Symbols / BEPC $40.04 +3.12% Brookfield Renewable Corporation

Utilities • Utilities - Renewable • United States • NYQ
BEPC Chart
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About

Brookfield Renewable Corporation owns and operates a portfolio of renewable power and sustainable solution assets. The company's portfolio consists of hydroelectric, wind, utility-scale solar, distributed generation, pumped storage, carbon capture and storage, cogeneration, biomass, and eFuels. Its operations consist of approximately 13,396 megawatts of installed hydroelectric, wind, utility-scale solar, and distributed energy and sustainable solutions capacity across North America, South America, and Europe. The company was incorporated in 2019 and is headquartered in New York, New York. Brookfield Renewable Corporation operates as a subsidiary of Brookfield Renewable Partners L.P.

Fundamentals
Scroll to Statements
Market Cap 7.22B Enterprise Value 38.05B Income -2.34B Sales 3.73B Book/sh -1.20 Cash/sh 2.19
Dividend Yield 3.92% Payout 108.09% Employees 2411 IPO P/E Forward P/E -27.85
PEG 2.30 P/S 1.94 P/B -33.48 P/C EV/EBITDA 17.92 EV/Sales 10.21
Quick Ratio 0.20 Current Ratio 0.26 Debt/Eq 168.59 LT Debt/Eq EPS (ttm) -13.05 EPS next Y -1.44
EPS Growth Revenue Growth -5.00% Earnings 2026-05-01 ROA 1.22% ROE -21.96% ROIC
Gross Margin 59.90% Oper. Margin 21.11% Profit Margin -62.88% Shs Outstand 145.52M Shs Float 99.75M Short Float
Short Ratio 4.52 Short Interest 52W High 45.18 52W Low 27.27 Beta 1.23 Avg Volume 1.26M
Volume 1.53M Target Price $42.17 Recom Hold Prev Close $38.83 Price $40.04 Change 3.12%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
$42.17
Mean price target
2. Current target
$40.04
Latest analyst target
3. DCF / Fair value
$187.38
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$40.04
Low
$33.00
High
$50.00
Mean
$42.17

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-04-16 main JP Morgan Overweight → Overweight $49
2026-03-23 down Morgan Stanley Overweight → Underweight $42
2026-01-23 main Barclays Equal-Weight → Equal-Weight $36
2025-10-22 main Barclays Equal-Weight → Equal-Weight $35
2025-10-16 main JP Morgan Overweight → Overweight $44
2025-09-19 main JP Morgan Overweight → Overweight $41
2025-08-26 main Morgan Stanley Overweight → Overweight $39
2025-07-22 main JP Morgan Overweight → Overweight $38
2025-05-05 main Wells Fargo Overweight → Overweight $32
2025-04-03 init Barclays — → Equal-Weight $31
2025-02-03 main Wells Fargo Overweight → Overweight $33
2025-01-23 main JP Morgan Overweight → Overweight $32
2024-12-12 up JP Morgan Neutral → Overweight $34
2024-10-17 main JP Morgan Neutral → Neutral $32
2024-09-25 main JP Morgan Neutral → Neutral $34
2024-07-16 main JP Morgan Neutral → Neutral $33
2023-10-20 init Exane BNP Paribas — → Outperform
2023-09-22 main Wells Fargo Overweight → Overweight $34
2023-05-08 main Wells Fargo — → Overweight $39
2022-11-07 main Wells Fargo — → Overweight $37
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2025-05-20 Dorn (Nancy Patricia) Senior Officer of Issuer 2,470 $30.37 $75,021
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
3,728.00
-10.00%
4,142.00
+4.41%
3,967.00
+5.00%
3,778.00
Operating Revenue
3,728.00
-10.00%
4,142.00
+4.41%
3,967.00
+5.00%
3,778.00
Cost Of Revenue
1,495.00
-15.39%
1,767.00
+20.53%
1,466.00
+24.87%
1,174.00
Reconciled Cost Of Revenue
1,495.00
-15.39%
1,767.00
+19.63%
1,477.00
+24.75%
1,184.00
Gross Profit
2,233.00
-5.98%
2,375.00
-5.04%
2,501.00
-3.96%
2,604.00
Operating Expense
1,350.00
-1.32%
1,368.00
-5.07%
1,441.00
+6.11%
1,358.00
Selling General And Administration
General And Administrative Expense
Other Gand A
Other Operating Expenses
110.00
+3.77%
106.00
+20.45%
88.00
-47.93%
169.00
Total Expenses
2,845.00
-9.25%
3,135.00
+7.84%
2,907.00
+14.81%
2,532.00
Operating Income
883.00
-12.31%
1,007.00
-5.00%
1,060.00
-14.93%
1,246.00
EBITDA
556.00
-84.24%
3,529.00
+17.95%
2,992.00
-28.57%
4,189.00
Normalized EBITDA
470.00
-84.18%
2,971.00
+7.49%
2,764.00
-35.03%
4,254.00
Reconciled Depreciation
1,240.00
-1.74%
1,262.00
-5.96%
1,342.00
+13.83%
1,179.00
EBIT
-684.00
-130.17%
2,267.00
+38.32%
1,639.00
-45.37%
3,000.00
Total Unusual Items
86.00
-84.59%
558.00
+144.74%
228.00
+450.77%
-65.00
Total Unusual Items Excluding Goodwill
86.00
-84.59%
558.00
+144.74%
228.00
+450.77%
-65.00
Special Income Charges
-5.00
-101.56%
320.00
+363.77%
69.00
0.00
Other Special Charges
Restructuring And Mergern Acquisition
5.00
+25.00%
4.00
+33.33%
3.00
0.00
Net Income
-2,344.00
-1093.22%
236.00
+230.39%
-181.00
-112.04%
1,503.00
Pretax Income
-2,356.00
-492.67%
600.00
+57.48%
381.00
-80.64%
1,968.00
Net Non Operating Interest Income Expense
-1,535.00
+1.98%
-1,566.00
-33.73%
-1,171.00
-17.10%
-1,000.00
Interest Expense Non Operating
1,672.00
+0.30%
1,667.00
+32.51%
1,258.00
+21.90%
1,032.00
Net Interest Income
-1,535.00
+1.98%
-1,566.00
-33.73%
-1,171.00
-17.10%
-1,000.00
Interest Expense
1,672.00
+0.30%
1,667.00
+32.51%
1,258.00
+21.90%
1,032.00
Interest Income Non Operating
137.00
+35.64%
101.00
+16.09%
87.00
+171.88%
32.00
Interest Income
137.00
+35.64%
101.00
+16.09%
87.00
+171.88%
32.00
Other Income Expense
-1,704.00
-247.02%
1,159.00
+135.57%
492.00
-71.43%
1,722.00
Other Non Operating Income Expenses
-1,782.00
-385.12%
625.00
+129.78%
272.00
-84.73%
1,781.00
Gain On Sale Of Security
91.00
-61.76%
238.00
+49.69%
159.00
+344.62%
-65.00
Tax Provision
-13.00
-107.78%
167.00
+128.77%
73.00
-38.14%
118.00
Tax Rate For Calcs
0.00
-97.84%
0.00
+44.97%
0.00
+220.00%
0.00
Tax Effect Of Unusual Items
0.52
-99.67%
155.31
+254.78%
43.78
+1222.46%
-3.90
Net Income Including Noncontrolling Interests
-2,343.00
-641.11%
433.00
+40.58%
308.00
-83.35%
1,850.00
Net Income From Continuing Operation Net Minority Interest
-2,344.00
-1093.22%
236.00
+230.39%
-181.00
-112.04%
1,503.00
Net Income From Continuing And Discontinued Operation
-2,344.00
-1093.22%
236.00
+230.39%
-181.00
-112.04%
1,503.00
Net Income Continuous Operations
-2,343.00
-641.11%
433.00
+40.58%
308.00
-83.35%
1,850.00
Minority Interests
-1.00
+99.49%
-197.00
+59.71%
-489.00
-40.92%
-347.00
Normalized Income
-2,429.48
-1357.49%
-166.69
+54.36%
-365.22
-123.35%
1,564.10
Net Income Common Stockholders
-2,344.00
-1093.22%
236.00
+230.39%
-181.00
-112.04%
1,503.00
Diluted EPS
-13.05
-1093.42%
1.31
+230.39%
-1.01
-111.54%
8.73
Basic EPS
-13.05
-1093.42%
1.31
+230.39%
-1.01
-111.54%
8.73
Basic Average Shares
179.60
-0.02%
179.64
-0.01%
179.65
+4.32%
172.22
Diluted Average Shares
179.60
-0.02%
179.64
-0.01%
179.65
+4.32%
172.22
Diluted NI Availto Com Stockholders
-2,344.00
-1093.22%
236.00
+230.39%
-181.00
-112.04%
1,503.00
Amortization
0.00
0.00
-100.00%
11.00
+10.00%
10.00
Amortization Of Intangibles Income Statement
0.00
0.00
-100.00%
11.00
+10.00%
10.00
Depreciation Amortization Depletion Income Statement
1,240.00
-1.74%
1,262.00
-6.73%
1,353.00
+13.79%
1,189.00
Depreciation And Amortization In Income Statement
1,240.00
-1.74%
1,262.00
-6.73%
1,353.00
+13.79%
1,189.00
Depreciation Income Statement
1,240.00
-1.74%
1,262.00
-5.96%
1,342.00
+13.83%
1,179.00
Earnings From Equity Interest
-8.00
+66.67%
-24.00
-200.00%
-8.00
-233.33%
6.00
Gain On Sale Of PPE
0.00
-100.00%
324.00
+350.00%
72.00
0.00
Line Item Trend 2023-12-31
Total Assets
49,421.00
Current Assets
3,298.00
Cash Cash Equivalents And Short Term Investments
441.00
Cash And Cash Equivalents
441.00
Cash Equivalents
48.00
Cash Financial
393.00
Receivables
2,070.00
Accounts Receivable
503.00
Other Receivables
83.00
Taxes Receivable
57.00
Inventory
65.00
Prepaid Assets
2.00
Restricted Cash
520.00
Assets Held For Sale Current
0.00
Hedging Assets Current
124.00
Other Current Assets
76.00
Total Non Current Assets
46,123.00
Net PPE
44,038.00
Gross PPE
44,038.00
Accumulated Depreciation
Construction In Progress
1,776.00
Other Properties
197.00
Goodwill And Other Intangible Assets
861.00
Goodwill
854.00
Other Intangible Assets
7.00
Investments And Advances
644.00
Long Term Equity Investment
644.00
Non Current Accounts Receivable
119.00
Non Current Deferred Assets
102.00
Non Current Deferred Taxes Assets
102.00
Other Non Current Assets
58.00
Total Liabilities Net Minority Interest
32,292.00
Current Liabilities
8,335.00
Payables And Accrued Expenses
1,232.00
Payables
715.00
Accounts Payable
184.00
Other Payable
24.00
Dividends Payable
16.00
Current Accrued Expenses
517.00
Employee Benefits
57.00
Total Tax Payable
35.00
Income Tax Payable
35.00
Current Debt And Capital Lease Obligation
1,922.00
Current Debt
1,891.00
Other Current Borrowings
1,891.00
Current Capital Lease Obligation
31.00
Other Current Liabilities
5,162.00
Total Non Current Liabilities Net Minority Interest
23,957.00
Long Term Debt And Capital Lease Obligation
14,651.00
Long Term Debt
14,181.00
Long Term Capital Lease Obligation
470.00
Long Term Provisions
926.00
Tradeand Other Payables Non Current
0.00
Non Current Deferred Liabilities
5,819.00
Non Current Deferred Taxes Liabilities
5,819.00
Other Non Current Liabilities
94.00
Stockholders Equity
5,787.00
Common Stock Equity
5,787.00
Share Issued
179.65
Ordinary Shares Number
179.65
Treasury Shares Number
0.00
Minority Interest
11,342.00
Total Equity Gross Minority Interest
17,129.00
Total Capitalization
19,968.00
Working Capital
-5,037.00
Invested Capital
21,859.00
Total Debt
16,573.00
Net Debt
15,631.00
Capital Lease Obligations
501.00
Net Tangible Assets
4,926.00
Tangible Book Value
4,926.00
Current Provisions
19.00
Derivative Product Liabilities
1,376.00
Duefrom Related Parties Current
1,427.00
Duefrom Related Parties Non Current
9.00
Dueto Related Parties Current
456.00
Dueto Related Parties Non Current
930.00
Financial Assets
301.00
Interest Payable
152.00
Other Equity Interest
5,787.00
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
502.00
-8.56%
549.00
-65.75%
1,603.00
+24.84%
1,284.00
Cash Flow From Continuing Operating Activities
502.00
-8.56%
549.00
-65.75%
1,603.00
+24.84%
1,284.00
Net Income From Continuing Operations
-2,343.00
-641.11%
433.00
+40.58%
308.00
-83.35%
1,850.00
Depreciation Amortization Depletion
1,240.00
-1.74%
1,262.00
-5.96%
1,342.00
+13.83%
1,179.00
Depreciation
1,240.00
-1.74%
1,262.00
-5.96%
1,342.00
+13.83%
1,179.00
Depreciation And Amortization
1,240.00
-1.74%
1,262.00
-5.96%
1,342.00
+13.83%
1,179.00
Other Non Cash Items
1,870.00
+321.83%
-843.00
-230.59%
-255.00
+85.79%
-1,794.00
Deferred Tax
-132.00
-297.01%
67.00
+267.50%
-40.00
-166.67%
-15.00
Deferred Income Tax
-132.00
-297.01%
67.00
+267.50%
-40.00
-166.67%
-15.00
Operating Gains Losses
8.00
-66.67%
24.00
+200.00%
8.00
+233.33%
-6.00
Unrealized Gain Loss On Investment Securities
-99.00
+62.64%
-265.00
-66.67%
-159.00
-185.03%
187.00
Change In Working Capital
-49.00
+75.86%
-203.00
-152.73%
385.00
+418.18%
-121.00
Change In Receivables
-34.00
+75.36%
-138.00
-125.79%
535.00
+298.15%
-270.00
Changes In Account Receivables
-34.00
+75.36%
-138.00
-125.79%
535.00
+298.15%
-270.00
Change In Payables And Accrued Expense
29.00
+61.11%
18.00
+135.29%
-51.00
-129.14%
175.00
Change In Other Working Capital
-44.00
+46.99%
-83.00
+16.16%
-99.00
-280.77%
-26.00
Investing Cash Flow
-576.00
+13.38%
-665.00
+34.68%
-1,018.00
-37.94%
-738.00
Cash Flow From Continuing Investing Activities
-576.00
+13.38%
-665.00
+34.68%
-1,018.00
-37.94%
-738.00
Net PPE Purchase And Sale
-1,138.00
-19.92%
-949.00
+7.68%
-1,028.00
-21.37%
-847.00
Purchase Of PPE
-1,138.00
-19.92%
-949.00
+7.68%
-1,028.00
-21.37%
-847.00
Capital Expenditure
-1,138.00
-19.92%
-949.00
+7.68%
-1,028.00
-21.37%
-847.00
Net Investment Purchase And Sale
314.00
+177.92%
-403.00
-400.75%
134.00
0.00
Purchase Of Investment
0.00
+100.00%
-575.00
0.00
0.00
Sale Of Investment
314.00
+82.56%
172.00
+28.36%
134.00
0.00
Net Business Purchase And Sale
-153.00
-39.09%
-110.00
+45.54%
-202.00
-320.83%
-48.00
Purchase Of Business
-153.00
-39.09%
-110.00
+45.54%
-202.00
-320.83%
-48.00
Net Other Investing Changes
401.00
-49.69%
797.00
+921.79%
78.00
-50.32%
157.00
Financing Cash Flow
96.00
-50.00%
192.00
+130.19%
-636.00
-58.21%
-402.00
Cash Flow From Continuing Financing Activities
96.00
-50.00%
192.00
+130.19%
-636.00
-58.21%
-402.00
Net Issuance Payments Of Debt
1,625.00
+247.97%
467.00
+296.22%
-238.00
-136.79%
647.00
Issuance Of Debt
4,444.00
+13.72%
3,908.00
+50.25%
2,601.00
-24.83%
3,460.00
Repayment Of Debt
-2,819.00
+18.08%
-3,441.00
-21.20%
-2,839.00
-0.92%
-2,813.00
Long Term Debt Issuance
4,444.00
+13.72%
3,908.00
+50.25%
2,601.00
-24.83%
3,460.00
Long Term Debt Payments
-2,819.00
+18.08%
-3,441.00
-21.20%
-2,839.00
-0.92%
-2,813.00
Net Long Term Debt Issuance
1,625.00
+247.97%
467.00
+296.22%
-238.00
-136.79%
647.00
Net Common Stock Issuance
0.00
0.00
-100.00%
251.00
0.00
Common Stock Dividend Paid
-5.00
0.00
0.00
Cash Dividends Paid
-5.00
0.00
0.00
+100.00%
-78.00
Net Other Financing Charges
-1,524.00
-454.18%
-275.00
+57.63%
-649.00
+33.16%
-971.00
Changes In Cash
22.00
-71.05%
76.00
+249.02%
-51.00
-135.42%
144.00
Effect Of Exchange Rate Changes
44.00
+157.14%
-77.00
-313.89%
36.00
+289.47%
-19.00
Beginning Cash Position
624.00
-0.48%
627.00
-2.34%
642.00
+22.29%
525.00
End Cash Position
682.00
+9.29%
624.00
-0.48%
627.00
-2.34%
642.00
Free Cash Flow
-636.00
-59.00%
-400.00
-169.57%
575.00
+31.58%
437.00
Interest Paid Supplemental Data
1,530.00
-9.41%
1,689.00
+43.50%
1,177.00
+17.82%
999.00
Income Tax Paid Supplemental Data
116.00
+58.90%
73.00
-56.29%
167.00
+85.56%
90.00
Common Stock Issuance
0.00
0.00
-100.00%
251.00
0.00
Dividend Received CFO
7.00
-90.54%
74.00
+428.57%
14.00
+250.00%
4.00
Earnings Losses From Equity Investments
8.00
-66.67%
24.00
+200.00%
8.00
+233.33%
-6.00
Issuance Of Capital Stock
0.00
0.00
-100.00%
251.00
0.00
Other Cash Adjustment Outside Changein Cash
-8.00
-300.00%
-2.00
0.00
+100.00%
-8.00
SEC Filings

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