Dividend Power Score
A single, comprehensive score designed to measure the true strength of a company’s dividend.
This score combines three essential pillars of dividend quality:
Consistency – Measures how reliable the dividend has been over time, focusing on payment history, stability, and the absence of cuts or suspensions.
Payability – Assesses the company’s financial ability to sustain its dividend, taking into account cash flow, earnings coverage, balance sheet strength, and overall financial health.
Growth – Evaluates the long-term growth of both the dividend and the company’s share price, highlighting businesses that consistently increase payouts while creating shareholder value.
Higher scores identify companies that have historically delivered dependable income alongside sustained dividend growth and long-term capital appreciation.
Company Overview
Brookfield Asset Management Ltd. is a global alternative asset management company focused on investing in and operating long-duration, real assets and businesses. The company operates across the asset management, infrastructure, renewable energy and transition, private equity, real estate, and credit industries, serving institutional investors, sovereign wealth funds, pension plans, insurance companies, and high-net-worth individuals. Brookfield Asset Management earns the majority of its revenue from management fees, performance fees, and advisory income derived from capital it manages on behalf of clients.
The firm is recognized for its scale, long-term investment horizon, and operational expertise in complex assets. Its strategic positioning is built on global reach, deep sector specialization, and the ability to deploy large amounts of capital across market cycles. Brookfield Asset Management traces its origins to Brookfield Corporation, which evolved from a Brazilian infrastructure company founded in 1899. In 2022, Brookfield Asset Management was spun out as a separately listed company to focus exclusively on asset management activities, while Brookfield Corporation retained ownership of invested capital and balance sheet assets.
Business Operations
Brookfield Asset Management operates through multiple alternative investment strategies, including Renewable Power & Transition, Infrastructure, Private Equity, Real Estate, and Credit. The company manages capital through private funds, listed investment vehicles, and bespoke separate accounts. Revenue is generated primarily from recurring base management fees, incentive distributions, carried interest, and transaction-related advisory fees tied to asset performance and fundraising activity.
Operations are global, with investment teams managing assets across developed and emerging markets. Brookfield Asset Management oversees and advises a range of publicly listed and private investment vehicles, including Brookfield Renewable Partners, Brookfield Infrastructure Partners, Brookfield Property Group, and Brookfield Business Partners. The firm relies on in-house operating expertise, proprietary deal sourcing, and centralized risk management systems rather than financial engineering, and maintains long-term partnerships with governments, corporations, and institutional asset owners.
Strategic Position & Investments
Brookfield Asset Management’s strategic direction centers on scaling fee-bearing capital, expanding its private wealth and insurance solutions platforms, and increasing exposure to secular growth themes such as decarbonization, digital infrastructure, and energy transition. The company continues to raise large flagship funds across its core strategies while launching specialized products focused on transition investing, private credit, and long-term infrastructure.
Major investments are executed through funds and managed vehicles rather than directly on the company’s balance sheet. Brookfield Asset Management has been involved in significant acquisitions and recapitalizations across renewable power, utilities, data infrastructure, transportation, and industrial businesses globally. The firm also maintains minority stakes and strategic interests in select asset management platforms and insurance-related investment vehicles to support long-term capital formation and permanent capital growth.
Geographic Footprint
Brookfield Asset Management is headquartered in Toronto, Canada, with a significant executive and investment presence in New York, London, São Paulo, Sydney, Hong Kong, and Dubai. The firm operates across North America, South America, Europe, Asia-Pacific, and the Middle East, reflecting its global investment mandate and diversified capital base.
Its managed assets span more than 30 countries, with meaningful exposure to both developed and emerging markets. Brookfield Asset Management’s international footprint enables it to deploy capital at scale, source proprietary transactions, and manage assets locally while applying centralized investment discipline and governance standards across regions.
Leadership & Governance
Brookfield Asset Management is led by a senior executive team with long tenures at Brookfield and a governance framework emphasizing long-term value creation, alignment with clients, and disciplined risk management. The company’s leadership philosophy prioritizes decentralized investment decision-making supported by centralized oversight, conservative leverage, and a multi-decade investment horizon.
Key executives include:
- Connor Teskey – Chief Executive Officer
- Mark Carney – Chair of the Board
- Brian Kingston – President
- Cyrus Madon – Chief Financial Officer
- Sachin Shah – Chief Investment Officer, Credit
- Scott DeVries – Chief Operating Officer
The board and management team draw on experience across global finance, public policy, infrastructure, and alternative investments, reinforcing Brookfield Asset Management’s strategic focus on scale, stability, and institutional credibility.