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Annual · values202520242023202220212020
Operating Cash Flow1.03 B USD532.15 M USD720.52 M USD1.38 B USD1.47 B USD95.39 M USD
Depreciation & Amortization144.54 M USD135.39 M USD47.67 M USD32.99 M USD21.22 M USD7.14 M USD
Stock-Based Compensation
Capital Expenditures
Cash Flow from Investing-263.96 M USD-44.47 M USD-373.56 M USD-3.01 M USD-37.74 M USD-108.10 M USD
Cash Flow from Financing-750.36 M USD-344.86 M USD-789.23 M USD-1.24 B USD-1.32 B USD250.33 M USD
Dividends Paid
Stock Buybacks
Free Cash Flow

TPG Inc. is a leading global alternative asset manager offering diversified investment strategies across multiple platforms. It specializes in private equity through its Capital platform for large-scale control-oriented investments, Growth for growth equity and middle market private equity, Impact for investments targeting both societal and financial outcomes, Credit for global credit opportunities, Real Estate for thematic real estate investing, and Market Solutions for strategies addressing specific market needs. TPG Inc. provides investment management services to its funds, limited partners, separately managed accounts, and other vehicles, along with advisory, capital structuring, debt and equity arrangement, underwriting, and placement services. The firm caters to institutional investors and eligible individual investors via its Wealth Solutions, delivering institutional-quality private equity, real estate, and credit opportunities through collaboration with financial advisors. With a focus on innovation, sector knowledge, and organic growth, TPG Inc. operates investment and operations teams worldwide from its headquarters in Fort Worth, Texas, founded in 1992.