av/nextera-energy--big.svg

NYSE:NEP

NextEra Energy Partners, LP

  • Stock

USD

Last Close

34.00

17/05 20:00

Market Cap

2.69B

Beta: 0.90

Volume Today

1.33M

Avg: 1.04M

PE Ratio

25.29

PFCF: 6.06

Dividend Yield

12.35%

Payout:700.97%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
10.77M
-
53M
391.93%
80M
50.94%
357M
346.25%
109M
69.47%
267M
144.95%
-404M
251.31%
-238M
41.09%
424M
278.15%
1.12B
164.39%
-250M
122.30%
depreciation and amortization
38.93M
-
76M
95.23%
141M
85.53%
205M
45.39%
226M
10.24%
203M
10.18%
331M
63.05%
374M
12.99%
405M
8.29%
573M
41.48%
603M
5.24%
deferred income tax
18.34M
-
12M
34.56%
15M
25%
50M
233.33%
162M
224.00%
23M
85.80%
-26M
213.04%
-26M
0%
46M
276.92%
171M
271.74%
34M
80.12%
stock based compensation
148K
-
-10M
-
-54M
440.00%
7M
112.96%
-95M
1,457.14%
457M
581.05%
539M
17.94%
-189M
135.06%
-1.21B
-
change in working capital
19.27M
-
21M
9.01%
17M
19.05%
-18M
205.88%
17M
194.44%
-27M
258.82%
-24M
11.11%
1M
104.17%
-25M
2,600%
18M
172%
-113M
727.78%
accounts receivables
6.88M
-
-6M
187.16%
2M
133.33%
-11M
650%
1M
109.09%
-21M
2,200%
inventory
-10.52M
-
19M
-
-4M
121.05%
24M
700%
-7M
129.17%
accounts payables
20.21M
-
5M
75.25%
-6M
220.00%
-7M
16.67%
6M
185.71%
2M
66.67%
other working capital
2.69M
-
1M
62.89%
2M
100%
4M
100%
-14M
450%
-1M
92.86%
-24M
2,300%
1M
104.17%
-25M
2,600%
18M
172%
-113M
727.78%
other non cash items
-1.26M
-
9M
814.85%
-3M
133.33%
-220M
7,233.33%
-108M
50.91%
-9M
91.67%
12M
233.33%
15M
25%
16M
6.67%
-1.11B
7,018.75%
1.66B
250.23%
net cash provided by operating activities
86.19M
-
171M
98.39%
240M
40.35%
320M
33.33%
413M
29.06%
362M
12.35%
346M
4.42%
665M
92.20%
677M
1.80%
776M
14.62%
731M
5.80%
investments in property plant and equipment
-647.25M
-
-129M
80.07%
-125M
3.10%
-271M
116.80%
-349M
28.78%
-25M
92.84%
-93M
272%
-334M
259.14%
-113M
66.17%
-190M
68.14%
-1.27B
567.89%
acquisitions net
-288M
-
-1.88B
553.47%
-869M
53.83%
-1.07B
23.59%
-766M
28.68%
-2.32B
203.13%
-378M
83.72%
-2.35B
522.22%
-785M
66.62%
1.35B
271.46%
purchases of investments
-75M
-
sales maturities of investments
75M
-
other investing activites
254.10M
-
126M
50.41%
218M
73.02%
-8M
103.67%
55M
787.50%
28M
49.09%
66M
135.71%
31M
53.03%
164M
429.03%
-219M
233.54%
-1.21B
453.42%
net cash used for investing activites
-393.15M
-
-291M
25.98%
-1.79B
514.78%
-1.15B
35.83%
-1.37B
19.16%
-763M
44.23%
-2.35B
207.86%
-681M
71.01%
-2.30B
237.89%
-1.19B
48.11%
-1.14B
4.94%
debt repayment
-22.19M
-
-369M
1,562.76%
-708M
91.87%
-652M
7.91%
-1.19B
81.75%
-983M
17.05%
-2.79B
184.03%
-1.17B
58.24%
-1.16B
0.60%
-1.54B
33.22%
-827M
46.44%
common stock issued
438M
-
343M
21.69%
645M
88.05%
548M
15.04%
86M
84.31%
2M
97.67%
2M
0%
50M
2,400%
147M
194%
315M
114.29%
common stock repurchased
15M
-
1.69B
11,193.33%
771M
54.49%
1.88B
143.84%
750M
60.11%
3.38B
350.67%
705M
79.14%
2.88B
308.51%
1.65B
-
dividends paid
-125.18M
-
-252M
101.31%
-491M
94.84%
-209M
57.43%
-307M
46.89%
-303M
1.30%
-383M
26.40%
-449M
17.23%
-619M
37.86%
-636M
2.75%
-741M
16.51%
other financing activites
460.60M
-
360M
21.84%
773M
114.72%
252M
67.40%
23M
90.87%
821M
3,469.57%
1.76B
114.62%
904M
48.69%
511M
43.47%
2.58B
405.68%
13M
99.50%
net cash used provided by financing activities
313.22M
-
192M
38.70%
1.61B
739.06%
807M
49.91%
959M
18.84%
371M
61.31%
1.97B
430.73%
-4M
100.20%
1.66B
41,675%
551M
66.87%
414M
24.86%
effect of forex changes on cash
-719K
-
-2M
178.16%
-7M
250%
4M
157.14%
3M
25%
-2M
166.67%
-20M
-
net change in cash
5.55M
-
70M
1,160.81%
55M
21.43%
-17M
130.91%
7M
141.18%
-32M
557.14%
-34M
6.25%
-20M
41.18%
39M
295%
133M
241.03%
-10M
107.52%
cash at beginning of period
21.03M
-
27M
28.40%
106M
292.59%
164M
54.72%
191M
16.46%
198M
3.66%
166M
16.16%
132M
20.48%
112M
15.15%
151M
34.82%
284M
88.08%
cash at end of period
26.58M
-
97M
264.94%
161M
65.98%
147M
8.70%
198M
34.69%
166M
16.16%
132M
20.48%
112M
15.15%
151M
34.82%
284M
88.08%
274M
3.52%
operating cash flow
86.19M
-
171M
98.39%
240M
40.35%
320M
33.33%
413M
29.06%
362M
12.35%
346M
4.42%
665M
92.20%
677M
1.80%
776M
14.62%
731M
5.80%
capital expenditure
-647.25M
-
-129M
80.07%
-125M
3.10%
-271M
116.80%
-349M
28.78%
-25M
92.84%
-93M
272%
-334M
259.14%
-113M
66.17%
-190M
68.14%
-1.27B
567.89%
free cash flow
-561.06M
-
42M
107.49%
115M
173.81%
49M
57.39%
64M
30.61%
337M
426.56%
253M
24.93%
331M
30.83%
564M
70.39%
586M
3.90%
-538M
191.81%

All numbers in USD (except ratios and percentages)