Financing

Financing Cash Flow

TPG RE Finance Trust, Inc. Financing Cash Flow decreased by 86.1% to $45.85M in Q1 2026 compared to the prior quarter. Year-over-year, this metric declined by 68.7%, from $146.28M to $45.85M.

Analysis

StatementCash Flow Statement
SectionFinancing
CategoryCapital Allocation
SignalContext dependent
VolatilityVolatile
First reportedQ1 2015
Last reportedQ1 2026Apr 28, 2026

How to read this metric

Negative values often indicate a company is paying down debt or returning capital to shareholders, while positive values may indicate external financing.

Detailed definition

The net result of all cash inflows and outflows related to financing activities, including debt issuance, debt repayment...

Peer comparison

Highly dependent on the company's current capital structure and lifecycle stage compared to industry peers.

Metric ID: net_cash_from_financing

Historical Data

15 periods
 Q2 '21Q1 '22Q3 '22Q1 '23Q2 '23Q3 '23Q4 '23Q1 '24Q2 '24Q3 '24Q4 '24Q1 '25Q2 '25Q4 '25Q1 '26
Value$204.68M$264.58M$373.59M-$177.22M-$341.41M-$472.78M-$231.40M-$406.54M-$158.65M-$59.94M$0.00$146.28M$243.53M$330.60M$45.85M
QoQ Change+29.3%+41.2%-147.4%-92.7%-38.5%+51.1%-75.7%+61.0%+62.2%+100.0%+66.5%+35.8%-86.1%
YoY Change-167.0%-226.6%-129.4%+53.5%+87.3%+100.0%+136.0%+253.5%-68.7%
Range-$472.78M$373.59M
CAGR-34.8%
Avg YoY Growth+4.3%
Median YoY Growth+53.5%

Frequently Asked Questions

What is TPG RE Finance Trust, Inc.'s financing cash flow?
TPG RE Finance Trust, Inc. (TRTX) reported financing cash flow of $45.85M in Q1 2026.
How has TPG RE Finance Trust, Inc.'s financing cash flow changed year-over-year?
TPG RE Finance Trust, Inc.'s financing cash flow decreased by 68.7% year-over-year, from $146.28M to $45.85M.
What does financing cash flow mean?
The net cash flow generated or used by financing activities.