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Brookfield Infrastructure Partners LP (BIP)

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  • 38.070
  • +0.630+1.68%
Close May 12 16:00 ET
  • 38.170
  • +0.100+0.26%
Post 17:08 ET
17.51BMarket Cap57.68P/E (TTM)

Brookfield Infrastructure Partners LP (BIP) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
2.88%893M
28.33%5.97B
30.94%2.04B
56.62%1.87B
12.49%1.19B
3.21%868M
14.10%4.65B
4.69%1.56B
8.55%1.19B
8.97%1.06B
Net income from continuing operations
-71.86%148M
50.45%2.53B
122.62%1B
220.51%750M
36.96%252M
-35.38%526M
16.23%1.68B
63.41%451M
-8.59%234M
-76.20%184M
Operating gains losses
1.42%143M
83.06%-21M
-131.08%-342M
322.73%93M
98.28%115M
984.62%141M
-123.66%-124M
-144.44%-148M
-26.67%22M
-46.79%58M
Depreciation and amortization
11.98%1.08B
10.43%4.02B
10.39%1.07B
22.95%1.05B
6.69%941M
2.56%960M
33.04%3.64B
22.57%972M
27.65%854M
39.56%882M
Deferred tax
-34.21%-51M
51.85%-156M
-180.60%-188M
303.57%114M
13.73%-44M
74.67%-38M
-6,580.00%-324M
-578.57%-67M
-1,300.00%-56M
-234.21%-51M
Other non cash items
245.95%216M
----
----
-317.39%-200M
-59.42%28M
58.07%-148M
----
----
-41.03%92M
122.33%69M
Change In working capital
-11.34%-638M
-80.53%-408M
9.94%177M
31.25%63M
-368.75%-75M
-36.75%-573M
64.58%-226M
30.89%161M
785.71%48M
94.14%-16M
-Change in receivables
----
-697.06%-812M
----
----
----
----
209.68%136M
----
----
----
-Change in prepaid assets
----
-2,030.77%-277M
----
----
----
----
97.24%-13M
----
----
----
-Change in payables and accrued expense
----
295.13%681M
----
----
----
----
-711.63%-349M
----
----
----
Cash from discontinued investing activities
Operating cash flow
2.88%893M
28.33%5.97B
30.94%2.04B
56.62%1.87B
12.49%1.19B
3.21%868M
14.10%4.65B
4.69%1.56B
8.55%1.19B
8.97%1.06B
Investing cash flow
Cash flow from continuing investing activities
-855.77%-994M
-83.47%-12.66B
-57.14%-1.96B
-339.11%-10.14B
61.25%-460M
95.18%-104M
46.87%-6.9B
-7.14%-1.25B
62.36%-2.31B
-256.18%-1.19B
Net PPE purchase and sale
-154.64%-2.03B
-30.62%-5.7B
-64.45%-1.9B
-136.30%-2.04B
-11.37%-960M
46.19%-798M
-87.78%-4.37B
-62.13%-1.16B
-40.42%-865M
-70.02%-862M
Net business purchase and sale
149.88%1.08B
-144.35%-6.83B
-310.56%-583M
-329.47%-7.19B
256.35%505M
165.50%431M
72.42%-2.8B
64.14%-142M
69.77%-1.67B
-127.01%-323M
Net investment purchase and sale
-92.70%17M
-104.65%-18M
-117.39%-8M
-193.56%-218M
-131.25%-25M
732.14%233M
102.62%387M
185.19%46M
237.68%233M
42.86%80M
Net other investing changes
-286.67%-56M
14.29%-108M
8,800.00%534M
-17,200.00%-692M
124.39%20M
165.22%30M
82.50%-126M
--6M
92.31%-4M
-646.67%-82M
Cash from discontinued investing activities
Investing cash flow
-855.77%-994M
-83.47%-12.66B
-57.14%-1.96B
-339.11%-10.14B
61.25%-460M
95.18%-104M
46.87%-6.9B
-7.14%-1.25B
62.36%-2.31B
-256.18%-1.19B
Financing cash flow
Cash flow from continuing financing activities
54.28%-641M
199.31%7.82B
100.38%523M
527.15%8.59B
238.16%105M
-232.64%-1.4B
-72.27%2.61B
50.00%261M
-72.73%1.37B
96.03%-76M
Net issuance payments of debt
232.45%649M
-5.70%7.69B
112.64%2.05B
105.18%4.51B
7.30%1.62B
-114.06%-490M
51.85%8.16B
53.91%965M
61.45%2.2B
11,492.31%1.51B
Net common stock issuance
1,350.00%29M
-181.82%-9M
500.00%12M
0.00%3M
-966.67%-26M
-33.33%2M
184.62%11M
108.70%2M
50.00%3M
50.00%3M
Net preferred stock issuance
----
---181M
---91M
--0
---90M
----
--0
--0
--0
--0
Cash dividends paid
-5.49%-461M
-6.02%-1.74B
-5.84%-435M
-5.84%-435M
-6.08%-436M
-6.33%-437M
-8.44%-1.64B
-6.48%-411M
-9.02%-411M
-9.02%-411M
Net other financing activities
-79.87%-858M
152.67%2.06B
-244.07%-1.02B
1,171.73%4.51B
18.30%-960M
76.39%-477M
-170.13%-3.91B
-570.45%-295M
-110.43%-421M
24.34%-1.18B
Cash from discontinued financing activities
Financing cash flow
54.28%-641M
199.31%7.82B
100.38%523M
527.15%8.59B
238.16%105M
-232.64%-1.4B
-72.27%2.61B
50.00%261M
-72.73%1.37B
96.03%-76M
Net cash flow
Beginning cash position
54.56%3.2B
11.52%2.07B
63.11%2.61B
76.62%2.34B
-7.41%1.46B
11.52%2.07B
45.19%1.86B
22.57%1.6B
-3.91%1.33B
4.29%1.58B
Current changes in cash
-16.30%-742M
209.89%1.13B
5.73%609M
26.67%323M
504.85%834M
-144.44%-638M
-28.21%364M
14.74%576M
2,418.18%255M
-11.35%-206M
Effect of exchange rate changes
-101.45%-1M
131.33%47M
64.49%-38M
-185.71%-18M
170.83%34M
531.25%69M
-311.27%-150M
-354.76%-107M
133.87%21M
-196.00%-48M
End cash Position
68.01%2.46B
54.56%3.2B
54.56%3.2B
63.11%2.61B
76.62%2.34B
-7.41%1.46B
11.52%2.07B
11.52%2.07B
22.57%1.6B
-3.91%1.33B
Free cash flow
-60,900.00%-1.22B
83.54%-53M
-95.10%15M
-752.78%-235M
156.06%169M
99.73%-2M
-120.24%-322M
-55.97%306M
-92.48%36M
-83.42%66M
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, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 2.88%893M28.33%5.97B30.94%2.04B56.62%1.87B12.49%1.19B3.21%868M14.10%4.65B4.69%1.56B8.55%1.19B8.97%1.06B
Net income from continuing operations -71.86%148M50.45%2.53B122.62%1B220.51%750M36.96%252M-35.38%526M16.23%1.68B63.41%451M-8.59%234M-76.20%184M
Operating gains losses 1.42%143M83.06%-21M-131.08%-342M322.73%93M98.28%115M984.62%141M-123.66%-124M-144.44%-148M-26.67%22M-46.79%58M
Depreciation and amortization 11.98%1.08B10.43%4.02B10.39%1.07B22.95%1.05B6.69%941M2.56%960M33.04%3.64B22.57%972M27.65%854M39.56%882M
Deferred tax -34.21%-51M51.85%-156M-180.60%-188M303.57%114M13.73%-44M74.67%-38M-6,580.00%-324M-578.57%-67M-1,300.00%-56M-234.21%-51M
Other non cash items 245.95%216M---------317.39%-200M-59.42%28M58.07%-148M---------41.03%92M122.33%69M
Change In working capital -11.34%-638M-80.53%-408M9.94%177M31.25%63M-368.75%-75M-36.75%-573M64.58%-226M30.89%161M785.71%48M94.14%-16M
-Change in receivables -----697.06%-812M----------------209.68%136M------------
-Change in prepaid assets -----2,030.77%-277M----------------97.24%-13M------------
-Change in payables and accrued expense ----295.13%681M-----------------711.63%-349M------------
Cash from discontinued investing activities
Operating cash flow 2.88%893M28.33%5.97B30.94%2.04B56.62%1.87B12.49%1.19B3.21%868M14.10%4.65B4.69%1.56B8.55%1.19B8.97%1.06B
Investing cash flow
Cash flow from continuing investing activities -855.77%-994M-83.47%-12.66B-57.14%-1.96B-339.11%-10.14B61.25%-460M95.18%-104M46.87%-6.9B-7.14%-1.25B62.36%-2.31B-256.18%-1.19B
Net PPE purchase and sale -154.64%-2.03B-30.62%-5.7B-64.45%-1.9B-136.30%-2.04B-11.37%-960M46.19%-798M-87.78%-4.37B-62.13%-1.16B-40.42%-865M-70.02%-862M
Net business purchase and sale 149.88%1.08B-144.35%-6.83B-310.56%-583M-329.47%-7.19B256.35%505M165.50%431M72.42%-2.8B64.14%-142M69.77%-1.67B-127.01%-323M
Net investment purchase and sale -92.70%17M-104.65%-18M-117.39%-8M-193.56%-218M-131.25%-25M732.14%233M102.62%387M185.19%46M237.68%233M42.86%80M
Net other investing changes -286.67%-56M14.29%-108M8,800.00%534M-17,200.00%-692M124.39%20M165.22%30M82.50%-126M--6M92.31%-4M-646.67%-82M
Cash from discontinued investing activities
Investing cash flow -855.77%-994M-83.47%-12.66B-57.14%-1.96B-339.11%-10.14B61.25%-460M95.18%-104M46.87%-6.9B-7.14%-1.25B62.36%-2.31B-256.18%-1.19B
Financing cash flow
Cash flow from continuing financing activities 54.28%-641M199.31%7.82B100.38%523M527.15%8.59B238.16%105M-232.64%-1.4B-72.27%2.61B50.00%261M-72.73%1.37B96.03%-76M
Net issuance payments of debt 232.45%649M-5.70%7.69B112.64%2.05B105.18%4.51B7.30%1.62B-114.06%-490M51.85%8.16B53.91%965M61.45%2.2B11,492.31%1.51B
Net common stock issuance 1,350.00%29M-181.82%-9M500.00%12M0.00%3M-966.67%-26M-33.33%2M184.62%11M108.70%2M50.00%3M50.00%3M
Net preferred stock issuance -------181M---91M--0---90M------0--0--0--0
Cash dividends paid -5.49%-461M-6.02%-1.74B-5.84%-435M-5.84%-435M-6.08%-436M-6.33%-437M-8.44%-1.64B-6.48%-411M-9.02%-411M-9.02%-411M
Net other financing activities -79.87%-858M152.67%2.06B-244.07%-1.02B1,171.73%4.51B18.30%-960M76.39%-477M-170.13%-3.91B-570.45%-295M-110.43%-421M24.34%-1.18B
Cash from discontinued financing activities
Financing cash flow 54.28%-641M199.31%7.82B100.38%523M527.15%8.59B238.16%105M-232.64%-1.4B-72.27%2.61B50.00%261M-72.73%1.37B96.03%-76M
Net cash flow
Beginning cash position 54.56%3.2B11.52%2.07B63.11%2.61B76.62%2.34B-7.41%1.46B11.52%2.07B45.19%1.86B22.57%1.6B-3.91%1.33B4.29%1.58B
Current changes in cash -16.30%-742M209.89%1.13B5.73%609M26.67%323M504.85%834M-144.44%-638M-28.21%364M14.74%576M2,418.18%255M-11.35%-206M
Effect of exchange rate changes -101.45%-1M131.33%47M64.49%-38M-185.71%-18M170.83%34M531.25%69M-311.27%-150M-354.76%-107M133.87%21M-196.00%-48M
End cash Position 68.01%2.46B54.56%3.2B54.56%3.2B63.11%2.61B76.62%2.34B-7.41%1.46B11.52%2.07B11.52%2.07B22.57%1.6B-3.91%1.33B
Free cash flow -60,900.00%-1.22B83.54%-53M-95.10%15M-752.78%-235M156.06%169M99.73%-2M-120.24%-322M-55.97%306M-92.48%36M-83.42%66M
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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