美股市场个股详情

TRTX TPG RE Finance Trust, Inc.

添加自选
  • 9.065
  • -0.035-0.38%
交易中 08/30 10:05 (美东)
7.34亿总市值-24500市盈率TTM

TPG RE Finance Trust, Inc.关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
资产
现金和现金等价物和联邦基金
-15.58%2.6亿
25.40%2.03亿
-18.60%2.07亿
-18.60%2.07亿
27.80%3.02亿
-13.76%3.08亿
-53.98%1.62亿
-2.58%2.54亿
-2.58%2.54亿
-12.36%2.37亿
-现金和现金等价物
-15.68%2.59亿
25.73%2.03亿
-18.77%2.06亿
-18.77%2.06亿
28.03%3.02亿
-13.64%3.07亿
-54.06%1.62亿
-2.53%2.54亿
-2.53%2.54亿
-12.32%2.36亿
-限制性现金及投资
106.61%50万
-55.61%28.5万
142.26%64.2万
142.26%64.2万
-82.85%8.3万
-69.33%24.2万
-24.20%64.2万
-34.41%26.5万
-34.41%26.5万
-27.44%48.4万
应收款项
-25.26%8,843.1万
-72.18%3,695.1万
-52.10%9,870.3万
-52.10%9,870.3万
-15.67%4,064.8万
-59.00%1.18亿
336.53%1.33亿
668.64%2.06亿
668.64%2.06亿
29.20%4,819.9万
-应收账款
-25.26%8,843.1万
-72.18%3,695.1万
-52.10%9,870.3万
-52.10%9,870.3万
-15.67%4,064.8万
-59.00%1.18亿
336.53%1.33亿
668.64%2.06亿
668.64%2.06亿
29.20%4,819.9万
贷款净额
-27.06%31.34亿
-30.09%32.96亿
-28.69%34.1亿
-28.69%34.1亿
-26.56%37.39亿
-6.93%42.97亿
-6.99%47.15亿
-1.76%47.81亿
-1.76%47.81亿
6.38%50.91亿
-贷款总额
-29.61%32.01亿
-31.51%33.67亿
-30.17%34.77亿
-30.17%34.77亿
-25.46%39.52亿
-3.27%45.48亿
-3.90%49.16亿
1.42%49.79亿
1.42%49.79亿
9.63%53.02亿
-贷款损失准备金
-73.29%6,684.8万
-64.64%7,125.8万
-65.99%6,709.2万
-65.99%6,709.2万
1.29%2.13亿
197.36%2.5亿
335.16%2.02亿
369.71%1.97亿
369.71%1.97亿
320.66%2.11亿
止赎资产
339.83%1.69亿
--1.69亿
--1.74亿
--1.74亿
--1.12亿
--3,845.1万
--0
--0
--0
--0
其他资产
-79.83%4,475.9万
-66.96%1.24亿
7.08%3.25亿
7.08%3.25亿
-8.37%2.64亿
67.55%2.22亿
17,676.08%3.74亿
12,820.14%3.03亿
12,820.14%3.03亿
3,230.68%2.88亿
总资产
-25.83%36.96亿
-28.87%38.29亿
-24.00%42.14亿
-24.00%42.14亿
-21.30%44.57亿
-7.62%49.84亿
-2.38%53.84亿
6.27%55.45亿
6.27%55.45亿
8.90%56.64亿
负债
应付款项
-9.63%3,197.7万
-7.12%3,301.9万
-4.81%3,430万
-4.81%3,430万
7.02%3,457.1万
3.88%3,538.6万
26.41%3,554.9万
10.91%3,603.4万
10.91%3,603.4万
20.87%3,230.4万
-应付账款
-31.84%713.5万
-16.01%886.6万
-7.72%1,022.5万
-7.72%1,022.5万
31.46%1,010.5万
143.44%1,046.8万
222.91%1,055.6万
306.90%1,108万
306.90%1,108万
188.88%768.7万
-应付股利
4.37%1,979.8万
1.01%1,916.6万
1.01%1,916.2万
1.01%1,916.2万
1.12%1,892.1万
1.30%1,896.9万
1.46%1,897.4万
-21.47%1,897万
-21.47%1,897万
0.63%1,871.1万
-应付关联方款项
-15.21%504.4万
-17.15%498.7万
-17.90%491.3万
-17.90%491.3万
-6.11%554.5万
-46.11%594.9万
-2.18%601.9万
6.69%598.4万
6.69%598.4万
7.91%590.6万
短期应计费用
-54.91%1,539.2万
-36.47%1,712.1万
-41.96%1,458.7万
-41.96%1,458.7万
60.00%3,885.4万
92.61%3,413.6万
97.29%2,694.8万
117.35%2,513.2万
117.35%2,513.2万
86.52%2,428.3万
长期借款和租赁负债
-31.67%25.24亿
-33.72%26.57亿
-26.95%30.39亿
-26.95%30.39亿
-24.51%32.45亿
-5.31%36.93亿
0.15%40.09亿
12.21%41.61亿
12.21%41.61亿
15.73%42.99亿
-长期借款
-31.67%25.24亿
-33.72%26.57亿
-26.95%30.39亿
-26.95%30.39亿
-24.51%32.45亿
-5.31%36.93亿
0.15%40.09亿
12.21%41.61亿
12.21%41.61亿
15.73%42.99亿
非流动递延负债
-13.83%133.3万
-64.77%96.4万
-12.20%128.1万
-12.20%128.1万
-39.32%100.3万
45.39%154.7万
53.36%273.6万
6.81%145.9万
6.81%145.9万
76.98%165.3万
总负债
-31.66%25.72亿
-33.53%27.08亿
-26.84%30.9亿
-26.84%30.9亿
-23.81%33.2亿
-4.78%37.64亿
0.68%40.75亿
12.52%42.23亿
12.52%42.23亿
16.02%43.57亿
所有者权益
股本
4.71%8.9万
1.18%8.6万
0.00%8.5万
0.00%8.5万
0.00%8.5万
0.00%8.5万
0.00%8.5万
0.00%8.5万
0.00%8.5万
0.00%8.5万
-普通股股本
5.19%8.1万
1.30%7.8万
0.00%7.7万
0.00%7.7万
0.00%7.7万
0.00%7.7万
0.00%7.7万
0.00%7.7万
0.00%7.7万
0.00%7.7万
-优先股股本
0.00%8,000
0.00%8,000
0.00%8,000
0.00%8,000
0.00%8,000
0.00%8,000
0.00%8,000
0.00%8,000
0.00%8,000
0.00%8,000
资本公积
0.44%17.28亿
0.46%17.27亿
0.47%17.25亿
0.47%17.25亿
0.37%17.22亿
0.35%17.21亿
0.33%17.19亿
0.30%17.17亿
0.30%17.17亿
0.30%17.15亿
留存收益
-20.56%-6.04亿
-47.85%-6.06亿
-51.96%-6亿
-51.96%-6亿
-42.83%-5.84亿
-83.78%-5.01亿
-67.03%-4.1亿
-59.76%-3.95亿
-59.76%-3.95亿
-54.47%-4.09亿
股东权益总额
-7.82%11.24亿
-14.37%11.21亿
-14.92%11.25亿
-14.92%11.25亿
-12.93%11.37亿
-15.42%12.2亿
-10.82%13.09亿
-9.74%13.22亿
-9.74%13.22亿
-9.62%13.06亿
总权益
-7.82%11.24亿
-14.37%11.21亿
-14.92%11.25亿
-14.92%11.25亿
-12.93%11.37亿
-15.42%12.2亿
-10.82%13.09亿
-9.74%13.22亿
-9.74%13.22亿
-9.62%13.06亿
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
--
--
--
--
--
--
无保留意见
--
--
(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30
资产
现金和现金等价物和联邦基金 -15.58%2.6亿25.40%2.03亿-18.60%2.07亿-18.60%2.07亿27.80%3.02亿-13.76%3.08亿-53.98%1.62亿-2.58%2.54亿-2.58%2.54亿-12.36%2.37亿
-现金和现金等价物 -15.68%2.59亿25.73%2.03亿-18.77%2.06亿-18.77%2.06亿28.03%3.02亿-13.64%3.07亿-54.06%1.62亿-2.53%2.54亿-2.53%2.54亿-12.32%2.36亿
-限制性现金及投资 106.61%50万-55.61%28.5万142.26%64.2万142.26%64.2万-82.85%8.3万-69.33%24.2万-24.20%64.2万-34.41%26.5万-34.41%26.5万-27.44%48.4万
应收款项 -25.26%8,843.1万-72.18%3,695.1万-52.10%9,870.3万-52.10%9,870.3万-15.67%4,064.8万-59.00%1.18亿336.53%1.33亿668.64%2.06亿668.64%2.06亿29.20%4,819.9万
-应收账款 -25.26%8,843.1万-72.18%3,695.1万-52.10%9,870.3万-52.10%9,870.3万-15.67%4,064.8万-59.00%1.18亿336.53%1.33亿668.64%2.06亿668.64%2.06亿29.20%4,819.9万
贷款净额 -27.06%31.34亿-30.09%32.96亿-28.69%34.1亿-28.69%34.1亿-26.56%37.39亿-6.93%42.97亿-6.99%47.15亿-1.76%47.81亿-1.76%47.81亿6.38%50.91亿
-贷款总额 -29.61%32.01亿-31.51%33.67亿-30.17%34.77亿-30.17%34.77亿-25.46%39.52亿-3.27%45.48亿-3.90%49.16亿1.42%49.79亿1.42%49.79亿9.63%53.02亿
-贷款损失准备金 -73.29%6,684.8万-64.64%7,125.8万-65.99%6,709.2万-65.99%6,709.2万1.29%2.13亿197.36%2.5亿335.16%2.02亿369.71%1.97亿369.71%1.97亿320.66%2.11亿
止赎资产 339.83%1.69亿--1.69亿--1.74亿--1.74亿--1.12亿--3,845.1万--0--0--0--0
其他资产 -79.83%4,475.9万-66.96%1.24亿7.08%3.25亿7.08%3.25亿-8.37%2.64亿67.55%2.22亿17,676.08%3.74亿12,820.14%3.03亿12,820.14%3.03亿3,230.68%2.88亿
总资产 -25.83%36.96亿-28.87%38.29亿-24.00%42.14亿-24.00%42.14亿-21.30%44.57亿-7.62%49.84亿-2.38%53.84亿6.27%55.45亿6.27%55.45亿8.90%56.64亿
负债
应付款项 -9.63%3,197.7万-7.12%3,301.9万-4.81%3,430万-4.81%3,430万7.02%3,457.1万3.88%3,538.6万26.41%3,554.9万10.91%3,603.4万10.91%3,603.4万20.87%3,230.4万
-应付账款 -31.84%713.5万-16.01%886.6万-7.72%1,022.5万-7.72%1,022.5万31.46%1,010.5万143.44%1,046.8万222.91%1,055.6万306.90%1,108万306.90%1,108万188.88%768.7万
-应付股利 4.37%1,979.8万1.01%1,916.6万1.01%1,916.2万1.01%1,916.2万1.12%1,892.1万1.30%1,896.9万1.46%1,897.4万-21.47%1,897万-21.47%1,897万0.63%1,871.1万
-应付关联方款项 -15.21%504.4万-17.15%498.7万-17.90%491.3万-17.90%491.3万-6.11%554.5万-46.11%594.9万-2.18%601.9万6.69%598.4万6.69%598.4万7.91%590.6万
短期应计费用 -54.91%1,539.2万-36.47%1,712.1万-41.96%1,458.7万-41.96%1,458.7万60.00%3,885.4万92.61%3,413.6万97.29%2,694.8万117.35%2,513.2万117.35%2,513.2万86.52%2,428.3万
长期借款和租赁负债 -31.67%25.24亿-33.72%26.57亿-26.95%30.39亿-26.95%30.39亿-24.51%32.45亿-5.31%36.93亿0.15%40.09亿12.21%41.61亿12.21%41.61亿15.73%42.99亿
-长期借款 -31.67%25.24亿-33.72%26.57亿-26.95%30.39亿-26.95%30.39亿-24.51%32.45亿-5.31%36.93亿0.15%40.09亿12.21%41.61亿12.21%41.61亿15.73%42.99亿
非流动递延负债 -13.83%133.3万-64.77%96.4万-12.20%128.1万-12.20%128.1万-39.32%100.3万45.39%154.7万53.36%273.6万6.81%145.9万6.81%145.9万76.98%165.3万
总负债 -31.66%25.72亿-33.53%27.08亿-26.84%30.9亿-26.84%30.9亿-23.81%33.2亿-4.78%37.64亿0.68%40.75亿12.52%42.23亿12.52%42.23亿16.02%43.57亿
所有者权益
股本 4.71%8.9万1.18%8.6万0.00%8.5万0.00%8.5万0.00%8.5万0.00%8.5万0.00%8.5万0.00%8.5万0.00%8.5万0.00%8.5万
-普通股股本 5.19%8.1万1.30%7.8万0.00%7.7万0.00%7.7万0.00%7.7万0.00%7.7万0.00%7.7万0.00%7.7万0.00%7.7万0.00%7.7万
-优先股股本 0.00%8,0000.00%8,0000.00%8,0000.00%8,0000.00%8,0000.00%8,0000.00%8,0000.00%8,0000.00%8,0000.00%8,000
资本公积 0.44%17.28亿0.46%17.27亿0.47%17.25亿0.47%17.25亿0.37%17.22亿0.35%17.21亿0.33%17.19亿0.30%17.17亿0.30%17.17亿0.30%17.15亿
留存收益 -20.56%-6.04亿-47.85%-6.06亿-51.96%-6亿-51.96%-6亿-42.83%-5.84亿-83.78%-5.01亿-67.03%-4.1亿-59.76%-3.95亿-59.76%-3.95亿-54.47%-4.09亿
股东权益总额 -7.82%11.24亿-14.37%11.21亿-14.92%11.25亿-14.92%11.25亿-12.93%11.37亿-15.42%12.2亿-10.82%13.09亿-9.74%13.22亿-9.74%13.22亿-9.62%13.06亿
总权益 -7.82%11.24亿-14.37%11.21亿-14.92%11.25亿-14.92%11.25亿-12.93%11.37亿-15.42%12.2亿-10.82%13.09亿-9.74%13.22亿-9.74%13.22亿-9.62%13.06亿
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 --------------无保留意见----

分析

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