Overview
Brookfield Corporation is a leading global investment firm focused on building long-term wealth for institutions and individuals around the world. We have three core businesses: Alternative Asset Management, Wealth Solutions, and our Operating Businesses which are in renewable power, infrastructure, business and industrial services, and real estate.
We have a track record of delivering 15%+ annualized returns to shareholders for over 30 years, supported by our unrivaled investment and operational experience. Our conservatively managed balance sheet, extensive operational experience, and global sourcing networks allow us to consistently access unique opportunities. At the center of our success is the Brookfield Ecosystem, which is based on the fundamental principle that each group within Brookfield benefits from being part of the broader organization.
Prior to the listing of Brookfield Asset Management in December 2022, Brookfield Corporation traded under the ticker <BAM>. Historical trading performance and information can now be found under the Brookfield Corporation ticker <BN> and across this website.
Why Invest in Brookfield Corporation?
Stable, predictable and growing cash flows
Substantial and growing distributable earnings underpinned by long-life, high-quality assets and businesses that generate stable, predictable, inflation-linked cash flows
Global presence
2,500+ investment and asset management professionals and approximately 200,000 operating employees in 30+ countries on five continents across our three businesses—asset management, wealth solutions and operating businesses, providing us access to unique proprietary opportunities
Scale, perpetual and flexible capital base
Significant perpetual and flexible capital base that allows us to pursue highly accretive growth at scale, accelerate the growth of our asset management, wealth solutions and operating businesses, and to build new businesses
Proven value investor
Value investor with a strong track record of allocating our capital to generate meaningful compound returns over the long term
Deep operating expertise
Over 100 years of operating experience as an owner and operator of real assets across renewable power & transition, infrastructure, private equity, real estate and asset management
Conservative capitalization with significant liquidity
Conservatively capitalized balance sheet with ample liquidity to opportunistically pursue accretive acquisitions and provide downside protection