Hledání v detailu akcií
Moje portfolio
Nastavit Oblíbené, nastavit Portfolio
Oblíbené tituly
select
NázevNejlepší
nákup
Nejlepší
prodej
Změna
(%)
ČEZ121412161,00
KB125912600,08
PKN109,46109,53,20
Msft413,4413,60,53
Nokia5,7025,7081,53
IBM294,3294,940,05
Mercedes-Benz Group AG60,0960,122,70
PFE25,8825,890,47
04.02.2026 12:46:01
Indexy online
AD Index online
select
AD Index online
 

  • 03.02.2026
Oaktree NCRPP Rg-A (NY Consolidated)
Závěr k 3.2.2026 Změna (%) Změna (USD) Objem obchodů (USD)
21,95 0,50 0,11 8 452
Premarket04.02.2026 10:09:59
Poslední obchod Nákup / Prodej Změna (%) Změna (USD) Objem obchodů (USD)
- 20,01 34,61 - - -
R - Real-Time data si mohou aktivovat klienti Patria Plus / Investor Plus ZDE.

 
  • Poslední aktualizace: 04.02.2026
Popis společnosti
Obecné informace
Název společnostiBrookfield Oaktree Holdings LLC
TickerOAK PR A
TickerOKCMZ
TickerOKCMZ
Kmenové akcie:Preferred Shares Series A
Kmenové akcie:Unit Class A
Kmenové akcie:Unit
Kmenové akcie:Unit Class A
RICOKCMZ.PK^E14
RICOKCMZ.PK
RICOAK_pa
RICOAK.N^I19
ISIN-
Prioritní akciePreferred Shares Series B
TickerOAK PR B
RICOAK_pb
Poslední známé roční výsledky31.12.2024
Poslední známé čtvrtletní výsledky30.09.2025
Počet zaměstnanců k 31.12.2024 1 216
Akcie v oběhu k 12.11.2025 167 791 299
MěnaUSD
Kontaktní informace
Ulice333 South Grand Avenue, 28Th Floor
MěstoLOS ANGELES
PSČ90071
ZeměUnited States
Kontatní osoba 
Funkce kontaktní osoby 
Telefon12 138 306 300
Fax12138306293

Business Summary: Brookfield Oaktree Holdings, LLC is an alternative investment management company. It is engaged in investing in three asset classes, including credit, equity, and real estate. The funds managed by the Company include commingled funds, separate accounts, collateralized loan obligation vehicles (CLOs) and business development companies (BDCs). Its closed-end funds also include special purpose acquisition companies managed by the Company and CLOs for which it serves as collateral manager. CLOs are structured finance vehicles in which it makes an investment. The Company also provides discretionary management services for clients through separate accounts within the open-end fund strategies. Its evergreen funds invest in marketable securities, private debt and equity, and in certain cases on a long or short basis. Its credit, real estate and equity investments are managed by alternative asset management firms Oaktree Capital Management, L.P. and Brookfield Asset Management Ltd.
Financial Summary: BRIEF: For the nine months ended 30 September 2025, Brookfield Oaktree Holdings LLC revenues decreased 23% to $424.8M. Net income applicable to common stockholders decreased 59% to $62.6M. Revenues reflect a decrease in demand for the Company's products and services due to unfavorable market conditions. Net income also reflects Net change in unrealized appreciation (d decrease from $147.6M (income) to $117M (expense).
Odvětvová klasifikace
TRBC2009Investment Management / Fund Operators
TRBC2012Investment Management & Fund Operators (NEC)
RBSS2004Investment Services
MGINDUSTRYInvestment Services
MGSECTORFinancial
NAICSPortfolio Management and Investment Advice
NAICS2007Portfolio Management
NAICS2007Investment Advice
NAICS2007Offices of Other Holding Companies
NAICS1997Portfolio Management
NAICS1997Investment Advice
NAICS1997Offices of Other Holding Companies
SICInvestment Advice
SICInvestment Advice



  • Poslední aktualizace: 04.02.2026
Management společnosti
FunkceJménoVěkVe funkci odVe firmě od
Co-Chairman of the Board, Director, Chief Investment OfficerBruce Karsh6903.10.2014
Co-Chairman of the Board, Co-FounderHoward Marks79
Chief Executive OfficerNicholas Goodman4301.03.202401.03.2024
Chief Financial Officer, SecretaryDaniel Levin46
Vice Chairman of the BoardJohn Frank6803.10.201401.01.2001