July 28, 2026 TPG RE Finance Trust Inc. Reports Q2 2026 Financial Results Amidst Market Volatility TPG RE Finance Trust Inc. reported a decline in net income to $9.4 million in Q2 2026 due to increased interest expenses amidst macroeconomic challenges. Despite this setback, the company maintains strong liquidity and strategic financing initiatives.
July 15, 2026 TPG RE Finance Trust Inc. Prepares for Q2 2026 Earnings Release TPG RE Finance Trust, Inc. will release its Q2 2026 earnings on July 28, followed by a conference call on July 29. Investors can expect detailed insights into the company's financial health.
June 12, 2026 TPG RE Finance Trust Inc. Declares Second Quarter Cash Dividend TPG RE Finance Trust, Inc. has declared a cash dividend of $0.24 per share for Q2 2026, benefiting common stockholders. The company focuses on commercial real estate financing and remains committed to delivering shareholder value despite economic uncertainties.
June 08, 2026 TPG RE Finance Trust Declares Cash Dividend for Series C Preferred Stock TPG RE Finance Trust has declared a cash dividend of $0.3906 per share on its Series C Cumulative Redeemable Preferred Stock for Q2 2026, signaling strong financial health. Despite recognizing economic uncertainties, the company remains focused on delivering value to investors.
April 28, 2026 TPG RE Finance Trust Inc. Reports Strong Q1 2026 Results Amid Market Volatility TPG RE Finance Trust Inc. reports impressive Q1 2026 results, with a net income surge to $15.2 million and a robust liquidity position. The company navigates market volatility effectively, focusing on sustainable growth and shareholder returns.
April 28, 2026 TPG RE Finance Trust Reports Strong First Quarter Performance Amid Strategic Adjustments TPG RE Finance Trust reported strong financial results for Q1 2026, with $15.2 million in net income and a stable loan portfolio. The company's strategic shift towards multifamily and industrial properties positions it well for future growth.
April 15, 2026 TPG RE Finance Trust Inc. Announces Upcoming Earnings Release and Conference Call TPG RE Finance Trust, Inc. will announce its Q1 2026 earnings on April 28, followed by a conference call on April 29 to discuss performance and strategy. Investors can access a replay of the call afterward.
March 13, 2026 TPG RE Finance Trust Inc. Declares Cash Dividend Amidst Economic Uncertainties TPG RE Finance Trust, Inc. has declared a cash dividend of $0.24 per share for Q1 2026, reflecting confidence in its financial health amidst economic uncertainties. The company emphasizes its commitment to shareholder value while navigating inflation and recession risks.
March 10, 2026 TPG RE Finance Trust Inc. Declares Cash Dividend for Series C Preferred Stock TPG RE Finance Trust, Inc. has declared a cash dividend of $0.3906 per share for its Series C Preferred Stock, payable on March 31, 2026. This decision underscores the company's commitment to shareholder value during uncertain economic times while acknowledging potential risks ahead.
February 17, 2026 TPG RE Finance Trust Reports Strong Operating Results for 2025 TPG RE Finance Trust, Inc. reported impressive results for 2025, originating $1.9 billion in loans and declaring a dividend yield of 11.1%. The company maintained a 100% performing loan portfolio and showcased strong liquidity, positioning itself well for future growth.
February 17, 2026 TPG RE Finance Trust Inc. Reports Strong Performance Amidst Market Volatility in 2025 TPG RE Finance Trust Inc. reported a resilient performance in 2025, despite macroeconomic challenges. The company increased loan originations significantly and maintained robust liquidity, demonstrating strategic agility amid market volatility.
February 04, 2026 TPG RE Finance Trust, Inc. Announces Key Financial Dates for 2025 Results TPG RE Finance Trust, Inc. has announced the release schedule for its Q4 and full year 2025 financial results, set for February 17, 2026. A conference call will follow on February 18, providing an opportunity for investors to analyze the results and ask questions. Replay options will also be available for those unable to attend the live session.
January 29, 2026 TPG RE Finance Trust Inc. Announces Tax Treatment of 2025 Dividends TPG RE Finance Trust, Inc. announces the tax treatment for 2025 dividends, detailing ordinary income classifications for common and Series C preferred stockholders. Shareholders are advised to consult tax advisors for implications on their tax filings.
December 12, 2025 TPG RE Finance Trust Inc. Declares Fourth Quarter Cash Dividend TPG RE Finance Trust, Inc. has declared a fourth-quarter cash dividend of $0.24 per share, set to be paid on January 23, 2026. This decision highlights the company's strong financial health and strategic management in the commercial real estate sector, despite potential future uncertainties.
December 09, 2025 TPG RE Finance Trust Declares Q4 Cash Dividend on Series C Preferred Stock TPG RE Finance Trust announced a cash dividend of $0.3906 per share for Q4 2025, demonstrating its commitment to investors. Shareholders can expect this payout on December 30, 2025, reflecting the company’s stable financial position despite market fluctuations.
October 28, 2025 TPG RE Finance Trust Reports Strong Third Quarter Results TPG RE Finance Trust reported strong third-quarter results for 2025, with net income of $18.4 million and over $670 million in loan commitments. The company's robust liquidity and ongoing share repurchase program highlight its strong investment momentum and future growth potential.
October 28, 2025 TPG RE Finance Trust Inc. Reports Solid Q3 2025 Results Amid Challenging Macroeconomic Conditions TPG RE Finance Trust Inc. reported solid Q3 2025 results with net income rising to $18.4 million. The company effectively managed its investment portfolio despite high interest rates and inflation, maintaining strong liquidity and shareholder returns.
October 27, 2025 TPG RE Finance Trust, Inc. Announces Major Commercial Real Estate CLO Pricing TPG RE Finance Trust, Inc. has successfully priced its TRTX 2025-FL7 CRE CLO at $1.1 billion, aimed at securing long-term financing and stability. The transaction, involving major financial institutions, highlights TRTX's strategic move to strengthen its investment portfolio during uncertain market conditions.
October 15, 2025 TPG RE Finance Trust Inc. Announces Third Quarter 2025 Earnings Release and Conference Call Details TPG RE Finance Trust will release its Q3 2025 earnings on October 28, alongside a conference call on October 29. Investors can expect insights into the company's financial performance amidst the evolving real estate market.
July 29, 2025 TPG RE Finance Trust Inc. Reports Q2 2025 Financial Results TPG RE Finance Trust Inc. reported improved Q2 2025 net income of $16.9 million amidst high interest rates and inflation. The firm originated $695.6 million in loans, maintaining a focus on risk management and shareholder returns.
April 29, 2025 TPG RE Finance Trust Inc. Reports Strong Q1 2025 Results Amid Economic Challenges TPG RE Finance Trust Inc. reports robust Q1 2025 results, including a net income increase to $10 million and strong cash reserves of $457.6 million. The company continues to navigate economic challenges while maintaining a focus on quality mortgage loans.
April 29, 2025 TPG RE Finance Trust, Inc. Reports Strong First Quarter Results for 2025 TPG RE Finance Trust, Inc. reported solid first-quarter results for 2025, showcasing net income of $10 million and a $0.24 dividend. The company emphasized its strong liquidity and strategic initiatives, including a major CRE CLO issuance and aggressive share repurchase strategy, setting the stage for future growth.
April 16, 2025 TPG RE Finance Trust Inc. Announces First Quarter 2025 Earnings Release TPG RE Finance Trust is set to release its Q1 2025 earnings on April 29, 2025, followed by a conference call on April 30. Investors will gain insights into the company's performance in the commercial real estate finance market.
March 31, 2025 TPG RE Finance Trust Inc. Closes $1.1 Billion Commercial Real Estate CLO TPG RE Finance Trust has closed its $1.1 billion CRE CLO, TRTX 2025-FL6, enhancing its financial stability and investment capacity in the commercial real estate market. The transaction features a 30-month reinvestment period and a competitive interest rate, positioning the company for future growth.
March 12, 2025 TPG RE Finance Trust Inc. Prices $1.1 Billion Commercial Real Estate CLO TPG RE Finance Trust, Inc. has successfully priced its $1.1 billion TRTX 2025-FL6 CLO, aimed at optimizing capital structure and boosting liquidity. The issuance is set to close around March 28, 2025, and demonstrates strong support from major financial partners.
March 11, 2025 TPG RE Finance Trust, Inc. Declares Q1 2025 Cash Dividend on Preferred Stock TPG RE Finance Trust, Inc. has declared a cash dividend of $0.3906 per share for its Series C Preferred Stock, with a payment date set for March 31, 2025. This decision underscores the company's stability and dedication to shareholder returns amid economic challenges.
March 06, 2025 SWOT Analysis of TPG RE Finance Trust Inc. in 2025 This SWOT analysis of TPG RE Finance Trust Inc. explores its market position, operational challenges, and growth opportunities in the commercial real estate finance sector for 2025. The company showcases significant strengths but faces threats that could impact its strategic flexibility and investment portfolio.
February 18, 2025 TPG RE Finance Trust Inc. Reports Strong Recovery in 2024 Annual Results TPG RE Finance Trust Inc. reported a strong recovery in 2024, achieving $59.66 million in net income and $108.3 million in net interest income. Despite facing challenges like rising interest rates, the company's diversified loan portfolio positions it well for future growth.
February 18, 2025 TPG RE Finance Trust Inc. Reports Robust Operating Results for 2024 TPG RE Finance Trust, Inc. reported impressive operating results for 2024, showcasing a GAAP net income of $59.7 million. The company maintained strong portfolio performance and declared substantial dividends, positioning itself for future growth in the real estate credit market.
February 05, 2025 TPG RE Finance Trust Inc. Announces Key Dates for Fourth Quarter and Full Year 2024 Earnings TPG RE Finance Trust, Inc. has announced the release date for its Q4 and full year 2024 financial results, set for February 18, 2025. A conference call will follow on February 19, 2025, to discuss the results, with replay options available.
October 29, 2024 TPG RE Finance Trust Inc. Q3 2024 Report: Navigating Challenges and Highlighting Resilience TPG RE Finance Trust Inc. reported its Q3 2024 results, revealing a net income of $18.7 million despite economic uncertainties. The company demonstrated growth in revenue and net interest income, alongside a strategic focus on loan management and liquidity.
July 30, 2024 TPG RE Finance Trust Inc. Reports Strong Q2 2024 Performance TPG RE Finance Trust Inc. reported impressive Q2 2024 financial results, with net income rising to $21 million driven by strong performance in its mortgage loan portfolio. The company maintains a robust liquidity position and proactive risk management, positioning itself well for future growth despite market challenges.
April 30, 2024 TPG RE Finance Trust Inc. Reports Strong Q1 2024 Financial Results TPG RE Finance Trust Inc. reported impressive Q1 2024 results, with net income increasing to $13.1 million. The firm focuses on strategic investments and robust asset management, positioning itself for future growth despite macroeconomic challenges.