TSX:BIP-PE
Brookfield Infrastructure Partners L.P. Limited Partnership Units
- Stock
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
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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 | 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)