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Brookfield Corporation (BN)

Price$45.32
Value ScoreD
Growth ScoreC
Momentum ScoreB

Favorite Metrics

Price vs S&P 500 (26W)-11.61%
Price vs S&P 500 (4W)-4.18%
VGM Score51.00
Market Capitalization$101.86B
P/E Ratio (Annual)77.93x
Indicated Dividend Yield (Annual)0.61%

All Metrics

P/CF (Annual)9.24x
Book Value / Share (Quarterly)$20.94
P/TBV (Annual)12.10x
Indicated Dividend (Annual)$0.28
Revenue Growth (3Y)-6.80%
Cash Flow / Share (Quarterly)$-6.16
Payout Ratio (TTM)55.76%
Price vs S&P 500 (YTD)-11.59%
Gross Margin (TTM)37.70%
Net Profit Margin (TTM)1.76%
EPS (TTM)$0.54
10-Day Avg Trading Volume4.13M
EPS Excl Extra (TTM)$0.54
Revenue Growth (5Y)3.66%
EPS (Annual)$0.55
Dividend / Share (Annual)$0.32
ROI (Annual)0.41%
Gross Margin (Annual)62.25%
Net Profit Margin (5Y Avg)2.23%
Cash / Share (Quarterly)$6.73
P/E Basic Excl Extra (TTM)76.24x
Revenue Growth QoQ (YoY)3.54%
P/E Normalized (Annual)77.93x
ROA (Last FY)0.25%
Revenue Growth TTM (YoY)-6.55%
EBITD / Share (TTM)$5.93
ROE (5Y Avg)3.97%
Operating Margin (TTM)6.88%
Cash Flow / Share (Annual)$-4.47
P/B Ratio2.18x
P/B Ratio (Quarterly)2.12x
Net Income / Employee (Annual)$5,200
EV / Revenue (TTM)4.63x
Net Interest Coverage (TTM)1.21x
ROA (TTM)0.26%
EPS Growth QoQ (YoY)40.63%
EV / EBITDA (TTM)22.34x
EPS Incl Extra (Annual)$0.55
Current Ratio (Annual)0.65x
Quick Ratio (Quarterly)0.55x
3-Month Avg Trading Volume5.93M
52-Week Price Return18.51%
P/E Incl Extra (TTM)76.24x
Revenue / Employee (TTM)$302,900
Tangible BV / Share (Quarterly)$3.91
P/S Ratio (Annual)1.36x
Asset Turnover (Annual)0.14x
52-Week High$49.57
Operating Margin (5Y Avg)8.42%
EPS Excl Extra (Annual)$0.55
CapEx CAGR (5Y)18.22%
Tangible BV CAGR (5Y)-3.43%
26-Week Price Return4.32%
Quick Ratio (Annual)0.38x
13-Week Price Return0.31%
Total Debt / Equity (Annual)5.69x
Current Ratio (Quarterly)0.65x
Enterprise Value$350.56B
Revenue / Share Growth (5Y)2.76%
Asset Turnover (TTM)0.15x
Book Value / Share Growth (5Y)6.17%
Revenue / Employee (Annual)$300,400
Inventory Turnover (Annual)3.28x
Pretax Margin (Annual)5.82%
Cash / Share (Annual)$7.24
3-Month Return Std Dev32.44%
Gross Margin (5Y Avg)48.92%
Net Income / Employee (TTM)$5,300
EBITDA CAGR (5Y)14.99%
EBITDA Interim CAGR (5Y)-7.07%
ROE (Last FY)2.73%
Net Interest Coverage (Annual)1.74x
EPS Basic Excl Extra (Annual)$0.55
P/FCF (TTM)575.46x
Receivables Turnover (TTM)2.36x
Total Debt / Equity (Quarterly)5.64x
EPS Incl Extra (TTM)$0.54
Receivables Turnover (Annual)4.80x
ROI (TTM)0.44%
Dividend Growth Rate (5Y)-3.57%
P/S Ratio (TTM)1.34x
Pretax Margin (5Y Avg)8.42%
Revenue / Share (Annual)$31.72
Tangible BV / Share (Annual)$4.18
Forward P/E14.17x
Price vs S&P 500 (52W)-9.70%
P/E Ratio (TTM)76.24x
EPS Growth TTM (YoY)118.00%
Year-to-Date Return-0.65%
5-Day Price Return0.48%
EPS Normalized (Annual)$0.55
ROA (5Y Avg)0.42%
Net Profit Margin (Annual)1.74%
Month-to-Date Return1.04%
Cash Flow / Share (TTM)$6.65
EBITD / Share (Annual)$6.23
EPS Growth (3Y)-13.48%
Operating Margin (Annual)5.82%
LT Debt / Equity (Annual)4.68x
P/CF (TTM)10.63x
ROI (5Y Avg)0.69%
P/E Excl Extra (TTM)76.24x
LT Debt / Equity (Quarterly)4.91x
EPS Basic Excl Extra (TTM)$0.54
P/TBV (Quarterly)11.34x
Payout Ratio (Annual)55.01%
P/B Ratio (Annual)2.37x
Dividend / Share (TTM)$0.33
Inventory Turnover (TTM)5.33x
Pretax Margin (TTM)6.88%
Book Value / Share (Annual)$21.33
Price vs S&P 500 (13W)-9.44%
Dividend Yield (TTM)0.73%
Beta1.56x
P/FCF (Annual)321.31x
Revenue / Share (TTM)$32.88
ROE (TTM)2.84%
52-Week Low$37.83
vGradeD
gGradeC
mGradeB
vgmGradeC
Show chart for

Earnings Surprise History

Q1 260.66est. 0.64

Analyst Recommendations

Feb 2026
Mar 2026
Apr 2026
May 2026
3.84
3.84
3.84
3.84

About

Brookfield Corp is a global asset manager serving institutions and individuals across seven business segments: asset management, wealth solutions, renewable energy, infrastructure, private equity, and real estate. The company invests in essential real assets targeting risk-adjusted returns for stakeholders. With operations spanning North America, Europe, Asia, Australia, and Latin America, Brookfield provides diversified exposure to long-term economic backbone asset classes.