bf/NYSE:BIP_icon.png

TSX:BIP-PE

Brookfield Infrastructure Partners L.P. Limited Partnership Units

  • Stock

CAD

Last Close

30.92

26/07 20:00

Market Cap

14.47B

Beta: 0.89

Volume Today

314.86K

Avg: 6.08K

PE Ratio

8.30

PFCF: 5.26

Dividend Yield

7.03%

Payout:190.13%

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
65M
-
229M
252.31%
391M
70.74%
528M
35.04%
574M
8.71%
806M
40.42%
650M
19.35%
904M
39.08%
2.72B
200.77%
1.38B
49.43%
102M
92.58%
depreciation and amortization
329M
-
380M
15.50%
375M
1.32%
447M
19.20%
671M
50.11%
801M
19.37%
1.21B
51.56%
1.71B
40.44%
2.04B
19.41%
2.16B
5.99%
2.74B
26.92%
deferred income tax
12M
-
49M
308.33%
-26M
153.06%
-18M
30.77%
67M
472.22%
46M
31.34%
28M
39.13%
54M
92.86%
240M
344.44%
86M
64.17%
5M
94.19%
stock based compensation
254M
-
-70M
127.56%
57M
181.43%
-155M
371.93%
-450M
190.32%
-477M
6%
-5.48B
-
change in working capital
-19M
-
46M
342.11%
-80M
273.91%
45M
156.25%
131M
191.11%
-124M
194.66%
68M
154.84%
-220M
423.53%
-524M
138.18%
-904M
72.52%
-638M
29.42%
accounts receivables
30M
-
34M
13.33%
27M
20.59%
31M
14.81%
-31M
200%
176M
667.74%
42M
76.14%
284M
576.19%
-190M
166.90%
-445M
134.21%
-124M
72.13%
inventory
-8M
-
2M
125%
-146M
-
89M
160.96%
323M
262.92%
342M
5.88%
accounts payables
-45M
-
2M
104.44%
-110M
5,600%
146M
-
-89M
160.96%
-323M
262.92%
-342M
5.88%
-43M
87.43%
other working capital
-4M
-
18M
550%
1M
94.44%
14M
1,300%
162M
1,057.14%
-300M
285.19%
26M
108.67%
-504M
2,038.46%
-334M
33.73%
-459M
37.43%
-471M
2.61%
other non cash items
53M
-
49M
7.55%
-83M
269.39%
-94M
13.25%
488M
619.15%
310M
36.48%
183M
40.97%
87M
52.46%
-1.70B
2,052.87%
416M
124.48%
7.35B
1,666.35%
net cash provided by operating activities
694M
-
683M
1.59%
634M
7.17%
753M
18.77%
1.48B
96.68%
1.36B
8.04%
2.14B
57.34%
2.53B
18.06%
2.77B
9.57%
3.13B
12.95%
4.08B
30.25%
investments in property plant and equipment
-420M
-
-439M
4.52%
-510M
16.17%
-683M
33.92%
-667M
2.34%
-816M
22.34%
-1.14B
40.20%
-1.43B
24.65%
-1.98B
38.99%
-2.73B
37.94%
-2.49B
9.03%
acquisitions net
-61M
-
-447M
632.79%
-681M
52.35%
-887M
30.25%
-620M
30.10%
1.23B
298.06%
-404M
132.90%
-369M
8.66%
412M
211.65%
-589M
242.96%
-1.66B
182.51%
purchases of investments
-357M
-
-177M
50.42%
-1.72B
874.01%
-191M
88.92%
-469M
145.55%
-151M
67.80%
-176M
16.56%
-237M
34.66%
-1.32B
458.65%
-659M
50.23%
-1.62B
146.13%
sales maturities of investments
110M
-
79M
28.18%
595M
653.16%
870M
46.22%
258M
70.34%
104M
59.69%
351M
237.50%
1.02B
189.46%
36M
96.46%
898M
2,394.44%
1.82B
102.90%
other investing activites
566M
-
-81M
114.31%
-29M
64.20%
-167M
475.86%
-4.22B
2,428.74%
-5.93B
40.40%
-10.00B
68.65%
-3.59B
64.07%
1.69B
146.90%
-281M
116.68%
-720M
156.23%
net cash used for investing activites
-162M
-
-1.06B
557.41%
-2.35B
120.56%
-1.06B
54.96%
-5.72B
440.74%
-5.56B
2.74%
-11.37B
104.39%
-4.61B
59.47%
-1.17B
74.55%
-3.37B
186.87%
-4.67B
38.81%
debt repayment
-546M
-
-1.67B
205.68%
-957M
42.66%
-3.71B
287.36%
-2.23B
39.90%
-3.33B
49.28%
-9.79B
194.26%
-7.53B
23.08%
-22.52B
199.20%
-231M
98.97%
-5.65B
2,347.62%
common stock issued
338M
-
2M
99.41%
866M
43,200%
749M
13.51%
992M
32.44%
341M
65.63%
853M
150.15%
9M
98.94%
1.07B
11,822.22%
13M
98.79%
-13M
200%
common stock repurchased
520M
-
2.47B
375.19%
-67M
102.71%
-6M
91.04%
3.83B
63,900%
-16M
100.42%
13.76B
86,087.50%
9.47B
31.16%
-12M
100.13%
-243M
1,925%
-13M
94.65%
dividends paid
-388M
-
-448M
15.46%
-546M
21.88%
-628M
15.02%
-794M
26.43%
-919M
15.74%
-1.03B
11.75%
-1.13B
10.42%
-1.26B
10.85%
-1.42B
12.81%
-1.25B
12.06%
other financing activites
-156M
-
-314M
101.28%
2.47B
886.31%
4.49B
81.90%
2.02B
55.11%
8.34B
313.59%
5.75B
31.10%
1.31B
77.23%
21.73B
1,560.93%
1.94B
91.09%
-3.28B
269.56%
net cash used provided by financing activities
-232M
-
42M
118.10%
1.76B
4,102.38%
899M
49.07%
3.81B
324.25%
4.42B
15.84%
9.54B
115.98%
2.13B
77.72%
-995M
146.80%
56M
105.63%
1.10B
1,864.29%
effect of forex changes on cash
-25M
-
-9M
64%
-32M
255.56%
-7M
78.13%
14M
300%
-50M
457.14%
-13M
74%
-7M
46.15%
-65M
828.57%
88M
235.38%
71M
19.32%
net change in cash
275M
-
-349M
226.91%
10M
102.87%
587M
5,770%
-412M
170.19%
166M
140.29%
287M
72.89%
40M
86.06%
539M
1,247.50%
-127M
123.56%
578M
555.12%
cash at beginning of period
263M
-
538M
104.56%
189M
64.87%
199M
5.29%
786M
294.97%
374M
52.42%
540M
44.39%
827M
53.15%
867M
4.84%
1.41B
62.17%
1.28B
9.03%
cash at end of period
538M
-
189M
64.87%
199M
5.29%
786M
294.97%
374M
52.42%
540M
44.39%
827M
53.15%
867M
4.84%
1.41B
62.17%
1.28B
9.03%
1.86B
45.19%
operating cash flow
694M
-
683M
1.59%
634M
7.17%
753M
18.77%
1.48B
96.68%
1.36B
8.04%
2.14B
57.34%
2.53B
18.06%
2.77B
9.57%
3.13B
12.95%
4.08B
30.25%
capital expenditure
-420M
-
-439M
4.52%
-510M
16.17%
-683M
33.92%
-667M
2.34%
-816M
22.34%
-1.14B
40.20%
-1.43B
24.65%
-1.98B
38.99%
-2.73B
37.94%
-2.49B
9.03%
free cash flow
274M
-
244M
10.95%
124M
49.18%
70M
43.55%
814M
1,062.86%
546M
32.92%
999M
82.97%
1.10B
10.51%
790M
28.44%
397M
49.75%
1.59B
300.76%

All numbers in CAD (except ratios and percentages)