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Brookfield Asset Management Voting Ord Shs Class A T.BN.PF.H


Primary Symbol: T.BAM Alternate Symbol(s):  BAM | T.BN.PF.A | BKFOF | T.BN.PF.B | T.BN.PF.C | BROXF | T.BN.PF.D | T.BN.PF.E | T.BN.PF.F | BKFDF | T.BN.PF.G | BRCFF | T.BN.PF.I | T.BN.PF.J | T.BN.PF.K | BKFPF | T.BN.PF.L | T.BN.PR.B | BKFAF | T.BN.PR.K | BXDIF | BRPSF | T.BN.PR.M | T.BN.PR.N | T.BN.PR.R | BAMGF | BAMKF | T.BN.PR.T | T.BN.PR.X | BKAMF | T.BN.PR.Z

Brookfield Asset Management Ltd. is a global alternative asset manager. The Company invests client capital for the long-term with a focus on real assets and essential service businesses that form the backbone of the global economy. It offers a range of alternative investment products to investors around the world including public and private pension plans, endowments and foundations, sovereign wealth funds, financial institutions, insurance companies and private wealth investors. Its products have three categories, which include long-term private funds, perpetual strategies and liquid strategies. These are invested across five principal strategies: renewable power and transition, infrastructure, real estate, private equity, and credit.


TSX:BAM - Post by User

Post by retiredcfon Dec 28, 2022 10:10am
1005 Views
Post# 35193387

TD

TDDecember 21, 2022

Our Action List Pick

Brookfield Asset Management Ltd.
BAM-N, BAM-T: US$28.48; ACTION LIST BUY 12-Month Target: US$47.00

Brookfield Asset Management (BAM) is a leading pure-play alternative asset manager that was recently spun-out by Brookfield Corp., which continues to own a 75% stake.

BAM has a debt-free balance sheet and intends to pay out ~90% of its distributable earnings to shareholders. The initial dividend of $1.28/share (annualized) corresponds to an ~4.5% yield.

BAM is well-positioned in higher-demand segments within alternatives, including: real assets (which offer significant inflation protection), transition investing, and private credit. The company is dominant in infrastructure and renewables, a global leader in real estate, and a first-mover in transition investing.

BAM has more than tripled its fee-bearing capital over the past five years and expects to increase it to ~US$1 trillion by 2027 (~20% CAGR), which we believe is achievable based on the opportunity to: 1) deepen existing client relationships; 2) originate new relationships; 3) expand distribution channels; and 4) develop complementary investment strategies.

The potential for BAM to attract a larger investor base and a higher valuation multiple in a simple, stand-alone structure also provides optionality for inorganic growth because the company could choose to use its stock as an M&A currency. We would expect BAM to be very selective on M&A due to the importance of cultural fit, but we could envision the company using M&A to quickly scale up in Asia and/or technology, much as it did in credit with Oaktree.


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