Brookfield Asset Management Ltd

BAMNYSE · USD
46.06USD0.00 (+1.41%)
555

Brookfield Asset Management Ltd (BAM) Implied Volatility Current

BAM implied volatility is 31%. IV Rank is 14%, placing current premiums in the bottom of their 52-week range.

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Tracking BAM implied volatility helps you identify when options premiums on Brookfield Asset Management Ltd are historically cheap or expensive, and where the best trades are hiding. Brookfield Asset Management Ltd implied volatility reflects the market's expectation of future price movement: when BAM IV rises, option premiums increase, creating opportunities for sellers, and when it drops, buyers can find cheaper contracts. Use our scanner to monitor Brookfield Asset Management Ltd's implied volatility current levels in real time and filter for high-probability trades.

Implied volatility is derived from option prices using models like Black-Scholes and represents the annualized expected move of an underlying stock. For BAM, tracking metrics like BAM IV rank helps traders understand whether current implied volatility is historically high or low. IV rank compares today's reading against the past year's range — a high rank on BAM signals rich premiums and potential mean-reversion, while a low rank may favor long options strategies.

Brookfield Asset Management is an alternative asset manager and REIT/Real Estate Investment Manager firm focuses on real estate, renewable power, infrastructure and venture capital and private equity assets. It manages a range of public and private investment products and services for institutional and retail clients. It typically makes investments in sizeable, premier assets across geographies and asset classes. It invests both its own capital as well as capital from other investors. Within private equity and venture capital, it focuses on acquisition, early ventures, control buyouts and financially distressed, buyouts and corporate carve-outs, recapitalizations, convertible, senior and mezzanine financings, operational and capital structure restructuring, strategic re-direction, turnaround, and under-performing midmarket companies.

It invests in both public debt and equity markets. It invests in private equity sectors with focus on Business Services include infrastructure, healthcare, road fuel distribution and marketing, construction and real estate; Industrials include manufacturers of automotive batteries, graphite electrodes, returnable plastic packaging, and sanitation management and development; and Residential/ infrastructure services. It targets companies which likely possess underlying real assets, primarily in sectors such as industrial products, building materials, metals, mining, homebuilding, oil and gas, paper and packaging, manufacturing and forest product sectors. It invests globally with focus on North America including Brazil, the United States, Canada; Europe; and Australia; and Asia-Pacific. The firm considers equity investments in the range of $2 million to $500 million. It has a four-year investment period and a 10-year term with two one-year extensions. The firm prefers to take minority stake and majority stake. Brookfield Asset Management Inc. was founded in 1997 and based in Toronto, Canada with additional offices across Northern America; South America; Europe; Middle East and Asia.

Premium sellers, directional traders, and spread builders all need the same starting point: a clear read on where BAM implied volatility sits today versus where it has been. Our scanner ranks Brookfield Asset Management Ltd implied volatility against its historical range, surfaces extremes in BAM IV rank, and pairs every reading with the trades that exploit it. Stop guessing whether Brookfield Asset Management Ltd IV is rich or cheap — measure it, then act on it.

Implied Volatility

IV Rank
14.29%IV Rank
Low

IV is compressed vs the past year - options are relatively cheap, favoring buyers.

Implied Volatility (30d)30.59%

IV Rank14.29%

Historical Volatility (30d)30.35%

IV - HV+0.24%

As of September 18, 2026

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