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BAM Financial Services Latest YouTube: Q1 2026 Published 2026-05-11

Brookfield Asset Management Ltd.

Live stock metrics, chart context, a quarter-by-quarter episode archive, and a deeper competitor comparison so this page behaves more like an investor workspace than a flat episode link page.

Latest earnings video

BAM Stock: Revenue Misses by 7% — Q1 2026 Earnings Analysis

Published 2026-05-11

Library coverage

Episodes tracked
1
Episodes linked
1
Latest video
Q1 2026
2026-05-11
Podcast available
Yes
Current price
$52.30
-0.09 (-0.17%)
Trailing / Forward P/E
30.06x
Forward: 24.09x
Market cap / Volume
Volume:
Revenue / Earnings Growth
60.8%
Earnings: 47.4%
Margins
68.7% op
Gross: 74.4% · Net: 48.9%
Balance sheet
1.27x current
Debt / Equity: 34.5
52-week range / Beta
$42.20 - $62.57
Beta: 1.25
Analyst target
$57.19
Upside: 9.3%
Cash / shareholder return
3.20% FCF yield
Dividend yield: 3.65%

Company context

Industry: Asset Management
Country: United States
Employees:
Price to book: 11.12x
Return on equity: 26.8%
Brookfield Asset Management Ltd. is a private equity firm specializing in acquisitions and growth capital investments. The firm primarily provides its services to institutional clients, high net worth individuals, financial institutions, public and private pension plans, sovereign wealth funds, endowments, and foundations. The firm manages separate client-focused public and private fund portfolios, listed partnerships, separate accounts, and co-investments. The firm invests in real assets, including real estate, infrastructure, renewable power, private equity, and credit. The firm employs fundamental and operational analysis to make its investments. The firm uses both in-house and external research to complement its investment process. It was founded in 2022 and is based in New York. Brookfield Asset Management Ltd. operates as a subsidiary of Brookfield Corporation.

Price chart

Market context for BAM

Competitive view

BAM vs. two close competitors

This section compares the current company against two nearby peers on valuation, growth, margins, balance-sheet strength, and investment setup. Green generally marks the strongest relative figure for that row, while red marks the weakest.

Brookfield Asset Management Ltd. latest YouTube video thumbnail YouTube
Brookfield Asset Management Ltd.
BAM
Latest video
Q1 2026
Growth profile looks strong right now, with above-average top-line and/or earnings momentum.
Profitability is a real strength here, with healthy operating margins helping support resilience through weaker cycles.
Valuation sits in a middle zone where future upside likely depends more on quarterly execution than on multiple re-rating alone.
Risk profile looks relatively manageable compared with many peers, especially if operating execution remains stable.
Moody's Corporation latest YouTube video thumbnail YouTube
Moody's Corporation
MCO
Latest video
Q2 2026
Growth profile looks strong right now, with above-average top-line and/or earnings momentum.
Profitability is a real strength here, with healthy operating margins helping support resilience through weaker cycles.
Valuation sits in a middle zone where future upside likely depends more on quarterly execution than on multiple re-rating alone.
Balance-sheet leverage is elevated, so investors should watch refinancing costs and how much flexibility management really has.
The Charles Schwab Corporation latest YouTube video thumbnail YouTube
The Charles Schwab Corporation
SCHW
Latest video
Q1 2026
Growth profile looks strong right now, with above-average top-line and/or earnings momentum.
Profitability is a real strength here, with healthy operating margins helping support resilience through weaker cycles.
Valuation looks more grounded than many growth names, which can improve the risk/reward if fundamentals hold up.
Balance-sheet leverage is elevated, so investors should watch refinancing costs and how much flexibility management really has.
Market Cap
More scale can mean deeper resources and resilience, although bigger does not automatically mean better upside.
BAM
$83.54B
Brookfield Asset Management Ltd.
MCO
$87.17B
Moody's Corporation
SCHW
$194.20B
The Charles Schwab Corporation
Trailing P/E
Lower trailing P/E can indicate a cheaper valuation relative to trailing earnings, but it may also reflect slower growth or higher perceived risk.
BAM
30.1x
Brookfield Asset Management Ltd.
MCO
32.0x
Moody's Corporation
SCHW
20.5x
The Charles Schwab Corporation
Forward P/E
Forward P/E is often a better read on what investors are paying for the next year of earnings power.
BAM
24.1x
Brookfield Asset Management Ltd.
MCO
26.6x
Moody's Corporation
SCHW
14.4x
The Charles Schwab Corporation
Revenue Growth
Higher revenue growth usually signals stronger demand, market share gains, or a business still in expansion mode.
BAM
60.8%
Brookfield Asset Management Ltd.
MCO
15.1%
Moody's Corporation
SCHW
20.9%
The Charles Schwab Corporation
Earnings Growth
Faster earnings growth matters because it shows management is converting sales momentum into shareholder value.
BAM
47.4%
Brookfield Asset Management Ltd.
MCO
56.7%
Moody's Corporation
SCHW
42.6%
The Charles Schwab Corporation
Operating Margin
Higher operating margin suggests better operating discipline, pricing power, or a structurally stronger business model.
BAM
68.7%
Brookfield Asset Management Ltd.
MCO
49.5%
Moody's Corporation
SCHW
52.3%
The Charles Schwab Corporation
Gross Margin
Gross margin helps show how much product-level pricing power and unit economics a company has before overhead.
BAM
74.4%
Brookfield Asset Management Ltd.
MCO
75.0%
Moody's Corporation
SCHW
97.5%
The Charles Schwab Corporation
Net Margin
Higher net margin means more of each dollar of revenue reaches the bottom line after all costs.
BAM
48.9%
Brookfield Asset Management Ltd.
MCO
34.3%
Moody's Corporation
SCHW
38.8%
The Charles Schwab Corporation
Return on Equity
ROE shows how efficiently management turns shareholder capital into profits, though leverage can inflate it.
BAM
26.8%
Brookfield Asset Management Ltd.
MCO
76.9%
Moody's Corporation
SCHW
20.3%
The Charles Schwab Corporation
Free Cash Flow Yield
Higher free cash flow yield can indicate a stronger cash return relative to the stock's market value.
BAM
3.2%
Brookfield Asset Management Ltd.
MCO
3.0%
Moody's Corporation
SCHW
The Charles Schwab Corporation
Debt to Equity
Lower leverage usually means less balance-sheet risk, though capital-intensive sectors naturally run higher debt loads.
BAM
34.45x
Brookfield Asset Management Ltd.
MCO
240.68x
Moody's Corporation
SCHW
151.11x
The Charles Schwab Corporation
Current Ratio
A stronger current ratio usually signals better short-term liquidity and more room to absorb shocks.
BAM
1.27x
Brookfield Asset Management Ltd.
MCO
1.19x
Moody's Corporation
SCHW
0.66x
The Charles Schwab Corporation
Beta
Lower beta often means lower volatility versus the market, while higher beta usually brings a rougher ride.
BAM
1.25
Brookfield Asset Management Ltd.
MCO
1.33
Moody's Corporation
SCHW
0.75
The Charles Schwab Corporation
Dividend Yield
Dividend yield matters for income-focused investors, but a high yield can also reflect a stressed stock price.
BAM
3.6%
Brookfield Asset Management Ltd.
MCO
0.8%
Moody's Corporation
SCHW
1.1%
The Charles Schwab Corporation
Analyst Upside
Higher analyst upside suggests the Street still sees room between current price and consensus fair value.
BAM
9.3%
Brookfield Asset Management Ltd.
MCO
11.4%
Moody's Corporation
SCHW
11.0%
The Charles Schwab Corporation

Episode timeline

Episode archive for BAM

Each row is one earnings episode with every verified platform link available.

Q1 2026
Episode live
2026-05-11
Published youtube podcast complete
BAM Stock: Revenue Misses by 7% — Q1 2026 Earnings Analysis
Quarterly earnings-analysis entry for Brookfield Asset Management Ltd.. Use the links on the right to open the video or podcast episode.