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BPYPO Brookfield Property Partners LP

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  • 15.917
  • -0.153-0.95%
Trading Nov 15 11:36 ET
0Market Cap0.00P/E (TTM)

Brookfield Property Partners LP 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
4,840.00%237M
130.46%258M
-1,164.15%-670M
97.94%-4M
142.37%186M
-125.00%-5M
-251.25%-847M
-108.75%-53M
-336.59%-194M
75.62%-439M
Net income from continuing operations
-72.27%-789M
-79.95%-709M
-285.64%-1.85B
48.36%-630M
-9,275.00%-367M
-188.08%-458M
-123.29%-394M
-71.53%996M
-172.53%-1.22B
-99.00%4M
Operating gains losses
51.61%470M
22.77%124M
228.08%1.62B
-64.12%756M
55.44%457M
143.66%310M
108.44%101M
117.62%495M
261.83%2.11B
327.91%294M
Depreciation and amortization
7.62%113M
4.50%116M
53.31%440M
62.32%112M
64.71%112M
54.41%105M
35.37%111M
-6.82%287M
-18.82%69M
-21.84%68M
Deferred tax
95.83%-5M
115.00%12M
-569.49%-554M
-212.58%-472M
2.61%118M
-5,900.00%-120M
-151.28%-80M
-66.85%118M
-189.88%-151M
187.50%115M
Other non cash items
--1M
-54.55%5M
-51.11%22M
-114.29%-1M
500.00%12M
--0
-65.63%11M
87.50%45M
163.64%7M
-92.86%2M
Change In working capital
116.37%370M
207.51%558M
136.05%314M
180.07%245M
168.47%417M
208.92%171M
-358.21%-519M
-363.30%-871M
-10.87%-306M
70.16%-609M
Cash from discontinued investing activities
Operating cash flow
4,860.00%238M
130.46%258M
-1,164.15%-670M
97.42%-5M
142.60%187M
-125.00%-5M
-251.25%-847M
-108.75%-53M
-336.59%-194M
75.62%-439M
Investing cash flow
Cash flow from continuing investing activities
-176.37%-2.47B
-170.27%-400M
-138.16%-2.98B
-128.81%-1.18B
-261.10%-762M
-183.61%-893M
-106.79%-148M
4,191.76%7.81B
220.20%4.09B
58.72%473M
Net PPE purchase and sale
144.34%47M
-136.73%-36M
-102.01%-301M
-135.19%-127M
-1,206.67%-166M
-404.76%-106M
210.11%98M
-168.66%-149M
-117.20%-54M
144.12%15M
Net business purchase and sale
-91.59%26M
-48.69%586M
-73.67%1.73B
-70.37%1.12B
-408.09%-838M
29.29%309M
-50.13%1.14B
11,045.00%6.57B
12,886.21%3.77B
40.21%272M
Net investment purchase and sale
25.27%-139M
144.16%34M
-215.50%-939M
-1,093.45%-1.67B
549.02%993M
-144.29%-186M
-206.94%-77M
3,634.78%813M
-2.33%168M
1,192.86%153M
Net other investing changes
96.61%-2M
-68.42%12M
-118.42%-21M
-88.99%12M
-125.00%-12M
-31.11%-59M
1,800.00%38M
141.30%114M
265.15%109M
151.06%48M
Cash from discontinued investing activities
Investing cash flow
-176.37%-2.47B
-170.27%-400M
-138.16%-2.98B
-128.81%-1.18B
-261.10%-762M
-183.61%-893M
-106.79%-148M
4,191.76%7.81B
220.20%4.09B
58.72%473M
Financing cash flow
Cash flow from continuing financing activities
177.44%2.08B
420.97%398M
130.09%1.94B
148.04%932M
228.24%386M
192.24%749M
96.36%-124M
-869.67%-6.46B
-110.41%-1.94B
-122.12%-301M
Net issuance payments of debt
135.00%489M
110.29%124M
19.38%-1.36B
174.24%885M
-41.21%361M
-871.82%-1.4B
6.23%-1.21B
-694.35%-1.68B
-1,679.10%-1.19B
17.85%614M
Net common stock issuance
107.84%41M
-58.53%462M
33,400.00%1.67B
36,000.00%1.08B
---3M
-26,050.00%-523M
--1.11B
99.72%-5M
-100.24%-3M
--0
Net preferred stock issuance
----
-450.00%-11M
383.33%261M
----
----
----
---2M
-91.44%54M
----
----
Cash dividends paid
-0.93%-326M
-7.24%-326M
-5.11%-1.28B
-6.60%-323M
-6.91%-325M
-6.95%-323M
0.00%-304M
-31.56%-1.21B
-8.21%-303M
0.98%-304M
Net other financing activities
-37.69%1.86B
-45.42%149M
173.31%2.65B
-95.16%-968M
157.77%353M
533.96%2.99B
115.03%273M
-417.40%-3.61B
79.82%-496M
-114.63%-611M
Cash from discontinued financing activities
Financing cash flow
177.44%2.08B
420.97%398M
130.09%1.94B
148.04%932M
228.24%386M
192.24%749M
96.36%-124M
-869.67%-6.46B
-110.41%-1.94B
-122.12%-301M
Net cash flow
Beginning cash position
-11.76%2.57B
-41.77%2.34B
56.06%4.02B
28.12%2.56B
27.26%2.77B
52.83%2.92B
56.06%4.02B
4.16%2.58B
-6.69%2B
-5.52%2.18B
Current changes in cash
-2.01%-152M
122.88%256M
-231.38%-1.71B
-112.84%-251M
29.21%-189M
-153.99%-149M
-68.52%-1.12B
965.57%1.3B
347.37%1.96B
-88.03%-267M
Effect of exchange rate changes
60.00%8M
-260.00%-24M
150.85%30M
48.00%37M
35.71%-27M
113.16%5M
475.00%15M
-210.53%-59M
2,400.00%25M
-90.91%-42M
End cash Position
-13.26%2.4B
-11.76%2.57B
-41.77%2.34B
-41.77%2.34B
28.12%2.56B
27.26%2.77B
52.83%2.92B
56.06%4.02B
56.06%4.02B
-6.69%2B
Free cash flow
197.92%141M
117.23%158M
-361.15%-1.2B
39.11%-151M
102.78%13M
-800.00%-144M
-294.69%-917M
-157.78%-260M
-1,178.26%-248M
74.55%-467M
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
--
--
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 4,840.00%237M130.46%258M-1,164.15%-670M97.94%-4M142.37%186M-125.00%-5M-251.25%-847M-108.75%-53M-336.59%-194M75.62%-439M
Net income from continuing operations -72.27%-789M-79.95%-709M-285.64%-1.85B48.36%-630M-9,275.00%-367M-188.08%-458M-123.29%-394M-71.53%996M-172.53%-1.22B-99.00%4M
Operating gains losses 51.61%470M22.77%124M228.08%1.62B-64.12%756M55.44%457M143.66%310M108.44%101M117.62%495M261.83%2.11B327.91%294M
Depreciation and amortization 7.62%113M4.50%116M53.31%440M62.32%112M64.71%112M54.41%105M35.37%111M-6.82%287M-18.82%69M-21.84%68M
Deferred tax 95.83%-5M115.00%12M-569.49%-554M-212.58%-472M2.61%118M-5,900.00%-120M-151.28%-80M-66.85%118M-189.88%-151M187.50%115M
Other non cash items --1M-54.55%5M-51.11%22M-114.29%-1M500.00%12M--0-65.63%11M87.50%45M163.64%7M-92.86%2M
Change In working capital 116.37%370M207.51%558M136.05%314M180.07%245M168.47%417M208.92%171M-358.21%-519M-363.30%-871M-10.87%-306M70.16%-609M
Cash from discontinued investing activities
Operating cash flow 4,860.00%238M130.46%258M-1,164.15%-670M97.42%-5M142.60%187M-125.00%-5M-251.25%-847M-108.75%-53M-336.59%-194M75.62%-439M
Investing cash flow
Cash flow from continuing investing activities -176.37%-2.47B-170.27%-400M-138.16%-2.98B-128.81%-1.18B-261.10%-762M-183.61%-893M-106.79%-148M4,191.76%7.81B220.20%4.09B58.72%473M
Net PPE purchase and sale 144.34%47M-136.73%-36M-102.01%-301M-135.19%-127M-1,206.67%-166M-404.76%-106M210.11%98M-168.66%-149M-117.20%-54M144.12%15M
Net business purchase and sale -91.59%26M-48.69%586M-73.67%1.73B-70.37%1.12B-408.09%-838M29.29%309M-50.13%1.14B11,045.00%6.57B12,886.21%3.77B40.21%272M
Net investment purchase and sale 25.27%-139M144.16%34M-215.50%-939M-1,093.45%-1.67B549.02%993M-144.29%-186M-206.94%-77M3,634.78%813M-2.33%168M1,192.86%153M
Net other investing changes 96.61%-2M-68.42%12M-118.42%-21M-88.99%12M-125.00%-12M-31.11%-59M1,800.00%38M141.30%114M265.15%109M151.06%48M
Cash from discontinued investing activities
Investing cash flow -176.37%-2.47B-170.27%-400M-138.16%-2.98B-128.81%-1.18B-261.10%-762M-183.61%-893M-106.79%-148M4,191.76%7.81B220.20%4.09B58.72%473M
Financing cash flow
Cash flow from continuing financing activities 177.44%2.08B420.97%398M130.09%1.94B148.04%932M228.24%386M192.24%749M96.36%-124M-869.67%-6.46B-110.41%-1.94B-122.12%-301M
Net issuance payments of debt 135.00%489M110.29%124M19.38%-1.36B174.24%885M-41.21%361M-871.82%-1.4B6.23%-1.21B-694.35%-1.68B-1,679.10%-1.19B17.85%614M
Net common stock issuance 107.84%41M-58.53%462M33,400.00%1.67B36,000.00%1.08B---3M-26,050.00%-523M--1.11B99.72%-5M-100.24%-3M--0
Net preferred stock issuance -----450.00%-11M383.33%261M---------------2M-91.44%54M--------
Cash dividends paid -0.93%-326M-7.24%-326M-5.11%-1.28B-6.60%-323M-6.91%-325M-6.95%-323M0.00%-304M-31.56%-1.21B-8.21%-303M0.98%-304M
Net other financing activities -37.69%1.86B-45.42%149M173.31%2.65B-95.16%-968M157.77%353M533.96%2.99B115.03%273M-417.40%-3.61B79.82%-496M-114.63%-611M
Cash from discontinued financing activities
Financing cash flow 177.44%2.08B420.97%398M130.09%1.94B148.04%932M228.24%386M192.24%749M96.36%-124M-869.67%-6.46B-110.41%-1.94B-122.12%-301M
Net cash flow
Beginning cash position -11.76%2.57B-41.77%2.34B56.06%4.02B28.12%2.56B27.26%2.77B52.83%2.92B56.06%4.02B4.16%2.58B-6.69%2B-5.52%2.18B
Current changes in cash -2.01%-152M122.88%256M-231.38%-1.71B-112.84%-251M29.21%-189M-153.99%-149M-68.52%-1.12B965.57%1.3B347.37%1.96B-88.03%-267M
Effect of exchange rate changes 60.00%8M-260.00%-24M150.85%30M48.00%37M35.71%-27M113.16%5M475.00%15M-210.53%-59M2,400.00%25M-90.91%-42M
End cash Position -13.26%2.4B-11.76%2.57B-41.77%2.34B-41.77%2.34B28.12%2.56B27.26%2.77B52.83%2.92B56.06%4.02B56.06%4.02B-6.69%2B
Free cash flow 197.92%141M117.23%158M-361.15%-1.2B39.11%-151M102.78%13M-800.00%-144M-294.69%-917M-157.78%-260M-1,178.26%-248M74.55%-467M
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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