Operating Cash Flow per Share: A measure of financial performance calculated as operating cash flow, expressed on a per share basis. Calculated as: Cash Flow from Operations / Weighted Average Shares Outstanding (Diluted)
TPG RE Finance Trust, Inc. (TRTX) had Operating Cash Flow per Share of $1.03 for the most recently reported fiscal year, ending 2023-12-31.
Income Statement Financials | |
$116.39M |
|
$-130.91M |
|
-- |
|
$116.39M |
|
$49.88M |
|
$66.51M |
|
$-182.88M |
|
$-116.37M |
|
$-123.40M |
|
$-116.63M |
|
$-116.63M |
|
$-116.63M |
|
$-123.64M |
|
$66.51M |
|
$70.97M |
|
77.58M |
|
77.58M |
|
$-1.69 |
|
$-1.69 |
|
Balance Sheet Financials | |
$3.93B |
|
$174.06M |
|
$283.87M |
|
$4.21B |
|
$24.81M |
|
$2.77B |
|
$3.06B |
|
$3.09B |
|
$1.12B |
|
$1.12B |
|
$1.12B |
|
77.87M |
|
Cash Flow Statement Financials | |
$80.13M |
|
$1.10B |
|
$-1.22B |
|
$254.31M |
|
$207.02M |
|
$-47.30M |
|
$8.03M |
|
$-75.83M |
|
$-12.59M |
|
Fundamental Metrics & Ratios | |
-- |
|
-- |
|
-- |
|
0.71 |
|
2.46 |
|
-- |
|
57.15% |
|
57.15% |
|
60.97% |
|
-99.98% |
|
-112.47% |
|
$150.20M |
|
-- |
|
-- |
|
-- |
|
0.03 |
|
-- |
|
-- |
|
-- |
|
-10.37% |
|
-10.37% |
|
-2.77% |
|
-3.00% |
|
$14.44 |
|
$1.94 |
|
Operating Cash Flow per Share |
$1.03 |