Brookfield Asset Management Inc

41.60 USD
+0.02 (+0.05%)
Last updated
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Brookfield Asset Management Inc stock is up 3.3% since 30 days ago. The next earnings date is May 8, 2024. The company has had below-average volume in the last 30 days. Its seasonality going into this month shows a chance of a green month, as 55.1% of the previous 48 March’s closed higher than February. In the last 10 Unusual Options Trades, there were 4 PUTs, 6 CALLs. 67% of analysts rate it a buy.

Options Flow Last 10
Date & Time Expiration Date Strike Price Trade Type Size Open Interest
04 Jan 19:29 19 Apr, 2024 40.00 PUT 600 2410
05 Jan 15:21 19 Apr, 2024 35.00 PUT 250 165
05 Jan 15:24 19 Apr, 2024 35.00 PUT 326 165
05 Jan 15:24 19 Apr, 2024 35.00 PUT 250 165
06 Feb 19:54 15 Mar, 2024 40.00 CALL 200 16
07 Feb 15:05 19 Apr, 2024 40.00 CALL 200 403
15 Feb 20:01 19 Apr, 2024 25.00 CALL 59 590
15 Feb 20:39 19 Apr, 2024 25.00 CALL 100 590
15 Feb 20:54 19 Apr, 2024 25.00 CALL 100 590
15 Feb 20:54 19 Apr, 2024 25.00 CALL 20 590

About Brookfield Asset Management Inc

Brookfield Asset Management is a leading global alternative asset manager and one of the largest investors in real assets. Our investment focus is on real estate, renewable power, infrastructure and private equity assets. Our objective is to generate attractive long-term risk-adjusted returns for the benefit of our clients and shareholders. We manage a range of public and private investment products and services for institutional and retail clients. We earn asset management income for doing so and align our interests with our clients by investing alongside them. We have an exceptionally strong balance sheet, with over $30 billion of capital invested, primarily in our four listed partnerships: Brookfield Property Partners, Brookfield Infrastructure Partners, Brookfield Renewable Partners and Brookfield Business Partners. This access to large-scale capital enables us to make investments in sizeable, premier assets across geographies and asset classes that few managers are able to do. We create value for BAM shareholders in the following ways: As an asset manager – by investing both our own capital and that of our investors – this enables us to increase the scale of our operations, and enhances our financial returns through base management fees and performance-based income; as an investor and capital allocator – we strive to invest at attractive valuations, particularly in value-oriented situations that create opportunities for superior valuation gains and cash flow returns, or by monetizing assets at appropriate times to realize value; and as an owner-operator – we constantly work to increase the value of the assets within our operating businesses and the cash flows they produce through our operating expertise, development capabilities and effective financing.

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