Rank Brookfield Asset Management Preferreds

This compare tool allows you to Rank Brookfield Asset Management Preferreds, based on the latest stock information available. Our goal is to provide you with the information and metrics related to the Brookfield Asset Management preferreds. Your goal is to establish which preferred will provide you the best returns. If you are buying today, these tools will expedite and aid the selection process. Given all the data available here, an informed decision is within reach.

In a market with low volumes you can use this information to identify mispriced shares. Since all preferreds belong to the same issuer, the risk is the same for all of them.

Brookfield Asset Management Brief Overview

Visit the Brookfield Asset Management company website to see the preferred share prospectus, news and other information.

Sector: Alternative asset management company.

Core businesses and operations:

  1. Real Estate: One of the largest investors in real estate in the world. 193B assets under managment
  2. Renewable Power: With 18,800 megawatts of generating capacity. Assets, located in North and South America, Europe, India and China, comprised a diverse technology base of hydro, wind, utility-scale solar, distributed generation, storage and other renewable technologies
  3. Infrastructure: Owning and operating assets across the utilities, transport, energy and data infrastructure sectors
  4. Private Equity: Acquiring high-quality businesses with barriers to entry and enhancing their cash flow capabilities by improving strategy and execution
  5. Oaktree: Global alternative asset manager with a diversified mix of opportunistic, value-oriented and risk-controlled investments across credit and other investment offerings
Issues Not tracked by our system The following BAM issues cannot be tracked by our system at this time
  1. BAM.PR.E Brookfield Asset Mgmt. Inc., Series 8.
  2. BAM.PR.G Brookfield Asset Management Inc. 2.75%, Series 9

The latest information and statistics on their common stock BAM, can be easily accessed using websites like TMX Money.

Next Dividend Pay Date: 2020Jun30. Dividend Payment Schedule: 2021MAR31 , 2020JUN30 , 2020SEP30 , 2020DEC31

Next Ex-Dividend Date: 2020Jun13. Ex Dividend Date Schedule: 2021MAR14 , 2020JUN13 , 2020SEP12 , 2020DEC13

 

Brookfield Asset Management Credit Rating

The latest credit rating for Brookfield Asset Management are listed in the table below. For additional information on credit rating agencies and codes see our article Credit Rating Symbols.

S&P CorporateS&P PreferredsDBRS Long TermDBRS Preferred'sS&P Global CorporateS&P Global PreferredsMoody's LongTermFitch Long TermFitch Short Term
A-A(low)Pfd-2LBaa2A-F2

Brookfield Asset Management Common Share Metrics

Symbol: BAMCurrency: USDMarket Cap: $57,063,737,238Price: $36.26
P/E: 39.77P/B: 1.74Dividend: $0.180Yield: 1.99%
Beta: 1.13



Rank Brookfield Asset Management Preferreds - Compare Tool.

If you need more information on how to use the metrics below, watch our video Introduction to Compare Tools or see our post how to pick the best preferred share of a company


Last Updated: Market Data Jun-05 16:52, Model Metrics Jun-05 16:55
SymbolPrice52W High52W Low
Fixed Rate Baseyield and dividend for the current issue based on last night’s closing stock price
Current (Yield | Dividend)
Reset (Yield | Dividend)yield and dividend for the current issue after the upcoming reset
Blended (Yield | Dividend)follow link passed the end of the table to see definition
Reset Date Y/M/DRate Increase (percent | to value )New Spread (%Increase | value)Years To Double Initial InvestmentName
BAM-T $12.71$16.60$8.555YR + 2.31%06.83% | $0.8705.56% | $0.7105.96% | $0.752022MAR31096% | 5.57%049% | 3.44%10.48Brookfield Asset Management Inc. 3.471%, Series 26
BAM-X $10.64$14.25$7.205YR + 1.80%06.39% | $0.6805.44% | $0.5805.78% | $0.612022JUN30135% | 5.45%057% | 2.83%11.19Brookfield Asset Management Inc. 2.727%, Series 28
BAM-Z $16.1$20.37$11.005YR + 2.96%07.28% | $1.1705.40% | $0.8706.24% | $1.002022DEC31055% | 5.40%035% | 4.01%9.860Brookfield Asset Management Inc. 4.685%, Series 30
BAM-R $12.34$16.62$8.345YR + 2.30%05.83% | $0.7205.71% | $0.7005.69% | $0.702021JUN30102% | 5.71%050% | 3.46%12.23Brookfield Asset Management Inc. 3.014%, Series 24
BAM.PF.A $16.9$20.77$11.125YR + 2.90%07.48% | $1.2605.06% | $0.8506.48% | $1.092023SEP30048% | 5.06%032% | 3.83%9.601Brookfield Asset Management Inc. 4.50%, Series 32
BAM.PF.B $15.19$19.25$10.145YR + 2.63%07.30% | $1.1105.18% | $0.7906.25% | $0.952023MAR31064% | 5.18%039% | 3.66%9.833Brookfield Asset Management Inc. 4.20%, Series 34
BAM.PF.E $14$18.08$9.155YR + 2.55%06.37% | $0.8905.48% | $0.7706.27% | $0.872025MAR31078% | 5.48%044% | 3.67%11.22Brookfield Asset Management Inc. 3.568% Series 38
BAM.PF.F $15.75$19.08$10.355YR + 2.86%06.38% | $1.0005.36% | $0.8406.14% | $0.962024SEP30058% | 5.37%037% | 3.91%11.20Brookfield Asset Management Inc. 4.50%, Series 40
BAM.PF.G $14.46$19.47$9.505YR + 2.48%05.62% | $0.8105.18% | $0.7505.58% | $0.802025JUN30073% | 5.19%042% | 3.52%12.67Brookfield Asset Management Inc. 4.50%, Series 42
BAM.PF.H $24.8$26.10$17.205YR MIN 5% + 4.17%05.05% | $1.2505.04% | $1.2505.04% | $1.252020DEC31000% | 4.73%000% | 4.20%14.07Brookfield Asset Management Inc. 5.00%, Series 44
BAM.PF.I $24.5$26.19$16.625YR MIN 4.8% + 3.85%04.90% | $1.2004.89% | $1.2 04.89% | $1.2 2022MAR31002% | 4.46%002% | 3.92%14.48Brookfield Asset Management Inc. 4.80%, Series 46
BAM.PF.J $24$25.40$16.525YR MIN 4.75% + 3.10%04.95% | $1.1904.94% | $1.1804.93% | $1.182022DEC31004% | 3.77%004% | 3.22%14.34Brookfield Asset Management Inc. 4.75%, Series 48
BAM-B $8.14$12.22$6.2970% OF PRIME X $25.0005.83% | $0.47N/AN/AFLOATINGN/AN/AN/ABrookfield Asset Mgmt. Inc., Series 2
BAM-C $8.02$12.13$6.4770% OF PRIME X $25.0005.92% | $0.47N/AN/AFLOATINGN/AN/AN/ABrookfield Asset Mgmt. Inc., Series 4
BAM-K $8.11$12.25$6.3870% OF PRIME X $25.0005.85% | $0.47N/AN/AFLOATINGN/AN/AN/ABrookfield Asset Mgmt. Inc., Series 13
BAM-S $11.95$16.65$7.193MTH + 2.30%05.18% | $0.62N/AN/AFLOATING109% | 5.90%052% | 3.50%N/ABrookfield Asset Mgmt. Inc., Series 25
BAM-M $21.13$22.76$15.14PERPETUAL @ 4.75%05.62% | $1.1905.62% | $1.1905.62% | $1.19PERPETUAL018% | 5.62%N/A12.67Brookfield Asset Management Inc. 4.75%, Series 17
BAM-N $20.96$22.75$14.90PERPETUAL @ 4.75%05.67% | $1.1905.67% | $1.1905.67% | $1.19PERPETUAL019% | 5.67%N/A12.56Brookfield Asset Management Inc. 4.75%, Series 18
BAM.PF.C $21.25$22.99$15.27PERPETUAL @ 4.85%05.70% | $1.2105.70% | $1.2105.70% | $1.21PERPETUAL017% | 5.71%N/A12.50Brookfield Asset Management Inc. 4.85%, Series 36
BAM.PF.D $21.7$23.23$15.65PERPETUAL @ 4.90%05.64% | $1.2205.64% | $1.2205.64% | $1.22PERPETUAL015% | 5.65%N/A12.63Brookfield Asset Management Inc. 4.90%, Series 37


Reset Scenarios Based on Various G.O.C. 5 Year Bond Yield Rates

The following table presents 5 scenarios, of the issues resetting based on different 5 Year Bond rates. Each scenario consists of 3 columns and grouped by color. The rates assumed for the reset are as follows:
  • Scenario 1: 5YR GOC Rate is set at 0.01%
  • Scenario 2: 5YR GOC Rate is set at 0.4%
  • Scenario 3: 5YR GOC Rate is set at 0.8%
  • Scenario 4: 5YR GOC Rate is set at 1.2%
  • Scenario 5: 5YR GOC Rate is set at 1.6%

For more information please review our video and/or post. Links available at the bottom of the page


Rank Preferreds - Compare Reset Scenarios

Last Updated: Market Data Jun-05 16:52, Model Metrics Jun-05 16:55
Credit RatingSymbolReset Date Y/M/DCurrent (Yield | Dividend)
5Yr @ 0.01%. Reset (Yield | Dividend)Scenario: 1 yield and dividend based on GOC 5yr Rate of 5Yr @ 0.01%.
5Yr @ 0.01%. Blended (Yield | Dividend)5Yr @ 0.01%. Rate Increase (percent | to value )
5Yr @ 0.4%. Reset (Yield | Dividend)Scenario: 2 yield and dividend based on GOC 5yr Rate of 5Yr @ 0.4%.
5Yr @ 0.4%. Blended (Yield | Dividend)5Yr @ 0.4%. Rate Increase (percent | to value )
5Yr @ 0.8%. Reset (Yield | Dividend)Scenario: 3 yield and dividend based on GOC 5yr Rate of 5Yr @ 0.8%.
5Yr @ 0.8%. Blended (Yield | Dividend)5Yr @ 0.8%. Rate Increase (percent | to value )
5Yr @ 1.2%. Reset (Yield | Dividend)Scenario: 4 yield and dividend based on GOC 5yr Rate of 5Yr @ 1.2%.
5Yr @ 1.2%. Blended (Yield | Dividend)5Yr @ 1.2%. Rate Increase (percent | to value )
5Yr @ 1.6%. Reset (Yield | Dividend)Scenario: 5 yield and dividend based on GOC 5yr Rate of 5Yr @ 1.6%.
5Yr @ 1.6%. Blended (Yield | Dividend)5Yr @ 1.6%. Rate Increase (percent | to value )
Pfd2LBAM-T 2022MAR3106.83% | $0.874.56% | $0.5805.24% | $0.66096% | 4.56%5.33% | $0.6705.78% | $0.73096% | 5.33%6.12% | $0.7706.33% | $0.80096% | 6.12%6.90% | $0.8706.88% | $0.87096% | 6.90%7.69% | $0.9707.43% | $0.94096% | 7.69%
Pfd2LBAM-X 2022JUN3006.39% | $0.684.25% | $0.4505.00% | $0.53135% | 4.25%5.17% | $0.5505.59% | $0.59135% | 5.17%6.11% | $0.6506.20% | $0.66135% | 6.11%7.05% | $0.7506.81% | $0.72135% | 7.05%7.99% | $0.8507.42% | $0.79135% | 7.99%
Pfd2LBAM-Z 2022DEC3107.28% | $1.174.61% | $0.7405.80% | $0.93055% | 4.61%5.22% | $0.8406.13% | $0.98055% | 5.22%5.84% | $0.9406.48% | $1.04055% | 5.84%6.46% | $1.0406.82% | $1.09055% | 6.46%7.08% | $1.1407.16% | $1.15055% | 7.08%
Pfd2LBAM-R 2021JUN3005.83% | $0.724.68% | $0.5704.85% | $0.59103% | 4.68%5.47% | $0.6705.52% | $0.68103% | 5.47%6.28% | $0.7706.21% | $0.76103% | 6.28%7.09% | $0.8706.90% | $0.85103% | 7.09%7.90% | $0.9707.59% | $0.93103% | 7.90%
Pfd2LBAM.PF.A 2023SEP3007.48% | $1.264.30% | $0.7206.19% | $1.04047% | 4.30%4.88% | $0.8206.42% | $1.08047% | 4.88%5.47% | $0.9206.66% | $1.12047% | 5.47%6.07% | $1.0306.91% | $1.16048% | 6.07%6.66% | $1.1307.14% | $1.20048% | 6.66%
Pfd2LBAM.PF.B 2023MAR3107.30% | $1.114.34% | $0.6605.82% | $0.88064% | 4.34%4.99% | $0.7506.14% | $0.93064% | 4.99%5.65% | $0.8506.47% | $0.98064% | 5.65%6.30% | $0.9506.80% | $1.03064% | 6.30%6.96% | $1.0607.14% | $1.08064% | 6.96%
Pfd2LBAM.PF.E 2025MAR3106.37% | $0.894.57% | $0.6406.17% | $0.86078% | 4.57%5.27% | $0.7306.24% | $0.87078% | 5.27%5.98% | $0.8306.31% | $0.88078% | 5.98%6.70% | $0.9306.39% | $0.89078% | 6.70%7.41% | $1.0406.46% | $0.90078% | 7.41%
Pfd2LBAM.PF.F 2024SEP3006.38% | $1.004.56% | $0.7105.99% | $0.94058% | 4.56%5.17% | $0.8106.11% | $0.96058% | 5.17%5.81% | $0.9106.24% | $0.98058% | 5.81%6.44% | $1.0206.37% | $1.00058% | 6.44%7.08% | $1.1206.50% | $1.02058% | 7.08%
Pfd2LBAM.PF.G 2025JUN3005.62% | $0.814.30% | $0.6205.53% | $0.80072% | 4.30%4.98% | $0.7205.57% | $0.80072% | 4.98%5.67% | $0.8205.60% | $0.81072% | 5.67%6.36% | $0.9205.63% | $0.81072% | 6.36%7.05% | $1.0205.67% | $0.82072% | 7.05%
Pfd2LBAM.PF.H 2020DEC3105.05% | $1.255.04% | $1.2505.04% | $1.25000% | 5.04%5.04% | $1.2505.04% | $1.25000% | 5.04%5.04% | $1.2505.04% | $1.25000% | 5.04%5.41% | $1.3405.38% | $1.33000% | 5.41%5.82% | $1.4405.76% | $1.43000% | 5.82%
Pfd2LBAM.PF.I 2022MAR3104.90% | $1.204.90% | $1.2 04.89% | $1.2 002% | 4.90%4.90% | $1.2 04.89% | $1.2 002% | 4.90%4.90% | $1.2 04.89% | $1.2 002% | 4.90%5.15% | $1.2605.06% | $1.24001% | 5.15%5.56% | $1.3605.35% | $1.31002% | 5.56%
Pfd2LBAM.PF.J 2022DEC3104.95% | $1.194.95% | $1.1904.95% | $1.19004% | 4.95%4.95% | $1.1904.95% | $1.19004% | 4.95%4.95% | $1.1904.95% | $1.19004% | 4.95%4.95% | $1.1904.95% | $1.19004% | 4.95%4.95% | $1.1904.95% | $1.19004% | 4.95%