CA Stock MarketDetailed Quotes

BEPC Brookfield Renewable Corp

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  • 37.420
  • -0.550-1.45%
15min DelayTrading Aug 12 11:49 ET
6.72BMarket Cap6.62P/E (TTM)

Brookfield Renewable Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
13.41%389M
14.00%513M
1.38%441M
1.38%441M
-42.05%328M
-39.93%343M
-19.35%450M
6.10%435M
6.10%435M
37.05%566M
-Cash and cash equivalents
13.41%389M
-14.67%384M
1.38%441M
1.38%441M
-42.05%328M
-39.93%343M
-19.35%450M
6.10%435M
6.10%435M
37.05%566M
-Accounts receivable
-11.24%442M
-8.23%502M
-0.59%503M
-0.59%503M
-79.66%482M
8.97%498M
8.96%547M
0.80%506M
0.80%506M
360.19%2.37B
-Due from related parties current
19.63%1.15B
14.68%1.09B
132.03%1.43B
132.03%1.43B
--961M
166.02%963M
155.95%947M
12.23%615M
12.23%615M
----
-Other receivables
3.33%31M
16.67%35M
140.00%24M
140.00%24M
--27M
-40.00%30M
-45.45%30M
-58.33%10M
-58.33%10M
----
Holding assets for sale
-32.61%155M
--52M
--0
--0
--0
--230M
--0
--698M
--698M
----
Total current assets
-3.44%2.95B
-1.63%2.77B
-3.74%3.3B
-3.74%3.3B
-7.49%2.72B
15.56%3.05B
13.33%2.82B
46.66%3.43B
46.66%3.43B
24.14%2.94B
Non current assets
Investment properties
--244M
--308M
----
----
----
----
----
----
----
----
-Long term equity investment
0.54%12.84B
5.18%13.1B
14.87%14.65B
14.87%14.65B
-6.22%12.74B
1.51%12.77B
4.27%12.45B
2.81%12.75B
2.81%12.75B
13.67%13.59B
-Including:Held to maturity investments
12.82%132M
----
16.98%124M
16.98%124M
--111M
48.10%117M
130.61%113M
82.76%106M
82.76%106M
----
Financial assets
----
----
-37.42%301M
-37.42%301M
--342M
138.93%356M
365.35%470M
729.31%481M
729.31%481M
----
Non current note receivables
26.76%90M
3.85%81M
45.71%102M
45.71%102M
-95.36%56M
-32.38%71M
-39.53%78M
-18.60%70M
-18.60%70M
1,016.67%1.21B
-Goodwill
-0.38%794M
-11.12%847M
-7.52%861M
-7.52%861M
--814M
-22.55%797M
-13.91%953M
-12.75%931M
-12.75%931M
----
-Other intangible assets
2.67%5.53B
23.88%6.1B
-1.46%5.79B
-1.46%5.79B
59.79%6.68B
41.24%5.38B
63.24%4.92B
60.16%5.87B
60.16%5.87B
169.37%4.18B
Due from related parties non current
----
----
0.00%9M
0.00%9M
----
----
----
-10.00%9M
-10.00%9M
----
Regulatory assets
7.43%1.75B
1.64%1.67B
64.18%2.07B
64.18%2.07B
-31.90%1.61B
77.73%1.63B
71.79%1.64B
9.08%1.26B
9.08%1.26B
91.28%2.37B
Non current deferred assets
----
----
153.19%119M
153.19%119M
----
----
----
17.50%47M
17.50%47M
----
Total assets
-37.50%40M
-62.96%20M
-13.64%57M
-13.64%57M
--65M
540.00%64M
440.00%54M
120.00%66M
120.00%66M
----
Liabilities
Current liabilities
Current debt and capital lease obligation
32.68%1.36B
-5.13%1.42B
45.06%1.92B
45.06%1.92B
--1.05B
-26.68%1.03B
-17.98%1.5B
-10.29%1.33B
-10.29%1.33B
----
-Current debt
33.53%1.33B
-5.36%1.4B
45.57%1.89B
45.57%1.89B
--1.03B
-27.35%999M
-18.28%1.48B
-10.54%1.3B
-10.54%1.3B
----
-Current capital lease obligation
0.00%26M
7.69%28M
19.23%31M
19.23%31M
--25M
13.04%26M
4.00%26M
4.00%26M
4.00%26M
----
-accounts payable
-10.07%125M
-7.04%132M
19.48%184M
19.48%184M
-95.01%166M
28.70%139M
37.86%142M
30.51%154M
30.51%154M
2,538.89%3.33B
-Total tax payable
2.94%20.44B
9.64%21.11B
24.69%23.96B
24.69%23.96B
8.69%19.96B
3.16%19.86B
2.08%19.26B
2.27%19.21B
2.27%19.21B
3.15%18.36B
-Dividends payable
0.00%16M
6.67%16M
14.29%16M
14.29%16M
--16M
14.29%16M
7.14%15M
-12.50%14M
-12.50%14M
----
-Due to related parties current
21.64%624M
-7.50%518M
-1.72%456M
-1.72%456M
--304M
5.77%513M
-13.58%560M
-28.51%464M
-28.51%464M
----
-Other payable
10.24%140M
34.86%147M
7.41%58M
7.41%58M
--114M
-3.79%127M
-21.01%109M
86.21%54M
86.21%54M
----
Current accrued expenses
4.17%325M
38.94%421M
50.73%517M
50.73%517M
--364M
12.23%312M
29.49%303M
28.95%343M
28.95%343M
----
Current provisions
7.69%14M
-6.25%15M
18.75%19M
18.75%19M
--14M
-18.75%13M
6.67%16M
33.33%16M
33.33%16M
----
Current liabilities
-6.64%7.34B
-14.15%7.11B
14.95%8.34B
14.95%8.34B
-30.18%6.09B
-9.64%7.86B
-19.81%8.28B
-19.21%7.25B
-19.21%7.25B
-3.75%8.72B
Non current liabilities
-Long term debt
----
----
39.05%470M
39.05%470M
----
----
----
-2.31%338M
-2.31%338M
----
Non current accrued expenses
-3.77%37.76B
3.19%39.49B
16.42%44.04B
16.42%44.04B
8.43%39.21B
5.32%39.24B
-1.01%38.26B
-0.23%37.83B
-0.23%37.83B
7.42%36.16B
Due to related parties non current
--677M
--676M
46,400.00%930M
46,400.00%930M
----
----
----
--2M
--2M
----
Derivative product liabilities
----
----
138.06%1.38B
138.06%1.38B
--496M
-11.81%448M
-10.00%459M
10.52%578M
10.52%578M
----
Long term provisions
0.54%12.84B
5.18%13.1B
14.22%14.18B
14.22%14.18B
-6.22%12.74B
1.51%12.77B
4.27%12.45B
2.95%12.42B
2.95%12.42B
13.67%13.59B
Employee benefits
----
----
32.56%57M
32.56%57M
----
----
----
-32.81%43M
-32.81%43M
----
Total non current liabilities
0.22%27.77B
2.49%28.22B
22.02%32.29B
22.02%32.29B
-3.82%26.04B
-0.82%27.71B
-5.67%27.54B
-4.67%26.46B
-4.67%26.46B
0.82%27.08B
Shareholders'equity
Retained earnings
-30.27%440M
-15.22%440M
-39.11%520M
-39.11%520M
--516M
-35.87%631M
-27.00%519M
40.46%854M
40.46%854M
----
Other equity interest
-27.16%59M
-2.94%66M
43.40%76M
43.40%76M
--124M
14.08%81M
-23.60%68M
-36.14%53M
-36.14%53M
----
Noncontrolling interests
13.55%637M
7.49%603M
42.79%644M
42.79%644M
9.70%554M
23.57%561M
21.96%561M
-0.88%451M
-0.88%451M
35.75%505M
Total equity
-3.60%42.61B
2.29%44.24B
14.17%49.42B
14.17%49.42B
7.34%43.8B
5.83%44.21B
0.41%43.25B
3.10%43.29B
3.10%43.29B
8.06%40.81B
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 13.41%389M14.00%513M1.38%441M1.38%441M-42.05%328M-39.93%343M-19.35%450M6.10%435M6.10%435M37.05%566M
-Cash and cash equivalents 13.41%389M-14.67%384M1.38%441M1.38%441M-42.05%328M-39.93%343M-19.35%450M6.10%435M6.10%435M37.05%566M
-Accounts receivable -11.24%442M-8.23%502M-0.59%503M-0.59%503M-79.66%482M8.97%498M8.96%547M0.80%506M0.80%506M360.19%2.37B
-Due from related parties current 19.63%1.15B14.68%1.09B132.03%1.43B132.03%1.43B--961M166.02%963M155.95%947M12.23%615M12.23%615M----
-Other receivables 3.33%31M16.67%35M140.00%24M140.00%24M--27M-40.00%30M-45.45%30M-58.33%10M-58.33%10M----
Holding assets for sale -32.61%155M--52M--0--0--0--230M--0--698M--698M----
Total current assets -3.44%2.95B-1.63%2.77B-3.74%3.3B-3.74%3.3B-7.49%2.72B15.56%3.05B13.33%2.82B46.66%3.43B46.66%3.43B24.14%2.94B
Non current assets
Investment properties --244M--308M--------------------------------
-Long term equity investment 0.54%12.84B5.18%13.1B14.87%14.65B14.87%14.65B-6.22%12.74B1.51%12.77B4.27%12.45B2.81%12.75B2.81%12.75B13.67%13.59B
-Including:Held to maturity investments 12.82%132M----16.98%124M16.98%124M--111M48.10%117M130.61%113M82.76%106M82.76%106M----
Financial assets ---------37.42%301M-37.42%301M--342M138.93%356M365.35%470M729.31%481M729.31%481M----
Non current note receivables 26.76%90M3.85%81M45.71%102M45.71%102M-95.36%56M-32.38%71M-39.53%78M-18.60%70M-18.60%70M1,016.67%1.21B
-Goodwill -0.38%794M-11.12%847M-7.52%861M-7.52%861M--814M-22.55%797M-13.91%953M-12.75%931M-12.75%931M----
-Other intangible assets 2.67%5.53B23.88%6.1B-1.46%5.79B-1.46%5.79B59.79%6.68B41.24%5.38B63.24%4.92B60.16%5.87B60.16%5.87B169.37%4.18B
Due from related parties non current --------0.00%9M0.00%9M-------------10.00%9M-10.00%9M----
Regulatory assets 7.43%1.75B1.64%1.67B64.18%2.07B64.18%2.07B-31.90%1.61B77.73%1.63B71.79%1.64B9.08%1.26B9.08%1.26B91.28%2.37B
Non current deferred assets --------153.19%119M153.19%119M------------17.50%47M17.50%47M----
Total assets -37.50%40M-62.96%20M-13.64%57M-13.64%57M--65M540.00%64M440.00%54M120.00%66M120.00%66M----
Liabilities
Current liabilities
Current debt and capital lease obligation 32.68%1.36B-5.13%1.42B45.06%1.92B45.06%1.92B--1.05B-26.68%1.03B-17.98%1.5B-10.29%1.33B-10.29%1.33B----
-Current debt 33.53%1.33B-5.36%1.4B45.57%1.89B45.57%1.89B--1.03B-27.35%999M-18.28%1.48B-10.54%1.3B-10.54%1.3B----
-Current capital lease obligation 0.00%26M7.69%28M19.23%31M19.23%31M--25M13.04%26M4.00%26M4.00%26M4.00%26M----
-accounts payable -10.07%125M-7.04%132M19.48%184M19.48%184M-95.01%166M28.70%139M37.86%142M30.51%154M30.51%154M2,538.89%3.33B
-Total tax payable 2.94%20.44B9.64%21.11B24.69%23.96B24.69%23.96B8.69%19.96B3.16%19.86B2.08%19.26B2.27%19.21B2.27%19.21B3.15%18.36B
-Dividends payable 0.00%16M6.67%16M14.29%16M14.29%16M--16M14.29%16M7.14%15M-12.50%14M-12.50%14M----
-Due to related parties current 21.64%624M-7.50%518M-1.72%456M-1.72%456M--304M5.77%513M-13.58%560M-28.51%464M-28.51%464M----
-Other payable 10.24%140M34.86%147M7.41%58M7.41%58M--114M-3.79%127M-21.01%109M86.21%54M86.21%54M----
Current accrued expenses 4.17%325M38.94%421M50.73%517M50.73%517M--364M12.23%312M29.49%303M28.95%343M28.95%343M----
Current provisions 7.69%14M-6.25%15M18.75%19M18.75%19M--14M-18.75%13M6.67%16M33.33%16M33.33%16M----
Current liabilities -6.64%7.34B-14.15%7.11B14.95%8.34B14.95%8.34B-30.18%6.09B-9.64%7.86B-19.81%8.28B-19.21%7.25B-19.21%7.25B-3.75%8.72B
Non current liabilities
-Long term debt --------39.05%470M39.05%470M-------------2.31%338M-2.31%338M----
Non current accrued expenses -3.77%37.76B3.19%39.49B16.42%44.04B16.42%44.04B8.43%39.21B5.32%39.24B-1.01%38.26B-0.23%37.83B-0.23%37.83B7.42%36.16B
Due to related parties non current --677M--676M46,400.00%930M46,400.00%930M--------------2M--2M----
Derivative product liabilities --------138.06%1.38B138.06%1.38B--496M-11.81%448M-10.00%459M10.52%578M10.52%578M----
Long term provisions 0.54%12.84B5.18%13.1B14.22%14.18B14.22%14.18B-6.22%12.74B1.51%12.77B4.27%12.45B2.95%12.42B2.95%12.42B13.67%13.59B
Employee benefits --------32.56%57M32.56%57M-------------32.81%43M-32.81%43M----
Total non current liabilities 0.22%27.77B2.49%28.22B22.02%32.29B22.02%32.29B-3.82%26.04B-0.82%27.71B-5.67%27.54B-4.67%26.46B-4.67%26.46B0.82%27.08B
Shareholders'equity
Retained earnings -30.27%440M-15.22%440M-39.11%520M-39.11%520M--516M-35.87%631M-27.00%519M40.46%854M40.46%854M----
Other equity interest -27.16%59M-2.94%66M43.40%76M43.40%76M--124M14.08%81M-23.60%68M-36.14%53M-36.14%53M----
Noncontrolling interests 13.55%637M7.49%603M42.79%644M42.79%644M9.70%554M23.57%561M21.96%561M-0.88%451M-0.88%451M35.75%505M
Total equity -3.60%42.61B2.29%44.24B14.17%49.42B14.17%49.42B7.34%43.8B5.83%44.21B0.41%43.25B3.10%43.29B3.10%43.29B8.06%40.81B

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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