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BEP Brookfield Renewable Partners LP

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  • 22.830
  • -0.360-1.55%
Close May 2 16:00 ET
  • 22.790
  • -0.040-0.18%
Post 16:05 ET
6.50BMarket Cap-22.60P/E (TTM)

Brookfield Renewable Partners LP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
19.44%387M
-31.69%1.27B
-51.64%221M
37.19%498M
-39.53%231M
-51.13%324M
9.00%1.87B
-20.66%457M
-7.87%363M
-12.79%382M
Net income from continuing operations
-54.29%-108M
-101.46%-9M
-28.79%188M
-262.50%-39M
-158.28%-88M
-139.55%-70M
346.38%616M
340.00%264M
131.17%24M
23.77%151M
Operating gains losses
-104.76%-172M
-31.12%-889M
-129.28%-509M
-38.19%-199M
38.22%-97M
48.47%-84M
-518.52%-678M
---222M
-238.46%-144M
-681.48%-157M
Depreciation and amortization
16.14%583M
8.53%2.01B
-7.74%477M
14.73%514M
12.88%517M
17.02%502M
16.99%1.85B
26.72%517M
16.36%448M
17.74%458M
Deferred tax
-221.43%-45M
82.39%-31M
67.55%-49M
141.67%29M
116.67%3M
26.32%-14M
-17.33%-176M
-32.46%-151M
129.27%12M
-158.06%-18M
Other non cash items
26.79%71M
238.65%391M
197.44%228M
212.90%70M
346.67%37M
51.35%56M
-376.47%-282M
-788.24%-234M
-210.71%-62M
-225.00%-15M
Change In working capital
131.34%21M
-160.63%-288M
-174.13%-192M
65.28%119M
-279.49%-148M
-136.61%-67M
323.00%475M
73.83%259M
256.52%72M
75.78%-39M
-Change in receivables
----
-143.15%-233M
----
----
----
----
282.43%540M
----
----
----
-Change in payables and accrued expense
----
300.00%120M
----
----
----
----
-155.05%-60M
----
----
----
-Change in other working capital
131.34%21M
-3,400.00%-175M
64.25%-79M
65.28%119M
-279.49%-148M
-136.61%-67M
80.77%-5M
-165.77%-221M
256.52%72M
-95.00%-39M
Cash from discontinued investing activities
Operating cash flow
19.44%387M
-31.69%1.27B
-51.64%221M
37.19%498M
-39.53%231M
-51.13%324M
9.00%1.87B
-20.66%457M
-7.87%363M
-12.79%382M
Investing cash flow
Cash flow from continuing investing activities
-354.01%-3.79B
-56.11%-6.8B
-65.76%-4.06B
-90.57%-1.01B
-347.00%-894M
29.00%-835M
14.02%-4.36B
-14.33%-2.45B
55.24%-530M
62.69%-200M
Net PPE purchase and sale
-84.05%-1.55B
-32.89%-3.73B
-0.52%-1.16B
-51.99%-918M
-69.42%-820M
-46.85%-840M
-28.26%-2.81B
-61.38%-1.15B
-4.68%-604M
-7.80%-484M
Net business purchase and sale
-30,677.78%-2.77B
-119.59%-3.33B
-149.68%-3.12B
-127.27%-125M
-100.00%-74M
94.83%-9M
43.60%-1.52B
-7.20%-1.25B
91.78%-55M
30.19%-37M
Net investment purchase and sale
---52M
-273.71%-796M
-1,388.64%-655M
933.33%25M
-158.66%-166M
--0
49.53%-213M
86.29%-44M
-250.00%-3M
274.69%283M
Net other investing changes
4,021.43%577M
481.32%1.06B
12,528.57%870M
-93.94%8M
336.84%166M
-26.32%14M
-22.22%182M
-112.50%-7M
120.00%132M
-70.31%38M
Cash from discontinued investing activities
Investing cash flow
-354.01%-3.79B
-56.11%-6.8B
-65.76%-4.06B
-90.57%-1.01B
-347.00%-894M
29.00%-835M
14.02%-4.36B
-14.33%-2.45B
55.24%-530M
62.69%-200M
Financing cash flow
Cash flow from continuing financing activities
166.75%2.19B
194.65%7.65B
176.88%5.75B
5,620.00%572M
490.77%508M
28.28%821M
-25.59%2.6B
46.20%2.08B
-98.88%10M
-148.69%-130M
Net issuance payments of debt
770.77%1.31B
22.06%3.06B
-53.86%1.41B
282.08%661M
238.08%1.18B
-250.00%-195M
-33.71%2.51B
2,656.76%3.06B
-92.28%173M
-179.19%-856M
Net common stock issuance
-122.88%-27M
-106.30%-37M
--0
--0
-124.60%-155M
--118M
528.47%587M
---31M
---12M
815.91%630M
Cash dividends paid
-8.85%-283M
-7.17%-1.06B
-4.78%-263M
-6.80%-267M
-10.16%-271M
-7.00%-260M
-8.20%-990M
-9.61%-251M
-9.65%-250M
-7.89%-246M
Net other financing activities
2.94%1.19B
1,055.89%5.69B
755.13%4.6B
79.80%178M
-172.51%-248M
53.78%1.16B
-35.18%492M
-145.64%-702M
108.82%99M
168.67%342M
Cash from discontinued financing activities
Financing cash flow
166.75%2.19B
194.65%7.65B
176.88%5.75B
5,620.00%572M
490.77%508M
28.28%821M
-25.59%2.6B
46.20%2.08B
-98.88%10M
-148.69%-130M
Net cash flow
Beginning cash position
174.76%3.14B
14.33%1.14B
22.44%1.27B
2.83%1.24B
24.82%1.42B
14.33%1.14B
10.89%998M
-8.58%1.03B
13.50%1.2B
25.27%1.14B
Current changes in cash
-491.61%-1.21B
1,921.90%2.12B
2,198.80%1.91B
138.22%60M
-398.08%-155M
144.09%310M
-21.64%105M
156.46%83M
-253.92%-157M
-69.23%52M
Effect of exchange rate changes
429.41%56M
-350.00%-95M
-379.17%-67M
200.00%16M
-268.75%-27M
-221.43%-17M
235.71%38M
9.09%24M
46.67%-16M
184.21%16M
End cash Position
37.39%1.96B
174.76%3.14B
174.76%3.14B
22.44%1.27B
2.83%1.24B
24.82%1.42B
14.33%1.14B
14.33%1.14B
-8.58%1.03B
13.50%1.2B
Free cash flow
-124.61%-1.16B
-160.49%-2.46B
-34.97%-934M
-74.27%-420M
-477.45%-589M
-667.03%-516M
-97.08%-944M
-408.82%-692M
-31.69%-241M
-827.27%-102M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 19.44%387M-31.69%1.27B-51.64%221M37.19%498M-39.53%231M-51.13%324M9.00%1.87B-20.66%457M-7.87%363M-12.79%382M
Net income from continuing operations -54.29%-108M-101.46%-9M-28.79%188M-262.50%-39M-158.28%-88M-139.55%-70M346.38%616M340.00%264M131.17%24M23.77%151M
Operating gains losses -104.76%-172M-31.12%-889M-129.28%-509M-38.19%-199M38.22%-97M48.47%-84M-518.52%-678M---222M-238.46%-144M-681.48%-157M
Depreciation and amortization 16.14%583M8.53%2.01B-7.74%477M14.73%514M12.88%517M17.02%502M16.99%1.85B26.72%517M16.36%448M17.74%458M
Deferred tax -221.43%-45M82.39%-31M67.55%-49M141.67%29M116.67%3M26.32%-14M-17.33%-176M-32.46%-151M129.27%12M-158.06%-18M
Other non cash items 26.79%71M238.65%391M197.44%228M212.90%70M346.67%37M51.35%56M-376.47%-282M-788.24%-234M-210.71%-62M-225.00%-15M
Change In working capital 131.34%21M-160.63%-288M-174.13%-192M65.28%119M-279.49%-148M-136.61%-67M323.00%475M73.83%259M256.52%72M75.78%-39M
-Change in receivables -----143.15%-233M----------------282.43%540M------------
-Change in payables and accrued expense ----300.00%120M-----------------155.05%-60M------------
-Change in other working capital 131.34%21M-3,400.00%-175M64.25%-79M65.28%119M-279.49%-148M-136.61%-67M80.77%-5M-165.77%-221M256.52%72M-95.00%-39M
Cash from discontinued investing activities
Operating cash flow 19.44%387M-31.69%1.27B-51.64%221M37.19%498M-39.53%231M-51.13%324M9.00%1.87B-20.66%457M-7.87%363M-12.79%382M
Investing cash flow
Cash flow from continuing investing activities -354.01%-3.79B-56.11%-6.8B-65.76%-4.06B-90.57%-1.01B-347.00%-894M29.00%-835M14.02%-4.36B-14.33%-2.45B55.24%-530M62.69%-200M
Net PPE purchase and sale -84.05%-1.55B-32.89%-3.73B-0.52%-1.16B-51.99%-918M-69.42%-820M-46.85%-840M-28.26%-2.81B-61.38%-1.15B-4.68%-604M-7.80%-484M
Net business purchase and sale -30,677.78%-2.77B-119.59%-3.33B-149.68%-3.12B-127.27%-125M-100.00%-74M94.83%-9M43.60%-1.52B-7.20%-1.25B91.78%-55M30.19%-37M
Net investment purchase and sale ---52M-273.71%-796M-1,388.64%-655M933.33%25M-158.66%-166M--049.53%-213M86.29%-44M-250.00%-3M274.69%283M
Net other investing changes 4,021.43%577M481.32%1.06B12,528.57%870M-93.94%8M336.84%166M-26.32%14M-22.22%182M-112.50%-7M120.00%132M-70.31%38M
Cash from discontinued investing activities
Investing cash flow -354.01%-3.79B-56.11%-6.8B-65.76%-4.06B-90.57%-1.01B-347.00%-894M29.00%-835M14.02%-4.36B-14.33%-2.45B55.24%-530M62.69%-200M
Financing cash flow
Cash flow from continuing financing activities 166.75%2.19B194.65%7.65B176.88%5.75B5,620.00%572M490.77%508M28.28%821M-25.59%2.6B46.20%2.08B-98.88%10M-148.69%-130M
Net issuance payments of debt 770.77%1.31B22.06%3.06B-53.86%1.41B282.08%661M238.08%1.18B-250.00%-195M-33.71%2.51B2,656.76%3.06B-92.28%173M-179.19%-856M
Net common stock issuance -122.88%-27M-106.30%-37M--0--0-124.60%-155M--118M528.47%587M---31M---12M815.91%630M
Cash dividends paid -8.85%-283M-7.17%-1.06B-4.78%-263M-6.80%-267M-10.16%-271M-7.00%-260M-8.20%-990M-9.61%-251M-9.65%-250M-7.89%-246M
Net other financing activities 2.94%1.19B1,055.89%5.69B755.13%4.6B79.80%178M-172.51%-248M53.78%1.16B-35.18%492M-145.64%-702M108.82%99M168.67%342M
Cash from discontinued financing activities
Financing cash flow 166.75%2.19B194.65%7.65B176.88%5.75B5,620.00%572M490.77%508M28.28%821M-25.59%2.6B46.20%2.08B-98.88%10M-148.69%-130M
Net cash flow
Beginning cash position 174.76%3.14B14.33%1.14B22.44%1.27B2.83%1.24B24.82%1.42B14.33%1.14B10.89%998M-8.58%1.03B13.50%1.2B25.27%1.14B
Current changes in cash -491.61%-1.21B1,921.90%2.12B2,198.80%1.91B138.22%60M-398.08%-155M144.09%310M-21.64%105M156.46%83M-253.92%-157M-69.23%52M
Effect of exchange rate changes 429.41%56M-350.00%-95M-379.17%-67M200.00%16M-268.75%-27M-221.43%-17M235.71%38M9.09%24M46.67%-16M184.21%16M
End cash Position 37.39%1.96B174.76%3.14B174.76%3.14B22.44%1.27B2.83%1.24B24.82%1.42B14.33%1.14B14.33%1.14B-8.58%1.03B13.50%1.2B
Free cash flow -124.61%-1.16B-160.49%-2.46B-34.97%-934M-74.27%-420M-477.45%-589M-667.03%-516M-97.08%-944M-408.82%-692M-31.69%-241M-827.27%-102M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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