) 134.3 111.8 19.3 10.1 15.4
OPERATING INCOME
Operating Expenses 10.5 9 134.0 (30.2) (108.9) (38.0) 34.0 28.0 42.8 31.4
Selling, General and Administrative Expenses 10.5 9.5 10.2 9.4 5.6 4.0 3.2 3.0 2.0
Research and Development Expenses 0 0.195 0.58 1.69 0.371 0.402 0.471 0.454 0
Operating Income 2.6 87 641.0 139.6 (136.5) 126.9 233.3 172.8 131.6 108.5
PRE-TAX INCOME
Interest Income Expense 273.9 160.8 85.1 107.2 174.8 126.0 78.3 61.6 47.6
Total Other Income (119.0) (46.2) 15.8 (40.4) 0 0 0 28 K 0
Pre-Tax Income (116.4) (59.5) 139.6 (136.5) 126.9 107.3 94.5 70.0 61.0
NET INCOME
Tax Provision 0.3 0.5 1.1 0.3 0.6 0.3 0.1 5 K 1.6
Net Income (116.6) (60.1) 138.6 (136.8) 126.3 106.9 94.4 70.0 59.4
EPS 1.69 0.78 1.7 1.79 1.74 1.7 1.56 1.78 1.51