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TPG Mortgage Investment Trust Inc 9.500% Senior Notes due 2029
MITN

MITN TPG Mortgage Investment Trust Inc 9.500% Senior Notes due 2029

TPG Mortgage Investment Trust Inc 9.500% Senior Notes due 2029 · NYSE
Market Closed
25.46
▲ ⁦+0.00%⁩ (0.00)
Market Cap$809.7M
Beta0.07
52w Low52w High
24.5526.00
Last Week
⁦+0.35%⁩
Last Month
⁦+0.39%⁩
Last 3 Months
⁦+0.91%⁩
Last Year
⁦+0.20%⁩
EL7 Factor Analysis
How we score this
Overall66
Strong — clearly above market medianSuper StockF 3/8DistressBetter than 66% of Market stocks, per EL7's model
FactorScoreDistributionValueAvgRank
▸
Valuation
63
18.4x▼17.8xAround median
▸
Growth
68
46.2%▲7.1%Top tier
▸
Quality
67
7.7%▲4.5%Top tier
▸
Safety
23
11.3x▼2.6xBottom tier
▸
Capital Return
87
3.61%▲2.12%Top tier
▸
Momentum
64
-0.3%▼2.9%Around median
▸
Sentiment
2
1▼3Bottom tier

Frequently Asked Questions

What is TPG Mortgage Investment Trust Inc 9.500% Senior Notes due 2029 stock?▼

TPG Mortgage Investment Trust Inc 9.500% Senior Notes due 2029 is a publicly traded stock representing ownership in the company, giving holders rights to dividends and voting.

How can I invest in TPG Mortgage Investment Trust Inc 9.500% Senior Notes due 2029?▼

You can buy TPG Mortgage Investment Trust Inc 9.500% Senior Notes due 2029 shares through a licensed brokerage. Research the company's financials before investing.

What are the key metrics for evaluating TPG Mortgage Investment Trust Inc 9.500% Senior Notes due 2029?▼

Key metrics include Price-to-Earnings (P/E) ratio, Return on Equity (ROE), revenue growth, and net profit margin.

Does TPG Mortgage Investment Trust Inc 9.500% Senior Notes due 2029 pay dividends?▼

Dividend policies vary by company. Check the dividends section on the stock page for the payout history.

What are the risks of investing in TPG Mortgage Investment Trust Inc 9.500% Senior Notes due 2029?▼

Risks include market volatility, sector-specific risks, regulatory changes, and company financial performance. Diversification helps reduce risk.

Fair Value
Low confidenceCurrent price$25
Analyst target
No data
vs
DCF (estimate)
$-160.27
⁦-730%⁩
Sees it clearly overvalued
⁦7.9⁩% discount · ⁦0⁩% growth

Estimates — analyst targets and a simplified DCF, not investment advice.

Compare in the screener

AI analysis from the earnings call, financials and news

Premium content
Key Financials

Ten ratios that matter, each compared against its sector median and average — so you can see whether a number is rich or cheap relative to peers in the same sector.

StockSector medianSector averagetypical sector range
MetricValuePosition within sectorVerdict
  • P/E (TTM)
    18.42x
    5.03x40.26x
    Cheap
  • Forward P/E
    21.33x
    5.89x47.13x
    Cheap
  • EV / EBITDA
    13.07x
    3.68x29.40x
    Cheap
  • FCF Yield
    10.5%
    -23.1%16.7%
    Strong
  • Revenue Growth YoY
    46.2%
    -14.0%37.7%
    Exceptional
  • EPS Growth YoY
    -11.6%
    -121.8%181.8%
    Near median
  • Gross Margin
    —
    —
  • ROIC
    7.7%
    -4.2%9.5%
    Strong
  • Net Debt / EBITDA
    11.28x
    1.55x12.39x
    Above average
  • Dividend Yield
    3.6%
    0.6%15.6%
    Low
  • Payout Ratio
    63.3%
    31.2%370.0%
    Low
  • Altman Z-Score
    0.27
    -0.883.10
    Below average
Financial Analysis
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