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BAMBrookfield Asset Management Ltd.

Quick Ratio (Acid-Test): 1.42

Is the quick ratio (acid-test) high or low?

The quick ratio (acid-test) of 1.42 is 30% above its 5-year average of 1.09, around the middle of its 5-year range (0.00–4.20).

As of Sunday, June 28, 2026. 35.76% below its 12-month average of 2.21.

Quick Ratio

BAM Quick Ratio

1.42

Reported quarterly quick ratio; no daily interpolation.

BAM Quick Ratio (Acid-Test)

BAM Average Quick Ratio (Acid-Test) Chart

BAM Quick Ratio (Acid-Test)

BAM Current vs Average Quick Ratio (Acid-Test) Chart

BAM Quick Ratio (Acid-Test) Metrics

QUICK RATIO (ACID-TEST)

1.42

QUICK RATIO (ACID-TEST) AVG TTM

2.21

QUICK RATIO (ACID-TEST) AVG 3Y

1.14

QUICK RATIO (ACID-TEST) AVG 5Y

1.02

QUICK RATIO (ACID-TEST) AVG 10Y

N/A

QUICK RATIO (ACID-TEST) AVG 15Y

N/A

QUICK RATIO (ACID-TEST) AVG 20Y

N/A

CURRENT VS TTM AVG

-35.76%

CURRENT VS 3Y AVG

+24.32%

CURRENT VS 5Y AVG

+39.01%

CURRENT VS 10Y AVG

N/A

CURRENT VS 15Y AVG

N/A

CURRENT VS 20Y AVG

N/A

BAM Competitors' Quick Ratio (Acid-Test)

NAMEMARKET CAPQUICK RATIO (ACID-TEST)TTM3Y5Y
Brookfield Asset Management Ltd. (BAM)$71.25B1.422.211.141.02
Aon plc (AON)vs ›$70.20B1.111.061.041.04
Intercontinental Exchange, Inc. (ICE)vs ›$70.04B1.021.001.021.01
The Travelers Companies, Inc. (TRV)vs ›$69.61B0.550.911.111.16
Apollo Global Management, Inc. (APO)vs ›$68.20B0.780.790.780.93
Moody's Corporation (MCO)vs ›$78.62B1.741.581.651.70
Nu Holdings Ltd. (NU)vs ›$63.78B0.590.770.940.90
Truist Financial Corporation (TFC)vs ›$62.90B0.870.510.380.39
CME Group Inc. (CME)vs ›$80.08B92.9746.9924.0016.34
The Allstate Corporation (ALL)vs ›$61.68B0.370.370.370.37

Liquidity Comparison

Quick Ratio

1.42

Excludes inventory

Current Ratio

4.20

Includes inventory

Quick Ratio (Acid-Test) Formula & Definition

Quick Ratio = (Current Assets − Inventory) / Current Liabilities

The quick ratio is a stricter liquidity measure that excludes inventory, showing the ability to meet short-term obligations with the most liquid assets.

Expanded definitions: Investopedia, Wikipedia, Corporate Finance Institute

Quick Ratio (Acid-Test) FAQ

What is the quick ratio (acid-test) for Brookfield Asset Management Ltd. (BAM)?
The quick ratio (acid-test) for BAM stock is 1.42.
Is Brookfield Asset Management Ltd.'s quick ratio (acid-test) high or low?
The quick ratio (acid-test) of 1.42 is 30% above its 5-year average of 1.09, around the middle of its 5-year range (0.00–4.20).
What is the TTM average quick ratio (acid-test) for Brookfield Asset Management Ltd. (BAM)?
The TTM average quick ratio (acid-test) for BAM stock is 2.21.
What is the 3Y average quick ratio (acid-test) for Brookfield Asset Management Ltd. (BAM)?
The 3Y average quick ratio (acid-test) for BAM stock is 1.14.
What is the 5Y average quick ratio (acid-test) for Brookfield Asset Management Ltd. (BAM)?
The 5Y average quick ratio (acid-test) for BAM stock is 1.02.

BAM Quick Ratio (Acid-Test) History

DATEQUICK RATIO (ACID-TEST)
2026-03-311.42
2025-12-314.20
2025-09-302.19
2025-06-301.55
2025-03-311.68
2024-12-310.88
2024-09-300.87
2024-06-300.84
2024-03-310.83
2023-12-310.80
2023-09-300.83
2023-06-300.88
2023-03-310.91
2022-12-311.00
2022-09-300.73
2022-06-301.05
2022-03-310.00
2021-06-300.00
2021-03-310.00

About Brookfield Asset Management Ltd.

Brookfield Asset Management operates as a prominent alternative asset manager and real estate investment trust (REIT), specializing in real estate, renewable energy, infrastructure, venture capital, and private equity assets. The firm provides a comprehensive range of public and private investment products and services to institutional and retail clients globally. Its strategy involves deploying capital into significant, premier assets across diverse geographies and asset classes, often co-investing its own capital alongside that of other investors. In its private equity and venture capital operations, the firm engages in a wide array of activities. These include early-stage ventures, outright acquisitions, control buyouts, corporate carve-outs, and the restructuring of financially distressed or underperforming mid-market companies. Its involvement further extends to recapitalizations, strategic redirections, and various forms of financing such as convertible, senior, and mezzanine debt, as well as operational and capital structure overhauls. Beyond private markets, Brookfield also actively participates in public debt and equity exchanges. Private equity investments are concentrated in specific sectors: Business Services (encompassing infrastructure, healthcare, road fuel distribution, construction, and real estate), Industrials (including manufacturers of automotive batteries, graphite electrodes, returnable plastic packaging, and sanitation management), and Residential/infrastructure services. The firm specifically targets companies underpinned by substantial real assets, primarily across industrial products, building materials, metals, mining, homebuilding, oil and gas, paper and packaging, general manufacturing, and forest product sectors. Geographically, Brookfield maintains a significant investment presence worldwide, concentrating on North America (including Canada, the United States, and Brazil), Europe, Australia, and the broader Asia-Pacific region. Equity investments typically range from $2 million to $500 million. The firm employs a four-year investment period, structured within a ten-year term that allows for two optional one-year extensions. Brookfield is flexible in its ownership approach, readily taking both minority and majority equity stakes. Established in 1997 and headquartered in Toronto, Canada, Brookfield Asset Management boasts a global network of additional offices across North America, South America, Europe, the Middle East, and Asia.

Toronto, ON
2,500 employees
Financial Services / Asset Management
Sector
Financial Services
Industry
Asset Management
CEO
Connor David Teskey