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Granite Point Mortgage Trust Inc. Common Stock (GPMT)

Price$1.53
Value ScoreB
Growth ScoreF
Momentum ScoreD

Favorite Metrics

Price vs S&P 500 (26W)-53.48%
Price vs S&P 500 (4W)4.09%
VGM Score34.15
Market Capitalization$73.32M
Indicated Dividend Yield (Annual)12.99%

All Metrics

P/CF (Annual)27.49x
Book Value / Share (Quarterly)$11.35
P/TBV (Annual)0.28x
Indicated Dividend (Annual)$0.20
Revenue Growth (3Y)-11.57%
Cash Flow / Share (Quarterly)$-0.01
Payout Ratio (TTM)203.56%
Price vs S&P 500 (YTD)-44.41%
Gross Margin (TTM)34.84%
Net Profit Margin (TTM)-26.83%
EPS (TTM)$-0.77
10-Day Avg Trading Volume0.12M
EPS Excl Extra (TTM)$-0.77
Revenue Growth (5Y)-8.12%
EPS (Annual)$-0.86
Dividend / Share (Annual)$0.51
ROI (Annual)-2.39%
Gross Margin (Annual)32.63%
Net Profit Margin (5Y Avg)-28.64%
Cash / Share (Quarterly)$0.91
Revenue Growth QoQ (YoY)-23.52%
ROA (Last FY)-2.34%
Revenue Growth TTM (YoY)-23.40%
EBITD / Share (TTM)$-0.59
ROE (5Y Avg)-9.13%
Operating Margin (TTM)-26.99%
Cash Flow / Share (Annual)$-0.07
P/B Ratio0.13x
P/B Ratio (Quarterly)0.13x
Net Income / Employee (Annual)$-1,469,700
EV / Revenue (TTM)7.35x
ROA (TTM)-2.08%
EV / EBITDA (TTM)58.24x
EPS Incl Extra (Annual)$-0.86
Current Ratio (Annual)0.16x
Quick Ratio (Quarterly)0.14x
3-Month Avg Trading Volume0.18M
52-Week Price Return-39.76%
EV / Free Cash Flow (Annual)197.23x
Revenue / Employee (TTM)$4,867,500
Tangible BV / Share (Quarterly)$17.27
P/S Ratio (Annual)0.50x
Asset Turnover (Annual)0.08x
52-Week High$3.12
Operating Margin (5Y Avg)-28.65%
EPS Excl Extra (Annual)$-0.86
Tangible BV CAGR (5Y)3.48%
26-Week Price Return-45.55%
Quick Ratio (Annual)0.16x
13-Week Price Return-12.57%
Total Debt / Equity (Annual)2.12x
Current Ratio (Quarterly)0.14x
Enterprise Value$1.00B
Revenue / Share Growth (5Y)-5.47%
Asset Turnover (TTM)0.08x
Book Value / Share Growth (5Y)-7.26%
Revenue / Employee (Annual)$5,188,700
Pretax Margin (Annual)-28.22%
Cash / Share (Annual)$1.39
3-Month Return Std Dev51.13%
Gross Margin (5Y Avg)34.87%
Net Income / Employee (TTM)$-1,305,800
ROE (Last FY)-7.45%
EPS Basic Excl Extra (Annual)$-0.86
P/FCF (TTM)13.43x
Receivables Turnover (TTM)18.89x
Total Debt / Equity (Quarterly)1.79x
EPS Incl Extra (TTM)$-0.77
Receivables Turnover (Annual)17.87x
ROI (TTM)-2.12%
Dividend Growth Rate (5Y)-3.70%
P/S Ratio (TTM)0.54x
Pretax Margin (5Y Avg)-28.61%
Revenue / Share (Annual)$3.04
Tangible BV / Share (Annual)$18.81
Free OCF CAGR (5Y)-37.77%
Price vs S&P 500 (52W)-64.13%
Year-to-Date Return-36.25%
5-Day Price Return3.38%
EPS Normalized (Annual)$-0.86
ROA (5Y Avg)-2.76%
Net Profit Margin (Annual)-28.33%
Month-to-Date Return4.79%
Cash Flow / Share (TTM)$-0.72
EBITD / Share (Annual)$-0.70
Operating Margin (Annual)-28.43%
LT Debt / Equity (Annual)1.33x
P/CF (TTM)12.28x
ROI (5Y Avg)-2.80%
LT Debt / Equity (Quarterly)1.15x
EPS Basic Excl Extra (TTM)$-0.77
P/TBV (Quarterly)0.30x
P/B Ratio (Annual)0.21x
Dividend / Share (TTM)$0.51
Pretax Margin (TTM)-26.77%
Book Value / Share (Annual)$11.62
Price vs S&P 500 (13W)-20.83%
Dividend Yield (TTM)33.78%
Beta1.63x
P/FCF (Annual)12.24x
Revenue / Share (TTM)$2.86
ROE (TTM)-6.46%
52-Week Low$1.24
vGradeB
gGradeF
mGradeD
vgmGradeD
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Earnings Surprise History

Q1 26-0.06est. -0.17

Analyst Recommendations

Mar 2026
Apr 2026
May 2026
Jun 2026
3.80
3.80
3.80
3.80

Industry Peers — REITs(225)

SymbolValue ScoreGrowth ScoreMomentum ScorePrice
GPMTGranite Point Mortgage Trust Inc. Common Stock
BFD$1.53
WELLWelltower Inc.FBB$206.93
PLDPROLOGIS, INC.DBA$144.54
EQIXEquinix, Inc. Common Stock REITFBA$1080.95
AMTAmerican Tower CorporationDCB$194.12
SPGSimon Property Group, Inc.DBA$210.31
DLRDigital Realty Trust, Inc.DBB$186.79
ORealty Income CorporationDBC$60.84
PSAPublic StorageDCB$309.68
CCICrown Castle Inc.DDB$94.49
VTRVentas, Inc.DCC$82.02

About

Granite Point Mortgage Trust originates and invests in senior floating rate commercial mortgage loans and other commercial real estate debt. The company specializes in intermediate-term bridge and transitional financing for acquisitions, refinancings, recapitalizations, and property renovations. It emphasizes rigorous credit underwriting, selective deal sourcing, and portfolio diversification to manage risk.