CoverageForm 410-K10-Q8-K13D13G13F

TSLX · Sixth Street Specialty Lending, Inc. - Financials

Annual line items from SEC XBRL filings, sourced from EDGAR's Company Facts API with fallback to the quarterly Financial Statement Data Sets. See issuer overview for Form 4 activity and 10-K signals.

Price · TSLX

Income Statement

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Revenue------
Cost of Revenue------
Gross Profit------
R&D------
SG&A------
Total Operating Expenses-$260.03M$240.49M$117.27M$136.04M-
D&A------
Operating Income-$223.96M$198.76M$152.76M--
Interest Expense$101.00M$105.16M$133.73M$39.40M$38.83M-
Income Tax-$3.94M$2.37M$5.76M$384.0K-
Net Income$186.57M$186.57M$222.02M$178.11M--
EPS - Basic$1.81$2.03$2.61$2.65$2.93-
EPS - Diluted$1.81$2.03$2.61$2.65$2.79-

Balance Sheet

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Cash & Equivalents$19.66M$27.33M$25.20M$25.65M--
Accounts Receivable------
Inventory------
Accounts Payable------
Current Assets------
Total Assets$3.42B$3.58B$3.34B$2.84B--
Current Liabilities------
Long-term Debt$1.74B$1.90B$1.78B$1.44B--
Total Liabilities$1.81B$1.97B$1.85B$1.50B--
Stockholders' Equity$1.61B$1.61B$1.50B$1.12B$761.0K$1.03B
Retained Earnings$81.64M$97.71M$100.78M$56.46M--

Cash Flow

Line itemFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Operating Cash Flow$401.58M($45.49M)($236.79M)$145.07M$2.45M-
Investing Cash Flow------
Financing Cash Flow($409.24M)$47.62M$236.34M($145.94M)$241.0K-
CapEx------
Free Cash Flow------

Ratios

MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020
Profitability
Gross margin------
Operating margin------
EBITDA margin------
Net margin------
Free cash flow margin------
FCF / Net income------
R&D / Revenue------
SG&A / Revenue------
Effective tax rate-2.1%1.1%3.1%--
Return on assets5.5%5.2%6.6%6.3%--
Return on equity11.6%11.6%14.8%15.9%--
Return on invested capital-6.3%6.0%5.8%--
Liquidity
Current ratio------
Quick ratio------
Cash ratio------
Leverage
Debt / Equity1.081.181.191.29--
Debt / Assets0.510.530.530.51--
Debt / EBITDA------
Interest coverage-2.1x1.5x3.9x--
Equity multiplier2.132.232.232.53--
Liabilities / Assets0.530.550.550.53--
Efficiency
Asset turnover------
Inventory turnover------
Days sales outstanding------
Days inventory outstanding------
Days payable outstanding------
Cash conversion cycle------
Valuation
P / E12.0x10.5x8.3x6.7x8.4x-
P / B1.3x1.2x1.2x1.1x2388.2x-
P / S------
EV / EBITDA------
Growth
Revenue growth (YoY)------
Revenue CAGR (3y)------
Revenue CAGR (5y)------
Gross profit growth (YoY)------
Operating income growth (YoY)-12.7%30.1%---
Net income growth (YoY)0.0%-16.0%24.7%---
EPS growth (YoY)-10.8%-22.2%-1.5%-5.0%--
EPS CAGR (3y)-11.9%-10.1%----
EPS CAGR (5y)------
FCF growth (YoY)------
FCF CAGR (5y)------
Book value growth (YoY)0.0%7.4%33.7%146982.4%-99.9%-

Stability scores

Piotroski F-score

FY 2025 · 9-point quality

5/9
Neutral
  • Net income positive
  • Operating cash flow positive
  • ROA improved YoY
  • Cash flow > net income
  • Long-term debt decreased
  • -Current ratio improved
  • No share dilution
  • -Gross margin improved
  • -Asset turnover improved

Dividends

$1.93/share trailing 12 months · -7.2% YoY

Ex-datePer share
Mar 16, 2026$0.4600
Feb 27, 2026$0.0100
Dec 15, 2025$0.4600
Nov 28, 2025$0.0300
Sep 15, 2025$0.4600
Aug 29, 2025$0.0500
Jun 16, 2025$0.4600
May 30, 2025$0.0600
Mar 14, 2025$0.4600
Feb 28, 2025$0.0700
Dec 16, 2024$0.4600
Nov 29, 2024$0.0500
Sep 16, 2024$0.4600
Aug 30, 2024$0.0600
Jun 14, 2024$0.4600
May 31, 2024$0.0600
Mar 14, 2024$0.4600
Feb 28, 2024$0.0800
Dec 14, 2023$0.4600
Nov 29, 2023$0.0700
Sep 14, 2023$0.4600
Aug 30, 2023$0.0600
Jun 14, 2023$0.4600
May 30, 2023$0.0400

Cells marked with a small ◇ are sourced from SEC's bulk Financial Statement Data Sets, which can lose dimensional context (notably Revenue and Operating Income for issuers that report by segment). These cells will be replaced with authoritative values from the Company Facts API as the backfill completes.