Symbols / MITT Stock $8.01 -0.93% TPG Mortgage Investment Trust, Inc.

Real Estate • REIT - Mortgage • United States • NYQ
MITT (Stock) Chart
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About

TPG Mortgage Investment Trust, Inc. operates as a residential mortgage real estate investment trust in the United States. Its investment portfolio comprises residential investments, such as non-agency loans, agency-eligible loans, home equity loans, re-and non-performing loans, and non-agency residential mortgage-backed securities, as well as commercial loans and commercial mortgage-backed securities. The company qualifies as a real estate investment trust for federal income tax purposes. It generally would not be subject to federal corporate income taxes if it distributes at least 90% of its taxable income to its stockholders. TPG Mortgage Investment Trust, Inc. was formerly known as AG Mortgage Investment Trust, Inc. and changed its name to TPG Mortgage Investment Trust, Inc. in December 2025. The company was incorporated in 2011 and is based in New York, New York. TPG Mortgage Investment Trust, Inc. operates as a subsidiary of TPG Inc.

Stock Fundamentals
Scroll to Statements
Market Cap 254.04M Enterprise Value 8.52B Income 27.43M Sales 89.75M Book/sh 10.72 Cash/sh 1.83
Dividend Yield 11.88% Payout 94.44% Employees IPO P/E 8.89 Forward P/E 6.57
PEG P/S 2.83 P/B 0.75 P/C EV/EBITDA EV/Sales 94.93
Quick Ratio 9.54 Current Ratio 9.56 Debt/Eq 1444.67 LT Debt/Eq EPS (ttm) 0.90 EPS next Y 1.22
EPS Growth -15.50% Revenue Growth 9.40% Earnings 2026-04-29 ROA 0.62% ROE 8.81% ROIC
Gross Margin 87.94% Oper. Margin 80.30% Profit Margin 54.23% Shs Outstand 31.74M Shs Float 30.70M Short Float 0.03%
Short Ratio 0.02 Short Interest 52W High 9.27 52W Low 6.12 Beta 1.74 Avg Volume 283.44K
Volume 28.04K Target Price $9.50 Recom Buy Prev Close $8.08 Price $8.01 Change -0.93%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
$9.50
Mean price target
2. Current target
$8.01
Latest analyst target
3. DCF / Fair value
$13.50
Fallback: EPS × 15 (assumed fair P/E). No FCF data; use with …
Ratings
Current target
$8.01
Low
$9.00
High
$10.25
Mean
$9.50

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-02-17 main Jones Trading Buy → Buy $9
2026-01-22 main Citizens Market Outperform → Market Outperform $9
2025-12-22 main Piper Sandler Overweight → Overweight $10
2025-12-18 main Keefe, Bruyette & Woods Market Perform → Market Perform $9
2025-11-04 main Jones Trading Buy → Buy $9
2025-09-03 main UBS Buy → Buy $9
2025-08-04 main Piper Sandler Overweight → Overweight $9
2025-08-01 main Jones Trading Buy → Buy $8
2025-07-10 main UBS Buy → Buy $9
2025-07-10 main Keefe, Bruyette & Woods Market Perform → Market Perform $9
2025-05-06 main Jones Trading Buy → Buy $8
2025-04-17 main Jones Trading Buy → Buy $8
2025-03-03 main Jones Trading Buy → Buy $9
2025-01-23 reit JMP Securities Market Outperform → Market Outperform $9
2024-11-05 main Jones Trading Buy → Buy $8
2024-08-05 main Jones Trading Buy → Buy $8
2024-07-26 init Piper Sandler — → Overweight $9
2024-07-19 main JMP Securities Market Outperform → Market Outperform $9
2024-06-17 main Keefe, Bruyette & Woods Market Perform → Market Perform $8
2024-05-30 main JMP Securities Market Outperform → Market Outperform $8
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-04-01 HESS DEBRA ANN Director 3,819 $0.00 $0
2026-04-01 MITCHELL M CHRISTIAN Director 2,777 $0.00 $0
2026-04-01 HURLEY DIANNE Director 2,777 $0.00 $0
2026-04-01 JOZOFF MATTHEW Director 2,777 $0.00 $0
2026-01-02 HESS DEBRA ANN Director 3,201 $0.00 $0
2026-01-02 MITCHELL M CHRISTIAN Director 2,328 $0.00 $0
2026-01-02 HURLEY DIANNE Director 2,328 $0.00 $0
2026-01-02 JOZOFF MATTHEW Director 2,328 $0.00 $0
2025-10-01 HESS DEBRA ANN Director 3,777 $0.00 $0
2025-10-01 MITCHELL M CHRISTIAN Director 2,747 $0.00 $0
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
75.67
+0.47%
75.32
+37.15%
54.92
+841.66%
-7.41
Operating Revenue
75.67
+0.47%
75.32
+37.15%
54.92
+841.66%
-7.41
Selling General And Administration
2.14
-11.53%
2.42
+32.17%
1.83
-4.49%
1.92
General And Administrative Expense
2.14
-11.53%
2.42
+32.17%
1.83
-4.49%
1.92
Salaries And Wages
1.12
-3.70%
1.16
+56.11%
0.74
+9.40%
0.68
Other Gand A
8.10
Total Unusual Items
-7.30
-130.88%
-3.16
-116.55%
19.11
+216.03%
-16.47
Total Unusual Items Excluding Goodwill
-7.30
-130.88%
-3.16
-116.55%
19.11
+216.03%
-16.47
Special Income Charges
-7.30
-130.88%
-3.16
-116.55%
19.11
+216.03%
-16.47
Restructuring And Mergern Acquisition
7.30
+130.88%
3.16
+116.55%
-19.11
-216.03%
16.47
Net Income
48.67
-12.68%
55.74
+3.63%
53.78
+201.29%
-53.10
Pretax Income
49.56
-11.27%
55.85
+1.22%
55.17
+228.78%
-42.84
Net Interest Income
76.53
+16.15%
65.89
+37.77%
47.83
-22.08%
61.38
Interest Expense
403.80
+17.86%
342.60
+61.22%
212.50
+78.69%
118.92
Interest Income
480.33
+17.59%
408.50
+56.91%
260.33
+44.38%
180.30
Gain On Sale Of Security
-160.70
-525.13%
-25.71
+69.36%
-83.90
-117.42%
481.78
Tax Provision
0.89
+692.86%
0.11
Tax Rate For Calcs
0.00
+797.76%
0.00
-99.05%
0.00
0.00
Tax Effect Of Unusual Items
-0.13
-1972.30%
-0.01
-100.16%
4.01
0.00
Net Income Including Noncontrolling Interests
48.67
-12.68%
55.74
+3.63%
53.78
+201.29%
-53.10
Net Income From Continuing Operation Net Minority Interest
48.67
-12.68%
55.74
+3.63%
53.78
+201.29%
-53.10
Net Income From Continuing And Discontinued Operation
48.67
-12.68%
55.74
+3.63%
53.78
+201.29%
-53.10
Net Income Continuous Operations
48.67
-12.68%
55.74
+3.63%
53.78
+201.29%
-53.10
Net Income Discontinuous Operations
Normalized Income
55.84
-5.18%
58.89
+52.25%
38.68
+205.62%
-36.63
Net Income Common Stockholders
27.43
-24.62%
36.38
+2.66%
35.44
+149.61%
-71.44
Otherunder Preferred Stock Dividend
Diluted EPS
0.90
-26.83%
1.23
-26.79%
1.68
+153.85%
-3.12
Basic EPS
0.90
-26.83%
1.23
-26.79%
1.68
+153.85%
-3.12
Basic Average Shares
30.54
+3.58%
29.49
+39.78%
21.09
-7.84%
22.89
Diluted Average Shares
30.56
+3.55%
29.51
+39.90%
21.10
-7.83%
22.89
Diluted NI Availto Com Stockholders
27.43
-24.62%
36.38
+2.66%
35.44
+149.61%
-71.44
Earnings From Equity Interest Net Of Tax
3.14
+325.97%
-1.39
+86.45%
-10.26
Insurance And Claims
1.02
-18.77%
1.26
+15.75%
1.09
-12.14%
1.24
Other Non Interest Expense
17.91
+16.02%
15.43
+4.01%
14.84
-1.43%
15.05
Preferred Stock Dividends
21.24
+9.76%
19.35
+5.50%
18.34
+0.00%
18.34
Professional Expense And Contract Services Expense
1.59
-0.63%
1.60
-27.11%
2.19
+9.93%
1.99
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Assets
8,711.53
+26.01%
6,913.61
+12.85%
6,126.43
+40.20%
4,369.78
Cash And Cash Equivalents
57.83
-51.26%
118.66
+6.39%
111.53
+31.80%
84.62
Receivables
49.10
+40.57%
34.93
+14.28%
30.56
+42.86%
21.39
Accounts Receivable
47.87
+37.04%
34.93
+15.22%
30.32
+47.21%
20.59
Other Receivables
1.23
0.25
-68.91%
0.80
Goodwill And Other Intangible Assets
Investments And Advances
89.74
+8.37%
82.81
+31.84%
62.81
-14.11%
73.13
Long Term Equity Investment
61.33
+30.94%
46.84
-14.99%
55.10
-22.46%
71.06
Total Liabilities Net Minority Interest
8,150.80
+27.95%
6,370.19
+13.79%
5,598.06
+43.28%
3,906.98
Payables And Accrued Expenses
50.02
+24.90%
40.05
+19.52%
33.51
+43.02%
23.43
Payables
48.19
+25.64%
38.35
+33.93%
28.64
+32.45%
21.62
Accounts Payable
36.04
+27.16%
28.34
+18.53%
23.91
+69.33%
14.12
Other Payable
Dividends Payable
7.30
+29.63%
5.63
+282.61%
1.47
-61.73%
3.85
Current Accrued Expenses
1.84
+8.13%
1.70
-65.16%
4.87
+169.13%
1.81
Total Tax Payable
0.26
+156.31%
0.10
Income Tax Payable
0.26
+156.31%
0.10
Long Term Debt And Capital Lease Obligation
8,100.77
+27.98%
6,329.80
+13.75%
5,564.48
+43.28%
3,883.54
Long Term Debt
8,100.77
+27.98%
6,329.80
+13.75%
5,564.48
+43.28%
3,883.54
Stockholders Equity
560.73
+3.19%
543.42
+2.85%
528.37
+14.17%
462.80
Common Stock Equity
340.26
+5.36%
322.95
+4.89%
307.90
+27.06%
242.33
Capital Stock
220.79
+0.01%
220.77
+0.00%
220.77
+0.04%
220.68
Common Stock
0.32
+7.09%
0.30
+0.68%
0.29
+38.68%
0.21
Preferred Stock
220.47
+0.00%
220.47
+0.00%
220.47
+0.00%
220.47
Share Issued
31.74
+7.10%
29.64
+0.69%
29.44
+38.31%
21.28
Ordinary Shares Number
31.74
+7.10%
29.64
+0.69%
29.44
+38.31%
21.28
Additional Paid In Capital
840.40
+1.94%
824.38
+0.08%
823.72
+5.79%
778.61
Retained Earnings
-500.46
+0.25%
-501.73
+2.79%
-516.11
+3.80%
-536.49
Total Equity Gross Minority Interest
560.73
+3.19%
543.42
+2.85%
528.37
+14.17%
462.80
Total Capitalization
8,661.51
+26.02%
6,873.22
+12.81%
6,092.85
+40.18%
4,346.34
Invested Capital
8,441.04
+26.88%
6,652.75
+13.29%
5,872.38
+42.33%
4,125.87
Total Debt
8,100.77
+27.98%
6,329.80
+13.75%
5,564.48
+43.28%
3,883.54
Net Debt
8,042.94
+29.49%
6,211.13
+13.90%
5,452.95
+43.54%
3,798.92
Net Tangible Assets
560.73
+3.19%
543.42
+2.85%
528.37
+14.17%
462.80
Tangible Book Value
340.26
+5.36%
322.95
+4.89%
307.90
+27.06%
242.33
Available For Sale Securities
28.41
-21.01%
35.97
+366.74%
7.71
+272.99%
2.07
Cash Cash Equivalents And Federal Funds Sold
76.32
-44.92%
138.57
+10.35%
125.57
+27.09%
98.80
Derivative Product Liabilities
0.00
-100.00%
0.34
+385.71%
0.07
+677.78%
0.01
Preferred Shares Number
9.12
+0.00%
9.12
+0.00%
9.12
+0.00%
9.12
Preferred Stock Equity
220.47
+0.00%
220.47
+0.00%
220.47
+0.00%
220.47
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
59.57
+6.68%
55.84
+98.48%
28.13
+24.93%
22.52
Cash Flow From Continuing Operating Activities
59.57
+6.68%
55.84
+98.48%
28.13
+24.93%
22.52
Cash From Discontinued Operating Activities
Net Income From Continuing Operations
48.67
-12.68%
55.74
+3.63%
53.78
+201.29%
-53.10
Other Non Cash Items
-15.96
-185.70%
-5.59
+89.22%
-51.82
-136.82%
140.74
Stock Based Compensation
0.71
+6.75%
0.67
+75.53%
0.38
+16.21%
0.33
Operating Gains Losses
14.51
+232.35%
-10.96
-160.38%
18.16
+126.31%
-69.01
Gain Loss On Investment Securities
-0.55
+95.68%
-12.71
-915.79%
1.56
-95.48%
34.50
Unrealized Gain Loss On Investment Securities
-11.14
-1387.86%
0.86
+124.89%
-3.48
-15.45%
-3.01
Net Foreign Currency Exchange Gain Loss
Change In Working Capital
-0.19
-104.23%
4.40
+101.97%
2.18
+97.46%
1.10
Change In Other Current Assets
4.67
-54.19%
10.20
+366.56%
2.19
+132.19%
-6.79
Change In Other Current Liabilities
-4.86
+16.24%
-5.80
-72400.00%
-0.01
-100.10%
7.89
Investing Cash Flow
-1,667.26
-133.79%
-713.13
-64.50%
-433.50
+70.91%
-1,490.35
Cash Flow From Continuing Investing Activities
-1,667.26
-133.79%
-713.13
-64.50%
-433.50
+70.91%
-1,490.35
Net Investment Purchase And Sale
-57.49
-54.08%
-37.31
-370.47%
13.80
-97.54%
561.07
Purchase Of Investment
-95.34
+85.70%
-666.54
-126.34%
-294.49
-171.27%
-108.56
Sale Of Investment
37.84
-93.99%
629.22
+104.11%
308.28
-53.96%
669.63
Net Intangibles Purchase And Sale
Net Other Investing Changes
6.01
+43.17%
4.20
-49.77%
8.35
+8509.28%
0.10
Financing Cash Flow
1,545.44
+130.56%
670.29
+55.11%
432.14
-70.53%
1,466.40
Cash Flow From Continuing Financing Activities
1,545.44
+130.56%
670.29
+55.11%
432.14
-70.53%
1,466.40
Net Issuance Payments Of Debt
1,591.51
+124.88%
707.73
+46.43%
483.31
-68.07%
1,513.68
Issuance Of Debt
2,883.22
+95.41%
1,475.49
+67.99%
878.30
-71.21%
3,050.23
Repayment Of Debt
-1,291.70
-68.24%
-767.77
-94.38%
-394.99
+74.29%
-1,536.55
Long Term Debt Issuance
2,883.22
+95.41%
1,475.49
+67.99%
878.30
-71.21%
3,050.23
Long Term Debt Payments
-1,291.70
-68.24%
-767.77
-94.38%
-394.99
+74.29%
-1,536.55
Net Long Term Debt Issuance
1,591.51
+124.88%
707.73
+46.43%
483.31
-68.07%
1,513.68
Net Common Stock Issuance
0.00
+100.00%
-6.35
+65.13%
-18.22
Common Stock Payments
0.00
+100.00%
-6.35
+65.13%
-18.22
Common Stock Dividend Paid
-24.46
-36.08%
-17.98
-3.10%
-17.44
+10.22%
-19.42
Cash Dividends Paid
-45.73
-22.97%
-37.19
-3.94%
-35.78
+5.25%
-37.77
Repurchase Of Capital Stock
0.00
+100.00%
-6.35
+65.13%
-18.22
Net Other Financing Charges
-0.34
-37.45%
-0.25
+97.22%
-9.04
-203.74%
8.71
Changes In Cash
-62.25
-579.01%
12.99
-51.46%
26.77
+1977.28%
-1.43
Effect Of Exchange Rate Changes
0.00
Beginning Cash Position
138.57
+10.35%
125.57
+27.09%
98.80
-1.42%
100.23
End Cash Position
76.32
-44.92%
138.57
+10.35%
125.57
+27.09%
98.80
Free Cash Flow
59.57
+6.68%
55.84
+98.48%
28.13
+24.93%
22.52
Interest Paid Supplemental Data
374.38
+21.44%
308.27
+62.06%
190.22
+85.58%
102.50
Income Tax Paid Supplemental Data
0.62
+338.30%
0.14
-38.96%
0.23
+26.23%
0.18
Common Stock Issuance
0.00
Dividends Received CFI
4.18
-62.06%
11.02
-47.24%
20.88
+25.95%
16.57
Earnings Losses From Equity Investments
-2.82
+10.19%
-3.14
-325.97%
1.39
-86.45%
10.26
Issuance Of Capital Stock
0.00
Preferred Stock Dividend Paid
-21.27
-10.70%
-19.21
-4.73%
-18.34
+0.00%
-18.34
Sale Of Intangibles
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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