TPG Pace Beneficial II Statistics Share Statistics TPG Pace Beneficial II has n/a
shares outstanding. The number of shares has increased by 0%
in one year.
Shares Outstanding n/a Shares Change (YoY) 0% Shares Change (QoQ) 0% Owned by Institutions (%) n/a Shares Floating 40M Failed to Deliver (FTD) Shares 10,697 FTD / Avg. Volume 7.25%
Short Selling Information The latest short interest is 8.72K, so 0% of the outstanding
shares have been sold short.
Short Interest 8.72K Short % of Shares Out n/a Short % of Float 0.02% Short Ratio (days to cover) 1
Valuation Ratios The PE ratio is -272.96 and the forward
PE ratio is null.
TPG Pace Beneficial II's PEG ratio is
-4.83.
PE Ratio -272.96 Forward PE n/a PS Ratio 0 Forward PS n/a PB Ratio 1.16 P/FCF Ratio -297.4 PEG Ratio -4.83
Financial Ratio History Enterprise Valuation Currently the Enterprise Value (EV) is not available for TPG Pace Beneficial II.
EV / Sales n/a EV / EBITDA n/a EV / EBIT n/a EV / FCF n/a
Financial Position The company has a current ratio of 0.04,
with a Debt / Equity ratio of 0.01.
Current Ratio 0.04 Quick Ratio 0.04 Debt / Equity 0.01 Debt / EBITDA -1.22 Debt / FCF -1.33 Interest Coverage 0
Financial Efficiency Return on Equity is n/a and Return on Invested Capital is n/a.
Return on Equity n/a Return on Assets n/a Return on Invested Capital n/a Revenue Per Employee n/a Profits Per Employee n/a Employee Count undefined Asset Turnover 0 Inventory Turnover n/a
Taxes Income Tax n/a Effective Tax Rate 0%
Stock Price Statistics The stock price has increased by 0% in the
last 52 weeks. The beta is 0, so TPG Pace Beneficial II's
price volatility has been lower than the market average.
Beta 0 52-Week Price Change n/a 50-Day Moving Average 9.95 200-Day Moving Average 9.85 Relative Strength Index (RSI) 58.73 Average Volume (20 Days) 147,486
Income Statement
Revenue n/a Gross Profit n/a Operating Income -1.64M Net Income -1.64M EBITDA -1.64M EBIT n/a Earnings Per Share (EPS) -0.04
Full Income Statement Balance Sheet The company has 515.68K in cash and 2M in
debt, giving a net cash position of -1.48M.
Cash & Cash Equivalents 515.68K Total Debt 2M Net Cash -1.48M Retained Earnings -15.42M Total Assets 400.62M Working Capital -15.42M
Full Balance Sheet Cash Flow In the last 12 months, operating cash flow was -1.5M
and capital expenditures 0, giving a free cash flow of -1.5M.
Operating Cash Flow -1.5M Capital Expenditures n/a Free Cash Flow -1.5M FCF Per Share -0.03
Full Cash Flow Statement Margins
Gross Margin n/a Operating Margin n/a Pretax Margin n/a Profit Margin n/a EBITDA Margin n/a EBIT Margin n/a FCF Margin n/a