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Stock Market Analysis 2022

   

Added on  2022-08-12

10 Pages1681 Words19 Views
Running head: FINANCIAL MANAGEMENT
Financial Management
Name of the Student:
Name of the University:
Author’s Note:

FINANCIAL MANAGEMENT1
Table of Contents
Part 2................................................................................................................................................2
Stock Analysis.................................................................................................................................2
Financial Ratio.............................................................................................................................4
Risk Analysis...............................................................................................................................5
Recommendations............................................................................................................................6
Bibliography....................................................................................................................................7
Appendix..........................................................................................................................................9

FINANCIAL MANAGEMENT2
Part 2
Stock Analysis
The stock has been considered for the purpose of analysis is the Brookfield Asset
Management which is a Canadian Financial Firm acting as an asset management which works in
key fields like real assets, property, infrastructure and renewable form of energy (Brookfield
Asset Management - BAM - Stock Price & News | The Motley Fool 2020). The company has well
expanded their business over the past 200 years which have allowed the company to manage a
fund of over $500 Billion as Assets under Management. The operations and business activities of
the company are well diversified into several asset class into properties filed like tool roads, data
centers, solar farms, gas pipelines, hydroelectric dams and skyscrapers across the five continents.
The key holding stake that the BAM Company has are as follows:
Brookfield Property Partners (BPY)
Brookfield Renewable Partners (BEP)
Brookfield Infrastructure Partners (BIP)
Brookfield Business Partners (BBU)
The operations of the company is based by investing their own set of money into a variety of
portfolio of real assets. Secondly, they collect money from the institutional investors, invest their
sum of money on behalf of them into a wide class of real assets and collecting performance fees
from that amount of capital (Annual Report 2018). On a final basis, they also founded and are
holding a large amount of stake in the above-mentioned publically traded partnership. A
graphical representation of the company organizational chart is well shown below:

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