RANYSE
Brookfield Real Assets Income Fund Inc.
$12.59
ListedDec 2, 2016
SectorFinancial Services
IndustryAsset Management
CountryUnited States
Employees-
StateNY| CityNew York| AddressBrookfield Place| Phone212 417 7000
Brookfield Real Assets Income Fund Inc. is a closed ended fixed income mutual fund launched and managed by Brookfield Investment Management Inc. The fund is co-managed by Schroder Investment Management North America Inc. It invests in fixed income markets of the United States. The fund primarily invests in securities and other instruments of companies, which includes real estate securities, infrastructure securities, and natural resources securities. Brookfield Real Assets Income Fund Inc. was formed on December 2, 2016 and is domiciled in the United States.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
11.4
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Div. Rate
$1.42
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Div. Yield
11.08%
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Payout Ratio
126.43%
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Max Consec. Div. Years
10 years
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Longest Consec. Div.
9 years
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Div. Coverage
100%
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Div. Stability Rate
0.23
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Div. Growth Rate
25.00%
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Score
78

Dividend History

Historical dividend payments by ex-dividend date.

Jun 11, 2026
$ 0.1200
May 7, 2026
$ 0.1200
Apr 9, 2026
$ 0.1200
Mar 12, 2026
$ 0.1200
Feb 5, 2026
$ 0.1200
Jan 8, 2026
$ 0.1200
Dec 11, 2025
$ 0.1200
Nov 13, 2025
$ 0.1200
Oct 10, 2025
$ 0.1200
Sep 11, 2025
$ 0.1200
Aug 7, 2025
$ 0.1200
Jul 10, 2025
$ 0.1200
Jun 12, 2025
$ 0.1200
May 8, 2025
$ 0.1200
Apr 10, 2025
$ 0.1200
Mar 13, 2025
$ 0.1200
Feb 6, 2025
$ 0.1200
Jan 10, 2025
$ 0.1180
Jan 9, 2025
$ 0.1200
Dec 10, 2024
$ 0.1200
Nov 12, 2024
$ 0.1200
Oct 11, 2024
$ 0.1200
Sep 10, 2024
$ 0.1200
Aug 6, 2024
$ 0.1200
Jul 9, 2024
$ 0.1200
Jun 11, 2024
$ 0.1200
May 7, 2024
$ 0.1200
Apr 9, 2024
$ 0.1200
Mar 12, 2024
$ 0.1200
Feb 6, 2024
$ 0.1200
Jan 9, 2024
$ 0.1200
Dec 12, 2023
$ 0.1200
Nov 14, 2023
$ 0.1200
Oct 10, 2023
$ 0.1200
Sep 12, 2023
$ 0.2000
Aug 8, 2023
$ 0.2000
Jul 11, 2023
$ 0.2000
Jun 13, 2023
$ 0.2000
May 9, 2023
$ 0.2000
Apr 11, 2023
$ 0.2000
Mar 14, 2023
$ 0.2000
Feb 7, 2023
$ 0.2000
Jan 10, 2023
$ 0.2000
Dec 13, 2022
$ 0.2000
Nov 8, 2022
$ 0.2000
Oct 11, 2022
$ 0.2000
Sep 13, 2022
$ 0.2000
Aug 9, 2022
$ 0.2000
Jul 12, 2022
$ 0.2000
Jun 14, 2022
$ 0.2000
May 10, 2022
$ 0.2000
Apr 12, 2022
$ 0.2000
Mar 15, 2022
$ 0.2000
Feb 8, 2022
$ 0.2000
Jan 18, 2022
$ 0.2000
Dec 14, 2021
$ 0.2000
Nov 9, 2021
$ 0.2000
Oct 12, 2021
$ 0.2000
Sep 14, 2021
$ 0.2000
Aug 10, 2021
$ 0.2000
Jul 13, 2021
$ 0.2000
Jun 15, 2021
$ 0.2000
May 11, 2021
$ 0.2000
Apr 13, 2021
$ 0.2000
Mar 16, 2021
$ 0.2000
Feb 9, 2021
$ 0.2000
Jan 19, 2021
$ 0.2000
Dec 14, 2020
$ 0.2000
Nov 9, 2020
$ 0.2000
Oct 13, 2020
$ 0.2000
Sep 15, 2020
$ 0.2000
Aug 11, 2020
$ 0.2000
Jul 14, 2020
$ 0.2000
Jun 16, 2020
$ 0.2000
May 12, 2020
$ 0.2000
Apr 14, 2020
$ 0.2000
Mar 17, 2020
$ 0.2000
Feb 11, 2020
$ 0.2000
Jan 14, 2020
$ 0.2000
Dec 17, 2019
$ 0.2000
Nov 12, 2019
$ 0.2000
Oct 15, 2019
$ 0.2000
Sep 17, 2019
$ 0.1990
Aug 13, 2019
$ 0.1990
Jul 16, 2019
$ 0.1990
Jun 11, 2019
$ 0.1990
May 14, 2019
$ 0.1990
Apr 16, 2019
$ 0.1990
Mar 12, 2019
$ 0.1990
Feb 12, 2019
$ 0.1990
Jan 15, 2019
$ 0.1990
Dec 18, 2018
$ 0.1990
Nov 13, 2018
$ 0.1990
Oct 16, 2018
$ 0.1990
Sep 18, 2018
$ 0.1990
Aug 14, 2018
$ 0.1990
Jul 17, 2018
$ 0.1990
Jun 12, 2018
$ 0.1990
May 15, 2018
$ 0.1990
Apr 17, 2018
$ 0.1990
Mar 13, 2018
$ 0.1990
Feb 13, 2018
$ 0.1990
Jan 16, 2018
$ 0.1990
Dec 19, 2017
$ 0.1990
Nov 14, 2017
$ 0.1990
Oct 17, 2017
$ 0.1990
Sep 19, 2017
$ 0.1990
Aug 15, 2017
$ 0.1990
Jul 18, 2017
$ 0.1990
Jun 13, 2017
$ 0.1990
May 16, 2017
$ 0.1990
Apr 18, 2017
$ 0.1990
Mar 14, 2017
$ 0.1990
Feb 14, 2017
$ 0.1990
Jan 17, 2017
$ 0.1990
Dec 13, 2016
$ 0.1990

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