Sixth Street Specialty Lending, Inc. (TSLX): Operating Cash Flow

Annual figures by period end, from SEC filings.

$401.58M
Year ended 2025-12-31
$103.45M
Trailing 12 months to 2026-06-30
+22.6%
5-year compound annual growth
2020-12-31: $145.07M2021-12-31: $2.45M2022-12-31: -$224.53M2023-12-31: -$236.79M2024-12-31: -$45.49M2025-12-31: $401.58M$401.58M
2020-12-31 Operating Cash Flow (USD) 2025-12-31
Period endedOperating Cash FlowChange YoYSource filing
2025-12-31$401.58Mn/m2026-02-12, From 2025-01-01
2024-12-31-$45.49Mn/m2026-02-12, From 2024-01-01
2023-12-31-$236.79Mn/m2026-02-12, From 2023-01-01
2022-12-31-$224.53Mn/m2025-02-13, From 2022-01-01
2021-12-31$2.45M-98.3%2024-02-15, From 2021-01-01
2020-12-31$145.07Mn/a2023-02-16, From 2020-01-01