Sixth Street Specialty Lending, Inc.
TSLXCIK 0001508655 · NYSE
- TPG Specialty Lending, Inc. (until 2020-06-05)
Revenue (TTM)
—
Q1 May 2026
Net Income (TTM)
$114.53M
−8.6% YoY
Q1 May 2026
EPS Diluted (TTM)
$1.22
−10.8% YoY
Q1 May 2026
Gross Margin
—
Q1 May 2026
Operating Margin
—
Q1 May 2026
Net Margin
—
Q1 May 2026
Free Cash Flow (TTM)
—
Q1 May 2026
Cash
$29.18M
Q1 May 2026
Total Debt
$1.8B
Q1 May 2026
Shares Outstanding
95.02M sh
Q1 May 2026
Revenue & Net Income
EPS (Diluted)
Cash Flow
Revenue Growth (YoY)
No data available for this metric.