TPG RE Finance Trust, Inc.
Cash Flow History
| Fiscal Year | Operating Cash Flow | Free Cash Flow | CapEx | Share-Based Compensation |
|---|---|---|---|---|
| FY2021 | $132.2M | $132.2M | — | $5.8M |
| FY2022 | $100.5M | $100.5M | — | $5.1M |
| FY2023 | $80.1M | $80.1M | — | $8.0M |
| FY2024 | $112.1M | $112.1M | — | $6.4M |
| FY2025 | $90.4M | $90.4M | — | $9.8M |