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Brookfield Corporation SEC Filings

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Brookfield Corporation filings document a Canadian foreign private issuer reporting on Form 40-F and furnishing current information on Form 6-K. The record includes annual reporting with audited financial statements and management's discussion and analysis, as well as exhibits covering press releases, shareholder meeting notices, and corporate secretary communications.

Brookfield's filings also disclose capital-structure activity, including medium-term note offerings, supplemental indentures, and related agreements among Brookfield Finance II Inc., Brookfield Corporation, and Computershare Trust Company of Canada. Governance disclosures include annual and special meeting mechanics, record dates, notice-and-access procedures, and voting rights for Class A limited voting shares and Class B limited voting shares.

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BROOKFIELD REAL ESTATE INCOME TRUST INC. reported an equity-based management fee payment. The company issued 105,895 shares of Class I common stock at a price of $10.3778 per share to Brookfield REIT Adviser LLC as the monthly management fee under its advisory agreement.

After this transaction, the Adviser held a total of 426,650.841 shares of the issuer’s common stock. The shares are held directly by the Adviser and indirectly through several Brookfield-affiliated entities, which all disclaim beneficial ownership beyond their respective pecuniary interests.

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BROOKFIELD REAL ESTATE INCOME TRUST INC. reported an equity-based management fee payment. The company issued 105,895 shares of Class I common stock at a price of $10.3778 per share to Brookfield REIT Adviser LLC as the monthly management fee under its advisory agreement.

After this transaction, the Adviser held a total of 426,650.841 shares of the issuer’s common stock. The shares are held directly by the Adviser and indirectly through several Brookfield-affiliated entities, which all disclaim beneficial ownership beyond their respective pecuniary interests.

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Filing
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BROOKFIELD Corp /ON/ filed a Form 13F Combination Report listing 124 holdings with a reported aggregate value of $85,842,146,696. The filing names six other included managers and shows the report was signed by Ronald Fisher-Dayn on 02-13-2026.

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Filing
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BROOKFIELD Corp /ON/ filed a Form 13F Combination Report listing 124 holdings with a reported aggregate value of $85,842,146,696. The filing names six other included managers and shows the report was signed by Ronald Fisher-Dayn on 02-13-2026.

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Brookfield Corporation reported record distributable earnings before realizations of $5.4 billion for 2025, up 11% per share from the prior year. Total distributable earnings were $6.0 billion, while net income was $3.2 billion for the year and $1.7 billion in the fourth quarter.

Asset Management generated record distributable earnings, with fee-bearing capital rising to $603 billion and fee-related earnings up 22% to $3.0 billion. Wealth Solutions distributable earnings grew 24% to $1.7 billion, and Operating Businesses contributed $1.6 billion. The quarterly dividend was raised 17% to $0.07 per share, and the company repurchased over $1 billion of shares in 2025. Brookfield ended the year with record deployable capital of $188 billion, including $77 billion of cash, financial assets and undrawn credit lines, plus $111 billion of uncalled fund commitments.

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Brookfield Corporation reported record distributable earnings before realizations of $5.4 billion for 2025, up 11% per share from the prior year. Total distributable earnings were $6.0 billion, while net income was $3.2 billion for the year and $1.7 billion in the fourth quarter.

Asset Management generated record distributable earnings, with fee-bearing capital rising to $603 billion and fee-related earnings up 22% to $3.0 billion. Wealth Solutions distributable earnings grew 24% to $1.7 billion, and Operating Businesses contributed $1.6 billion. The quarterly dividend was raised 17% to $0.07 per share, and the company repurchased over $1 billion of shares in 2025. Brookfield ended the year with record deployable capital of $188 billion, including $77 billion of cash, financial assets and undrawn credit lines, plus $111 billion of uncalled fund commitments.

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Brookfield-affiliated entities reported a stock-based fee payment from Brookfield Real Estate Income Trust Inc. On January 21, 2026, the REIT issued 104,268.008 shares of Class I Common Stock to Brookfield REIT Adviser LLC as payment of the monthly management fee under their advisory agreement. The shares were valued at $10.431 per share.

Following this transaction, Brookfield REIT Adviser LLC indirectly held 318,917.841 Class I shares of the issuer. The filing notes these shares are held directly by the Adviser and indirectly through several Brookfield entities, including Brookfield Corporation and Brookfield Asset Management affiliates. The reporting persons state that they disclaim beneficial ownership of any securities beyond their respective pecuniary interests.

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Brookfield-affiliated entities reported a stock-based fee payment from Brookfield Real Estate Income Trust Inc. On January 21, 2026, the REIT issued 104,268.008 shares of Class I Common Stock to Brookfield REIT Adviser LLC as payment of the monthly management fee under their advisory agreement. The shares were valued at $10.431 per share.

Following this transaction, Brookfield REIT Adviser LLC indirectly held 318,917.841 Class I shares of the issuer. The filing notes these shares are held directly by the Adviser and indirectly through several Brookfield entities, including Brookfield Corporation and Brookfield Asset Management affiliates. The reporting persons state that they disclaim beneficial ownership of any securities beyond their respective pecuniary interests.

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Brookfield Business Corporation’s major shareholders updated their ownership disclosure in this Amendment No. 5 to Schedule 13D. On January 16, 2026, wholly owned subsidiaries of Brookfield Corporation terminated prior financing arrangements with subsidiaries of Brookfield Wealth Solutions Ltd. and, in connection with that termination, the BNT parties transferred 24,289,723 Class A exchangeable subordinate voting shares to Brookfield Corporation subsidiaries for a cash payment of $406,615,283.33.

Following these changes, Brookfield Corporation and BAM Partners Trust each report beneficial ownership of 47,244,876 Class A shares, representing 68.5% of the Class A shares outstanding, based on 68,977,473 Class A shares outstanding as of January 15, 2026. BPEG BN Holdings LP reports beneficial ownership of 23,180,542 Class A shares, or 33.6% of that class. Brookfield Business Partners L.P. and its affiliates beneficially own all issued and outstanding Class B multiple voting shares, representing a 75% voting interest in the issuer.

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Brookfield Corporation and affiliated entities updated their ownership in Brookfield Business Partners L.P. through an Amendment No. 11 to Schedule 13D. They report beneficial ownership of 142,552,877 limited partnership units, redemption-exchange units and exchangeable shares, representing 68.5% of the class, based on 87,637,824 units outstanding as of January 15, 2026 and assuming all related instruments are exchanged one-for-one into units.

On January 16, 2026, wholly owned subsidiaries of Brookfield Corporation terminated prior financing arrangements with subsidiaries of Brookfield Wealth Solutions Ltd. In connection with this termination, the BNT parties transferred 24,289,723 Class A Shares to Brookfield Corporation subsidiaries in exchange for a cash payment of $406,615,283.33. Other than this transaction, the reporting persons state there were no dealings in the units during the prior 60 days.

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Brookfield Real Estate Income Trust Inc. reported an insider transaction involving its external adviser. On December 31, 2025, 313,603 shares of Class I common stock were redeemed at $10.431 per share. The shares were held by Brookfield REIT Adviser LLC, which received them as payment of the monthly management fee under the advisory agreement with the trust and its operating partnership.

After this redemption, 106,700 shares of Class I common stock remained beneficially owned indirectly, with the filing made jointly by multiple Brookfield entities as 10% owners. The reporting persons state that the shares are held directly by Brookfield REIT Adviser LLC and indirectly through a chain of Brookfield affiliates, and they disclaim beneficial ownership beyond their respective pecuniary interests.

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Brookfield Real Estate Income Trust Inc. reported an insider transaction involving its external adviser. On December 31, 2025, 313,603 shares of Class I common stock were redeemed at $10.431 per share. The shares were held by Brookfield REIT Adviser LLC, which received them as payment of the monthly management fee under the advisory agreement with the trust and its operating partnership.

After this redemption, 106,700 shares of Class I common stock remained beneficially owned indirectly, with the filing made jointly by multiple Brookfield entities as 10% owners. The reporting persons state that the shares are held directly by Brookfield REIT Adviser LLC and indirectly through a chain of Brookfield affiliates, and they disclaim beneficial ownership beyond their respective pecuniary interests.

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Brookfield-affiliated reporting persons disclose their beneficial ownership in Brookfield Real Estate Income Trust Inc. as directors and 10% owners. They report indirect holdings of 26,882,237 shares of Class I common stock and 2,842,438 shares of Class E common stock held by BUSI II-C L.P., 72,256 shares of Class E common stock held by BIM Capital LLC, and 420,303 shares of Class I common stock held by Brookfield REIT Adviser LLC. An explanation outlines the ownership chain through Brookfield Corporation and related entities and states that each reporting person disclaims beneficial ownership beyond its pecuniary interest. The amended Form 3 is described as made solely to add Brookfield Oaktree Holdings Canada Inc. to this joint insider report.

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Brookfield-affiliated reporting persons disclose their beneficial ownership in Brookfield Real Estate Income Trust Inc. as directors and 10% owners. They report indirect holdings of 26,882,237 shares of Class I common stock and 2,842,438 shares of Class E common stock held by BUSI II-C L.P., 72,256 shares of Class E common stock held by BIM Capital LLC, and 420,303 shares of Class I common stock held by Brookfield REIT Adviser LLC. An explanation outlines the ownership chain through Brookfield Corporation and related entities and states that each reporting person disclaims beneficial ownership beyond its pecuniary interest. The amended Form 3 is described as made solely to add Brookfield Oaktree Holdings Canada Inc. to this joint insider report.

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Brookfield Corporation, a foreign private issuer, submitted a Form 6-K for December 2025. The report mainly notes that Brookfield uses Form 40-F for its annual reports and lists two new supplemental indentures dated December 11, 2025 involving Brookfield Finance II Inc., Brookfield Corporation and Computershare Trust Company of Canada. These are identified as the Second and Third Supplemental Indentures and are attached as exhibits to the report.

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Brookfield Corporation, a foreign private issuer, submitted a Form 6-K for December 2025. The report mainly notes that Brookfield uses Form 40-F for its annual reports and lists two new supplemental indentures dated December 11, 2025 involving Brookfield Finance II Inc., Brookfield Corporation and Computershare Trust Company of Canada. These are identified as the Second and Third Supplemental Indentures and are attached as exhibits to the report.

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FAQ

How many Brookfield Corporation (BAMGF) SEC filings are available on StockTitan?

StockTitan tracks 51 SEC filings for Brookfield Corporation (BAMGF), including 10-K annual reports, 10-Q quarterly reports, 8-K current reports, and Form 4 insider trading disclosures. Each filing includes AI-generated summaries, impact scoring, and sentiment analysis.

When was the most recent SEC filing for Brookfield Corporation (BAMGF)?

The most recent SEC filing for Brookfield Corporation (BAMGF) was filed on February 24, 2026.