Brookfield Corp (BN) reports $76.99B in equity holdings in latest Form 13F
Rhea-AI Filing Summary
Brookfield Corp /ON/ filed a Form 13F as an institutional investment manager, reporting its equity holdings and certain related accounts. The report is a 13F Combination Report, meaning some positions are reported here and others by affiliated managers. It covers 143 reportable holdings with an aggregate reported value of $76,987,645,805, and lists 6 other included managers plus two additional managers (Oaktree Capital Management, L.P. and Oaktree Fund Advisors, LLC) reporting related positions.
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Key Figures
Form 13F Information Table Entry Total: 143
Form 13F Information Table Value Total: $76,987,645,805
Number of Other Included Managers: 6
3 metrics
Form 13F Information Table Entry Total
143
Number of reportable holdings in the Form 13F information table
Form 13F Information Table Value Total
$76,987,645,805
Aggregate value of all Form 13F reportable positions, rounded to the nearest dollar
Number of Other Included Managers
6
Count of other included managers for which this report is filed
Key Terms
Form 13F, Institutional Investment Manager, 13F Combination Report, Other Included Managers
4 terms
Form 13F regulatory
"Form 13F Summary Page --------------------- | Report Summary"
A Form 13F is a quarterly filing that large investment managers must submit to disclose their holdings in publicly traded stocks and certain other securities. It acts like a peek into the portfolios of big investors, helping other market participants see what large players are buying or selling and offering clues about investment trends, crowded trades, and potential market impact.
Institutional Investment Manager regulatory
"The institutional investment manager filing this report and the person"
13F Combination Report regulatory
"X | 13F COMBINATION REPORT. (Check here if a portion"
Other Included Managers regulatory
"List of Other Included Managers Provide a numbered list of the name(s)"
FAQ
What did Brookfield Corp (BN) file with the SEC in this Form 13F?
Brookfield Corp filed a Form 13F Combination Report as an institutional investment manager, summarizing its reportable equity holdings and those of certain affiliated managers for the relevant quarter.
How much in reportable securities does Brookfield Corp (BN) disclose on this Form 13F?
Brookfield reports a Form 13F Information Table Value Total of $76,987,645,805, representing the aggregate value of its 143 reportable positions as of the quarter covered.
How many positions and managers are included in Brookfield Corp’s (BN) Form 13F?
The filing lists 143 Form 13F information table entries and identifies 6 other included managers for which Brookfield Corp files this report, in addition to certain other related managers.
What type of 13F report did Brookfield Corp (BN) file?
Brookfield selected the option for a 13F Combination Report, which indicates that a portion of its holdings is reported in this filing and a portion is reported by other institutional investment managers.
Who signed Brookfield Corp’s (BN) Form 13F and in what capacity?
The report was signed by Ronald Fisher-Dayn in New York, NY, acting as Managing Partner and Chief Compliance Officer, representing that the information provided is true, correct, and complete.
AI-generated analysis. How Rhea-AI works. Not financial advice.