Instuitional Investor - Brookfield Asset Management Inc.

Fund Profile
Filing Period:
Fund Name: Brookfield Asset Management Inc.
Portfolio Value $25,374,383,960
Fund Holdings Sector Distribution
Filing Period:
No. Security Ticker Shares Value % Port
1. CQP 101,620,376 $4,688,764,149 18.75%
2.
Brookfield Corp
133,723,524 $4,499,796,583 17.99%
3. BEP 73,897,686 $2,179,242,760 8.71%
4.
Brookfield Renewable Corp
44,813,835 $1,412,532,079 5.64%
5.
Brookfield Asset Management Ltd
30,528,015 $996,129,129 3.98%