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As Of Filer Filing For·On·As Docs:Size 3/27/20 Brookfield Asset Management Inc. 40-F 12/31/19 200:92M |
Document/Exhibit Description Pages Size 1: 40-F Registration Statement or Annual Report by a HTML 102K Canadian Issuer 2: EX-99.1 Miscellaneous Exhibit HTML 657K 3: EX-99.2 Miscellaneous Exhibit HTML 2.96M 4: EX-99.3 Miscellaneous Exhibit HTML 60K 5: EX-99.4 Miscellaneous Exhibit HTML 60K 6: EX-99.5 Miscellaneous Exhibit HTML 56K 7: EX-99.6 Miscellaneous Exhibit HTML 56K 8: EX-99.7 Miscellaneous Exhibit HTML 53K 39: R1 Document and Entity Information HTML 74K 119: R2 Consolidated Balance Sheets HTML 129K 187: R3 Consolidated Statements of Operations HTML 104K 65: R4 Consolidated Statements of Comprehensive Income HTML 154K 43: R5 Consolidated Statements of Changes in Equity HTML 133K 123: R6 Consolidated Statements of Cash Flows HTML 167K 189: R7 Corporate Information HTML 56K 69: R8 Significant Accounting Policies HTML 280K 38: R9 Segmented Information HTML 279K 54: R10 Subsidiaries HTML 291K 81: R11 Acquisitions of Consolidated Entities HTML 459K 196: R12 Accounts Receivable and Other HTML 105K 131: R13 Inventory HTML 75K 56: R14 Held for Sale HTML 109K 83: R15 Equity Accounted Investments HTML 461K 198: R16 Investment Properties HTML 189K 133: R17 Property, Plant and Equipment HTML 606K 57: R18 Intangible Assets HTML 150K 79: R19 Goodwill HTML 164K 159: R20 Income Taxes HTML 119K 136: R21 Corporate Borrowings HTML 302K 19: R22 Accounts Payable and Other HTML 86K 92: R23 Non-Recourse Borrowings HTML 302K 161: R24 Subsidiary Equity Obligations HTML 130K 138: R25 Subsidiary Public Issuers and Finance Subsidiary HTML 291K 21: R26 Equity HTML 437K 94: R27 Revenues HTML 178K 157: R28 Direct Costs HTML 64K 140: R29 Fair Value Changes HTML 66K 128: R30 Derivative Financial Instruments HTML 259K 193: R31 Management of Risks Arising From Holding Financial HTML 145K Instruments 88: R32 Capital Management HTML 60K 61: R33 Related Party Transactions HTML 71K 126: R34 Other Information HTML 64K 191: R35 Subsequent Events HTML 57K 86: R36 Significant Accounting Policies (Policies) HTML 310K 59: R37 Significant Accounting Policies (Tables) HTML 92K 125: R38 Segmented Information (Tables) HTML 274K 195: R39 Subsidiaries (Tables) HTML 288K 155: R40 Acquisitions of Consolidated Entities (Tables) HTML 244K 174: R41 Fair Value of Financial Instruments (Tables) HTML 1.19M 102: R42 Accounts Receivable and Other (Tables) HTML 304K 27: R43 Inventory (Tables) HTML 73K 153: R44 Held for Sale (Tables) HTML 106K 172: R45 Equity Accounted Investments (Tables) HTML 1.10M 100: R46 Investment Properties (Tables) HTML 373K 25: R47 Property, Plant and Equipment (Tables) HTML 737K 152: R48 Intangible Assets (Tables) HTML 338K 176: R49 Goodwill (Tables) HTML 299K 186: R50 Income Taxes (Tables) HTML 131K 120: R51 Corporate Borrowings (Tables) HTML 487K 40: R52 Accounts Payable and Other (Tables) HTML 89K 63: R53 Non-Recourse Borrowings (Tables) HTML 487K 190: R54 Subsidiary Equity Obligations (Tables) HTML 203K 122: R55 Subsidiary Public Issuers and Finance Subsidiary HTML 125K (Tables) 42: R56 Equity (Tables) HTML 390K 66: R57 Revenues (Tables) HTML 179K 184: R58 Direct Costs (Tables) HTML 63K 124: R59 Fair Value Changes (Tables) HTML 65K 30: R60 Derivative Financial Instruments (Tables) HTML 249K 106: R61 Management of Risks Arising From Holding Financial HTML 120K Instruments (Tables) 165: R62 Related Party Transactions Related Party HTML 69K Transactions (Tables) 145: R63 SIGNIFICANT ACCOUNTING POLICIES - Impact of New HTML 148K Accounting Standard (Details) 34: R64 SIGNIFICANT ACCOUNTING POLICIES - Narrative HTML 109K (Details) 110: R65 SIGNIFICANT ACCOUNTING POLICIES SIGNIFICANT HTML 107K ACCOUNTING POLICIES - Property, Plant, and Equipment (Details) 169: R66 SIGNIFICANT ACCOUNTING POLICIES SIGNIFICANT HTML 77K ACCOUNTING POLICIES - Intangible Assets Other Than Goodwill (Details) (Details) 150: R67 SEGMENTED INFORMATION - Narrative (Details) HTML 89K 35: R68 SEGMENTED INFORMATION - Financial Information by HTML 143K Segment (Details) 103: R69 SEGMENTED INFORMATION - Reconciliation of FFO to HTML 60K Equity Accounted Investments (Details) 74: R70 SEGMENTED INFORMATION - Schedule of components of HTML 62K income tax expense (Details) 51: R71 SEGMENTED INFORMATION - Reconciliation of FFO to HTML 76K Net Income (Details) 116: R72 SEGMENTED INFORMATION - Revenue Allocation HTML 77K (Details) 183: R73 SEGMENTED INFORMATION - Asset Allocation (Details) HTML 84K 70: R74 SUBSIDIARIES - Schedule Of Non-Controlling HTML 63K Interests In Subsidiaries With Significant Non-Controlling Interests (Details) 47: R75 SUBSIDIARIES - Schedule of Composition Of HTML 71K Accumulated Non-Controlling Interest (Details) 112: R76 SUBSIDIARIES - Schedule Of Summarized Financial HTML 135K Information Before Intra-Group Eliminations (Details) 179: R77 SUBSIDIARIES - Schedule Of Cash Flow With Material HTML 76K Non-Controlling Interests (Details) 78: R78 ACQUISITIONS OF CONSOLIDATED ENTITIES - Schedule HTML 146K of Balance Sheet Impact On Business Combinations (Details) 46: R79 ACQUISITIONS OF CONSOLIDATED ENTITIES - Narrative HTML 331K (Details) 73: R80 ACQUISITIONS OF CONSOLIDATED ENTITIES - Schedule HTML 445K of Balance Sheet Impact on Significant Business Combinations (Details) 50: R81 FAIR VALUE OF FINANCIAL INSTRUMENTS - Financial HTML 166K Instrument Classification (Details) 114: R82 FAIR VALUE OF FINANCIAL INSTRUMENTS - Narrative HTML 83K (Details) 181: R83 FAIR VALUE OF FINANCIAL INSTRUMENTS - Carrying and HTML 172K Fair Values of Financial Instruments (Details) 72: R84 FAIR VALUE OF FINANCIAL INSTRUMENTS - Other HTML 59K Financial Assets (Details) 49: R85 FAIR VALUE OF FINANCIAL INSTRUMENTS - Fair Value HTML 100K Hierarchy Levels (Details) 113: R86 FAIR VALUE OF FINANCIAL INSTRUMENTS - Valuation HTML 102K Techniques on Fair Value Measurements (Details) 180: R87 FAIR VALUE OF FINANCIAL INSTRUMENTS - Change in HTML 80K Balance of Fair Value Assets and Liabilities (Details) 76: R88 FAIR VALUE OF FINANCIAL INSTRUMENTS - Amortized HTML 81K Cost for which Fair Value is Disclosed (Details) 45: R89 FAIR VALUE OF FINANCIAL INSTRUMENTS - Netting of HTML 74K Financial Instruments (Details) 31: R90 ACCOUNTS RECEIVABLE AND OTHER - Schedule of HTML 63K Accounts Receivable and Other (Details) 107: R91 ACCOUNTS RECEIVABLE AND OTHER - Schedule of HTML 60K Current and Non-Current Accounts Receivable (Details) 167: R92 ACCOUNTS RECEIVABLE AND OTHER - Narrative HTML 70K (Details) 148: R93 ACCOUNTS RECEIVABLE AND OTHER - Schedule Of Change HTML 63K In Balance Of Timberlands And Other Agricultural Assets (Details) 32: R94 INVENTORY - Schedule of Inventory Properties HTML 68K (Details) 108: R95 INVENTORY - Schedule of Current and Non-Current HTML 60K Inventory Balances (Details) 168: R96 INVENTORY - Narrative (Details) HTML 59K 149: R97 HELD FOR SALE - Schedule Of Assets And Liabilities HTML 129K Classified As Held-For-Sale (Details) 36: R98 HELD FOR SALE - Narrative (Details) HTML 64K 104: R99 EQUITY ACCOUNTED INVESTMENTS - Schedule Of HTML 158K Investments in Associates and Joint Ventures (Details) 67: R100 EQUITY ACCOUNTED INVESTMENTS - Schedule Of Changes HTML 92K In Balance Of Investments (Details) 44: R101 EQUITY ACCOUNTED INVESTMENTS - Schedule Of Current HTML 116K And Non-Current Assets And Liabilities Of Investments In Associates And Joint Ventures (Details) 121: R102 EQUITY ACCOUNTED INVESTMENTS - Schedule Of HTML 116K Revenue, Net Income and OCI Of Investments (Details) 188: R103 EQUITY ACCOUNTED INVESTMENTS - Schedule Of Fair HTML 68K Value Of Equity Accounted Investments (Details) 64: R104 EQUITY ACCOUNTED INVESTMENTS EQUITY ACCOUNTED HTML 54K INVESTMENTS - Narrative (Details) 41: R105 INVESTMENT PROPERTIES - Schedule of Changes in HTML 76K Fair Value of Investment Properties (Details) 118: R106 INVESTMENT PROPERTIES - Narrative (Details) HTML 65K 185: R107 INVESTMENT PROPERTIES - Schedule of Investment HTML 95K Properties Measured at Fair Value (Details) 68: R108 INVESTMENT PROPERTIES - Schedule of Significant HTML 107K Unobservable Inputs (Details) 37: R109 PROPERTY, PLANT AND EQUIPMENT - Schedule of HTML 112K Property, Plant and Equipment by Operating Segments (Details) 24: R110 PROPERTY, PLANT AND EQUIPMENT - Narrative HTML 66K (Details) 99: R111 PROPERTY, PLANT AND EQUIPMENT - Schedule of HTML 141K Renewable Property, Plant and Equipment (Details) 173: R112 PROPERTY, PLANT AND EQUIPMENT - Schedule of HTML 68K Property, Plant and Equipment Measured at Fair Value (Details) 154: R113 PROPERTY, PLANT AND EQUIPMENT - Schedule of HTML 126K Valuation Metrics (Details) 26: R114 PROPERTY, PLANT AND EQUIPMENT - Schedule of Power HTML 99K Purchase Agreements (Details) 101: R115 PROPERTY, PLANT AND EQUIPMENT - Schedule of HTML 152K Infrastructure Property, Plant and Equipment (Details) 175: R116 PROPERTY, PLANT AND EQUIPMENT - Schedule of Real HTML 123K Estate Assets, Private Equity and Other (Details) 156: R117 INTANGIBLE ASSETS - Schedule of Changes in HTML 77K Intangible Assets (Details) 28: R118 INTANGIBLE ASSETS - Schedule of Intangible Assets HTML 79K by Geography (Details) 98: R119 INTANGIBLE ASSETS - Schedule of Intangible Assets HTML 62K by Operating Segment (Details) 178: R120 INTANGIBLE ASSETS - Narrative (Details) HTML 96K 111: R121 GOODWILL - Schedule of Changes in Goodwill HTML 70K (Details) 48: R122 GOODWILL - Schedule of Goodwill By Geography HTML 71K (Details) 71: R123 GOODWILL - Schedule of Goodwill By Operating HTML 69K Segments (Details) 182: R124 GOODWILL - Narrative (Details) HTML 119K 115: R125 INCOME TAXES - Components Of Income Tax Expense HTML 71K (Details) 52: R126 INCOME TAXES - Narrative (Details) HTML 60K 75: R127 INCOME TAXES - Schedule Of Income Tax Rates HTML 73K (Details) 177: R128 INCOME TAXES - Schedule Of Deferred Income Tax HTML 69K Assets And Liabilities (Details) 117: R129 INCOME TAXES - Schedule Of Unrecognized Deferred HTML 66K Tax Assets (Details) 151: R130 INCOME TAXES - Schedule Of Components Of Income HTML 69K Taxes In Other Comprehensive Income (Details) 170: R131 CORPORATE BORROWINGS - Schedule of Corporate HTML 101K Borrowings (Details) 109: R132 CORPORATE BORROWINGS - Narrative (Details) HTML 72K 33: R133 ACCOUNTS PAYABLE AND OTHER - Schedule of Accounts HTML 64K Payable and Other Liabilities (Details) 147: R134 ACCOUNTS PAYABLE AND OTHER - Schedule of Current HTML 59K and Non-Current Accounts Payables (Details) 166: R135 ACCOUNTS PAYABLE AND OTHER - Narrative (Details) HTML 61K 105: R136 ACCOUNTS PAYABLE AND OTHER - Schedule of HTML 67K Post-Employment Benefits (Details) 29: R137 NON-RECOURSE BORROWINGS - Schedule of Repayments HTML 119K of Property Specific Mortgages (Details) 144: R138 NON-RECOURSE BORROWINGS - Narrative (Details) HTML 59K 171: R139 NON-RECOURSE BORROWINGS - Schedule of Current and HTML 59K Non-current property specific mortgages (Details) 134: R140 NON-RECOURSE BORROWINGS - Schedule of Borrowings HTML 102K By Currency (Details) 199: R141 NON-RECOURSE BORROWINGS - Schedule of Repayments HTML 117K on Subsidiary Borrowings (Details) 82: R142 NON-RECOURSE BORROWINGS - Schedule of Current and HTML 58K Non-current Subsidiary Borrowings (Details) 55: R143 NON-RECOURSE BORROWINGS - Schedule of Subsidiary HTML 65K Borrowings By Currency (Details) 132: R144 NON-RECOURSE BORROWINGS NON RECOURSE BORROWINGS - HTML 58K Schedule of Non-recourse borrowings (Details) 197: R145 SUBSIDIARY EQUITY OBLIGATIONS - Schedule of HTML 101K Subsidiary Equity Obligations (Details) 80: R146 SUBSIDIARY EQUITY OBLIGATIONS - Narrative HTML 88K (Details) 53: R147 SUBSIDIARY EQUITY OBLIGATIONS - Schedule of HTML 69K Preferred Equity Units (Details) 130: R148 SUBSIDIARY EQUITY OBLIGATIONS - Schedule of HTML 97K Subsidiary Preferred Shares (Details) 200: R149 SUBSIDIARY PUBLIC ISSUERS AND FINANCE SUBSIDIARY - HTML 96K Narrative (Details) 163: R150 SUBSIDIARY PUBLIC ISSUERS AND FINANCE SUBSIDIARY - HTML 89K Schedule Of Summarized Financial Information And Non-Guarantor Subsidiaries (Details) 141: R151 EQUITY - Schedule Of Equity (Details) HTML 68K 15: R152 EQUITY - Schedule Of Preferred Equity (Details) HTML 77K 89: R153 EQUITY - Schedule Of Series Of Preferred Shares HTML 190K (Details) 164: R154 EQUITY - Narrative (Details) HTML 156K 142: R155 EQUITY - Schedule Of Non-Controlling Interests HTML 63K (Details) 17: R156 EQUITY - Schedule Of Common Equity (Details) HTML 71K 90: R157 EQUITY - Schedule Of Number Of Issued And HTML 67K Outstanding Common Shares And Unexercised Options (Details) 162: R158 EQUITY - Schedule Of Authorized Share Capital HTML 68K (Details) 143: R159 EQUITY - Schedule Of Basic And Diluted Earnings HTML 69K Per Share (Details) 58: R160 EQUITY - Schedule Of Expense Recognized For HTML 64K Share-Based Compensation (Details) 85: R161 EQUITY - Schedule Of Options (Details) HTML 114K 192: R162 EQUITY - Schedule Using Black-Scholes Module HTML 88K (Details) 127: R163 EQUITY - Schedule Of Options to Purchase Class A HTML 151K Shares (Details) 60: R164 Revenues - by Type (Details) HTML 105K 87: R165 Revenues - by Timing of Recognition of Revenue HTML 93K From Contracts With Customers (Details) 194: R166 REVENUES - Narrative (Details) HTML 77K 129: R167 REVENUES Revenue - Lease Payment Receivable HTML 63K (Details) 62: R168 DIRECT COSTS - Schedule of Lists of Direct Costs HTML 63K (Details) 84: R169 Fair Value Changes (Details) HTML 65K 95: R170 DERIVATIVE FINANCIAL INSTRUMENTS - Notional Amount HTML 68K of Derivative Positions (Details) 22: R171 DERIVATIVE FINANCIAL INSTRUMENTS - Foreign HTML 113K Exchange Contract Derivative Positions (Details) 137: R172 DERIVATIVE FINANCIAL INSTRUMENTS - Narrative HTML 81K (Details) 160: R173 DERIVATIVE FINANCIAL INSTRUMENTS - Hedge HTML 84K Classification (Details) 93: R174 DERIVATIVE FINANCIAL INSTRUMENTS - Change in Fair HTML 73K Value of Derivative Instruments (Details) 20: R175 DERIVATIVE FINANCIAL INSTRUMENTS - Notional Amount HTML 126K of Derivative Instruments Fair Value Through Profit or Loss (Details) 135: R176 MANAGEMENT OF RISKS ARISING FROM HOLDING FINANCIAL HTML 106K INSTRUMENTS - Narrative (Details) 158: R177 MANAGEMENT OF RISKS ARISING FROM HOLDING FINANCIAL HTML 86K INSTRUMENTS - Contractual Maturities of Financial Liabilities (Details) 97: R178 CAPITAL MANAGEMENT - Narrative (Details) HTML 63K 18: R179 RELATED PARTY TRANSACTIONS RELATED PARTY HTML 61K TRANSACTIONS - Renumeration of Directors and Other Key Management (Details) 96: R180 RELATED PARTY TRANSACTIONS RELATED PARTY HTML 57K TRANSACTIONS - Related Party Balances included within Consolidated Financial Statements (Details) 23: R181 OTHER INFORMATION - Narrative (Details) HTML 75K 139: R182 Subsequent Events Narrative (Details) HTML 62K 91: R9999 Uncategorized Items - bam-20191231.xml HTML 57K 16: XML IDEA XML File -- Filing Summary XML 386K 77: EXCEL IDEA Workbook of Financial Reports XLSX 305K 9: EX-101.INS XBRL Instance -- bam-20191231 XML 17.45M 11: EX-101.CAL XBRL Calculations -- bam-20191231_cal XML 450K 12: EX-101.DEF XBRL Definitions -- bam-20191231_def XML 3.29M 13: EX-101.LAB XBRL Labels -- bam-20191231_lab XML 4.49M 14: EX-101.PRE XBRL Presentations -- bam-20191231_pre XML 3.82M 10: EX-101.SCH XBRL Schema -- bam-20191231 XSD 657K 146: ZIP XBRL Zipped Folder -- 0001001085-20-000009-xbrl Zip 982K
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Files: | bam-20191231.xml bam-20191231.xsd bam-20191231_cal.xml bam-20191231_def.xml bam-20191231_lab.xml bam-20191231_pre.xml |