About

Brookfield Asset Management

country: Canada

currency: USD

industry: Diversified Financials

website: http://www.brookfield.com

ISIN:CA1125851040

exchange: Toronto

dividend yield: 0.66%
(calculation: dividend last fiscal year)

stock price: USD 73.200
(2 December 2021)

p/e ratio: n.m.


percentage off 3 year high: -4.5%

 

payout frequency: quarterly

payout month(s): February May August November

withholding tax rate: 25.0%

 

fiscal year (Dec.)

earnings per share
dividends per share
dividend growth rate
special dividend



yield high
yield low

payout ratio

2020

- 0.120
0.480
12.4%




2.2%
1.1%

n.m.
2019

1.773
0.427
6.7%




1.7%
1.1%

24%
2018

2.313
0.400
7.1%




1.6%
1.3%

17%
2017

2.493
0.373
7.7%




1.7%
1.3%

15%
2016

2.120
0.347
10.6%




2.0%
1.4%

16%
2015

1.507
0.313
8.5%




1.6%
1.2%

21%
2014

2.075
0.289
0.0%




1.8%
1.3%

14%
2013

1.387
0.289
16.1%




1.9%
1.6%

21%
2012

0.875
0.249
7.7%




2.1%
1.5%

28%
2011

1.285
0.231
0.0%




2.1%
1.5%

18%

footnotes:
n.m. = not meaningful

earnings / dividends per share



earnings per share



dividends per share