Business Context and Reporting Period
This Form 6-K filing by Brookfield Asset Management Inc. (a foreign private issuer) covers the quarter ended September 30, 2017. The report was filed on November 14, 2017, and incorporates by reference the Management's Discussion and Analysis and Unaudited Interim Consolidated Financial Statements found in the Interim Report to Shareholders (Exhibit 1).
Key Financial Metrics
The filing text provided is a cover sheet and does not contain specific numerical data for revenue, profit, cash flow, margins, debt, or liquidity. These metrics are located within the incorporated Exhibit 1 (Interim Report to Shareholders), which is not included in the input text.
Material Changes
The filing text does not provide specific details regarding material changes versus the prior comparable period. Such analysis is contained within the incorporated Interim Report to Shareholders.
Guidance, Outlook, and Risks
The filing text does not include management commentary, guidance, outlook, risks, contingencies, or unusual items. These disclosures are part of the incorporated Exhibit 1.
Investor Verification Checklist
- Verify the specific revenue, net income, and cash flow figures in the incorporated Interim Report to Shareholders (Exhibit 1).
- Review the Management's Discussion and Analysis (pages 7-47 of Exhibit 1) for material changes and risk factors.
- Confirm the details of the registration statements (Form F-3 and Form F-10) referenced for incorporation.
- Check the certifications of the Chief Executive Officer and Chief Financial Officer (Exhibits 2 and 3) for compliance with Canadian Law.