Business Context and Reporting Period
This filing is a Form 13F-HR submitted by Brookfield Asset Management Inc. for the quarter ended September 30, 2013. The report discloses equity holdings managed by the firm and includes data for two other included managers: Brookfield Investment Management Inc. and Brookfield Asset Management Private Institutional Capital Adviser (Canada) LP.
Key Financial Metrics
As a Form 13F filing, this document reports portfolio holdings rather than the operating financial performance of Brookfield Corp itself. Consequently, revenue, profit, cash flow, margins, and debt metrics are not applicable to this specific filing.
- Total Value of Reported Holdings: $23,681,595,000 (23,681,595 thousands)
- Total Number of Holdings Reported: 158
- Number of Included Managers: 2
Material Changes
The filing text does not provide a comparative table or narrative detailing material changes in holdings versus the prior comparable period. It only presents the aggregate snapshot of holdings as of the reporting date.
Guidance, Outlook, and Risks
This filing contains no management commentary, forward-looking guidance, risk factors, or discussion of contingencies. It is a regulatory disclosure of long-only equity positions and does not include unusual items or strategic outlooks.
Important Facts for Investors to Verify
- Verify that the reported total value ($23.68 billion) represents only the long-only equity positions required by Form 13F and excludes other asset classes (e.g., private equity, real estate, debt) held by Brookfield.
- Confirm the specific breakdown of the 158 individual holdings, as the summary text provided does not list the specific securities or their individual values.
- Note that this filing covers three distinct management entities under the Brookfield umbrella, not just the primary filer.