NYSE:NEP
NextEra Energy Partners, LP
- Stock
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)