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TRINZTrinity Capital Inc. 7.875% Notes due 2029
$25.18$1.1B
Overview & Verdict
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HomeStocksTRINZQuarterly Balance Sheet

Trinity Capital Inc. 7.875% Notes due 2029 (TRINZ) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Trinity Capital Inc. 7.875% Notes due 2029 (TRINZ) quarterly balance sheet — complete assets, liabilities & equity history

TRINZ Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21
Total Current Assets37.7M38.14M28.93M025.01M00001.33B000000000
Cash & Short-Term Investments-------------------
Cash Only-------------------
Short-Term Investments-------------------
Accounts Receivable-------------------
Days Sales Outstanding20.0435.1331.7----------------
Inventory-------------------
Days Inventory Outstanding-------------------
Other Current Assets000-44.81M0-26.17M-26.68M-63.62M-28.72M1.31B-20.59M-27.53M-21.23M-20.58M-43.04M-21.83M-35.17M-52.29M-44.79M
Total Non-Current Assets0000000001.32B007.82M000000
Property, Plant & Equipment7.6M7.6M5M5.2M05.4M5.6M5.4M5.3M5.3M2.3M2.4M2.5M2.1M2.2M2.3M2.4M2.5M2.5M
Fixed Asset Turnover10.96x8.00x11.07x11.87x-14.32x8.73x9.00x9.77x12.79x18.97x7.93x17.90x14.85x16.93x10.15x34.49x12.42x8.98x
Goodwill0000000000000000000
Intangible Assets0000000000000000000
Long-Term Investments2.48B2.42B2.19B0000000000000000
Other Non-Current Assets-------------------
Total Assets2.56B2.48B2.25B2.05B1.86B1.77B1.73B1.51B1.41B1.31B1.15B1.19B1.12B1.13B1.1B1.09B965.94M937.12M727.41M
Asset Turnover0.03x0.02x0.03x0.03x0.04x0.04x0.03x0.03x0.04x0.04x0.04x0.02x0.04x0.03x0.03x0.02x0.09x0.04x0.03x
Asset Growth %37.61%40.03%29.52%35.84%31.75%35.34%50.73%26.6%25.5%16.38%4.94%9.07%16.29%20.2%50.78%----
Total Current Liabilities1.4M1.72M354K62.42M59.2M67.86M210.84M628K47.68M884K53.34M47.84M429K54.21M52.2M43.74M40.13M32.51M24.83M
Accounts Payable0000000000000000000
Days Payables Outstanding-------------------
Short-Term Debt1.4M1.72M354K718K982K1.31M152.83M628K743K884K144K288K429K383K94K208K339K484K56K
Deferred Revenue (Current)-------------------
Other Current Liabilities00061.71M58.22M66.55M58.02M046.93M053.19M47.55M-429K53.83M52.1M43.54M39.79M32.02M24.77M
Current Ratio26.89x22.15x81.73x-0.42x----1503.79x---------
Quick Ratio26.89x22.15x81.73x-0.42x----1503.79x---------
Cash Conversion Cycle-------------------
Total Non-Current Liabilities1.39B1.39B1.25B0000818.22M0692.55M00650.81M000000
Long-Term Debt1.35B1.3B1.18B1.05B958.95M877.67M760.09M764.86M729.3M639.61M525.73M656.85M607.47M610.59M559.72M585.73M499.04M455.35M300.36M
Capital Lease Obligations-------------------
Deferred Tax Liabilities-------------------
Other Non-Current Liabilities-------------------
Total Liabilities1.39B1.39B1.25B1.12B1.02B951.26M977.97M825.39M783.38M699.82M581.46M707.09M653.63M666.79M614.28M631.84M541.9M490.58M328.4M
Total Debt1.36B1.31B1.19B1.06B965.66M884.71M919.95M772.03M736.44M646.89M528.27M659.53M610.29M612.96M562.18M588.3M502.11M458.56M303.63M
Net Debt1.34B1.29B1.18B1.03B957.27M875.09M911.42M725.92M724.48M642.13M521.04M647.27M601.95M602.35M528.04M575.08M473.42M411.82M263.32M
Debt / Equity1.16x1.20x1.19x1.15x1.16x1.08x1.22x1.14x1.18x1.06x0.93x1.37x1.30x1.33x1.17x1.28x1.18x1.03x0.76x
Debt / EBITDA22.02x20.71x24.41x17.82x21.58x13.63x22.29x17.27x27.63x22.98x19.14x20.70x18.18x70.50x-15481.63x-7.47x9.40x
Net Debt / EBITDA21.70x20.40x24.21x17.38x21.39x13.48x22.09x16.24x27.18x22.81x18.88x20.31x17.93x69.28x-15133.58x-6.71x8.15x
Interest Coverage2.56x2.65x2.32x3.30x2.53x--------------
Total Equity1.17B1.09B998.26M923.57M833.39M822.98M756.79M680.04M626.32M611.16M569.46M482M469.67M459.65M482.46M458.34M424.04M446.53M399.01M
Equity Growth %39.94%32.93%31.91%35.81%33.06%34.66%32.9%41.09%33.35%32.96%18.03%5.16%10.76%2.94%20.92%----
Book Value per Share13.9414.2013.9714.0113.3212.9712.9612.5812.3812.7012.9912.1412.1213.0814.5814.8115.4716.4013.31
Total Shareholders' Equity1.17B1.09B998.26M923.57M833.39M822.98M756.79M680.04M626.32M611.16M569.46M482M469.67M459.65M482.46M458.34M424.04M446.53M399.01M
Common Stock88K82K75K70K64K62K58K52K49K46K43K37K36K35K35K31K28K27K27K
Retained Earnings-19.27M-6.43M-16.87M-6.27M-12.2M-6.71M-33.54M-28.54M-32.93M-22.63M-21.4M-14.87M-15.32M-20.92M-5.23M27.85M53.44M77.9M28.54M
Treasury Stock0000000000000000000
Accumulated OCI0000000000000000000
Minority Interest0000000000000000000