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TPG RE Finance Trust, Inc.
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TRTXTPG RE Finance Trust, Inc. Q1 2020 · 10-Q
Revenue$43.62M$43.62M+15.8% vs Q1 2019 Net Income-$232.79M-$232.79MN/M vs Q1 2019 EPS Diluted-$3.05-$3.05N/M vs Q1 2019 Operating Cash Flow$37,526,000+44.1% The same fiscal quarter, prior years. Thaler holds no estimates to compare against.
TPG RE Finance Trust, Inc. · CIK 1630472 · Engraved from SEC EDGAR
Net margin-533.7%−609.1 pt vs Q1 2019
ended Mar 31, 2020 · filed May 11, 2020 · 41 d after period end