Sales by Activity: Brookfield Asset Management Ltd.

Fiscal Period: December 2020 (USD) 2021 (USD) 2022 (USD) 2023 (USD) 2024 (USD)

Asset Management

- - - - 398Cr

Credit and Other

19Cr 24Cr 29Cr 43Cr -

Renewable Power and Transition

32Cr 47Cr 55Cr 56Cr -

Private Equity

18Cr 33Cr 22Cr 28Cr -

Infrastructure

80Cr 79Cr 98Cr 108.6Cr -

Real Estate

41Cr 60Cr 80Cr 78Cr -

Geographical breakdown of sales: Brookfield Asset Management Ltd.

Fiscal Period: December 2020 (USD) 2021 (USD) 2022 (USD) 2023 (USD) 2024 (USD)

United States of America

- - - - 120.1Cr

United Kingdom

- - - - 69Cr

Canada

- - - - 66Cr

Unallocated

- - - - 42Cr

Other

- - - - 40Cr

Executive Committee: Brookfield Asset Management Ltd.

Manager TitleAgeSince
Chief Executive Officer 38 03/02/2026
Director of Finance/CFO 52 31/05/2024
Chief Tech/Sci/R&D Officer - 01/01/2015
Compliance Officer - 01/01/2013
Chief Administrative Officer 56 -

Composition of the Board of Directors: Brookfield Asset Management Ltd.

Director TitleAgeSince
Chairman 61 16/01/2025
Director/Board Member 60 01/01/2022
Director/Board Member 51 09/12/2022
Director/Board Member 72 01/01/2022
Director/Board Member 47 01/01/2022
Director/Board Member 50 01/01/2022
Director/Board Member 52 01/01/2022
Director/Board Member 65 01/01/2022
Director/Board Member 63 17/03/2025
Director/Board Member 64 17/03/2025

Shareholders: Brookfield Asset Management Ltd.

NameEquities%Valuation
68.87 %
1,12,80,21,145 68.87 % 56 074 M $
BAM Credit & Insurance Solutions Advisor LLC
3.969 %
6,50,00,000 3.969 % 3 231 M $
1.88 %
3,07,89,564 1.88 % 1 531 M $
Royal Trust Corporation of Canada
1.518 %
2,48,59,688 1.518 % 1 236 M $
Capital Research & Management Co. (World Investors)
1.474 %
2,41,35,043 1.474 % 1 200 M $

Company details: Brookfield Asset Management Ltd.

Brookfield Asset Management Ltd.

Brookfield Place

10281-0221, New York

+416 363 9491

http://bam.brookfield.com
address Brookfield Asset Management Ltd.(BAM)

Group companies: Brookfield Asset Management Ltd.

NameCategory and Sector

Other Investment Management & Fund Operators

Change 5d. change 1-year change 3-years change Capi.($)
-0.45%+5.20%-10.19%+52.46% 8.54TCr
-0.40%+0.27%+9.19%+46.43% 17TCr
-2.78%-6.35%+7.49%+62.77% 14TCr
-1.53%+1.74%+14.10%+95.22% 11TCr
-2.70%+1.08%+43.43%+136.20% 8.7TCr
-3.12%-10.69%-7.87%+37.11% 4.62TCr
+1.58%-0.42%-16.53%+102.06% 4.58TCr
-0.56%-0.84%+32.77%+39.23% 3.69TCr
-1.08%-2.63%+32.98%+48.25% 2.78TCr
-0.56%+0.33%+35.31%+29.21% 2.28TCr
Average -1.14%+0.84%+14.07%+64.89% 7.63TCr
Weighted average by Cap. -1.31%+0.38%+11.53%+69.08%
Trader
Investor
Global
Quality
ESG MSCI
A
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
17
Last Close Price
52.98USD
Average target price
61.78USD
Spread / Average Target
+16.61%

Quarterly revenue - Rate of surprise

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