TPG RE Finance Trust, Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €141.59M +5.3% €70.79M +0.8% 50.0% -0.022 pp €78.85M +5.0% 55.7% -0.0011 pp
    (estimated) €134.52M +5.0% €70.25M +17.4% 52.2% +0.055 pp €75.06M +9.3% 55.8% +0.022 pp
    (estimated) €128.15M +235.2% €59.83M +17.6% 46.7% -0.86 pp €68.66M -28.2% 53.6% -2.0 pp
    €38.23M +61.8% €50.89M -151.2% 133.1% +5.5 pp €95.64M +31.2% 250.2% -0.58 pp
    €23.63M -82.3% -€99.48M +94.2% -421.0% -3.8 pp €72.92M -19.0% 308.6% +2.4 pp
    €133.29M -8.0% -€51.23M -143.4% -38.4% -1.2 pp €90.03M -20.1% 67.5% -0.10 pp
    €144.84M -713.8% €118.18M -201.3% 81.6% -4.1 pp €112.73M +0.1% 77.8% +5.6 pp
    -€23.60M -116.8% -€116.71M -208.3% 494.6% +4.2 pp €112.66M +8.6% -477.5% -5.5 pp
    €140.64M +19.3% €107.74M +18.1% 76.6% -0.0076 pp €103.77M +13.0% 73.8% -0.041 pp
    €117.90M +15.9% €91.22M +13.3% 77.4% -0.017 pp €91.86M +18.0% 77.9% +0.014 pp
    €101.73M +34.3% €80.48M +34.9% 79.1% +0.0030 pp €77.86M +5.9% 76.5% -0.21 pp
    €75.72M +15.1% €59.68M +17.9% 78.8% +0.019 pp €73.55M -12.5% 97.1% -0.31 pp
    €65.78M €50.63M 77.0% €84.11M 127.9%

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