Brookfield Asset Management is a leading global alternative asset management company focusing on real estate, infrastructure, renewable energy as well as private equity. The firm serves institutional and retail clients through its four partnerships. It operates through Brookfield Property Partners, Brookfield Infrastructure Partners, Brookfield Renewable Partners, and Brookfield Business Partners.

Infrastructure investments account for the largest portion of investments at 45%, followed by real estate (20%), private equity (20%) and renewable power (~15%). Over 85% of its revenues are long term.

Brookfield Asset Management has a large global presence in over 30 countries which grants it a competitive edge for proprietary deal flow. Brookfield Asset Management invests in North America (86% of funds deployed), Europe (8%), South America (5%) and Asia (1%).

Brookfield Asset Management Stock Details

  • Ticker: tse:bam
  • Sector: Financial Services
  • Industry: Asset Management
  • Market Cap: 20.90B
  • Market Cap Group: Large Cap
  • P/E: 37.09
  • Dividend Yield: 3.88%

BAM Industry Competitors

The competitive landscape is important as they compete for the same business. Below is the list of competitors in the same industry. While not displayed, a number of metrics you can also use to evaluate your picks are the Chowder Score, the Relative Strength Index (RSI), the Graham Number, and the Piotroski F-Score.

Ticker Ticker Company Market Cap P/E Yield Aristocrat Graph SectorID IndustryID
BLK NYSE:BLK BlackRock 114.72 19.62 2.64 NO 1 7 17
BAM.A TSE:BAM.A Brookfield Asset Management 101.83 22.95 1.20 YES 1 7 17
BN TSE:BN Brookfield Corp 91.97 71.77 0.74 YES 1 7 17
BK NYSE:BK Bank of New York Mellon Corporation 44.58 14.54 2.82 NO 1 7 17
AMP NYSE:AMP Ameriprise Financial, Inc. 43.37 14.86 1.36 NO 1 7 17
TROW NASDAQ:TROW T. Rowe Price Group, Inc. 26.32 14.00 4.21 YES 1 7 17
BAM TSE:BAM Brookfield Asset Management 20.90 37.09 3.88 YES 1 7 17
BEN NYSE:BEN Franklin Resources, Inc. 12.42 13.49 5.25 YES 1 7 17
IGM TSE:IGM IGM Financial 8.64 8.75 6.18 NO 1 7 17
ONEX TSE:ONEX ONEX Corporation 7.43 7.37 0.41 NO 1 7 17
IVZ NYSE:IVZ Invesco Ltd. 7.07 0.00 5.22 NO 1 7 17
BIPC TSE:BIPC Brookfield Infrastructure Partners 6.20 12.01 4.71 NO 1 7 17
EIT.UN TSE:EIT.UN Canoe EIT Income Fund 2.46 19.99 8.62 NO 1 7 17
CIX TSE:CIX CI Financial 2.21 0.00 5.47 NO 1 7 17
SII TSE:SII Sprott 1.56 25.97 2.23 NO 1 7 17
GCG TSE:GCG Guardian Capital Group 1.28 174.51 2.90 NO 1 7 17
GCG.A TSE:GCG.A Guardian Capital Group 1.12 11.39 3.31 NO 1 7 17
FSZ TSE:FSZ Fiera Capital Corp 0.74 11.17 12.32 YES 1 7 17
AD.UN TSE:AD.UN Alaris Equity Partners 0.72 3.67 8.63 NO 1 7 17
AGF.B TSE:AGF.B AGF Management 0.54 5.56 5.52 NO 1 7 17
MDS.UN TSE:MDS.UN Healthcare Special Opportunities Fund 0.02 48.52 1.84 NO 1 7 17
MMP.UN TSE:MMP.UN Precious Metals 0.02 0.00 6.86 NO 1 7 17
CIQ.UN TSE:CIQ.UN Canadian High Income 0.01 25.80 7.44 NO 1 7 17
BSO.UN TSE:BSO.UN Brookfield Select Opportunities 0.01 0.00 37.97 NO 1 7 17

Brookfield Asset Management - FAQ

What is the stock ticker for Brookfield Asset Management?

The stock ticker for Brookfield Asset Management is TSE:bam.

Is Brookfield Asset Management a good stock to buy?

You need to consider your investment strategy and how TSE:bam can fit in your portfolio.

The current dividend income score of 7/10 and dividend growth score of 5/10. Those 2 metrics together should help you decide the fit for your portfolio. Be it for income or for growth.

Is Brookfield Asset Management a Buy, Sell or Hold?

The Dividend Snapshot Opportunity Score of 61 out of 100.

The score reflects the strength of a buy signal but it does not show a sell signal if it's low. The higher the better.

A sell signal is more difficult as it often relies on the reason you bought the stock in the first place.

How can I buy stocks for Brookfield Asset Management?

You can easily buy the BAM stock with an online trading platform.

Just make sure the stock fits your risk profile and investment goals.


Use A Winning Investment Strategy

My portfolio is generating over 12% annual returns since 2009. It's not from the beginning of the year or from 2019, it's from 2009 !!! That's a consistent return which means using the rule of 72, I double my portfolio every 6 years.

My approach is simple but you need key data that I have cultivated with the Dividend Snapshot Screeners. No other investment services provide you with easy to understand data but also actionable data. No hidden magic.

In fact, I have tried all of the investment services for dividend investors like a crash test dummy of investment services. Just ask me, and you'll learn why there was nothing I could use out there and that's how the Dividend Snapshot Screeners were borned!