Company: BEP
Filing Date: 2025-02-28
Form Type: 20-F
Source: 0001533232-25-000006
Chunk: 571

Company: Brookfield Renewable Partners L.P.
Filing Date: 2025-02-28
Form: 20-F
Item: Item 19
Chunk 571
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ortization of financing fees                     52                     25                 
  Foreign exchange translation and other             10                     9                  
  Unamortized financing fees, end of year            $          ( 171)      $          ( 140)  

The following table outlines the change in the unamortized premiums of non-recourse borrowings for the year ended December 31:

  (MILLIONS)                                                 2024                    2023              
 ───────────────────────────────────────────────────────────────────────────────────────────────────────
  Non-recourse borrowings                                                                              
  Unamortized premiums and discounts, beginning of year      $            ( 11)      $            105  
  Additional premiums and discounts                          ( 124)                  ( 90)             
  Amortization of premiums and discounts                     ( 3)                    ( 14)             
  Foreign exchange translation and other                     ( 7)                    ( 12)             
  Unamortized premiums and discounts, end of year            $           ( 145)      $          ( 11)  

  F - 68  

Supplemental Information

The following table outlines changes in Brookfield Renewable’s borrowings for the year ended December 31:

  (MILLIONS)                   January 1                                                                                         
                                                                     Disposal      Other (2)(3)(4)      December 31              
 ─────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────────
  2024                                                                                                                           
  Corporate borrowings         $               2,833      1,213      —                      ( 244)      $                 3,802  
  Non-recourse borrowings      $              26,869      1,179      ( 626)                 ( 937)      $                30,588  
  2023                                                                                                                           
  Corporate borrowings         $               2,548                 —                          57      $                 2,833  
  Non-recourse borrowings      $              22,302      2,279      ( 164)                    379      $                26,869  

(1) Excludes $ 807 307

(2) Includes foreign exchange and amortization of unamortized premium and financing fees.

(3) Includes $ 52 103

(4) Includes adjustments to purchase price allocations. Refer to Note 3 - Acquisitions for more details.

15. NON-CONTROLLING INTERESTS