Brookfield Infrastructure Partners LP Financial Ratios for Analysis 2009-2024 | BIP

Fifteen years of historical annual and quarterly financial ratios and margins for Brookfield Infrastructure Partners LP (BIP).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.680.800.570.671.070.940.971.081.281.902.120.580.910.82-
0.540.520.500.500.470.490.420.450.490.520.500.480.450.44-
1.351.181.111.070.951.030.750.861.011.081.011.010.830.92-
24.8827.1528.5226.3048.5452.5457.3149.7456.9856.0354.9345.4145.0534.86100.00
22.5824.1525.0022.7925.9130.5231.5720.7629.5430.3030.8929.0933.5624.76100.00
22.5824.1525.0022.7925.9130.5231.5720.7629.5430.3030.8929.0933.5624.76100.00
37.8539.1142.6541.9844.3147.7450.5541.8949.7650.0548.9040.6741.3229.34100.00
11.3213.4128.8913.4514.0725.1521.1325.6720.8616.011.2016.8236.5578.08100.00
0.570.704.821.590.794.130.3113.488.955.25-3.4514.5226.8973.66160
0.180.200.160.140.120.130.120.100.100.120.120.100.120.05-
26.3119.7920.6229.6314.0315.6613.9710.5261.3840.2937.4110.13-10.87-
3.835.495.234.623.373.974.224.205.766.435.285.397.613.29-
95.1866.4969.7379.0810891.8886.5386.9863.3656.7269.1667.7547.97111-
4.375.5810.774.403.065.874.465.705.603.620.301.363.189.37-
39.3227.8285.0227.6352.50-97.5825.1911.2910.298.600.783.937.8130.91-
1.441.883.681.471.152.201.952.482.201.390.130.541.413.56-
1.962.615.182.091.552.802.483.042.771.750.150.701.765.20-
73.7355.7557.6348.9150.3735.2632.4824.7829.3118.56-----
8.886.836.235.725.003.283.732.051.752.052.092.070.960.320.00
3.820.871.772.502.331.312.050.190.340.750.82-0.01-0.420.32-

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.810.160.680.700.650.060.800.050.050.080.570.080.080.060.670.050.080.061.070.450.060.470.940.120.420.100.970.230.070.871.081.152.952.031.281.681.611.911.901.171.291.562.121.991.790.570.58-0.350.440.911.101.050.950.821.503.552.69-12.0443.212.51
0.61-0.540.530.51-0.52--0.110.50---0.50---0.470.46-0.470.49-0.44-0.420.370.160.430.450.500.520.500.490.520.460.540.520.530.510.510.500.510.460.480.48-0.420.420.450.510.490.470.440.060.060.06-0.110.220.19
1.651.501.351.301.241.231.181.161.171.141.111.171.061.001.071.141.121.070.950.980.971.031.030.950.890.700.750.710.800.930.861.021.111.061.011.160.921.161.081.191.081.061.011.080.861.011.01-0.940.850.831.060.980.950.920.070.060.06-0.120.280.23
24.5824.5628.0324.5822.9323.4527.1328.5926.3226.5326.9727.4627.7132.35-20.8046.3645.3843.5845.2048.9250.1549.9148.9548.3355.2759.6259.4559.0060.0647.7141.5148.8557.1455.5156.2657.4857.7356.4456.3456.0155.9455.8341.4956.6156.2849.67100.00100.0045.0346.7843.0743.9645.0948.2110360.0055.5644.7121850.0049.2813.37
22.7922.6926.0022.3520.3721.0124.5725.5923.3922.9823.4923.9924.1128.8122.3423.8622.4022.5923.3825.3627.1827.7528.9227.3432.0934.8539.5330.0731.6921.6518.3216.0925.1125.3330.5530.3428.5428.7628.6030.5530.7431.2550.4331.3232.6831.05100.00100.0029.6131.4929.4632.1334.3538.46-119.80-20.00-22.22-43.5334915.0014.4984.49
22.7922.6926.0022.3520.3721.0124.5725.5923.3922.9823.4923.9924.1128.8122.3423.8622.4022.5923.3825.3627.1827.7528.9227.3432.0934.8539.5330.0731.6921.6518.3216.0925.1125.3330.5530.3428.5428.7628.6030.5530.7431.2550.4331.3232.6831.05100.00100.0029.6131.4929.4632.1334.3538.46-119.80-20.00-22.22-43.5334915.0014.4984.49
--------------------------------------------------------------
5.1615.929.018.7822.445.5011.6013.6215.7312.6616.7022.1559.7820.3924.789.784.9811.576.6515.8118.6915.0715.0613.0227.8750.5432.2218.8320.458.8430.7216.8634.6319.161.1041.456.2234.1213.7624.8513.5211.67-38.308.1240.26-3.10100.00100.00-4.264.4354.7053.8619.8617.69268-1,070.00800-103.53-933.77-23.751,551-8.11
-0.741.08-1.650.514.37-0.59-0.190.881.900.181.547.667.213.326.95-1.18-3.132.37-0.791.742.49-0.381.82-1.716.1312.044.67-1.14-1.71-1.2215.957.6620.789.035.4916.030.2118.0314.4114.662.666.67-41.494.1821.00-4.588.6514.11-5.272.2213.3714.986.0711.54207-1,080.00767-16.47-100.00-56.251,000-12.89
0.050.050.050.050.050.050.050.050.050.040.040.040.040.040.040.040.040.040.030.040.040.040.040.040.040.030.030.030.030.030.030.020.020.020.030.030.030.030.030.030.030.030.030.030.030.030.03-0.030.030.030.040.030.030.020.000.000.00-0.010.010.04
8.128.056.996.916.91-5.09---5.94---13.85---3.75---5.17---3.69---3.923.5112.3814.4315.3112.4410.94-9.679.8210.758.485.738.136.973.90------4.123.8810.53-------
1.151.051.060.891.22-1.41---1.48---1.32---0.84---1.22---1.17---1.341.031.041.321.411.311.331.561.561.541.381.381.361.221.511.901.55-1.551.791.882.092.162.221.040.140.310.90-0.510.272.91
78.2585.5484.6810273.55-63.79---61.00---68.37---107---73.80---76.65---67.0087.4186.3068.0063.6968.6567.6057.7557.8758.2965.2965.0666.2673.5059.4247.3557.92-58.0550.2947.9043.0441.6440.6286.4264829099.53-17833730.93
0.632.570.830.772.790.521.201.501.691.141.842.216.492.002.790.760.190.820.121.341.661.081.260.781.902.541.881.171.120.501.921.252.021.220.362.950.382.491.001.160.190.49-2.950.280.84-0.360.64--0.430.160.921.300.520.908.35-5.763.89-0.08--0.507.60-0.61
10.1431.867.496.0510312.095.977.2111.9310.9914.5117.3258.4611.5517.5411.48-41.9845.682.104.526.233.76-20.942.866.438.6010.624.444.910.903.812.954.712.350.666.170.765.742.593.080.511.32-7.580.821.89-1.021.86--1.020.382.264.471.833.0027.53-5.703.85-0.07--0.497.44-0.60
0.180.790.270.260.950.170.400.500.580.380.630.722.170.670.940.250.070.290.050.500.610.400.470.300.761.120.820.520.480.210.840.490.780.470.141.140.150.910.420.450.080.20-1.240.120.35-0.140.25--0.180.070.410.530.190.333.17-5.183.59-0.07--0.435.73-0.48
0.242.500.370.351.310.510.561.441.630.980.882.116.091.881.330.720.180.780.060.681.560.540.600.721.002.401.040.700.900.271.020.600.940.590.181.400.201.140.530.540.100.24-1.470.140.45-0.180.33--0.250.090.510.630.260.474.63-5.333.62-0.07--0.445.79-0.49
65.2270.6973.7373.5462.39-55.75---57.63---48.91---50.37---35.26---32.48---24.78---29.31---18.56-----------------------
4.991.508.885.403.041.456.834.682.731.616.234.712.911.475.726.503.651.645.003.962.721.343.282.371.561.123.732.471.530.462.051.820.870.441.761.491.600.672.041.561.320.412.051.571.120.461.970.000.550.220.870.540.540.340.29-0.20-0.050.010.000.000.190.21
-1.18-2.323.82-20.231.00-13.080.87-0.530.290.221.772.816.790.622.50-4.743.872.432.33-2.97-3.72-4.381.31-0.34-0.250.702.05-9.41-10.06-0.010.19-0.58-0.44-0.100.340.460.620.430.750.570.340.090.810.650.470.14-0.01--0.27-0.08-0.380.540.540.340.29-0.22-0.070.01--0.170.15