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BEPHBrookfield BRP Holdings Canada 4.625% Perpetual Subordinated Notes
$14.64$6.4B
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HomeStocksBEPHQuarterly Cash Flow

Brookfield BRP Holdings Canada 4.625% Perpetual Subordinated Notes (BEPH) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Brookfield BRP Holdings Canada 4.625% Perpetual Subordinated Notes (BEPH) quarterly cash flow statement — complete operating, investing & financing history

BEPH Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations148.91M345.29M381.54M384.98M385.83M218.66M500.08M231.68M322.55M468.34M359.2M386.04M
Operating CF Growth %-61.41%57.91%-23.7%66.17%19.62%-53.31%39.22%-39.98%-51.35%-17.68%-3.26%-11%
Operating CF / Revenue %9.81%22.1%23.91%22.75%24.42%15.27%34.02%15.63%21.62%35.4%30.47%32.04%
Net Income-113.41M416.3M-56.37M-54.89M-92.72M-8.75M-83.67M-69.99M-55.75M14.39M-29.62M-18.24M
Depreciation & Amortization540.41M631.56M604.23M619.03M581.24M463.54M518.13M516.89M499.76M531.29M442.31M464.05M
Stock-Based Compensation000000000000
Other Non-Cash Items-142.99M-397.52M-77.85M44.99M-78.76M-6.09M-82.98M-70.69M-40.82M-187.72M-136.7M-1.23M
Working Capital Changes-88.75M-230.95M-23.98M-37.66M20.94M-183.54M119.48M-147.41M-66.7M264.2M71.29M-40.31M
Cash from Investing960.51M-3.1B-1.27B-2.06B-3.43B-2.4B-823.45M-746.74M-705.83M-2.09B-152.82M390.08M
Acquisitions (Net)2.45B-664.61M767.75M-682.61M-1.83B-465M204.86M326.63M139.37M-312.33M510.55M657.63M
Purchase of Investments-250.48M0-209.65M-190.74M-93.72M-873M-148.63M-333.59M-4.98M-593.31M-102.66M-139.38M
Sale of Investments986.15K2.44B-1.7M299.1M55.83M3.33M88.37M85.42M6.97M20.21M32.47M365.97M
Other Investing0-3.04B-83.28M16.98M-21.93M58.54M-46.19M-5.04M-10.95M-35.64M4.96M-4.06M
Cash from Financing-1.05B3B922.3M1.58B1.82B4.05B337.44M372.2M667.01M1.71B-357.2M-727.77M
Dividends Paid-310.64M-293.57M-283.73M-285.51M-282.14M-256.64M-268.13M-270.92M-258.84M-257.16M-247.54M-249.26M
Common Dividends-310.64M-293.57M-283.73M-285.51M-282.14M-256.64M-268.13M-270.92M-258.84M-257.16M-247.54M-249.26M
Debt Issuance (Net)1000K1000K1000K1000K1000K1000K1000K1000K-1000K1000K1000K-1000K
Share Repurchases-85.79M0265.89K-6.74M-26.92M-485.43K-9.82K-154.08M-27.87M-31.59M-11.9M0
Other Financing-2.97B-470.7M-473.98M740.04M821.51M3.51B-58.2M-374.77M1.15B-1.12B-269.77M392.32M
Net Change in Cash165.32M229.36K-123.95M-14.19M-1.19B1.82B65.7M-153.49M241.68M271.22M-163.32M70.83M
Exchange Rate Effect103.19M-242.7M-162.61M79.46M40.41M-55.12M51.63M-10.63M-42.04M186.65M-12.5M22.47M
Cash at Beginning2.31B2.09B2.21B2.23B3.42B1.6B1.53B1.69B1.44B1.17B1.34B1.26B
Cash at End2.47B2.09B2.09B2.21B2.23B3.42B1.6B1.53B1.69B1.44B1.17B1.34B
Free Cash Flow-1.09B-1.49B-1.36B-1.12B-1.16B-901.13M-421.79M-588.48M-513.7M-705.22M-238.93M-104.04M
FCF Growth %5.52%-65.53%-221.67%-89.58%-124.94%-27.78%-76.53%-465.64%-664.46%-420.92%-39.76%-808.03%
FCF / Revenue %-71.88%-95.45%-85.01%-65.94%-73.13%-62.93%-28.69%-39.71%-34.43%-53.3%-20.27%-8.63%