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Consolidated Statements of Financial Condition - USD ($)
Dec. 31, 2023
Dec. 31, 2022
Assets    
Cash and cash equivalents $ 665,188,000 $ 1,107,484,000
Restricted cash [1] 13,183,000 13,166,000
Due from affiliates $ 418,977,000 $ 202,639,000
Other receivable, after allowance for credit loss, related and nonrelated party status Related Party Related Party
Investments [1] $ 6,724,112,000 $ 5,329,868,000
Intangible assets 649,508,000 136,187,000
Goodwill 436,079,000 230,194,000
Other assets 462,625,000 263,011,000
Total assets 9,369,672,000 7,941,738,000
Liabilities    
Accounts payable and accrued expenses 171,796,000 98,171,000
Due to affiliates $ 143,175,000 $ 139,863,000
Accounts Payable, Related and Nonrelated Party Status [Extensible Enumeration] Related Party Related Party
Debt obligations [1] $ 945,052,000 $ 444,566,000
Accrued performance allocation compensation 4,096,052,000 3,269,889,000
Total liabilities 6,008,538,000 4,202,232,000
Commitments and contingencies (Note 17)
Redeemable equity attributable to consolidated Public SPACs [1] 0 653,635,000
Equity    
Preferred stock, $0.001 par value, 25,000,000 shares authorized (0 issued and outstanding as of December 31, 2023 and December 31, 2022) 0 0
Additional paid-in-capital 613,476,000 506,639,000
Retained (deficit) earnings (34,681,000) 2,724,000
Other non-controlling interests 2,781,977,000 2,576,199,000
Total equity 3,361,134,000 3,085,871,000
Total liabilities, redeemable equity and equity 9,369,672,000 7,941,738,000
Consolidated Entity, Excluding VIE    
Assets    
Cash and cash equivalents 665,188,000 1,107,484,000
Other assets 462,625,000 263,011,000
Liabilities    
Other liabilities 652,463,000 226,090,000
Variable Interest Entity, Not Primary Beneficiary    
Assets    
Cash and cash equivalents [1] 0 5,097,000
Other assets [1] 0 457,000
Assets held in Trust Accounts [1] 0 653,635,000
Liabilities    
Other liabilities [1] 0 236,000
Derivative liabilities [1] 0 667,000
Deferred underwriting [1] 0 22,750,000
Class A Common Stock    
Equity    
Common stock, value, issued 80,000 79,000
Class B Common Stock    
Equity    
Common stock, value, issued $ 282,000 $ 230,000
[1] The Company’s consolidated total assets and liabilities as of December 31, 2023 and December 31, 2022 include assets and liabilities of variable interest entities (“VIEs”). The assets can be used only to satisfy obligations of the VIEs, and the creditors of the VIEs have recourse only to these assets, and not to TPG Inc. These amounts include the assets and liabilities of consolidated Public SPACs, restricted cash, assets pledged of securitization vehicles, secured borrowings of securitization vehicles, and redeemable equity of consolidated Public SPACs. See Notes 2, 11, 12 and 15 to the Consolidated Financial Statements