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BN

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1d
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Analysis and statistics

  • Open
    89.4565$
  • Previous Close
    90.3297$
  • 52 Week Change
    33.03$
  • Day Range
    -0.87$
  • 52 Week High/Low
    61.7864$ - 94.82$
  • Dividend Per Share
    0.0038
  • Market cap
    133 251 M$
  • EPS
    0.205
  • Beta
    2.242
  • Volume
    --

About

BN.TO is the stock ticker symbol for Brookfield Corporation traded on the Toronto Stock Exchange (TSX). Brookfield Corporation is a leading global alternative asset manager with approximately $900 billion in assets under management. The company focuses on real estate, infrastructure, renewable power, private equity and credit. Its investments span across various sectors and geographies, seeking long-term value and attractive risk-adjusted returns for its shareholders and clients. Brookfield's shares offer investors exposure to a diversified portfolio of real assets and a platform for growth in the alternative investment space.
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Factors

Brookfield Corporation's (BN.TO) stock price is influenced by a variety of factors: Overall Market Conditions: Broad market trends, investor sentiment, and economic news impact nearly all stocks, including BN.TO.

Interest Rate Changes: As a significant investor in real estate and infrastructure, Brookfield's profitability is sensitive to interest rate fluctuations. Higher rates can increase borrowing costs and reduce asset valuations.

Economic Growth: Strong economic growth typically benefits Brookfield's various business segments, increasing demand for their assets and services.

Asset Performance: The performance of Brookfield's real estate, infrastructure, renewable energy, and private equity investments directly affects its financial results and investor confidence.

Earnings Reports: Quarterly and annual earnings reports significantly impact the stock price. Positive results generally lead to price increases, while disappointing results can cause declines.

Company News: Major announcements regarding acquisitions, divestitures, new projects, or strategic initiatives can move the stock price.

Regulatory Environment: Changes in regulations affecting Brookfield's various sectors (e.g., real estate, energy) can impact its business and stock price.

Global Events: Major global events, such as economic crises or geopolitical instability, can negatively affect the stock price.

Investor Sentiment: General investor sentiment towards alternative asset managers and the sectors in which Brookfield invests plays a crucial role.

Dividend Policy: Changes in Brookfield's dividend policy can influence investor demand and stock price.

Credit Ratings: Changes in Brookfield's credit ratings can affect its borrowing costs and investor perception.

Management Decisions: Strategic decisions made by Brookfield's management team regarding capital allocation, investments, and operations influence investor confidence.

Competition: The competitive landscape within the alternative asset management industry can impact Brookfield's market share and profitability.

Currency Fluctuations: As a global company, currency fluctuations can impact Brookfield's financial results and stock price.

Inflation: High inflation can increase operating costs and reduce the value of future cash flows, potentially impacting the stock price.

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