YouTube · Q1 2026 · 2026-05-05
BN · NYSE
Brookfield Corporation
Asset Management · Canada
- Market cap (USD)
- US$82.72B
- Trailing P/E
- 68.62x
- Forward P/E
- 6.31x
- Quarterly revenue growth
- 8.5%
- Trailing net margin
- 1.8%
- Indicated dividend yield
- 0.8%
Snapshot 2026-10-06 · Latest financial period 2026-06-30 · Yahoo Finance. Quotes may be delayed; reporting periods can differ.
Next earnings: 2026-11-12 (provider estimate, not issuer-confirmed).
Company background
Brookfield Corporation is a multi-asset manager focused on real estate, credit, renewable power and transition, infrastructure, venture capital, and private equity including growth capital and emerging growth investments. It manages a range of public and private investment products and services for institutional and retail clients. It typically makes investments in sizeable, premier assets across geographies and asset classes. It invests both its own capital as well as capital from other investors. Within private equity and venture capital, it focuses on acquisitions, early ventures, control buyouts, financially distressed buyouts, corporate carve-outs, recapitalizations, convertible, senior and mezzanine financings, operational and capital structure restructuring, strategic re-direction, turnarounds, and underperforming midmarket companies. It invests in both public debt and equity markets. It invests in private equity sectors with focus on business services including infrastructure, healthcare, road fuel distribution and marketing, and real estate; industrials including manufacturers of automotive batteries, graphite electrodes, smart cards, returnable plastic packaging, consumable products for lab testing, and sanitation management and development; and residential/infrastructure services. The firm provides essential business services including business process outsourcing, financial services, software and technology services, and real estaterelated services, among others. The firm also invests in energy transition. It targets companies that likely possess underlying real assets, primarily in sectors such as industrial products, building materials, metals, mining, homebuilding, oil and gas, paper and packaging, manufacturing, and forest products. It invests globally with focus on North America including Brazil, the United States, and Canada; Europe; Australia; the Middle East and North Africa; and Asia-Pacific. The firm considers equity investments in the range of $2 million to $500 million. It has a four-year investment period and a 10-year term with two one-year extensions. The firm prefers to take both minority and majority stakes. Brookfield Corporation was founded in 1997 and is based in Toronto, Canada, with additional offices across North America, South America, Europe, the Middle East, and Asia.
Company websiteQ1 2026
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Comparable businesses
BN peer comparison
Same business group first, then company size. Preferred market cap: 0.5–2x; extended range: one-third–3x. Outside that range, industry benchmarks are labeled separately and excluded from peer medians.
| Metric | BNBrookfield CorporationSnapshot 2026-10-06Financial period: 2026-06-30 | KKRKKR & Co. Inc.Snapshot 2026-10-06Financial period: 2026-06-30 | APOApollo Global Management, Inc.Snapshot 2026-10-06Financial period: 2026-06-30 | Peer medianSimilar-size peers only |
|---|---|---|---|---|
| Market capMarket value, converted to USD | US$82.72B | US$83.69B | US$67.91B | US$75.80Bn=2 |
| Forward P/EProvider forward earnings estimate | 6.31x | 12.28x | 10.74x | 11.51xn=2 |
| EV / EBITDAEnterprise value / trailing EBITDA | 14.10x | — | — | — |
| Revenue growthLatest quarter vs prior-year quarter | 8.5% | 7.8% | 63.8% | 35.8%n=2 |
| Operating marginLatest reported quarter | 25.7% | 20.6% | 22.0% | 21.3%n=2 |
| Free cash flow yieldTrailing cash flow / market cap | -2.4% | — | — | — |
| Net debt / EBITDANet debt / trailing EBITDA | 7.78x | — | — | — |
| Debt / equityTotal debt / positive book equity | 1.61x | 0.70x | 1.01x | 0.85xn=2 |
| Trailing P/ETrailing twelve-month earnings | 68.62x | 28.95x | 41.22x | 35.08xn=2 |
| Price / bookPrice / positive book equity per share | 1.95x | 2.85x | 3.38x | 3.12xn=2 |
| EV / salesEnterprise value / trailing revenue | 5.71x | 5.47x | 2.37x | 3.92xn=2 |
| Earnings growthLatest quarter vs prior-year quarter | 40.3% | 40.0% | 63.7% | 51.9%n=2 |
| Gross marginTrailing twelve months | 32.3% | 54.8% | 36.1% | 45.5%n=2 |
| Net marginTrailing twelve months | 1.8% | 12.2% | 5.3% | 8.7%n=2 |
| Return on equityProvider trailing return; positive equity only | 2.3% | 7.3% | 11.4% | 9.3%n=2 |
| Free cash flow marginTrailing free cash flow / revenue | -2.5% | — | — | — |
| Dividend yieldIndicated annual dividend / price | 0.8% | 0.9% | 2.0% | 1.4%n=2 |
| Earnings payoutProvider trailing dividend payout | 48.2% | 24.0% | 75.0% | 49.5%n=2 |
| Current ratioCurrent assets / current liabilities | 1.01x | 0.86x | 1.95x | 1.40xn=2 |
| BetaProvider historical market sensitivity | 1.84 | 1.83 | 1.58 | 1.70n=2 |
YouTube · Q1 2026 · 2026-05-05
YouTube · Q1 2026 · 2026-05-06
Comparison methodology & limitations
Reviewed operating groups override broad sector classifications. Other companies are matched only within a sufficiently specific provider industry. Business mix, geography and accounting standards can still differ. Market caps are converted to USD using exchange rates captured during the snapshot refresh. Financial ratios that would mix currencies are omitted. Snapshots must be at most 14 days old and no more than seven days apart for automatic selection.
Peer medians require at least two valid similar-size peers for each metric. Negative earnings, nonpositive equity, missing data and irrelevant bank ratios are not presented as attractive valuations. A higher or lower number is not automatically a better investment. Financial statement periods are not calendar-aligned across companies.
Reported performance
Financial trends
Periods are grouped by their ending calendar year or quarter, not identical fiscal calendars. Exact period-end dates appear in tooltips and reported figures. When reporting currencies differ and a recent captured FX rate is available, money and EPS are normalized to USD for comparison. This is not a historical FX restatement. Gaps are not estimated.
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Financial data & calculation notes
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Earnings-multiple scenario
Illustrative price = your earnings-per-share assumption × your P/E assumption. This is not a price target or a complete valuation model.
Starting assumptions, when available, use provider forward estimates as of 2026-10-06. Negative earnings require a different valuation method. This calculation omits balance-sheet, dilution and execution risks.
THE RESEARCH RECORD
Research history for BN
Q1 20262026-05-14
BN Stock: $18.6B Revenue — Q1 2026 Earnings Analysis
Presentation · 2026-05-14 · YouTube