Brookfield Corporation logo

Brookfield Corporation

Stock
Stock
ISIN: CA11271J1075
Ticker: BN
CA11271J1075
BN

Price

Dividend metrics

Annual payout (TTM) 
€0.209
Yield (TTM) 
0.518%
Payout ratio 
47.45%
Payout frequency 
Quarterly
Dividend growth (3Y) 
2.641%
Next payment 
€0.0544

Dividend history & forecast

€0.128

CHART BY


Status

Ex-date

Pay Date

Yield

% Change

Amount

2027
0.67%
+6.07%
€0.231
Forecasted
16.12.2027
31.12.2027
0.15%
0%
€0.0578
Forecasted
12.09.2027
29.09.2027
0.15%
0%
€0.0578
Forecasted
13.06.2027
30.06.2027
0.17%
0%
€0.0578
Forecasted
14.03.2027
31.03.2027
0.21%
+6.07%
€0.0578
2026
0.64%
+4.37%
€0.218
Forecasted
16.12.2026
31.12.2026
0.14%
0%
€0.0544
Forecasted
12.09.2026
29.09.2026
0.14%
0%
€0.0544
Forecasted
13.06.2026
30.06.2026
0.16%
0%
€0.0544
Forecasted
14.03.2026
31.03.2026
0.2%
+6.47%
€0.0544
2025
0.6%
+5.29%
€0.209
Paid
16.12.2025
31.12.2025
0.13%
-0.01%
€0.0511
Paid
12.09.2025
29.09.2025
0.13%
+0.46%
€0.0511
Paid
13.06.2025
30.06.2025
0.15%
-8.23%
€0.0509
Paid
14.03.2025
31.03.2025
0.18%
+8.24%
€0.0555
2024
0.68%
+15.24%
€0.198
Paid
16.12.2024
31.12.2024
0.14%
+7.33%
€0.0513
Paid
12.09.2024
27.09.2024
0.17%
-4.01%
€0.0478
Paid
13.06.2024
28.06.2024
0.19%
+0.65%
€0.0498
Paid
12.03.2024
28.03.2024
0.19%
+17.09%
€0.0494
2023
0.89%
-10.88%
€0.172
Paid
29.11.2023
29.12.2023
0.22%
-4.23%
€0.0422
Paid
30.08.2023
29.09.2023
0.22%
+3.12%
€0.0441
Paid
30.05.2023
30.06.2023
0.24%
-0.42%
€0.0427
Paid
27.02.2023
31.03.2023
0.21%
-9.15%
€0.0429
2022
1.39%
+19.76%
€0.193
Paid
29.11.2022
30.12.2022
0.38%
-8.37%
€0.0473
Paid
30.08.2022
29.09.2022
0.35%
+6.59%
€0.0516
Paid
27.05.2022
30.06.2022
0.34%
+5.68%
€0.0484
Paid
25.02.2022
31.03.2022
0.31%
+10.6%
€0.0458
2021
1.28%
-26.53%
€0.161
Paid
29.11.2021
31.12.2021
0.27%
+2.04%
€0.0414
Paid
30.08.2021
29.09.2021
0.29%
+3.02%
€0.0406
Paid
27.05.2021
30.06.2021
0.33%
-1.09%
€0.0394
Paid
25.02.2021
31.03.2021
0.39%
+12.51%
€0.0398
2020
1.6%
+6.02%
€0.219
Paid
27.11.2020
31.12.2020
0.36%
-3.73%
€0.0354
Paid
28.08.2020
30.09.2020
0.44%
-4.18%
€0.0368
Paid
28.05.2020
30.06.2020
0.45%
-64.76%
€0.0384
Paid
27.02.2020
31.03.2020
0.35%
+111.15%
€0.109
2019
1.6%
+12.27%
€0.207
Paid
27.11.2019
31.12.2019
0.34%
-2.86%
€0.0515
Paid
29.08.2019
30.09.2019
0.39%
+4.5%
€0.0531
Paid
30.05.2019
28.06.2019
0.42%
-1.39%
€0.0508
Paid
27.02.2019
29.03.2019
0.45%
+9.14%
€0.0515
2018
1.8%
+4.3%
€0.184
Paid
29.11.2018
31.12.2018
0.44%
+1.13%
€0.0472
Paid
30.08.2018
28.09.2018
0.43%
+0.59%
€0.0467
Paid
30.05.2018
29.06.2018
0.45%
+5.27%
€0.0464
Paid
27.02.2018
29.03.2018
0.47%
+4.49%
€0.0441
2017
1.71%
+4.32%
€0.177
Paid
29.11.2017
29.12.2017
0.39%
-1.52%
€0.0422
Paid
29.08.2017
29.09.2017
0.43%
-3.26%
€0.0428
Paid
26.05.2017
30.06.2017
0.44%
-6.69%
€0.0443
Paid
24.02.2017
31.03.2017
0.46%
+6.21%
€0.0474
2016
2.04%
+10.49%
€0.169
Paid
28.11.2016
31.12.2016
0.5%
+6.87%
€0.0447
Paid
29.08.2016
30.09.2016
0.49%
-1.22%
€0.0418
Paid
27.05.2016
30.06.2016
0.49%
+4.18%
€0.0423
Paid
25.02.2016
31.03.2016
0.56%
+3.37%
€0.0406
2015
1.77%
+24.22%
€0.153
Paid
25.11.2015
31.12.2015
0.46%
+2.89%
€0.0393
Paid
27.08.2015
30.09.2015
0.47%
-0.3%
€0.0382
Paid
27.05.2015
30.06.2015
0.42%
+2.09%
€0.0383
Paid
25.02.2015
31.03.2015
0.42%
+19.71%
€0.0375
2014
1.73%
+17.27%
€0.123
Paid
25.11.2014
31.12.2014
0.4%
+4.38%
€0.0313
Paid
27.08.2014
30.09.2014
0.42%
+8.42%
€0.03
Paid
28.05.2014
30.06.2014
0.46%
-19.36%
€0.0277
Paid
29.01.2014
28.02.2014
0.45%
+31.29%
€0.0343
2013
2.03%
+5.57%
€0.105
Paid
30.10.2013
30.11.2013
0.5%
-2.75%
€0.0262
Paid
30.07.2013
31.08.2013
0.53%
-1.58%
€0.0269
Paid
29.04.2013
31.05.2013
0.52%
+9.96%
€0.0273
Paid
30.01.2013
28.02.2013
0.47%
-0.56%
€0.0248
2012
2.16%
+15.58%
€0.0997
Paid
31.10.2012
30.11.2012
0.51%
-3.24%
€0.025
Paid
30.07.2012
31.08.2012
0.52%
-1.65%
€0.0258
Paid
27.04.2012
31.05.2012
0.55%
+16.24%
€0.0263
Paid
30.01.2012
29.02.2012
0.57%
+0.63%
€0.0226
2011
2.29%
-7.93%
€0.0862
Paid
28.10.2011
30.11.2011
0.64%
+7.14%
€0.0224
Paid
28.07.2011
31.08.2011
0.57%
-0.11%
€0.021
Paid
27.04.2011
31.05.2011
0.54%
-4.02%
€0.021
Paid
28.01.2011
28.02.2011
0.53%
-5.78%
€0.0219
2010
2.8%
+8.46%
€0.0937
Paid
28.10.2010
30.11.2010
0.6%
-2.44%
€0.0232
Paid
28.07.2010
31.08.2010
0.69%
-2.95%
€0.0238
Paid
28.04.2010
31.05.2010
0.69%
+10.37%
€0.0245
Paid
28.01.2010
28.02.2010
0.82%
+10.38%
€0.0222
2009
3.97%
+5.3%
€0.0864
Paid
28.10.2009
30.11.2009
0.78%
-4.53%
€0.0201
Paid
29.07.2009
31.08.2009
0.88%
-1.47%
€0.0211
Paid
29.04.2009
31.05.2009
1.17%
-10.24%
€0.0214
Paid
28.01.2009
28.02.2009
1.13%
+0.37%
€0.0238
2008
2.48%
+4.07%
€0.082
Paid
29.10.2008
30.11.2008
0.87%
+15.61%
€0.0237
Paid
30.07.2008
31.08.2008
0.55%
+5.64%
€0.0205
Paid
29.04.2008
31.05.2008
0.59%
+5.91%
€0.0194
Paid
30.01.2008
29.02.2008
0.47%
-3.37%
€0.0183
2007
1.64%
+12.1%
€0.0788
Paid
30.10.2007
30.11.2007
0.38%
-6.99%
€0.019
Paid
30.07.2007
31.08.2007
0.43%
-1.43%
€0.0204
Paid
27.04.2007
31.05.2007
0.39%
+10.6%
€0.0207
Paid
30.01.2007
28.02.2007
0.44%
+0.14%
€0.0187
2006
1.96%
+43.06%
€0.0703
Paid
30.10.2006
30.11.2006
0.51%
-3.26%
€0.0187
Paid
28.07.2006
31.08.2006
0.53%
+0.13%
€0.0193
Paid
03.05.2006
31.05.2006
0.55%
+48.61%
€0.0193
Paid
30.01.2006
28.02.2006
0.38%
-1.07%
€0.013
2005
2.1%
+15.99%
€0.0491
Paid
28.10.2005
30.11.2005
0.45%
+4.47%
€0.0131
Paid
27.07.2005
31.08.2005
0.53%
+0.09%
€0.0126
Paid
27.04.2005
31.05.2005
0.56%
+15.23%
€0.0126
Paid
28.01.2005
28.02.2005
0.56%
-2.56%
€0.0109
2004
2.65%
-2.97%
€0.0424
Paid
28.10.2004
10.11.2004
0.59%
+25.5%
€0.0112
Paid
28.07.2004
31.08.2004
0.53%
-21%
€0.008909
Paid
28.04.2004
31.05.2004
0.84%
+2.55%
€0.0113
Paid
28.01.2004
29.02.2004
0.7%
-3.5%
€0.011
2003
1.7%
-5.95%
€0.0437
Paid
29.10.2003
30.11.2003
0.79%
-3.22%
€0.0114
Paid
30.07.2003
31.08.2003
0.91%
+17%
€0.0118
Paid
29.04.2003
31.05.2003
-
-3.47%
€0.0101
Paid
29.01.2003
28.02.2003
-
-5.86%
€0.0104
2002
-
-7.22%
€0.0464
Paid
30.10.2002
30.11.2002
-
-0.48%
€0.0111
Paid
30.07.2002
31.08.2002
-
-5.56%
€0.0111
Paid
29.04.2002
31.05.2002
-
-5.23%
€0.0118
Paid
30.01.2002
28.02.2002
-
+1.91%
€0.0124
2001
-
+93.9%
€0.05
Paid
30.10.2001
30.11.2001
-
-1.03%
€0.0122
Paid
30.07.2001
31.08.2001
-
-5.86%
€0.0123
Paid
27.04.2001
31.05.2001
-
+5.51%
€0.0131
Paid
30.01.2001
28.02.2001
-
-3.84%
€0.0124
2000
-
-
€0.0258
Paid
30.10.2000
30.11.2000
-
+0.09%
€0.0129
Paid
28.07.2000
31.08.2000
-
-
€0.0129

Frequently asked questions

When does Brookfield Corporation pay dividends?

Brookfield Corporation's dividends are paid out in March, June, September, and December.

How often does Brookfield Corporation pay dividends?

On a quarterly basis.

What is the dividend yield of Brookfield Corporation?

The dividend yield is currently 0.52% and distributions have increased by 2.64% in the last 3 years.

When was Brookfield Corporation's last dividend payout date?

The last payment was made on 31.12.2025.

When do you have to have Brookfield Corporation in your portfolio to receive the last dividend?

If you had Brookfield Corporation in your securities account on 16.12.2025, you received the distribution.

How much was Brookfield Corporation's dividend in 2025?

Brookfield Corporation paid out a dividend of €0.209 in 2025.

How much was Brookfield Corporation's dividend in 2024?

Brookfield Corporation paid out a dividend of €0.198 in 2024.

What is Brookfield Corporation's next dividend?

Brookfield Corporation has not yet announced a next dividend payment yet.

Dividend growth 

The dividend growth is 5.286% based on the previous financial year. The average dividend growth over the last 5 years is -0.99%.

1 Year

Moderate growth5.286%

3 Year

Low growth2.641%

5 Year

Negative growth-0.99%

10 Year

Moderate growth3.134%

Other top dividend stocks

Real-time data from LSX · Fundamentals & EOD data from FactSet
Join the conversation