US Stock MarketDetailed Quotes

BBU Brookfield Business Partners LP

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  • 20.400
  • -0.038-0.18%
Close Aug 30 16:00 ET
  • 20.400
  • 0.0000.00%
Post 16:38 ET
1.52BMarket Cap3.14P/E (TTM)

Brookfield Business Partners LP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-80.59%79M
124.84%344M
110.68%2.13B
-17.11%407M
157.30%153M
-40.28%1.01B
-75.31%60M
15.03%727M
-30.16%491M
-332.17%-267M
Net income from continuing operations
58.54%65M
0.00%203M
1,473.75%3.78B
-85.36%41M
2,130.00%203M
-88.85%240M
-125.22%-29M
-100.33%-1M
1,065.52%280M
-100.57%-10M
Operating gains losses
-8.11%34M
3,800.00%37M
1,900.00%40M
15.63%37M
96.77%-1M
-97.37%2M
-83.51%16M
11.76%-15M
3,100.00%32M
-520.00%-31M
Depreciation and amortization
-10.80%809M
-10.22%808M
11.45%3.59B
16.88%907M
29.68%900M
41.17%3.22B
28.96%815M
68.71%938M
40.33%776M
28.04%694M
Deferred tax
-10.65%-239M
-54.41%-105M
-6.82%-830M
44.19%-216M
-70.00%-68M
-109.43%-777M
-64.00%-205M
-10.69%-145M
-377.78%-387M
-17.65%-40M
Other non cash items
3.45%-84M
81.48%-15M
-16,635.71%-4.69B
---87M
---81M
98.46%-28M
---17M
----
----
----
Change In working capital
-3,876.92%-491M
26.49%-358M
110.33%216M
103.99%13M
52.49%-487M
-83.10%-2.09B
30.53%-487M
-62.18%-253M
-385.96%-326M
-156.89%-1.03B
-Change in receivables
-114.63%-352M
-41.96%-636M
-32.42%-1.4B
---164M
41.21%-448M
-54.68%-1.06B
28.97%-76M
-25.00%-220M
--0
-83.17%-762M
-Change in inventory
-215.38%-330M
-81.33%14M
239.43%877M
174.29%286M
115.03%75M
-27.33%-629M
376.60%224M
115.35%31M
-74.21%-385M
-322.88%-499M
-Change in prepaid assets
72.37%-142M
92.91%-10M
-295.83%-760M
-209.64%-514M
-135.00%-141M
-2,233.33%-192M
-52.46%29M
-93.15%5M
-418.75%-166M
35.48%-60M
-Change in payables and accrued expense
-17.78%333M
914.81%274M
807.55%1.5B
80.00%405M
-90.88%27M
-885.19%-212M
5.41%-664M
-146.31%-69M
-36.08%225M
29.82%296M
Cash from discontinued investing activities
Operating cash flow
-80.59%79M
124.84%344M
110.68%2.13B
-17.11%407M
157.30%153M
-40.28%1.01B
-75.31%60M
15.03%727M
-30.16%491M
-332.17%-267M
Investing cash flow
Cash flow from continuing investing activities
-170.43%-503M
-284.77%-581M
113.55%2.54B
97.76%-186M
83.69%-151M
-109.74%-18.72B
75.95%-2.01B
-951.33%-7.5B
-750.12%-8.29B
18.13%-926M
Net PPE purchase and sale
-25.88%-642M
-38.07%-602M
-40.71%-2.21B
-43.66%-510M
-13.25%-436M
-18.17%-1.57B
-69.15%-477M
33.96%-350M
-87.83%-355M
-18.46%-385M
Net business purchase and sale
-80.77%70M
94.07%-7M
121.00%3.63B
104.77%364M
22.88%-118M
-108.82%-17.28B
84.59%-1.3B
-3,312.92%-8.19B
-2,721.99%-7.63B
-211.68%-153M
Net investment purchase and sale
-163.64%-14M
-65.56%104M
2,145.83%1.08B
108.53%22M
-32.29%302M
-51.02%48M
-210.32%-417M
342.98%277M
-88.32%-258M
1,637.93%446M
Net other investing changes
233.87%83M
-175.25%-76M
-52.63%36M
-34.78%-62M
112.11%101M
-86.81%76M
1,988.89%188M
349.12%768M
-103.51%-46M
8.75%-834M
Cash from discontinued investing activities
Investing cash flow
-170.43%-503M
-284.77%-581M
113.55%2.54B
97.76%-186M
83.69%-151M
-109.74%-18.72B
75.95%-2.01B
-951.33%-7.5B
-750.12%-8.29B
18.13%-926M
Financing cash flow
Cash flow from continuing financing activities
231.08%329M
34.90%201M
-124.19%-4.37B
-103.13%-251M
-82.26%149M
155.84%18.07B
-79.59%1.69B
1,690.00%7.52B
408.90%8.02B
-10.92%840M
Net issuance payments of debt
209.45%440M
-16.18%290M
-109.77%-1.33B
-106.05%-402M
-68.05%346M
99.40%13.59B
-90.43%657M
1,211.59%5.21B
908.03%6.64B
190.35%1.08B
Net common stock issuance
----
----
93.59%-5M
----
----
6.02%-78M
--0
--0
-1,033.33%-34M
-214.29%-44M
Cash dividends paid
20.00%-40M
50.00%-13M
-1,413.56%-893M
-117.39%-50M
---26M
-59.46%-59M
-130.00%-23M
-44.44%-13M
-155.56%-23M
--0
Net other financing activities
-135.32%-71M
55.56%-76M
-146.47%-2.15B
-85.98%201M
14.07%-171M
1,154.89%4.62B
-28.15%1.06B
3,588.89%2.32B
181.38%1.43B
-133.56%-199M
Cash from discontinued financing activities
Financing cash flow
231.08%329M
34.90%201M
-124.19%-4.37B
-103.13%-251M
-82.26%149M
155.84%18.07B
-79.59%1.69B
1,690.00%7.52B
408.90%8.02B
-10.92%840M
Net cash flow
Beginning cash position
3.38%3.15B
13.31%3.25B
10.90%2.87B
33.73%3.05B
10.90%2.87B
-5.65%2.59B
28.89%3.06B
15.56%2.4B
-13.65%2.28B
-5.65%2.59B
Current changes in cash
-216.67%-95M
-123.84%-36M
-17.78%296M
-113.57%-30M
142.78%151M
311.76%360M
-241.21%-257M
120.94%749M
135.76%221M
-383.56%-353M
Effect of exchange rate changes
-304.35%-94M
-383.33%-68M
210.26%86M
146.46%46M
-42.86%24M
-620.00%-78M
102.86%71M
-109.09%-92M
-273.68%-99M
227.27%42M
End cash Position
-2.08%2.96B
3.38%3.15B
13.31%3.25B
25.97%3.02B
33.73%3.05B
10.90%2.87B
10.90%2.87B
28.89%3.06B
15.56%2.4B
-13.65%2.28B
Free cash flow
-326.32%-567M
10.40%-267M
78.56%-158M
-227.88%-133M
55.59%-298M
-403.29%-737M
-320.91%-463M
221.98%293M
-78.01%104M
-218.01%-671M
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
--
--
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -80.59%79M124.84%344M110.68%2.13B-17.11%407M157.30%153M-40.28%1.01B-75.31%60M15.03%727M-30.16%491M-332.17%-267M
Net income from continuing operations 58.54%65M0.00%203M1,473.75%3.78B-85.36%41M2,130.00%203M-88.85%240M-125.22%-29M-100.33%-1M1,065.52%280M-100.57%-10M
Operating gains losses -8.11%34M3,800.00%37M1,900.00%40M15.63%37M96.77%-1M-97.37%2M-83.51%16M11.76%-15M3,100.00%32M-520.00%-31M
Depreciation and amortization -10.80%809M-10.22%808M11.45%3.59B16.88%907M29.68%900M41.17%3.22B28.96%815M68.71%938M40.33%776M28.04%694M
Deferred tax -10.65%-239M-54.41%-105M-6.82%-830M44.19%-216M-70.00%-68M-109.43%-777M-64.00%-205M-10.69%-145M-377.78%-387M-17.65%-40M
Other non cash items 3.45%-84M81.48%-15M-16,635.71%-4.69B---87M---81M98.46%-28M---17M------------
Change In working capital -3,876.92%-491M26.49%-358M110.33%216M103.99%13M52.49%-487M-83.10%-2.09B30.53%-487M-62.18%-253M-385.96%-326M-156.89%-1.03B
-Change in receivables -114.63%-352M-41.96%-636M-32.42%-1.4B---164M41.21%-448M-54.68%-1.06B28.97%-76M-25.00%-220M--0-83.17%-762M
-Change in inventory -215.38%-330M-81.33%14M239.43%877M174.29%286M115.03%75M-27.33%-629M376.60%224M115.35%31M-74.21%-385M-322.88%-499M
-Change in prepaid assets 72.37%-142M92.91%-10M-295.83%-760M-209.64%-514M-135.00%-141M-2,233.33%-192M-52.46%29M-93.15%5M-418.75%-166M35.48%-60M
-Change in payables and accrued expense -17.78%333M914.81%274M807.55%1.5B80.00%405M-90.88%27M-885.19%-212M5.41%-664M-146.31%-69M-36.08%225M29.82%296M
Cash from discontinued investing activities
Operating cash flow -80.59%79M124.84%344M110.68%2.13B-17.11%407M157.30%153M-40.28%1.01B-75.31%60M15.03%727M-30.16%491M-332.17%-267M
Investing cash flow
Cash flow from continuing investing activities -170.43%-503M-284.77%-581M113.55%2.54B97.76%-186M83.69%-151M-109.74%-18.72B75.95%-2.01B-951.33%-7.5B-750.12%-8.29B18.13%-926M
Net PPE purchase and sale -25.88%-642M-38.07%-602M-40.71%-2.21B-43.66%-510M-13.25%-436M-18.17%-1.57B-69.15%-477M33.96%-350M-87.83%-355M-18.46%-385M
Net business purchase and sale -80.77%70M94.07%-7M121.00%3.63B104.77%364M22.88%-118M-108.82%-17.28B84.59%-1.3B-3,312.92%-8.19B-2,721.99%-7.63B-211.68%-153M
Net investment purchase and sale -163.64%-14M-65.56%104M2,145.83%1.08B108.53%22M-32.29%302M-51.02%48M-210.32%-417M342.98%277M-88.32%-258M1,637.93%446M
Net other investing changes 233.87%83M-175.25%-76M-52.63%36M-34.78%-62M112.11%101M-86.81%76M1,988.89%188M349.12%768M-103.51%-46M8.75%-834M
Cash from discontinued investing activities
Investing cash flow -170.43%-503M-284.77%-581M113.55%2.54B97.76%-186M83.69%-151M-109.74%-18.72B75.95%-2.01B-951.33%-7.5B-750.12%-8.29B18.13%-926M
Financing cash flow
Cash flow from continuing financing activities 231.08%329M34.90%201M-124.19%-4.37B-103.13%-251M-82.26%149M155.84%18.07B-79.59%1.69B1,690.00%7.52B408.90%8.02B-10.92%840M
Net issuance payments of debt 209.45%440M-16.18%290M-109.77%-1.33B-106.05%-402M-68.05%346M99.40%13.59B-90.43%657M1,211.59%5.21B908.03%6.64B190.35%1.08B
Net common stock issuance --------93.59%-5M--------6.02%-78M--0--0-1,033.33%-34M-214.29%-44M
Cash dividends paid 20.00%-40M50.00%-13M-1,413.56%-893M-117.39%-50M---26M-59.46%-59M-130.00%-23M-44.44%-13M-155.56%-23M--0
Net other financing activities -135.32%-71M55.56%-76M-146.47%-2.15B-85.98%201M14.07%-171M1,154.89%4.62B-28.15%1.06B3,588.89%2.32B181.38%1.43B-133.56%-199M
Cash from discontinued financing activities
Financing cash flow 231.08%329M34.90%201M-124.19%-4.37B-103.13%-251M-82.26%149M155.84%18.07B-79.59%1.69B1,690.00%7.52B408.90%8.02B-10.92%840M
Net cash flow
Beginning cash position 3.38%3.15B13.31%3.25B10.90%2.87B33.73%3.05B10.90%2.87B-5.65%2.59B28.89%3.06B15.56%2.4B-13.65%2.28B-5.65%2.59B
Current changes in cash -216.67%-95M-123.84%-36M-17.78%296M-113.57%-30M142.78%151M311.76%360M-241.21%-257M120.94%749M135.76%221M-383.56%-353M
Effect of exchange rate changes -304.35%-94M-383.33%-68M210.26%86M146.46%46M-42.86%24M-620.00%-78M102.86%71M-109.09%-92M-273.68%-99M227.27%42M
End cash Position -2.08%2.96B3.38%3.15B13.31%3.25B25.97%3.02B33.73%3.05B10.90%2.87B10.90%2.87B28.89%3.06B15.56%2.4B-13.65%2.28B
Free cash flow -326.32%-567M10.40%-267M78.56%-158M-227.88%-133M55.59%-298M-403.29%-737M-320.91%-463M221.98%293M-78.01%104M-218.01%-671M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion----Unqualified Opinion--------

Analysis

Analyst Rating

No Data

Price Target

No Data

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