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NYSE:BEP

Brookfield Renewable Partners L.P.

  • Stock

USD

Last Close

33.59

30/08 20:00

Market Cap

10.31B

Beta: 0.76

Volume Today

202.89K

Avg: 308.30K

PE Ratio

37.96

PFCF: −10.30

Dividend Yield

5.51%

Payout:512.17%

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
215M
-
203M
5.58%
103M
49.26%
40M
61.17%
51M
27.50%
403M
690.20%
80M
80.15%
-45M
156.25%
-66M
46.67%
138M
309.09%
616M
346.38%
depreciation and amortization
535M
-
548M
2.43%
616M
12.41%
781M
26.79%
782M
0.13%
819M
4.73%
1.27B
55.19%
1.37B
7.55%
1.50B
9.80%
1.58B
5.46%
1.85B
16.99%
deferred income tax
-18M
-
-29M
61.11%
-78M
168.97%
-97M
24.36%
49M
150.52%
-89M
281.63%
-27M
69.66%
-213M
688.89%
-29M
86.38%
-150M
417.24%
-176M
17.33%
stock based compensation
-30M
-
17M
156.67%
-35M
305.88%
10M
128.57%
62M
520%
-18M
129.03%
19M
205.56%
-161M
947.37%
178M
210.56%
-620M
-
change in working capital
1M
-
-20M
2,100%
-62M
210%
-137M
120.97%
-25M
81.75%
-68M
172%
-53M
22.06%
-40M
24.53%
-716M
1,690.00%
-123M
82.82%
468M
480.49%
accounts receivables
47M
-
20M
57.45%
-72M
460.00%
30M
141.67%
-40M
233.33%
-122M
205.00%
-66M
45.90%
-2M
96.97%
-515M
25,650%
-296M
42.52%
540M
282.43%
inventory
accounts payables
other working capital
-46M
-
-40M
13.04%
10M
125%
-167M
1,770%
15M
108.98%
54M
260%
13M
75.93%
-38M
392.31%
-201M
428.95%
173M
186.07%
-72M
141.62%
other non cash items
43M
-
-19M
144.19%
44M
331.58%
35M
20.45%
9M
74.29%
56M
522.22%
264M
371.43%
388M
46.97%
-134M
134.54%
264M
297.01%
-275M
204.17%
net cash provided by operating activities
746M
-
700M
6.17%
588M
16%
632M
7.48%
928M
46.84%
1.10B
18.86%
1.55B
40.89%
1.30B
16.60%
734M
43.36%
1.71B
133.24%
1.86B
8.94%
investments in property plant and equipment
-226M
-
-186M
17.70%
-285M
53.23%
-369M
29.47%
-355M
3.79%
-235M
33.80%
-460M
95.74%
-447M
2.83%
-1.97B
340.04%
-2.19B
11.34%
-2.81B
28.26%
acquisitions net
-241M
-
-1.84B
662.66%
-663M
63.93%
-2.89B
335.29%
-673M
76.68%
-459M
31.80%
-1.13B
145.53%
-47M
95.83%
-1.48B
3,048.94%
-2.97B
100.68%
-1.52B
48.96%
purchases of investments
-25M
-
-18M
28.00%
-60M
233.33%
-77M
28.33%
-445M
-
-58M
86.97%
-492M
748.28%
-644M
30.89%
sales maturities of investments
-108M
-
68M
162.96%
-118M
273.53%
-138M
16.95%
27M
119.57%
7M
74.07%
257M
3,571.43%
220M
14.40%
70M
68.18%
431M
515.71%
other investing activites
59M
-
120M
103.39%
275M
129.17%
242M
12%
915M
278.10%
43M
95.30%
369M
758.14%
256M
30.62%
781M
205.08%
516M
33.93%
182M
64.73%
net cash used for investing activites
-408M
-
-2.04B
399.26%
-623M
69.42%
-3.19B
412.20%
-328M
89.72%
-624M
90.24%
-1.21B
94.07%
-426M
64.82%
-2.50B
487.79%
-5.07B
102.32%
-4.36B
14.02%
debt repayment
-1.68B
-
-1.05B
37.85%
-855M
18.26%
-1.98B
130.99%
-1.61B
18.63%
-3.73B
131.92%
-5.22B
40.19%
-499M
90.45%
-5.29B
960.72%
-137M
97.41%
-7.59B
5,442.34%
common stock issued
337M
-
285M
15.43%
128M
55.09%
804M
528.13%
598M
25.62%
196M
67.22%
126M
35.71%
151M
19.84%
592M
292.05%
115M
80.57%
630M
447.83%
common stock repurchased
1.35B
-
2.12B
56.54%
-10M
100.47%
3.48B
34,870%
1.87B
46.10%
-51M
102.72%
-1M
98.04%
509M
51,000%
-153M
130.06%
-252M
64.71%
-43M
82.94%
dividends paid
-378M
-
-480M
26.98%
-492M
2.50%
-559M
13.62%
-642M
14.85%
-706M
9.97%
-753M
6.66%
-769M
2.12%
-854M
11.05%
-915M
7.14%
-990M
8.20%
other financing activites
108M
-
422M
290.74%
1.20B
183.41%
962M
19.57%
-250M
125.99%
3.21B
1,383.20%
5.45B
69.92%
-184M
103.38%
7.85B
4,366.85%
4.68B
40.43%
10.59B
126.47%
net cash used provided by financing activities
-263M
-
1.30B
593.92%
-33M
102.54%
2.71B
8,309.09%
-27M
101.00%
-1.08B
3,900%
-402M
62.78%
-792M
97.01%
2.14B
370.58%
3.49B
62.76%
2.60B
25.57%
effect of forex changes on cash
-9M
-
-15M
66.67%
-19M
26.67%
10M
152.63%
3M
70%
-17M
666.67%
-6M
64.71%
13M
316.67%
-35M
369.23%
-28M
20%
38M
235.71%
net change in cash
66M
-
-53M
180.30%
-87M
64.15%
160M
283.91%
576M
260%
-626M
208.68%
-70M
88.82%
79M
212.86%
333M
321.52%
98M
70.57%
143M
45.92%
cash at beginning of period
137M
-
203M
48.18%
150M
26.11%
63M
58.00%
223M
253.97%
799M
258.30%
422M
47.18%
352M
16.59%
431M
22.44%
900M
108.82%
998M
10.89%
cash at end of period
203M
-
150M
26.11%
63M
58.00%
223M
253.97%
799M
258.30%
173M
78.35%
352M
103.47%
431M
22.44%
764M
77.26%
998M
30.63%
1.14B
14.33%
operating cash flow
746M
-
700M
6.17%
588M
16%
632M
7.48%
928M
46.84%
1.10B
18.86%
1.55B
40.89%
1.30B
16.60%
734M
43.36%
1.71B
133.24%
1.86B
8.94%
capital expenditure
-226M
-
-186M
17.70%
-285M
53.23%
-369M
29.47%
-355M
3.79%
-235M
33.80%
-460M
95.74%
-447M
2.83%
-1.97B
340.04%
-2.19B
11.34%
-2.81B
28.26%
free cash flow
520M
-
514M
1.15%
303M
41.05%
263M
13.20%
573M
117.87%
868M
51.48%
1.09B
26.04%
849M
22.39%
-1.23B
245.23%
-478M
61.23%
-944M
97.49%

All numbers in USD (except ratios and percentages)