TPG Inc. logo TPG - TPG Inc.

Price: -- -- | CONSENSUS: Buy DETAILS
STRONG
BUY
0
BUY 10
HOLD 7
SELL 0
STRONG
SELL
0
| PRICE TARGET: $59.88 DETAILS
HIGH: $80.00
LOW: $47.00
MEDIAN: $59.00
CONSENSUS: $59.88
UPSIDE: 43.87%
Metric 2025 2024 2023 2022 2021 2020 2019 2018
Revenue
Revenue 4,667.4 2,623.4 1,855.8 1,504.5 5,581.6 2,266.3 2,154.6 1,584.2
Cost of Revenue 144.5 87.5 38.5 21.6 17.0 19.7 17.8 11.4
Gross Profit 4,522.8 2,535.9 1,817.3 1,482.9 5,564.6 2,246.6 2,136.8 1,572.7
Operating Expenses
R&D Expenses 0 0 0 0 0 0 0 0
SG&A Expenses 702.2 583.7 483.6 372.2 298.6 268.0 356.7 360.6
Other Expenses 3,135.6 1,977.0 1,250.0 1,134.4 600.9 529.9 594.0 493.0
Operating Expenses 3,837.8 2,560.8 1,733.6 1,506.6 899.5 797.8 950.7 853.7
Operating Income
Operating Income 685.1 (24.8) 83.7 (23.8) 4,665.0 1,448.7 1,186.1 719.1
Interest Expense 0 87.5 38.5 21.6 17.0 19.7 17.8 11.4
Interest Income 93.6 82.7 42.6 9.2 6.5 8.1 19.0 11.7
Profitability
EBITDA 825.5 110.6 131.3 9.2 4,686.3 1,455.8 1,195.4 730.3
EBIT 687.9 (24.8) 83.7 (23.8) 4,665.0 1,448.7 1,186.1 719.1
Income Before Tax 666.6 (24.8) 83.7 (23.8) 4,665.0 1,448.7 1,186.1 719.1
Income Tax Expense 67.0 52.1 60.3 32.5 9.0 9.8 5.7 8.2
Net Income 184.6 23.5 80.1 92.4 2,180.9 927.6 480.5 264.5
Per Share Data
EPS (Basic) 1.33 0.23 0.89 1.10 65.75 20.84 17.10 3.42
EPS (Diluted) 1.21 0.06 0.22 -0.19 65.75 20.84 17.10 3.42
Shares Outstanding 138.9 100.2 80.3 79.3 70.8 69.0 69.0 69.0
Metric 2025 2024 2023 2022 2021 2020 2019
Current Assets
Cash & Cash Equivalents 826.1 808.0 665.2 1,112.6 978.1 861.9 655.4
Short-Term Investments 0 0 0 0 0 0 0
Net Receivables 0 447.0 419.0 202.6 185.3 220.1 485.1
Inventory 0 0 0 0 0 0 0
Other Current Assets 0 0 0 0 0 0 0
Total Current Assets 826.1 1,328.5 1,140.6 1,339.0 1,187.4 1,106.7 1,163.4
Non-Current Assets
Property, Plant & Equipment 0 298.0 309.3 154.4 183.8 213.6 243.0
Goodwill 0 436.1 436.1 230.2 230.2 26.5 26.5
Intangible Assets 1,158.0 533.7 649.5 136.2 164.6 1.1 1.2
Long-Term Investments 9,211.8 7,302.3 6,640.6 5,329.9 6,109.0 4,789.6 4,013.2
Other Non-Current Assets 2,297.0 283.6 169.5 752.0 1,087.0 863.0 62.1
Total Non-Current Assets 12,666.8 9,206.7 8,229.1 6,602.7 7,774.6 5,893.9 4,346.0
Total Assets 13,492.9 10,535.1 9,369.7 7,941.7 8,962.0 7,000.6 5,509.4
Current Liabilities
Account Payables 0 45.6 42.6 44.2 134.4 72.0 71.5
Short-Term Debt 0 0 0 0 0 0 0
Deferred Revenue 0 0 0 0 0 0 0
Other Current Liabilities 5,399.8 0 0 0 0 0 0
Total Current Liabilities 5,399.8 45.6 42.6 44.2 134.4 72.0 71.5
Non-Current Liabilities
Long-Term Debt 1,722.5 1,583.3 1,263.9 592.5 621.4 490.6 462.3
Deferred Tax Liabilities 0 0 0 0 0 0 0
Other Non-Current Liabilities (1,722.5) 5,314.2 4,702.0 4,219.2 944.8 917.3 719.6
Total Non-Current Liabilities 0 6,897.5 5,966.0 4,811.7 1,566.2 1,407.9 1,181.9
Total Liabilities 9,356.6 6,943.1 6,008.5 4,855.9 1,700.6 1,479.8 1,253.5
Stockholders' Equity
Common Stock 1,185.2 0.4 0.4 0.3 0 2,460.9 2,018.0
Retained Earnings 0 (187.0) (34.7) 2.7 0 0 0
Accumulated Other Comprehensive Income 0 0 0 0 0 0 0
Total Stockholders' Equity 1,185.2 784.1 579.2 509.7 1,606.6 2,460.9 2,018.0
Total Liabilities & Equity 13,492.9 10,535.1 9,369.7 7,941.7 8,962.0 7,000.6 5,509.4
Debt Metrics
Total Debt 1,722.5 1,583.3 1,263.9 592.5 621.4 490.6 462.3
Net Debt 896.4 775.3 598.7 (520.1) (356.7) (371.3) (193.1)
Metric 2025 2024 2023 2022 2021 2020 2019 2018
Operating Activities
Net Income 599.6 (76.9) 71.2 (56.2) 4,656.0 1,438.9 1,180.4 710.9
Depreciation & Amortization 144.5 135.4 47.7 33.0 45.1 7.7 9.3 11.2
Stock-Based Compensation 0 0 654.9 634.8 0 0 0 0
Change in Working Capital (936.5) (720.6) (288.0) 1,016.4 1,360.0 (676.2) 700.7 858.5
Other Non-Cash Items 1,224.8 1,194.3 234.7 (252.1) (4,586.3) (675.1) (1,062.3) (705.6)
Operating Cash Flow 1,032.4 532.1 720.5 1,375.9 1,474.8 95.4 828.1 874.9
Investing Activities
Capital Expenditure (28.8) (28.1) (16.7) (2.4) (1.8) (115.5) (8.2) (4.6)
Acquisitions (235.2) (16.3) (356.8) 0 24.8 (7.5) 0 0
Purchases of Investments 0 (862.8) (303.1) (109.1) 0 (2.1) (105.4) (162.2)
Sales/Maturities of Investments 0 1,083.8 324.9 0 0 9.5 130.9 152.3
Other Investing Activities 0 (220.9) (21.8) 108.5 (60.8) 7.5 0 (21.8)
Investing Cash Flow (264.0) (44.5) (373.6) (3.0) (37.7) (108.1) 17.4 (36.3)
Financing Activities
Net Debt Issuance 448 351 501 0 150 50 50 221.9
Stock Repurchased 0 (67.7) (661.0) (352.0) (304.8) 0 0 0
Dividends Paid (1,229.0) (832.5) (643.2) (662.8) (1,066.7) (298.6) (248.3) (214.9)
Other Financing Activities 30.7 204.3 14.0 (223.3) (1,036.1) (301.1) (677.1) (643.4)
Financing Cash Flow (750.4) (344.9) (789.2) (1,238.1) (1,322.6) 250.3 (825.4) (436.4)
Cash Position
Net Change in Cash 18.1 142.8 (442.3) 134.8 114.5 237.6 20.1 402.2
Cash at Beginning 821.2 678.4 1,120.7 985.9 871.4 633.7 613.6 211.4
Cash at End 839.3 821.2 678.4 1,120.7 985.9 871.4 633.7 613.6
Free Cash Flow 1,003.6 504.0 703.8 1,373.4 1,473.0 (20.2) 820.0 870.3
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018
Income Statement
Revenue 4,667.4 2,623.4 1,855.8 1,504.5 5,581.6 2,266.3 2,154.6 1,584.2
Gross Profit 4,522.8 2,535.9 1,817.3 1,482.9 5,564.6 2,246.6 2,136.8 1,572.7
Operating Income 685.1 (24.8) 83.7 (23.8) 4,665.0 1,448.7 1,186.1 719.1
Net Income 184.6 23.5 80.1 92.4 2,180.9 927.6 480.5 264.5
EPS (Diluted) 1.21 0.06 0.22 -0.19 65.75 20.84 17.10 3.42
Balance Sheet
Cash & Equivalents 826.1 808.0 665.2 1,112.6 978.1 861.9 655.4
Total Assets 13,492.9 10,535.1 9,369.7 7,941.7 8,962.0 7,000.6 5,509.4
Total Debt 1,722.5 1,583.3 1,263.9 592.5 621.4 490.6 462.3
Stockholders' Equity 1,185.2 784.1 579.2 509.7 1,606.6 2,460.9 2,018.0
Cash Flow
Operating Cash Flow 1,032.4 532.1 720.5 1,375.9 1,474.8 95.4 828.1 874.9
Capital Expenditure (28.8) (28.1) (16.7) (2.4) (1.8) (115.5) (8.2) (4.6)
Free Cash Flow 1,003.6 504.0 703.8 1,373.4 1,473.0 (20.2) 820.0 870.3