TPG Mortgage Investment Trust IncMITTNYSE
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Operating Cash Flow Growth Under PressureDecelerating
Percentile Rank49
3Y CAGR-45.5%
5Y CAGR-52.4%
Studio
Year-over-Year Change

Year-over-year operating cash flow growth rate

3Y CAGR
-45.5%/yr
Quarterly compound
5Y CAGR
-52.4%/yr
Recent acceleration
Percentile
P49
Within normal range
vs 5Y Ago
0x
Contraction
Streak
1 qtr
Consecutive declineDecelerating
PeriodValue
Q4 20257.46%
Q3 202550.89%
Q2 2025-3.99%
Q1 2025-23.37%
Q4 20248.11%
Q3 20245.45%
Q2 202414.70%
Q1 202419.55%
Q4 2023230.82%
Q3 2023-64.65%
Q2 202331.17%
Q1 202314.26%
Q4 202246.21%
Q3 2022-53.31%
Q2 202284.85%
Q1 2022-30.69%
Q4 2021-33.94%
Q3 2021190.94%
Q2 2021-47.52%
Q1 20210.57%
Q4 2020306.08%
Q3 202052.58%
Q2 2020-188.68%
Q1 2020-76.36%
Q4 2019161.20%
Q3 2019-0.18%
Q2 201924.02%
Q1 2019-53.49%
Q4 20184.94%
Q3 201861.07%
Q2 2018-50.25%
Q1 201817.49%
Q4 2017-12.06%
Q3 201735.34%
Q2 20177.72%
Q1 20178.50%
Q4 2016-19.47%
Q3 20163.83%
Q2 201624.15%
Q1 2016-18.77%