TPG Pace Tech Opportunities Corp.
PACE · NYSE Arca · United States
tpg.comFinancials as of FY2020 · latest on file
At a glance
- Depends onUpstream position: supplies 3 industries, depends on 0
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Sign inThe reported statements, read against the company's own industry.
As of FY2020 (year ended December 31, 2020). Newer annual figures aren't yet on file.
Financials view
Market Capitalization
504.00MUSDvs all stocks (USD)
Revenue (TTM)
0.00USDvs all stocks (USD)
Market Capitalization
504.00MUSDvs all stocks (USD)
Enterprise Value
0.00USDvs all stocks (USD)
Price to Book (MRQ)
1.52xvs Shell Companies peers
Enterprise to EBITDA
0.00xvs Shell Companies peers
Revenue (TTM)
0.00USDvs all stocks (USD)
Revenue per Share (TTM)
0.00USDUpdated Jul 19, 2026Gross Profit (TTM)
0.00USDvs all stocks (USD)
EBITDA (TTM)
0.00USDvs all stocks (USD)
Net Income (TTM)
0.00USDvs all stocks (USD)
Operating Cash Flow (TTM)
-643.30KUSDvs all stocks (USD)
Levered Free Cash Flow (TTM)
0.00USDvs all stocks (USD)
Revenue
0.00USDFY2020 · Dec 31, 2020Operating Income
-643.30KUSDvs all stocks (USD)
Pre-tax Income
-637.37KUSDFY2020 · Dec 31, 2020EBITDA (Income Statement)
-643.30KUSDFY2020 · Dec 31, 2020Selling, General & Administrative
643.30KUSDFY2020 · Dec 31, 2020Non-operating Interest Income
5.94KUSDFY2020 · Dec 31, 2020EPS (Basic)
-0.0200USDFY2020 · Dec 31, 2020EPS (Diluted)
-0.0200USDFY2020 · Dec 31, 2020Basic Shares Outstanding
28.38MSharesFY2020 · Dec 31, 2020Diluted Shares Outstanding
28.38MSharesFY2020 · Dec 31, 2020Operating Cash Flow
-643.30KUSDFY2020 · Dec 31, 2020Cash & Cash Equivalents (End of Period)
534.10KUSDFY2020 · Dec 31, 2020Starting Profit (CF Statement)
-637.37KUSDFY2020 · Dec 31, 2020Change in Other Assets/Liabilities
-5.94KUSDFY2020 · Dec 31, 2020Other Investing Activity
-450.00MUSDFY2020 · Dec 31, 2020Net Investing Cash Flow
-450.00MUSDFY2020 · Dec 31, 2020Long-term Debt Issuance
300.00KUSDFY2020 · Dec 31, 2020Long-term Debt Payments
-300.00KUSDFY2020 · Dec 31, 2020Net Short-term Debt Issuance
0.00USDFY2020 · Dec 31, 2020Other Financing Charges
-10.01MUSDFY2020 · Dec 31, 2020Net Financing Cash Flow
439.99MUSDFY2020 · Dec 31, 2020Shares Outstanding
45.00MSharesUpdated Jul 19, 2026Total Cash (MRQ)
1.12MUSDvs all stocks (USD)
Total Cash per Share (MRQ)
0.0199USDUpdated Jul 19, 2026Total Debt (MRQ)
0.00USDvs all stocks (USD)
Total Debt to Equity (MRQ)
0.00xvs Shell Companies peers
Current Ratio (MRQ)
0.0305xvs Shell Companies peers
Book Value per Share (MRQ)
7.01USDUpdated Jul 19, 2026Total Assets
450.54MUSDvs all stocks (USD)
Total Current Assets
534.10KUSDFY2020 · Dec 31, 2020Total Liabilities
0.00USDFY2020 · Dec 31, 2020Total Non-current Assets
450.01MUSDFY2020 · Dec 31, 2020Total Non-current Liabilities
0.00USDFY2020 · Dec 31, 2020Total Current Liabilities
0.00USDFY2020 · Dec 31, 2020Cash
534.10KUSDFY2020 · Dec 31, 2020Common Stock (Book)
429.54MUSDFY2020 · Dec 31, 2020Retained Earnings
-645.86KUSDFY2020 · Dec 31, 2020Total Shareholders' Equity
428.89MUSDvs all stocks (USD)
50-Day MA
0.00USDUpdated Jul 19, 2026200-Day MA
0.00USDUpdated Jul 19, 2026Avg 10-Day Volume
922.55KSharesUpdated Jul 19, 2026Avg 30-Day Volume
671.12KSharesUpdated Jul 19, 2026Diluted EPS (TTM)
-0.0200USDUpdated Jul 19, 2026Shared structure with peers — never a ranking.
Relationships view
Structural observations derived from financial data, industry benchmarks, and supply chain position.
Supply Chain
Upstream position: supplies 3 industries, depends on 0Notable
Outgoing: 3.00Incoming: 0.00
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