` BAMR (Brookfield Asset Management Reinsurance Partners Ltd) vs S&P TSX Composite Index (Canada) Comparison - Alpha Spread

B
BAMR
vs
S
S&P TSX Composite Index (Canada)

Over the past 12 months, BAMR has underperformed S&P TSX Composite Index (Canada), delivering a return of 0% compared to the S&P TSX Composite Index (Canada)'s +21% growth.

Stocks Performance
BAMR vs S&P TSX Composite Index (Canada)

Loading
BAMR
S&P TSX Composite Index (Canada)
Add Stock
www.alphaspread.com

Performance Gap
BAMR vs S&P TSX Composite Index (Canada)

Loading
BAMR
S&P TSX Composite Index (Canada)
Difference
www.alphaspread.com

Performance By Year
BAMR vs S&P TSX Composite Index (Canada)

Loading
BAMR
S&P TSX Composite Index (Canada)
Add Stock

Competitors Performance
Brookfield Asset Management Reinsurance Partners Ltd vs Peers

S&P TSX Composite Index (Canada)
BAMR
0U96
MUV2
SREN
HNR1
Add Stock

Brookfield Asset Management Reinsurance Partners Ltd
Glance View

Market Cap
1.7B CAD
Industry
Insurance

Brookfield Asset Management Reinsurance Partners Ltd., a vital extension of the globally renowned Brookfield Asset Management, has carved out a distinct niche in the insurance industry by focusing on long-term, strategic partnerships. Launched with the intellectual capital and robust framework of its parent company, this entity specializes in reinsurance and other risk-based financing solutions across the insurance sector. The fundamental operations involve assuming risk from primary insurers, thus allowing those insurers to maintain stability while continuing their underwriting activities. In doing so, Brookfield Reinsurance partners closely with insurers to create tailored financial products that help mitigate their potential exposure to significant losses, all while leveraging Brookfield’s immense financial acumen and asset management expertise. Central to the operation of Brookfield Asset Management Reinsurance Partners is its sophisticated investment strategy, through which it seeks to derive value from the assets it manages on behalf of its insurance clients. The company navigates the complex financial landscape by investing premium reserves into diversified portfolios across various asset classes, aiming to generate steady returns while ensuring sufficient liquidity to meet potential claim obligations. This business model capitalizes on Brookfield's extensive experience in managing long-term assets, utilizing its expertise to optimize return on capital and strategically aligning its interests with those of its reinsurance clients. As a result, Brookfield Reinsurance not only solidifies its footing in the risk transfer market but also reinforces its reputation as a powerhouse in delivering innovative, risk-adjusted investment solutions.

BAMR Intrinsic Value
Not Available
B
Back to Top