| Name | Dividend | Payment Date | Record Date | Declaration Date |
|---|---|---|---|---|
BAM Brookfield Asset Management Inc. 28 Nov 2025 | $0.44 | 31 Dec 2025 | 28 Nov 2025 | 7 Nov 2025 |
BAM Brookfield Asset Management Inc. 29 Aug 2025 | $0.44 | 29 Sep 2025 | 29 Aug 2025 | 6 Aug 2025 |
BAM Brookfield Asset Management Inc. 30 May 2025 | $0.44 | 30 Jun 2025 | 30 May 2025 | 6 May 2025 |
BAM Brookfield Asset Management Inc. 28 Feb 2025 | $0.44 | 31 Mar 2025 | 28 Feb 2025 | 12 Feb 2025 |
BAM Brookfield Asset Management Inc. 29 Nov 2024 | $0.38 | 31 Dec 2024 | 29 Nov 2024 | 4 Nov 2024 |
BAM Brookfield Asset Management Inc. 30 Aug 2024 | $0.38 | 27 Sep 2024 | 30 Aug 2024 | 7 Aug 2024 |
BAM Brookfield Asset Management Inc. 31 May 2024 | $0.38 | 28 Jun 2024 | 31 May 2024 | 8 May 2024 |
BAM Brookfield Asset Management Inc. 28 Feb 2024 | $0.38 | 28 Mar 2024 | 29 Feb 2024 | 7 Feb 2024 |
BAM Brookfield Asset Management Inc. 29 Nov 2023 | $0.32 | 29 Dec 2023 | 30 Nov 2023 | 6 Nov 2023 |
BAM Brookfield Asset Management Inc. 30 Aug 2023 | $0.32 | 29 Sep 2023 | 31 Aug 2023 | 9 Aug 2023 |
BAM Brookfield Asset Management Inc. 30 May 2023 | $0.32 | 30 Jun 2023 | 31 May 2023 | 10 May 2023 |
BAM Brookfield Asset Management Inc. 27 Feb 2023 | $0.32 | 31 Mar 2023 | 28 Feb 2023 | 8 Feb 2023 |