Brookfield Renewable Partners Non Voting Units logo

Brookfield Renewable Partners Non Voting Units

Stock
Stock
ISIN: BMG162581083
Ticker: BEP.UN
BMG162581083
BEP.UN

Price

Dividend metrics

Annual payout (TTM) 
€1.32
Yield (TTM) 
5.942%
Payout ratio 
-115.20%
Payout frequency 
Quarterly
Dividend growth (3Y) 
8.107%
Next payment 
€0.319

Dividend history & forecast

€1.012

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2025
4.62%
-25.7%
€0.98
Announced
29.08.2025
30.09.2025
1.47%
+0.75%
€0.319
Paid
30.05.2025
30.06.2025
1.55%
-8.23%
€0.316
Paid
28.02.2025
31.03.2025
1.59%
+1.09%
€0.345
2024
5.67%
+6.07%
€1.319
Paid
29.11.2024
31.12.2024
1.35%
+7.33%
€0.341
Paid
30.08.2024
27.09.2024
1.42%
-4.01%
€0.318
Paid
31.05.2024
28.06.2024
1.34%
+0.65%
€0.331
Paid
28.02.2024
28.03.2024
1.57%
+7.77%
€0.329
2023
4.33%
-22.73%
€1.244
Paid
29.11.2023
29.12.2023
1.01%
-4.23%
€0.305
Paid
30.08.2023
29.09.2023
0.94%
+3.12%
€0.319
Paid
30.05.2023
30.06.2023
1.1%
-0.42%
€0.309
Paid
27.02.2023
31.03.2023
1.28%
+4.07%
€0.31
2022
4.71%
+54.16%
€1.61
Paid
29.11.2022
30.12.2022
1.13%
-8.37%
€0.298
Paid
30.08.2022
29.09.2022
0.85%
+6.59%
€0.326
Paid
27.05.2022
30.06.2022
0.9%
-21.95%
€0.305
Paid
30.05.2022
30.06.2022
0.88%
+35.4%
€0.391
Paid
25.02.2022
31.03.2022
0.96%
+8.2%
€0.289
2021
3.01%
+3.98%
€1.044
Paid
29.11.2021
31.12.2021
0.84%
+2.04%
€0.267
Paid
30.08.2021
29.09.2021
0.79%
+2.17%
€0.262
Paid
27.05.2021
30.06.2021
0.75%
-1.09%
€0.256
Paid
25.02.2021
31.03.2021
0.63%
+9.03%
€0.259
2020
4.61%
-36.79%
€1.004
Paid
27.11.2020
31.12.2020
0.81%
-3.73%
€0.238
Paid
28.08.2020
30.09.2020
0.97%
-4.18%
€0.247
Paid
28.05.2020
30.06.2020
1.56%
-1.83%
€0.258
Paid
27.02.2020
30.03.2020
1.28%
-56.72%
€0.262
2019
9.93%
+78.86%
€1.589
Paid
28.11.2019
31.12.2019
1.53%
+147.57%
€0.606
Paid
27.11.2019
31.12.2019
2.31%
-2.86%
€0.245
Paid
29.08.2019
30.09.2019
1.81%
+4.5%
€0.252
Paid
30.05.2019
28.06.2019
2.06%
-1.39%
€0.241
Paid
27.02.2019
29.03.2019
2.22%
+7.54%
€0.245
2018
8.11%
+2.03%
€0.888
Paid
29.11.2018
31.12.2018
2.16%
+1.13%
€0.227
Paid
30.08.2018
28.09.2018
2.01%
+0.59%
€0.225
Paid
30.05.2018
29.06.2018
2.04%
+5.27%
€0.224
Paid
27.02.2018
29.03.2018
1.9%
+2.22%
€0.212
2017
7.31%
-22.71%
€0.87
Paid
29.11.2017
29.12.2017
1.71%
-1.52%
€0.208
Paid
29.08.2017
29.09.2017
1.7%
-3.26%
€0.211
Paid
26.05.2017
30.06.2017
1.92%
-6.69%
€0.218
Paid
24.02.2017
31.03.2017
1.98%
+3.61%
€0.234
2016
10.55%
+39.6%
€1.126
Paid
28.11.2016
30.12.2016
1.84%
+6.87%
€0.226
Paid
29.08.2016
30.09.2016
1.78%
-1.29%
€0.211
Paid
26.05.2016
30.06.2016
2.89%
-20%
€0.214
Paid
27.05.2016
30.06.2016
1.93%
+28.15%
€0.267
Paid
25.02.2016
31.03.2016
2.1%
+2.31%
€0.209
2015
7.09%
-9.8%
€0.807
Paid
25.11.2015
31.12.2015
1.97%
+2.89%
€0.204
Paid
27.08.2015
30.09.2015
1.82%
-0.3%
€0.198
Paid
27.05.2015
30.06.2015
1.63%
-3.58%
€0.199
Paid
25.02.2015
31.03.2015
1.66%
+20.66%
€0.206
2014
10.78%
+135.31%
€0.894
Paid
25.11.2014
31.12.2014
2.42%
-20%
€0.171
Paid
26.11.2014
31.12.2014
1.55%
+30.47%
€0.214
Paid
27.08.2014
30.09.2014
1.66%
+8.42%
€0.164
Paid
28.05.2014
30.06.2014
1.63%
+50.9%
€0.151
Paid
26.02.2014
31.03.2014
1.77%
+4.68%
€0.10
Paid
27.12.2013
31.01.2014
1.74%
+0.9%
€0.0956
2013
6.28%
+0.35%
€0.38
Paid
26.09.2013
31.10.2013
1.74%
-2.32%
€0.0947
Paid
26.06.2013
31.07.2013
1.56%
-1.23%
€0.0969
Paid
26.03.2013
30.04.2013
1.54%
+8.68%
€0.0982
Paid
27.12.2012
31.01.2013
1.44%
-4.66%
€0.0903
2012
6.28%
-50.61%
€0.379
Paid
26.09.2012
31.10.2012
1.42%
-4.96%
€0.0947
Paid
27.06.2012
31.07.2012
1.64%
+7.52%
€0.0997
Paid
28.03.2012
30.04.2012
1.58%
+1.13%
€0.0927
Paid
28.12.2011
31.01.2012
1.64%
-60.78%
€0.0917
2011
7.4%
-21.71%
€0.767
Paid
28.09.2011
31.10.2011
1.77%
+3.31%
€0.234
Paid
28.06.2011
29.07.2011
1.8%
+209.65%
€0.226
Paid
29.03.2011
29.04.2011
0.92%
-4.3%
€0.0731
Paid
24.02.2011
31.03.2011
0.97%
-2.71%
€0.0763
Paid
27.01.2011
28.02.2011
0.97%
-0.76%
€0.0785
Paid
29.12.2010
31.01.2011
0.98%
-2.41%
€0.0791
2010
12.35%
+9.04%
€0.98
Paid
26.11.2010
31.12.2010
0.96%
-2.71%
€0.081
Paid
27.10.2010
30.11.2010
0.99%
+6.87%
€0.0833
Paid
28.09.2010
29.10.2010
1.05%
-1.99%
€0.0779
Paid
27.08.2010
30.09.2010
1.03%
-6.85%
€0.0795
Paid
28.07.2010
31.08.2010
1.03%
+2.86%
€0.0854
Paid
28.06.2010
30.07.2010
1.06%
-6.1%
€0.083
Paid
27.05.2010
30.06.2010
1.01%
+0.48%
€0.0884
Paid
28.04.2010
31.05.2010
0.98%
+8.04%
€0.088
Paid
29.03.2010
30.04.2010
1.06%
+1.53%
€0.0814
Paid
24.02.2010
31.03.2010
1.07%
+4.86%
€0.0802
Paid
27.01.2010
26.02.2010
1.03%
+1.92%
€0.0765
Paid
29.12.2009
29.01.2010
1.07%
+3.28%
€0.075
2009
16.64%
+5.1%
€0.898
Paid
26.11.2009
31.12.2009
1.12%
+4.65%
€0.0726
Paid
28.10.2009
30.11.2009
1.14%
-1.74%
€0.0694
Paid
28.09.2009
30.10.2009
1.19%
-0.74%
€0.0707
Paid
27.08.2009
30.09.2009
1.27%
-2.12%
€0.0712
Paid
29.07.2009
31.08.2009
1.27%
-0.58%
€0.0727
Paid
26.06.2009
31.07.2009
1.42%
-1.35%
€0.0731
Paid
27.05.2009
30.06.2009
1.46%
+0.54%
€0.0741
Paid
28.04.2009
29.05.2009
1.59%
-6.21%
€0.0737
Paid
27.03.2009
30.04.2009
1.6%
+0.24%
€0.0786
Paid
25.02.2009
31.03.2009
1.54%
-4.55%
€0.0784
Paid
28.01.2009
27.02.2009
1.54%
+0.99%
€0.0822
Paid
29.12.2008
30.01.2009
1.5%
+8.87%
€0.0814
2008
13.52%
-5.81%
€0.855
Paid
26.11.2008
31.12.2008
1.43%
-8.83%
€0.0747
Paid
29.10.2008
28.11.2008
1.33%
+0.21%
€0.082
Paid
26.09.2008
31.10.2008
1.02%
+10.84%
€0.0818
Paid
27.08.2008
30.09.2008
1.07%
+4%
€0.0738
Paid
29.07.2008
29.08.2008
1.07%
+6.25%
€0.071
Paid
26.06.2008
31.07.2008
1.07%
+1.02%
€0.0668
Paid
28.05.2008
30.06.2008
1.08%
-1.3%
€0.0661
Paid
28.04.2008
30.05.2008
1.18%
+0.31%
€0.067
Paid
27.03.2008
30.04.2008
1.11%
+1.27%
€0.0668
Paid
27.02.2008
31.03.2008
1.05%
-3.86%
€0.0659
Paid
29.01.2008
29.02.2008
1.05%
-2.12%
€0.0686
Paid
27.12.2007
31.01.2008
1.08%
-1.66%
€0.0701
2007
13.07%
-7.56%
€0.907
Paid
28.11.2007
31.12.2007
1%
+0.39%
€0.0713
Paid
29.10.2007
30.11.2007
0.96%
-1.35%
€0.071
Paid
26.09.2007
31.10.2007
1.07%
-1.65%
€0.072
Paid
29.08.2007
28.09.2007
0.99%
-4.14%
€0.0732
Paid
27.07.2007
31.08.2007
1.03%
+0.38%
€0.0763
Paid
27.06.2007
31.07.2007
1.03%
-1.28%
€0.076
Paid
29.05.2007
29.06.2007
1.05%
-0.53%
€0.077
Paid
26.04.2007
31.05.2007
1.16%
+1.44%
€0.0774
Paid
28.03.2007
30.04.2007
1.19%
-2.14%
€0.0763
Paid
26.02.2007
30.03.2007
1.2%
-0.97%
€0.078
Paid
29.01.2007
28.02.2007
1.2%
-1.66%
€0.0788
Paid
27.12.2006
31.01.2007
1.18%
+1.35%
€0.0801
2006
14.6%
+0.04%
€0.982
Paid
28.11.2006
29.12.2006
1.23%
+0.47%
€0.079
Paid
27.10.2006
30.11.2006
1.17%
-3.68%
€0.0787
Paid
27.09.2006
31.10.2006
1.17%
-0.61%
€0.0817
Paid
29.08.2006
29.09.2006
1.25%
+1.91%
€0.0822
Paid
27.07.2006
31.08.2006
1.23%
-0.35%
€0.0806
Paid
28.06.2006
31.07.2006
1.23%
+0.03%
€0.0809
Paid
29.05.2006
30.06.2006
1.24%
+0.45%
€0.0809
Paid
26.04.2006
31.05.2006
1.21%
-1.75%
€0.0805
Paid
29.03.2006
28.04.2006
1.2%
-3.84%
€0.082
Paid
24.02.2006
31.03.2006
1.16%
-1.7%
€0.0852
Paid
27.01.2006
28.02.2006
1.25%
+4.05%
€0.0867
Paid
28.12.2005
31.01.2006
1.23%
-2.65%
€0.0833
2005
14.65%
+1.92%
€0.981
Paid
28.11.2005
30.12.2005
1.4%
-0.36%
€0.0856
Paid
27.10.2005
30.11.2005
1.17%
+1.78%
€0.0859
Paid
28.09.2005
31.10.2005
1.15%
+0.31%
€0.0844
Paid
29.08.2005
30.09.2005
1.22%
+2.32%
€0.0841
Paid
27.07.2005
31.08.2005
1.22%
-1.56%
€0.0822
Paid
28.06.2005
29.07.2005
1.22%
-0.22%
€0.0835
Paid
27.05.2005
30.06.2005
1.25%
+1.9%
€0.0837
Paid
27.04.2005
31.05.2005
1.27%
+4.75%
€0.0821
Paid
29.03.2005
30.04.2005
1.12%
+0.42%
€0.0784
Paid
24.02.2005
31.03.2005
1.18%
+2.26%
€0.0781
Paid
27.01.2005
28.02.2005
1.23%
-0.42%
€0.0764
Paid
29.12.2004
31.01.2005
1.21%
+4%
€0.0767
2004
17.93%
-22.11%
€0.963
Paid
26.11.2004
31.12.2004
1.23%
-2.07%
€0.0737
Paid
27.10.2004
30.11.2004
1.37%
-3.88%
€0.0753
Paid
28.09.2004
31.10.2004
1.5%
-2.66%
€0.0783
Paid
27.08.2004
30.09.2004
1.57%
-2.06%
€0.0805
Paid
28.07.2004
31.08.2004
1.55%
-1.17%
€0.0822
Paid
28.06.2004
30.07.2004
1.55%
+1.27%
€0.0832
Paid
27.05.2004
30.06.2004
1.62%
+0.14%
€0.0821
Paid
28.04.2004
31.05.2004
1.62%
-1.8%
€0.082
Paid
29.03.2004
30.04.2004
1.43%
+2.6%
€0.0835
Paid
25.02.2004
31.03.2004
1.47%
+1.43%
€0.0814
Paid
28.01.2004
27.02.2004
1.42%
-0.11%
€0.0802
Paid
24.12.2003
30.01.2004
1.61%
+0.65%
€0.0803
2003
4.97%
-0.89%
€1.236
Paid
26.11.2003
30.12.2003
1.61%
-4.3%
€0.0798
Paid
29.10.2003
28.11.2003
1.65%
-3.33%
€0.0834
Paid
26.09.2003
31.10.2003
1.71%
+0.49%
€0.0863
Paid
27.08.2003
30.09.2003
-
-5.77%
€0.0858
Paid
29.07.2003
29.08.2003
-
+2.5%
€0.0911
Paid
26.06.2003
31.07.2003
-
-48.96%
€0.0889
Paid
28.05.2003
30.06.2003
-
-35.16%
€0.174
Paid
27.03.2003
30.04.2003
-
-3.45%
€0.269
Paid
24.12.2002
30.01.2003
-
-8.77%
€0.278
2002
-
+2.56%
€1.247
Paid
26.09.2002
30.10.2002
-
+1.96%
€0.305
Paid
26.06.2002
31.07.2002
-
-7.93%
€0.299
Paid
26.03.2002
30.04.2002
-
+1.96%
€0.325
Paid
27.12.2001
30.01.2002
-
+3.54%
€0.319
2001
-
+6.25%
€1.216
Paid
26.09.2001
25.10.2001
-
-2.11%
€0.308
Paid
27.06.2001
30.07.2001
-
+1.47%
€0.314
Paid
28.03.2001
30.04.2001
-
+8.9%
€0.31
Paid
27.12.2000
26.01.2001
-
-10.28%
€0.284
2000
-
-
€1.145
Paid
27.09.2000
25.10.2000
-
+11.65%
€0.317
Paid
28.06.2000
28.07.2000
-
-1.67%
€0.284
Paid
29.03.2000
28.04.2000
-
+13.32%
€0.289
Paid
29.12.1999
12.01.2000
-
-
€0.255

Frequently asked questions

When does Brookfield Renewable Partners Non Voting Units pay dividends?

Brookfield Renewable Partners Non Voting Units's dividends are paid out in March, June, September, and December.

How often does Brookfield Renewable Partners Non Voting Units pay dividends?

On a quarterly basis.

What is the dividend yield of Brookfield Renewable Partners Non Voting Units?

The dividend yield is currently 5.94% and distributions have increased by 8.11% in the last 3 years.

When was Brookfield Renewable Partners Non Voting Units's last dividend payout date?

The last payment was made on 30.06.2025.

When do you have to have Brookfield Renewable Partners Non Voting Units in your portfolio to receive the last dividend?

If you had Brookfield Renewable Partners Non Voting Units in your securities account on 30.05.2025, you received the distribution.

How much was Brookfield Renewable Partners Non Voting Units's dividend in 2024?

Brookfield Renewable Partners Non Voting Units paid out a dividend of €1.319 in 2024.

How much was Brookfield Renewable Partners Non Voting Units's dividend in 2023?

Brookfield Renewable Partners Non Voting Units paid out a dividend of €1.244 in 2023.

When is the ex-dividend date for the next Brookfield Renewable Partners Non Voting Units's dividend?

To receive the next dividend, Brookfield Renewable Partners Non Voting Units must be booked in the securities account on 29.08.2025.

What is Brookfield Renewable Partners Non Voting Units's next dividend?

On 30.09.2025, €0.319 per share is to be paid out as a dividend.

Dividend growth 

The dividend growth is 6.069% based on the previous financial year. The average dividend growth over the last 5 years is -3.648%.

1 Year

Strong growth6.069%

3 Year

Strong growth8.107%

5 Year

Negative growth-3.648%

10 Year

Moderate growth3.962%

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Fundamentals & EOD data from FactSet
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