Brookfield Asset Management Inc. - Financial and Strategic Analysis Review
Summary Global Markets Direct’s “Brookfield Asset Management Inc. - Financial and Strategic Analysis Review†is an in-depth business, strategic and financial analysis of Brookfield Asset Management Inc. The report provides a comprehensive insight into the company, including business structure and operations, executive biographies and key competitors. The hallmark of the report is the detailed strategic analysis of the company. This highlights its strengths and weaknesses and the opportunities and threats it faces going forward.
Brookfield Asset Management Inc. (Brookfield) is a leading asset manager focused on property, power and other infrastructure assets. As of December 31, 2008, the company had approximately $80 billion of assets under management. The company owns and runs one of the largest portfolios of both premier office properties and hydroelectric power generation facilities as well as transmission and timberland operations, located in North and South America and Europe. Brookfield operates through five business segments: commercial properties operations, infrastructure operations, power generation operations, development and other properties operations, and specialty funds.
Recent Developments Aug 20, 2009: Brookfield Establishes C$1b Fund
Aug 12, 2009: Brookfield Launches $4b Real Estate Turnaround Consortium
Aug 07, 2009: Brookfield Reports Net income $147 Million In Q2 2009
Scope- Provides key company information for business intelligence needs
- The company’s strengths and weaknesses and areas of development or decline are analyzed. Financial, strategic and operational factors are considered.
- The opportunities open to the company are considered and its growth potential assessed. Competitive or technological threats are highlighted.
- The report contains critical company information - business structure and operations, the company history, major products and services, key competitors, key employees and executive biographies, different locations and important subsidiaries.
- The report provides detailed financial ratios for the past five years as well as interim ratios for the last four quarters.
- Financial ratios include profitability, margins and returns, liquidity and leverage, financial position and efficiency ratios.
Reasons to buy- A quick “one-stop-shop†to understand the company.
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- Capitalize on competitors’ weaknesses and target the market opportunities available to them.
- Compare your company’s financial trends with those of your peers / competitors.
- Scout for potential acquisition targets, with detailed insight into the companies’ strategic, financial and operational performance.