US Stock MarketDetailed Quotes

BIP Brookfield Infrastructure Partners LP

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  • 35.350
  • +0.520+1.49%
Close Nov 27 16:00 ET
  • 36.050
  • +0.700+1.98%
Post 20:01 ET
16.32BMarket Cap-93026P/E (TTM)

Brookfield Infrastructure Partners LP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
8.55%1.19B
8.97%1.06B
62.67%841M
30.25%4.08B
51.22%1.49B
62.72%1.1B
32.15%970M
-29.66%517M
12.95%3.13B
74.51%986M
Net income from continuing operations
-8.59%234M
-76.20%184M
469.23%814M
5.31%1.45B
-6.44%276M
-29.09%256M
81.88%773M
-51.36%143M
-49.43%1.38B
-36.42%295M
Operating gains losses
-26.67%22M
-110.09%-11M
-75.00%13M
25.96%524M
-25.84%333M
--30M
187.90%109M
-25.71%52M
124.48%416M
634.52%449M
Depreciation and amortization
27.65%854M
39.56%882M
45.12%936M
26.92%2.74B
46.31%793M
28.65%669M
14.49%632M
18.57%645M
5.99%2.16B
-1.45%542M
Deferred tax
-1,300.00%-56M
-234.21%-51M
-248.84%-150M
-94.19%5M
-54.84%14M
-106.35%-4M
246.15%38M
-338.89%-43M
-64.17%86M
186.11%31M
Other non cash items
-41.03%92M
122.33%69M
-275.62%-353M
----
----
--156M
---309M
--201M
----
----
Change In working capital
785.71%48M
94.14%-16M
12.89%-419M
29.42%-638M
137.16%123M
97.39%-7M
-193.55%-273M
-126.89%-481M
-72.52%-904M
-0.61%-331M
-Change in receivables
----
----
----
72.13%-124M
----
----
----
----
-134.21%-445M
----
-Change in prepaid assets
----
----
----
-302.56%-471M
----
----
----
----
-963.64%-117M
----
-Change in payables and accrued expense
----
----
----
87.43%-43M
----
----
----
----
-5.88%-342M
----
Cash from discontinued investing activities
Operating cash flow
8.55%1.19B
8.97%1.06B
62.67%841M
30.25%4.08B
51.22%1.49B
62.72%1.1B
32.15%970M
-29.66%517M
12.95%3.13B
74.51%986M
Investing cash flow
Cash flow from continuing investing activities
62.36%-2.31B
-256.18%-1.19B
66.54%-2.16B
-286.03%-12.99B
-119.85%-1.16B
-443.79%-6.13B
230.14%760M
-474.11%-6.45B
-186.87%-3.37B
-11.13%-529M
Net PPE purchase and sale
-40.42%-865M
-70.02%-862M
-203.27%-1.48B
14.96%-2.33B
-8.03%-713M
19.05%-616M
29.88%-507M
17.12%-489M
-37.94%-2.73B
2.94%-660M
Net business purchase and sale
69.77%-1.67B
-127.01%-323M
--0
-1,065.06%-10.14B
-1,337.50%-396M
-1,092.89%-5.54B
1,927.12%1.2B
-41.25%-702M
-212.55%-870M
160.38%32M
Net investment purchase and sale
256.52%246M
42.86%80M
-80.99%23M
-20.08%191M
-154.55%-54M
-28.87%69M
-30.00%56M
368.89%121M
563.89%239M
-61.48%99M
Net other investing changes
67.31%-17M
-646.67%-82M
87.01%-699M
---720M
--0
---52M
--15M
-67,387.50%-5.38B
----
----
Cash from discontinued investing activities
Investing cash flow
62.36%-2.31B
-256.18%-1.19B
66.54%-2.16B
-286.03%-12.99B
-119.85%-1.16B
-443.79%-6.13B
230.14%760M
-474.11%-6.45B
-186.87%-3.37B
-11.13%-529M
Financing cash flow
Cash flow from continuing financing activities
-72.73%1.37B
96.03%-76M
-82.78%1.06B
16,719.64%9.42B
142.03%174M
1,283.75%5.02B
-177.54%-1.92B
670.01%6.14B
105.63%56M
39.21%-414M
Net issuance payments of debt
61.45%2.2B
11,492.31%1.51B
-11.42%3.1B
58.72%5.37B
35.42%627M
91.83%1.36B
-98.77%13M
245.36%3.5B
163.76%3.38B
144.14%463M
Net common stock issuance
50.00%3M
50.00%3M
-50.00%3M
--0
-600.00%-10M
-33.33%2M
-50.00%2M
50.00%6M
-121.68%-230M
-99.81%2M
Cash dividends paid
-9.02%-411M
-9.02%-411M
-9.31%-411M
-6.91%-1.52B
-9.35%-386M
-6.50%-377M
-6.50%-377M
-5.32%-376M
-12.81%-1.42B
-6.65%-353M
Net other financing activities
-110.43%-421M
24.34%-1.18B
-154.48%-1.64B
431.19%5.56B
89.16%-57M
100,800.00%4.04B
-11.09%-1.55B
692.88%3.01B
19.31%-1.68B
-44.11%-526M
Cash from discontinued financing activities
Financing cash flow
-72.73%1.37B
96.03%-76M
-82.78%1.06B
16,719.64%9.42B
142.03%174M
1,283.75%5.02B
-177.54%-1.92B
670.01%6.14B
105.63%56M
39.21%-414M
Net cash flow
Beginning cash position
-3.91%1.33B
4.29%1.58B
45.19%1.86B
-9.03%1.28B
24.12%1.31B
6.07%1.38B
-23.06%1.52B
-9.03%1.28B
62.17%1.41B
-42.77%1.05B
Current changes in cash
2,418.18%255M
-11.35%-206M
-229.85%-261M
384.83%507M
1,067.44%502M
87.64%-11M
65.74%-185M
-50.74%201M
-129.47%-178M
107.26%43M
Effect of exchange rate changes
133.87%21M
-196.00%-48M
-139.02%-16M
-19.32%71M
-52.81%42M
-6.90%-62M
151.02%50M
-73.55%41M
235.38%88M
3,066.67%89M
End cash Position
22.57%1.6B
-3.91%1.33B
4.29%1.58B
45.19%1.86B
45.19%1.86B
24.12%1.31B
6.07%1.38B
-23.06%1.52B
-9.03%1.28B
-9.03%1.28B
Free cash flow
-92.48%36M
-83.42%66M
-2,392.86%-642M
346.91%1.59B
121.34%695M
615.05%479M
39,900.00%398M
-79.41%28M
-49.50%356M
286.90%314M
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
--
(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(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 8.55%1.19B8.97%1.06B62.67%841M30.25%4.08B51.22%1.49B62.72%1.1B32.15%970M-29.66%517M12.95%3.13B74.51%986M
Net income from continuing operations -8.59%234M-76.20%184M469.23%814M5.31%1.45B-6.44%276M-29.09%256M81.88%773M-51.36%143M-49.43%1.38B-36.42%295M
Operating gains losses -26.67%22M-110.09%-11M-75.00%13M25.96%524M-25.84%333M--30M187.90%109M-25.71%52M124.48%416M634.52%449M
Depreciation and amortization 27.65%854M39.56%882M45.12%936M26.92%2.74B46.31%793M28.65%669M14.49%632M18.57%645M5.99%2.16B-1.45%542M
Deferred tax -1,300.00%-56M-234.21%-51M-248.84%-150M-94.19%5M-54.84%14M-106.35%-4M246.15%38M-338.89%-43M-64.17%86M186.11%31M
Other non cash items -41.03%92M122.33%69M-275.62%-353M----------156M---309M--201M--------
Change In working capital 785.71%48M94.14%-16M12.89%-419M29.42%-638M137.16%123M97.39%-7M-193.55%-273M-126.89%-481M-72.52%-904M-0.61%-331M
-Change in receivables ------------72.13%-124M-----------------134.21%-445M----
-Change in prepaid assets -------------302.56%-471M-----------------963.64%-117M----
-Change in payables and accrued expense ------------87.43%-43M-----------------5.88%-342M----
Cash from discontinued investing activities
Operating cash flow 8.55%1.19B8.97%1.06B62.67%841M30.25%4.08B51.22%1.49B62.72%1.1B32.15%970M-29.66%517M12.95%3.13B74.51%986M
Investing cash flow
Cash flow from continuing investing activities 62.36%-2.31B-256.18%-1.19B66.54%-2.16B-286.03%-12.99B-119.85%-1.16B-443.79%-6.13B230.14%760M-474.11%-6.45B-186.87%-3.37B-11.13%-529M
Net PPE purchase and sale -40.42%-865M-70.02%-862M-203.27%-1.48B14.96%-2.33B-8.03%-713M19.05%-616M29.88%-507M17.12%-489M-37.94%-2.73B2.94%-660M
Net business purchase and sale 69.77%-1.67B-127.01%-323M--0-1,065.06%-10.14B-1,337.50%-396M-1,092.89%-5.54B1,927.12%1.2B-41.25%-702M-212.55%-870M160.38%32M
Net investment purchase and sale 256.52%246M42.86%80M-80.99%23M-20.08%191M-154.55%-54M-28.87%69M-30.00%56M368.89%121M563.89%239M-61.48%99M
Net other investing changes 67.31%-17M-646.67%-82M87.01%-699M---720M--0---52M--15M-67,387.50%-5.38B--------
Cash from discontinued investing activities
Investing cash flow 62.36%-2.31B-256.18%-1.19B66.54%-2.16B-286.03%-12.99B-119.85%-1.16B-443.79%-6.13B230.14%760M-474.11%-6.45B-186.87%-3.37B-11.13%-529M
Financing cash flow
Cash flow from continuing financing activities -72.73%1.37B96.03%-76M-82.78%1.06B16,719.64%9.42B142.03%174M1,283.75%5.02B-177.54%-1.92B670.01%6.14B105.63%56M39.21%-414M
Net issuance payments of debt 61.45%2.2B11,492.31%1.51B-11.42%3.1B58.72%5.37B35.42%627M91.83%1.36B-98.77%13M245.36%3.5B163.76%3.38B144.14%463M
Net common stock issuance 50.00%3M50.00%3M-50.00%3M--0-600.00%-10M-33.33%2M-50.00%2M50.00%6M-121.68%-230M-99.81%2M
Cash dividends paid -9.02%-411M-9.02%-411M-9.31%-411M-6.91%-1.52B-9.35%-386M-6.50%-377M-6.50%-377M-5.32%-376M-12.81%-1.42B-6.65%-353M
Net other financing activities -110.43%-421M24.34%-1.18B-154.48%-1.64B431.19%5.56B89.16%-57M100,800.00%4.04B-11.09%-1.55B692.88%3.01B19.31%-1.68B-44.11%-526M
Cash from discontinued financing activities
Financing cash flow -72.73%1.37B96.03%-76M-82.78%1.06B16,719.64%9.42B142.03%174M1,283.75%5.02B-177.54%-1.92B670.01%6.14B105.63%56M39.21%-414M
Net cash flow
Beginning cash position -3.91%1.33B4.29%1.58B45.19%1.86B-9.03%1.28B24.12%1.31B6.07%1.38B-23.06%1.52B-9.03%1.28B62.17%1.41B-42.77%1.05B
Current changes in cash 2,418.18%255M-11.35%-206M-229.85%-261M384.83%507M1,067.44%502M87.64%-11M65.74%-185M-50.74%201M-129.47%-178M107.26%43M
Effect of exchange rate changes 133.87%21M-196.00%-48M-139.02%-16M-19.32%71M-52.81%42M-6.90%-62M151.02%50M-73.55%41M235.38%88M3,066.67%89M
End cash Position 22.57%1.6B-3.91%1.33B4.29%1.58B45.19%1.86B45.19%1.86B24.12%1.31B6.07%1.38B-23.06%1.52B-9.03%1.28B-9.03%1.28B
Free cash flow -92.48%36M-83.42%66M-2,392.86%-642M346.91%1.59B121.34%695M615.05%479M39,900.00%398M-79.41%28M-49.50%356M286.90%314M
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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Price Target

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