Asset Manager

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Brookfield Investments Corporation

Brookfield Investments Corporation invests in renewables and property sectors backed by Brookfield Corporation’s guarantee.

Brookfield Investments Corporation

Brookfield Investments Corporation (BIC) is a Toronto-based investment entity whose sole common shareholder is Brookfield Corporation, the parent of the global asset management giant. The company was established to concentrate capital in renewables and property sectors, with Brookfield owning more than $1.0 billion of BIC’s retractable preferred shares. Its ownership structure ties it directly to one of the world’s largest alternative asset managers, but its distinct legal identity and preferred-share program give it a unique capital profile. The company invests in renewable energy infrastructure and real estate properties. Its portfolio spans wind and solar projects, commercial and residential property holdings, and development assets. Geographic focus includes North America, Europe, and select growing markets. BIC holds a $1.0 billion preferred-share commitment from Brookfield Corporation (per the firm's website). It does not report a separate AUM figure publicly. BIC operates from Brookfield Place in Toronto with no additional offices publicly listed. It releases annual reports, interim reports, and press releases via its website, but after December 22, 2015, it relies on an exemption from filing certain continuous disclosure documents with Canadian regulators, citing Brookfield’s guarantee. The transfer agent is TSX Trust Company, handling share transfers and dividend queries. No team or professional headcount has been disclosed. The structural differentiator is the guarantee arrangement: Brookfield Corporation provides a full and unconditional subordinated guarantee on BIC’s Class 1 Senior Preferred Shares, Series A. This allows holders of preferred shares access to Brookfield’s consolidated financial disclosures rather than requiring standalone continuous filings. The arrangement can terminate once no preferred shares remain outstanding or if BIC resumes its own filings.

General information

Firm type

Asset Manager

Year founded

AUM

Undisclosed

Location

Region

North America

Country

Canada

City

Toronto

Corporate office

181 Bay Street Suite 100, PO Box 762, Toronto, ON M5J 2T3, Canada

Sector focus

Renewables & Energy TransitionReal Estate

Frequently asked questions

Who owns Brookfield Investments Corporation?

The firm’s sole common shareholder is Brookfield Corporation, the parent entity controlling global alternative asset management. Brookfield also owns more than $1.0 billion of BIC’s retractable preferred shares (per the firm's website).

What does Brookfield Investments Corporation actually invest in?

BIC makes investments in the renewables and property sectors. This includes wind and solar energy projects, commercial and residential real estate, and development assets across North America, Europe, and select other regions.

Does Brookfield Investments Corporation disclose its AUM or financial statements?

It does not publicly publish a separate AUM figure. Since December 2015, BIC has relied on an exemption from filing its own continuous disclosure documents with Canadian regulators, referencing Brookfield Corporation's consolidated filings. It still releases annual and interim reports on its website.

What is the guarantee Brookfield Corporation provides?

Effective December 22, 2015, Brookfield Corporation gave a full and unconditional subordinated guarantee on BIC’s Class 1 Senior Preferred Shares, Series A (except those held by Brookfield or affiliates). This allows BIC to meet disclosure requirements by pointing to Brookfield’s filings.

How is Brookfield Investments Corporation different from Brookfield Asset Management?

BIC is a separate legal entity that invests primarily in renewables and property using preferred-share capital from parent Brookfield Corporation. Brookfield Asset Management is a publicly traded alternative asset manager that runs third-party capital across multiple strategies. They share the same ultimate parent but have distinct investment mandates and structures.

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

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