Brookfield Oaktree Holdings (OAK-PA) Treasury Shares (2011 - 2022)

Brookfield Oaktree Holdings (OAK-PA) posted Treasury Shares of $202807.0 for Q3 2022, little changed on a QoQ basis from $202807.0 in Q2 2022, and down 27.16% year-over-year from $278440.0 in Q3 2021.

Brookfield Oaktree Holdings (OAK-PA) Treasury Shares (2011 - 2022) Analysis & Trends

Brookfield Oaktree Holdings' Treasury Shares history runs 12 years deep, the most recent figure standing at $202807.0 for Q3 2022.

  • Quarterly Treasury Shares fell 27.16% year-over-year to $202807.0 in Q3 2022, while the trailing twelve-month figure through Sep 2022 was $202807.0 (down 27.16% YoY) and the FY2021 annual result came in at $338530.0, down 39.15% from the prior year.
  • Treasury Shares was $202807.0 for Q3 2022 at Brookfield Oaktree Holdings, roughly flat from $202807.0 in the prior quarter.
  • Across five years, Treasury Shares topped out at $3.2 million in Q2 2019 and bottomed at $137866.0 in Q1 2022.
  • A 5-year average of $1.2 million and a median of $556352.0 in 2020 frame the typical range for Treasury Shares.
  • Annual changes were most pronounced in 2019 — Treasury Shares soared 223.71% — and 2020, when it sank 87.27%.
  • Brookfield Oaktree Holdings' Treasury Shares stood at $1.9 million in 2018, then tumbled by 60.77% to $731241.0 in 2019, then dropped by 23.92% to $556352.0 in 2020, then slumped by 39.15% to $338530.0 in 2021, then plunged by 40.09% to $202807.0 in 2022.
  • Business Quant data shows OAK-PA's Treasury Shares at $202807.0 in Q3 2022, $202807.0 in Q2 2022, and $137866.0 in Q1 2022.

Peer Comparison

Historic Data

Download Data
DateValue
Sep 30, 2022 202,807.00
Sep 30, 2022 202,807.00
Jun 30, 2022 202,807.00
Jun 30, 2022 202,807.00
Mar 31, 2022 137,866.00
Mar 31, 2022 137,866.00
Dec 31, 2021 338,530.00
Dec 31, 2021 338,530.00
Sep 30, 2021 278,440.00
Sep 30, 2021 278,440.00
Jun 30, 2021 392,159.00
Jun 30, 2021 392,159.00
Mar 31, 2021 392,159.00
Mar 31, 2021 392,159.00
Dec 31, 2020 556,352.00
Dec 31, 2020 556,352.00
Sep 30, 2020 475,877.00
Sep 30, 2020 475,877.00
Jun 30, 2020 562,212.00
Jun 30, 2020 562,212.00