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NYSE, RA:
02 Sep 2025
LAST:
13.52
CHANGE:
0.00
OPEN:
13.44
HIGH:
13.52
ASK:
23.79
VOLUME:
151.3K
CHG(%):
0.00
PREV:
13.52
LOW:
13.44
BID:
23.77
CHART
Period:
End of Day
1 Minute
5 Minute
10 Minute
15 Minute
30 Minute
Hourly
Weekly
Monthly
Yearly
RECENT END OF DAY PRICES
Date
Open
High
Low
Close
Volume
02 Sep 25
13.44
13.52
13.44
13.52
151.3K
29 Aug 25
13.52
13.55
13.48
13.52
124.6K
28 Aug 25
13.48
13.52
13.43
13.52
159.1K
27 Aug 25
13.46
13.47
13.41
13.46
118.6K
26 Aug 25
13.47
13.49
13.40
13.46
191.5K
25 Aug 25
13.36
13.47
13.31
13.45
173.3K
22 Aug 25
13.30
13.35
13.25
13.35
139.1K
21 Aug 25
13.31
13.32
13.23
13.25
144.8K
20 Aug 25
13.18
13.28
13.14
13.28
219.4K
19 Aug 25
13.17
13.18
13.14
13.16
130.4K
COMPANY PROFILE
Name:
About:
Brookfield Real Assets Income Fund Inc. is a closed ended fixed income mutual fund launched and managed by Brookfield Investment Management Inc. The fund is co-managed by Schroder Investment Management North America Inc. It invests in fixed income markets of the United States. The fund primarily invests in securities and other instruments of companies, which includes real estate securities, infrastructure securities, and natural resources securities. Brookfield Real Assets Income Fund Inc. was formed on December 2, 2016 and is domiciled in the United States.
Industry:
Asset Management
Address:
Brookfield Place, New York, NY, United States, 10281-1023
Website:
https://publicsecurities.brookfield.com/us-closed-
CUSIP:
112830104
ISIN:
US1128301041
FIGI:
BBG00FF5CTP4
LEI:
5493007NX94W3HSQTJ60
SYMBOL HISTORY
Purchase End of Day History
for this symbol from May 26, 1995
Purchase Intraday History
for this symbol from May 26, 1995
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Format:
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Period:
End of Day
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5 Minute Bars
10 Minute Bars
15 Minute Bars
30 Minute Bars
60 Minute Bars
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Symbol:
Start Date:
End Date:
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FUNDAMENTALS
P/E Ratio:
11.31
Price to Book:
0.91
Price to Sales:
10.93
Shares:
55.25M
Market Cap:
747.04M
TECHNICAL INDICATORS
MA5:
13.50
MA10:
13.40
MA20:
13.29
MA50:
13.28
MA100:
13.07
MA200:
13.18
STO9:
91.34
STO14:
93.84
RSI14:
86.79
MTM14:
0.35
ROC14:
0.03
ATR:
0.08
Week High:
13.55
Week Low:
13.40
Month High:
13.55
Month Low:
13.08
Year High:
13.77
Year Low:
11.87
Volatility:
2.38
RECENT SPLITS
Date
Ratio
16 Apr 1997
2-1
RECENT DIVIDENDS
Date
Amount
11 Sep 2025
$0.12
07 Aug 2025
$0.12
10 Jul 2025
$0.12
12 Jun 2025
$0.12
08 May 2025
$0.12
10 Apr 2025
$0.12
13 Mar 2025
$0.12
06 Feb 2025
$0.12
10 Jan 2025
$0.12
10 Dec 2024
$0.12