Brookfield Renewable Partners Ratios (2012-2025) | BEPJ

Ratios Dec2012 Jun2013 Sep2013 Dec2013 Jun2014 Sep2014 Dec2014 Jun2015 Dec2015 Dec2016 Jun2017 Dec2017 Jun2018 Dec2018 Jun2019 Dec2019 Mar2020 Jun2020 Dec2020 Jun2021 Dec2021 Jun2022 Dec2022 Mar2023 Jun2023 Sep2023 Dec2023 Mar2024 Jun2024 Sep2024 Dec2024 Mar2025 Jun2025 Sep2025 Dec2025
Profitability
Gross Margin 59.62%72.11%64.29%67.18%73.84%61.40%66.18%70.74%63.78%54.82%100.00%94.47%69.87%71.27%68.73%71.48%64.73%57.93%53.82%57.51%58.30%57.62%50.77%57.28%58.69%54.82%47.50%
EBT Margin 59.62%72.11%64.29%67.18%73.84%61.40%66.18%70.74%63.78%54.82%100.00%91.99%94.01%94.35%98.08%100.19%98.09%89.31%88.66%89.41%91.30%92.59%86.31%95.82%95.57%91.54%88.95%
EBIT Margin 59.62%72.11%64.29%67.18%73.84%61.40%66.18%70.74%63.78%54.82%100.00%91.99%69.87%71.27%68.73%71.48%64.73%57.93%53.82%57.51%58.30%57.62%50.77%57.28%58.69%54.82%47.50%
EBITDA Margin 61.51%73.76%66.33%69.21%75.95%65.20%66.91%74.02%65.82%56.57%0.00%333.33%91.99%50.05%42.94%68.73%71.48%48.63%57.93%53.82%57.51%58.30%57.62%50.77%57.28%58.69%54.82%47.50%
Operating Margin 59.62%72.11%64.29%67.18%73.84%61.40%66.18%70.74%63.78%54.82%100.00%91.99%69.87%71.27%68.73%71.48%64.73%57.93%53.82%57.51%58.30%57.62%50.77%57.28%58.69%54.82%47.50%
Net Margin 59.62%73.76%65.31%68.19%75.11%62.87%65.93%71.83%64.03%54.82%100.00%20,783.72%89.70%1,646.77%-6.18%1,981.20%0.08%-6.86%-3.00%-3.24%-5.43%2.65%-8.04%-10.39%-12.31%-0.63%-12.47%83.92%-7.52%26.64%
FCF Margin 55.47%37.97%0.00%13,400.00%23.95%69.62%18.65%71.87%15.69%39.53%18.57%70.92%11.02%21.72%15.70%109.75%15.04%22.74%
Efficiency
Assets Average 28.16B29.53B30.50B46.42B48.58B35.08B39.76B38.55B36.40B45.30B46.55B49.51B60.57B63.43B64.33B50.25B55.36B55.36B54.20B
Invested Capital 15.21B13.17B0.93B18.70B0.14B19.78B0.48B0.16B19.79B0.76B23.47B0.36B28.95B0.69B33.66B0.85B0.01B70.85B7.13B34.97B
Asset Utilization Ratio 0.050.03655.820.00411.680.00503.01518.87-0.020.05-0.020.070.060.070.070.090.090.090.10
Leverage & Solvency
Interest Coverage Ratio 0.01B-2.89-3.09-2.34-2.49-1.94-1.85-1.54-1.80-1.77-1.65-1.43-1.49-1.59-1.49-1.15
Debt to Equity 2.950.900.540.710.820.971.061.870.150.11
Debt Ratio 0.360.120.360.070.050.090.050.060.080.060.090.040.070.050.100.050.060.110.04
Equity Ratio 0.120.130.130.130.100.100.060.050.380.35
Times Interest Earned 0.01B-2.89-3.09-2.34-2.49-1.94-1.85-1.54-1.80-1.77-1.65-1.43-1.49-1.59-1.49-1.15
Valuation
Enterprise Value -229.16B-0.15B-0.06B-0.06B5.30B5.75B9.15B11.49B10.52B-0.79B10.74B16.23B16.32B18.06B17.01B20.31B-2.58B17.52B-3.39B-0.10B19.98B-4.68B-2.09B
Return Ratios
Return on Sales 0.60%0.74%0.65%0.68%0.75%0.63%0.66%0.72%0.64%0.55%0.63%0.59%1.00%-133,333.25%1.00%-232,557.99%0.90%0.00%-1.32%0.94%-1.33%0.94%0.98%1.00%0.97%0.89%0.89%0.89%0.93%0.93%0.86%0.96%0.84%0.92%0.89%
Return on Capital Employed 710.81%535.62%478.37%442.72%0.06%0.05%0.06%0.07%
Return on Invested Capital 1,875.52%2.10%2.79%0.76%
Return on Assets 0.03%0.02%655.81%430.82%411.68%570.10%0.02%0.02%0.03%0.04%0.02%0.04%0.06%0.05%0.07%0.09%0.08%0.09%0.09%