CA Stock MarketDetailed Quotes

BN Brookfield Corp

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  • 74.910
  • +0.700+0.94%
15min DelayMarket Closed Nov 4 16:00 ET
112.95BMarket Cap96.04P/E (TTM)

Brookfield Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
71.92%698M
-71.56%318M
-26.10%6.47B
-49.75%1.51B
59.42%3.44B
-87.02%406M
137.87%1.12B
11.14%8.75B
31.16%3B
-3.10%2.16B
Net income from continuing operations
-118.85%-285M
22.41%519M
-1.73%5.11B
7,022.73%3.13B
-95.11%35M
2.51%1.51B
-85.68%424M
-58.06%5.2B
-98.73%44M
-73.70%716M
Operating gains losses
87.70%-53M
39.83%-358M
18.03%-673M
-94.76%116M
211.79%237M
-16.17%-431M
75.72%-595M
89.00%-821M
184.02%2.21B
82.42%-212M
Depreciation and amortization
9.98%2.44B
13.12%2.48B
18.12%9.08B
22.02%2.43B
12.47%2.25B
17.39%2.21B
20.82%2.19B
19.36%7.68B
14.38%1.99B
23.50%2B
Asset impairment expenditure
5.48%77M
23.73%73M
335.49%1.28B
291.01%1.09B
58.33%57M
292.11%73M
247.06%59M
-55.20%293M
44.04%278M
-53.25%36M
Unrealized gains and losses of investment securities
----
----
-141.49%-256M
----
----
----
----
--617M
----
----
Deferred tax
63.58%-55M
52.17%-44M
-569.63%-897M
-45.96%-416M
-199.17%-238M
20.11%-151M
-121.65%-92M
-84.21%191M
-197.60%-285M
-43.93%240M
Other non cashItems
113.40%160M
-398.54%-409M
-386.53%-5.74B
-90.91%-3.84B
-298.82%-841M
-326.57%-1.19B
217.09%137M
45.55%-1.18B
-544.37%-2.01B
138.38%423M
Change In working capital
2.23%-1.58B
-93.22%-1.94B
55.93%-1.42B
-582.47%-743M
285.92%1.94B
-898.15%-1.62B
53.89%-1B
-1.35%-3.23B
112.63%154M
-235.69%-1.04B
Cash from discontinued investing activities
Operating cash flow
71.92%698M
-71.56%318M
-26.10%6.47B
-49.75%1.51B
59.42%3.44B
-87.02%406M
137.87%1.12B
11.14%8.75B
31.16%3B
-3.10%2.16B
Investing cash flow
Cash flow from continuing investing activities
-866.24%-8.33B
63.37%-4.87B
24.94%-29.76B
22.73%-5.72B
29.59%-9.87B
94.46%-862M
-397.83%-13.3B
-88.41%-39.65B
39.41%-7.41B
-136.48%-14.02B
Net PPE purchase and sale
-35.28%-1.88B
-106.64%-2.71B
-3.81%-6.89B
-23.93%-2.32B
-8.54%-1.88B
9.47%-1.39B
13.06%-1.31B
-7.84%-6.64B
4.01%-1.87B
-27.88%-1.73B
Net business purchase and sale
-177.75%-1.46B
92.32%-627M
38.38%-14.47B
54.52%-1.53B
39.14%-6.66B
118.80%1.88B
-1,095.00%-8.16B
-121.41%-23.48B
65.95%-3.35B
-558.33%-10.95B
Net investment property transactions
-119.47%-2.98B
41.80%-1.47B
-14.68%-6.64B
-117.05%-1.15B
32.99%-1.62B
29.15%-1.36B
-170.94%-2.52B
-14.27%-5.79B
71.12%-528M
-2.94%-2.42B
Net investment purchase and sale
-1,686.23%-2.19B
98.46%-24M
55.21%-1.8B
61.16%-759M
9,375.00%379M
106.83%138M
-3,018.00%-1.56B
-812.94%-4.02B
-237.99%-1.95B
100.95%4M
Net other investing changes
225.55%172M
-119.67%-48M
-85.36%41M
-92.88%21M
-108.10%-87M
-63.10%-137M
124.28%244M
27.27%280M
1,440.91%295M
861.70%1.07B
Cash from discontinued investing activities
Investing cash flow
-866.24%-8.33B
63.37%-4.87B
24.94%-29.76B
22.73%-5.72B
29.59%-9.87B
94.46%-862M
-397.83%-13.3B
-88.41%-39.65B
39.41%-7.41B
-136.48%-14.02B
Financing cash flow
Cash flow from continuing financing activities
3,332.02%7.37B
-51.62%5.21B
-38.61%19.93B
-55.87%3.13B
-43.65%6.26B
-101.74%-228M
833.74%10.77B
99.62%32.46B
-37.28%7.1B
128.50%11.1B
Net issuance payments of debt
292.93%8.32B
-46.38%3.77B
-75.84%8.49B
-17.85%3.95B
-81.68%1.82B
-130.20%-4.31B
14.94%7.03B
40.57%35.14B
-56.07%4.81B
-6.74%9.93B
Net common stock issuance
-729.41%-282M
-116.67%-494M
14.43%-575M
48.66%-96M
-393.18%-217M
85.34%-34M
-9.09%-228M
-94.78%-672M
-367.50%-187M
-2,300.00%-44M
Net preferred stock issuance
--0
--0
---22M
--0
--0
--0
---22M
--0
--0
--0
Cash dividends paid
-9.93%-166M
-9.93%-166M
41.50%-602M
42.31%-150M
41.41%-150M
41.02%-151M
41.25%-151M
30.75%-1.03B
-7.88%-260M
-6.67%-256M
Net other financing activities
-111.85%-506M
-49.25%2.1B
1,386.56%12.63B
-121.03%-575M
225.69%4.8B
718.09%4.27B
191.87%4.13B
85.78%-982M
323.88%2.73B
126.59%1.48B
Cash from discontinued financing activities
Financing cash flow
3,332.02%7.37B
-51.62%5.21B
-38.61%19.93B
-55.87%3.13B
-43.65%6.26B
-101.74%-228M
833.74%10.77B
99.62%32.46B
-37.28%7.1B
128.50%11.1B
Net cash flow
Beginning cash position
-10.02%11.74B
-22.05%11.22B
13.41%14.4B
6.91%12.09B
1.82%12.43B
10.44%13.05B
13.41%14.4B
27.80%12.69B
-0.33%11.31B
16.69%12.21B
Current changes in cash
58.08%-306M
144.39%633M
-296.57%-3.38B
-137.42%-1.05B
76.98%-169M
-208.79%-730M
-37.78%-1.43B
-40.37%1.72B
105.47%2.82B
-174.59%-734M
Effect of exchange rate changes
-273.15%-187M
-243.04%-113M
1,305.88%205M
-30.77%189M
-3.64%-171M
138.30%108M
-49.68%79M
86.07%-17M
1,465.00%273M
-65.00%-165M
End cash Position
-9.48%11.25B
-10.02%11.74B
-22.05%11.22B
-22.05%11.22B
6.91%12.09B
1.82%12.43B
10.44%13.05B
13.41%14.4B
13.41%14.4B
-0.33%11.31B
Free cash from
-35.50%-1.69B
-495.16%-2.58B
-205.74%-1.6B
-225.86%-1.2B
509.05%1.28B
-184.81%-1.25B
61.18%-434M
52.57%1.52B
473.05%955M
-74.51%210M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 71.92%698M-71.56%318M-26.10%6.47B-49.75%1.51B59.42%3.44B-87.02%406M137.87%1.12B11.14%8.75B31.16%3B-3.10%2.16B
Net income from continuing operations -118.85%-285M22.41%519M-1.73%5.11B7,022.73%3.13B-95.11%35M2.51%1.51B-85.68%424M-58.06%5.2B-98.73%44M-73.70%716M
Operating gains losses 87.70%-53M39.83%-358M18.03%-673M-94.76%116M211.79%237M-16.17%-431M75.72%-595M89.00%-821M184.02%2.21B82.42%-212M
Depreciation and amortization 9.98%2.44B13.12%2.48B18.12%9.08B22.02%2.43B12.47%2.25B17.39%2.21B20.82%2.19B19.36%7.68B14.38%1.99B23.50%2B
Asset impairment expenditure 5.48%77M23.73%73M335.49%1.28B291.01%1.09B58.33%57M292.11%73M247.06%59M-55.20%293M44.04%278M-53.25%36M
Unrealized gains and losses of investment securities ---------141.49%-256M------------------617M--------
Deferred tax 63.58%-55M52.17%-44M-569.63%-897M-45.96%-416M-199.17%-238M20.11%-151M-121.65%-92M-84.21%191M-197.60%-285M-43.93%240M
Other non cashItems 113.40%160M-398.54%-409M-386.53%-5.74B-90.91%-3.84B-298.82%-841M-326.57%-1.19B217.09%137M45.55%-1.18B-544.37%-2.01B138.38%423M
Change In working capital 2.23%-1.58B-93.22%-1.94B55.93%-1.42B-582.47%-743M285.92%1.94B-898.15%-1.62B53.89%-1B-1.35%-3.23B112.63%154M-235.69%-1.04B
Cash from discontinued investing activities
Operating cash flow 71.92%698M-71.56%318M-26.10%6.47B-49.75%1.51B59.42%3.44B-87.02%406M137.87%1.12B11.14%8.75B31.16%3B-3.10%2.16B
Investing cash flow
Cash flow from continuing investing activities -866.24%-8.33B63.37%-4.87B24.94%-29.76B22.73%-5.72B29.59%-9.87B94.46%-862M-397.83%-13.3B-88.41%-39.65B39.41%-7.41B-136.48%-14.02B
Net PPE purchase and sale -35.28%-1.88B-106.64%-2.71B-3.81%-6.89B-23.93%-2.32B-8.54%-1.88B9.47%-1.39B13.06%-1.31B-7.84%-6.64B4.01%-1.87B-27.88%-1.73B
Net business purchase and sale -177.75%-1.46B92.32%-627M38.38%-14.47B54.52%-1.53B39.14%-6.66B118.80%1.88B-1,095.00%-8.16B-121.41%-23.48B65.95%-3.35B-558.33%-10.95B
Net investment property transactions -119.47%-2.98B41.80%-1.47B-14.68%-6.64B-117.05%-1.15B32.99%-1.62B29.15%-1.36B-170.94%-2.52B-14.27%-5.79B71.12%-528M-2.94%-2.42B
Net investment purchase and sale -1,686.23%-2.19B98.46%-24M55.21%-1.8B61.16%-759M9,375.00%379M106.83%138M-3,018.00%-1.56B-812.94%-4.02B-237.99%-1.95B100.95%4M
Net other investing changes 225.55%172M-119.67%-48M-85.36%41M-92.88%21M-108.10%-87M-63.10%-137M124.28%244M27.27%280M1,440.91%295M861.70%1.07B
Cash from discontinued investing activities
Investing cash flow -866.24%-8.33B63.37%-4.87B24.94%-29.76B22.73%-5.72B29.59%-9.87B94.46%-862M-397.83%-13.3B-88.41%-39.65B39.41%-7.41B-136.48%-14.02B
Financing cash flow
Cash flow from continuing financing activities 3,332.02%7.37B-51.62%5.21B-38.61%19.93B-55.87%3.13B-43.65%6.26B-101.74%-228M833.74%10.77B99.62%32.46B-37.28%7.1B128.50%11.1B
Net issuance payments of debt 292.93%8.32B-46.38%3.77B-75.84%8.49B-17.85%3.95B-81.68%1.82B-130.20%-4.31B14.94%7.03B40.57%35.14B-56.07%4.81B-6.74%9.93B
Net common stock issuance -729.41%-282M-116.67%-494M14.43%-575M48.66%-96M-393.18%-217M85.34%-34M-9.09%-228M-94.78%-672M-367.50%-187M-2,300.00%-44M
Net preferred stock issuance --0--0---22M--0--0--0---22M--0--0--0
Cash dividends paid -9.93%-166M-9.93%-166M41.50%-602M42.31%-150M41.41%-150M41.02%-151M41.25%-151M30.75%-1.03B-7.88%-260M-6.67%-256M
Net other financing activities -111.85%-506M-49.25%2.1B1,386.56%12.63B-121.03%-575M225.69%4.8B718.09%4.27B191.87%4.13B85.78%-982M323.88%2.73B126.59%1.48B
Cash from discontinued financing activities
Financing cash flow 3,332.02%7.37B-51.62%5.21B-38.61%19.93B-55.87%3.13B-43.65%6.26B-101.74%-228M833.74%10.77B99.62%32.46B-37.28%7.1B128.50%11.1B
Net cash flow
Beginning cash position -10.02%11.74B-22.05%11.22B13.41%14.4B6.91%12.09B1.82%12.43B10.44%13.05B13.41%14.4B27.80%12.69B-0.33%11.31B16.69%12.21B
Current changes in cash 58.08%-306M144.39%633M-296.57%-3.38B-137.42%-1.05B76.98%-169M-208.79%-730M-37.78%-1.43B-40.37%1.72B105.47%2.82B-174.59%-734M
Effect of exchange rate changes -273.15%-187M-243.04%-113M1,305.88%205M-30.77%189M-3.64%-171M138.30%108M-49.68%79M86.07%-17M1,465.00%273M-65.00%-165M
End cash Position -9.48%11.25B-10.02%11.74B-22.05%11.22B-22.05%11.22B6.91%12.09B1.82%12.43B10.44%13.05B13.41%14.4B13.41%14.4B-0.33%11.31B
Free cash from -35.50%-1.69B-495.16%-2.58B-205.74%-1.6B-225.86%-1.2B509.05%1.28B-184.81%-1.25B61.18%-434M52.57%1.52B473.05%955M-74.51%210M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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