Brookfield Real Assets Income (RA)
Brookfield Real Assets Income Fund Inc. is a closed-end fixed income mutual fund listed on the NYSE under the ticker RA. The fund is managed by Brookfield Investment Management Inc. and co-managed by Schroder Investment Management North America Inc. It focuses on fixed income markets in the United States and generally invests in securities and other instruments tied to companies across real estate, infrastructure, and natural resources. The fund was formed on December 2, 2016, and is domiciled in the United States. As classified in the provided data, the listed security is associated with a REIT-related entity type rather than an ordinary operating company.
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| Ticker | Fair Value | Fair Value Upside/Downside | Fair Value Rating | Analyst Price Target | Analyst Target Upside/Downside | Analyst Target Rating | Overall Financial Health | Upcoming Dividend Ex-Date | Dividend Payment Date | Upcoming Dividend | Dividend Yield | Next Earnings Date | P/E Ratio | Price-to-Book Ratio | Price-to-Sales Ratio | Market Cap | Enterprise Value | Total Debt / Total Capital | Free Float / Shares Outstanding | Altman Z-Score | Payout Ratio | Free Cash Flow / Net Income |
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NYSE-RA
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Fair
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September 10, 2026
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September 24, 2026
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1.416
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11.0%
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713.9 M
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