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Brookfield Real Assets Income Fund Inc. (RA)

NYSE - NYSE Delayed Price. Currency in USD
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17.86+0.03 (+0.17%)
At close: 01:00PM EST
17.89 +0.03 (+0.17%)
After hours: 03:15PM EST
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Trade prices are not sourced from all markets
Previous Close17.83
Open17.85
Bid0.00 x 1400
Ask0.00 x 1100
Day's Range17.74 - 17.99
52 Week Range16.24 - 21.86
Volume110,533
Avg. Volume194,492
Market Cap961.995M
Beta (5Y Monthly)N/A
PE Ratio (TTM)7.17
EPS (TTM)2.49
Earnings DateN/A
Forward Dividend & Yield2.39 (13.37%)
Ex-Dividend DateDec 13, 2022
1y Target EstN/A
  • GlobeNewswire

    Brookfield Real Assets Income Fund Inc. Announces Portfolio Manager Update Webcast

    NEW YORK, Oct. 26, 2022 (GLOBE NEWSWIRE) -- Brookfield Public Securities Group LLC (“PSG”) will host a webcast for Brookfield Real Assets Income Fund Inc. (NYSE: RA) (the “Fund”) on Tuesday, November 1, 2022 at 4:30pm ET. PSG will provide an update on the Fund and on general market conditions. There will be an opportunity to ask questions about the Fund during the call. Questions may also be submitted ahead of the call by sending an e-mail to publicsecurities.enquiries@brookfield.com. Registrati

  • GlobeNewswire

    Brookfield Real Assets Income Fund Inc. Announces Distribution Declaration

    NEW YORK, Sept. 30, 2022 (GLOBE NEWSWIRE) -- Brookfield Real Assets Income Fund Inc. (NYSE: RA) (the “Fund”) today announced that its Board of Directors (the “Board”) declared the Fund’s monthly distributions for October, November and December 2022. Distribution Declaration MonthRecord DateEx DatePayable DateAmount per ShareOctober 2022October 12, 2022October 11, 2022October 26, 2022$0.1990November 2022November 9, 2022November 8, 2022November 23, 2022$0.1990December 2022December 14, 2022December

  • GlobeNewswire

    Brookfield Real Assets Income Fund Inc. Announces Distribution Declaration and Fund Updates

    NEW YORK, Jan. 07, 2022 (GLOBE NEWSWIRE) -- Brookfield Real Assets Income Fund Inc. (NYSE: RA) (the “Fund”) today announced that its Board of Directors (the “Board”) declared the Fund’s monthly distributions for January, February and March 2022. The Fund also announced certain organizational updates. Distribution Declaration MonthRecord DateEx DatePayable DateAmount per ShareJanuary 2022January 19, 2022January 18, 2022January 27, 2022$0.1990February 2022February 9, 2022February 8, 2022February 1