TPG RE Finance Trust, Inc.

Annual Trend FY 2016 FY 2017 FY 2018 FY 2019 FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 FY 2025
Cash flows from operating activities:
Adjustments to reconcile net income to net cash provided by operating activities:
Net Income From Continuing Operations ($60.1m) ($116.6m) $74.3m $60.3m
Net Income (Loss) Attributable to Parent $70.0m $94.4m $106.9m $126.3m ($136.8m) $138.6m ($60.1m) ($116.6m) $74.3m $60.3m
Net Income (Loss) Available to Common Stockholders, Basic $70.0m $94.3m $106.9m $126.3m ($151.5m) $70.7m ($73.6m) ($130.9m) $59.7m $45.5m
Net Income (Loss), Including Portion Attributable to Noncontrolling Interest ($136.8m) $138.6m ($60.1m) ($116.6m) $74.3m $60.3m
Depreciation and amortization $0 $0 $3.6m $16.0m $12.7m
Amortization of Debt Issuance Costs $9.4m $11.8m $17.2m $19.0m $13.5m $15.9m $15.0m $13.4m $8.0m $6.5m
Amortization of Debt Issuance Costs and Discounts $13.4m $8.0m $6.5m
Depreciation $0 $0 $1.0m $6.0m $7.7m
Amortization Cash Flow $0 $0 ($524k) ($255k)
Amortization Of Intangibles $0 $0 ($524k) ($255k)
Depreciation Amortization Depletion $0 $3.1m $15.7m $12.6m
Share-based Payment Arrangement, Noncash Expense $33k $665k $2.6m $5.8m $5.8m $5.1m $8.0m $6.4m $9.8m
Financing Receivable Excluding Accrued Interest Credit Loss Expense Reversal ($1.8m) ($3.1m) ($5.3m) ($6.5m) $1.1m $1.0m ($16.5m) $189.9m $4.1m $13.9m
Income Tax Expense (Benefit) ($5k) $146k $340k $579k $305k $1.1m $530k $259k $399k $378k
Operating Lease, Lease Income $6.3m $30.6m $32.0m
Changes in operating assets and liabilities:
Additional Financial Items
Increase (Decrease) in Accounts Receivable ($4.2m) ($503k) ($103k) $2.3m ($1.6m) ($773k) $504k ($626k) ($71k) $338k
Increase (Decrease) in Other Operating Assets $94k $44k ($190k) $402k $3.6m ($2.5m) $1.1m $12.5m ($10.1m) ($947k)
Payments of Financing Costs $7.4m $8.7m
General and Administrative Expense $2.2m $3.0m $4.0m $5.6m $3.6m $4.4m $4.4m $3.8m $4.3m $4.3m
Financing Receivable, Credit Loss, Expense (Reversal) $69.8m ($6.3m) $173.0m $189.9m $4.1m $13.9m
Beginning Cash Position $261.0m $254.3m $207.0m $190.5m
Cash Flow From Continuing Financing Activities $345.3m ($1.2b) ($569.2m) $597.1m
Cash Flow From Continuing Investing Activities ($452.6m) $1.1b $440.5m ($789.7m)
Change In Account Payable $8.4m ($855k) ($3.6m) $96k
Change In Accrued Expense ($143k) $4.0m ($3.2m) $114k
Change In Other Current Assets ($1.1m) ($12.5m) $10.1m $947k
Change In Payable $8.7m ($1.9m) ($3.4m) $259k
Change In Payables And Accrued Expense $8.6m $2.1m ($6.6m) $373k
Change In Receivables ($17.0m) $11.4m $4.8m ($1.9m)
Change In Working Capital ($9.4m) $849k $8.8m ($405k)
Changes In Account Receivables ($17.0m) $11.4m $4.8m ($1.9m)
Changes In Cash ($6.7m) ($47.3m) ($16.5m) ($102.2m)
End Cash Position $254.3m $207.0m $190.5m $88.3m
Financing Cash Flow $345.3m ($1.2b) ($569.2m) $597.1m
Free Cash Flow $95.4m $74.8m $106.8m $84.2m
Gain Loss On Investment Securities $0 $0
Investing Cash Flow ($452.6m) $1.1b $440.5m ($789.7m)
Issuance Of Capital Stock $201.2m $0 $0
Net Preferred Stock Issuance ($46.2m) $0 $0
Other Non Cash Items ($12.0m) ($6.5m) $812k ($7.7m)
Preferred Stock Issuance $201.2m $0 $0
Preferred Stock Payments ($247.5m) $0 $0
Proceeds From Stock Option Exercised $0 $0
Repurchase Of Capital Stock $0 $0 ($37k) ($25.3m)
Stock Based Compensation $5.1m $8.0m $6.4m $9.8m
Gain (Loss) on Sales of Loans, Net ($2.1m)
Net Cash Provided by (Used in) Operating Activities $85.7m $91.2m $107.7m $121.7m $132.1m $132.2m $100.5m $80.1m $112.1m $90.4m
Cash flows from investing activities:
Capital Expenditure ($5.1m) ($5.4m) ($5.3m) ($6.1m)
Capital Expenditure Reported $111k ($5.1m) ($5.4m) ($5.3m) ($6.1m)
Net Investment Purchase And Sale $0 $0
Purchase Of Investment $0 $0
Gain (Loss) on Sale of Investments $185k ($524k) ($278k) ($217.2m) $0
Gains (Losses) on Sales of Investment Real Estate $15.8m $13.3m $7.0m $0 $7.0m
Sale Of Investment $0 $0
Net Other Investing Changes $154.7m $75.4m $1.6m $39.4m
Net Cash Provided by (Used in) Investing Activities ($544.9m) ($702.6m) ($1.2b) ($1.3b) $964.6m ($342.9m) ($452.6m) $1.1b $440.5m ($789.7m)
Cash flows from financing activities:
Issuance Of Debt $2.8b $611.0m $514.4m $4.0b
Long Term Debt Issuance $2.8b $611.0m $514.4m $4.0b
Net Issuance Payments Of Debt $457.0m ($1.1b) ($476.8m) $735.4m
Net Long Term Debt Issuance $457.0m ($1.1b) ($476.8m) $735.4m
Long Term Debt Payments ($2.4b) ($1.7b) ($991.2m) ($3.3b)
Repayment Of Debt ($2.4b) ($1.7b) ($991.2m) ($3.3b)
Proceeds from Issuance of Common Stock $139.4m $174.5m $12.9m $0 $0 $177k $0
Common Stock Issuance $0 $0
Net Common Stock Issuance $0 $0 ($37k) ($25.3m)
Payments for Repurchase of Common Stock $0 $0 $37k $25.3m
Common Stock Payments $0 $0 ($37k) ($25.3m)
Dividends Payable $18.3m $23.1m $29.0m $32.8m $29.5m $24.2m $19.0m $19.2m $20.0m $19.4m
Cash Dividends Paid ($92.9m) ($88.4m) ($90.4m) ($91.1m)
Common Stock Dividend Paid ($80.3m) ($75.8m) ($77.8m) ($78.5m)
Preferred Stock Dividend Paid ($12.6m) ($12.6m) ($12.6m) ($12.6m)
Net Other Financing Charges ($18.8m) ($3.6m) ($1.9m) ($21.8m)
Net Cash Provided by (Used in) Financing Activities $457.2m $583.2m $1.1b $1.2b ($856.7m) $152.1m $345.3m ($1.2b) ($569.2m) $597.1m
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect ($2.0m) ($28.2m) ($35.0m) $38.9m $240.0m ($58.6m) ($6.7m) ($47.3m) ($16.5m) ($102.2m)
Cash, Cash Equivalents, Restricted Cash and Restricted Cash Equivalents $104.0m $75.7m $40.7m $79.7m $319.7m $261.0m $254.3m $207.0m $190.5m $88.3m
Supplemental disclosure of cash flow information:
Change In Cash Supplemental As Reported ($6.7m) ($47.3m) ($16.5m) ($102.2m)
Income Tax Paid Supplemental Data $784k $371k $260k $290k
Interest Paid, Excluding Capitalized Interest, Operating Activities $51.3m $64.0m $108.1m $155.3m $97.8m $69.2m $137.5m $263.7m $194.4m $179.7m

Values abbreviated: b = billions, m = millions, k = thousands. Per share data in USD.