TPG MORTGAGE INVESTMENT TRUST, INC.

MITP ·Real Estate, REIT - Diversified, United States
Financial Statements Cash Flow Statement
Annual Quarterly

Cash Flow Statement

Line Item FY2025 FY2024 FY2023 FY2022 FY2021 FY2020 FY2019 FY2018
Operating Activities
Net Income $48.7M $55.7M $53.8M $-53.1M $104.2M $-420.9M $92.9M $1.6M
Depreciation & Amortization $2.3M
Depreciation $1.1M
Amortization $1.2M
Stock-Based Compensation $712.0K $667.0K $380.0K $327.0K $320.0K $419.0K $399.0K $392.0K
Net Cash from Operating Activities $59.6M $55.8M $28.1M $22.5M $26.3M $4.2M $65.2M $78.0M
Investing Activities
Capital Expenditures
Business Acquisitions $0 $-6.2M $0
Net Cash from Investing Activities $-1.67B $-713.1M $-433.5M $-1.49B $-1.90B $2.19B $-747.0M $161.0M
Financing Activities
Dividends Paid $24.5M $18.0M $17.4M $19.4M $10.8M $14.7M $61.8M $55.3M
Stock Repurchases $0 $6.4M $18.2M $3.6M $0
Net Cash from Financing Activities $1.55B $670.3M $432.1M $1.47B $1.91B $-2.26B $722.7M $-207.5M
Net Change in Cash $-1.4M $37.9M $-62.9M $41.0M $31.5M
Free Cash Flow
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