Universe · entity
BROOKFIELD Corp /ON/
Institutional manager (13F) · CIK 1001085
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $73.8B
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Brookfield Asset Management Lt | $53.0B | 1,193,021,145 |
| 2 | Cheniere Energy Partners LP | $6.6B | 101,620,376 |
| 3 | Brookfield Business Corp | $4.5B | 142,749,301 |
| 4 | Brookfield Renewable Partners | $2.7B | 81,306,719 |
| 5 | Brookfield Corp | $1.9B | 46,581,943 |
| 6 | Brookfield Renewable Corp | $402M | 10,094,152 |
| 7 | Williams Cos Inc/The | $378M | 5,187,832 |
| 8 | Targa Resources Corp | $367M | 1,462,383 |
| 9 | TransAlta Corp | $354M | 26,954,624 |
| 10 | Cheniere Energy Inc | $256M | 902,436 |
| 11 | PG&E Corp | $193M | 10,977,156 |
| 12 | NextEra Energy Inc | $192M | 2,067,489 |
| 13 | CenterPoint Energy Inc | $184M | 4,270,311 |
| 14 | Crown Castle Inc | $177M | 2,175,839 |
| 15 | NiSource Inc | $172M | 3,680,202 |
| 16 | Brookfield Infrastructure Part | $169M | 4,686,497 |
| 17 | Sempra | $156M | 1,610,550 |
| 18 | FirstEnergy Corp | $133M | 2,621,338 |
| 19 | Energy Transfer LP | $124M | 6,445,333 |
| 20 | MPLX LP | $124M | 2,173,816 |
| 21 | CSX Corp | $117M | 2,844,708 |
| 22 | Equinix Inc | $109M | 111,262 |
| 23 | TC Energy Corp | $109M | 1,735,576 |
| 24 | Union Pacific Corp | $107M | 440,627 |
| 25 | Kinder Morgan Inc | $96M | 2,862,006 |
| 26 | Lamb Weston Holdings Inc | $94M | 2,226,311 |
| 27 | Plains All American Pipeline LP | $82M | 3,691,435 |
| 28 | Enterprise Products Partners LP | $78M | 2,071,160 |
| 29 | Enbridge Inc | $70M | 1,289,260 |
| 30 | DT Midstream Inc | $68M | 505,281 |
| 31 | ONEOK Inc | $68M | 749,150 |
| 32 | Southwest Gas Holdings Inc | $61M | 699,626 |
| 33 | Welltower Inc | $61M | 307,019 |
| 34 | Brookfield Wealth Solutions | $56M | 1,355,764 |
| 35 | NIKE Inc | $53M | 1,008,598 |
| 36 | Prologis Inc | $51M | 383,539 |
| 37 | Plains GP Holdings LP | $48M | 1,987,158 |
| 38 | IDACORP Inc | $44M | 311,159 |
| 39 | Antero Midstream Corp | $44M | 1,935,500 |
| 40 | Golar LNG Ltd | $43M | 789,859 |
| 41 | American Tower Corp | $38M | 218,234 |
| 42 | CMS Energy Corp | $28M | 362,641 |
| 43 | Hess Midstream LP | $28M | 720,858 |
| 44 | Western Midstream Partners LP | $28M | 671,010 |
| 45 | GCI Liberty Inc | $27M | 726,398 |
| 46 | KKR & Co Inc | $26M | 282,000 |
| 47 | Blackstone Group Inc/The | $26M | 225,542 |
| 48 | Simon Property Group Inc | $26M | 137,654 |
| 49 | Extra Space Storage Inc | $23M | 177,998 |
| 50 | Diageo PLC | $22M | 299,180 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.