Brookfield (BN) — Daily Price Character

Historical session stats from dividend-adjusted prices: win rate, streaks, record days, weekday patterns, and (when available) how often the stock was green on S&P 500 green days.

Daily streak leaderboard →

Archetype

Explosive

High daily volatility — frequent large price swings.

Win rate

43.9%

4675 green · 4308 red · 1665 flat · 10648 sessions

Current streak

1 green

As of Apr 7, 2026

Max win / lose streak

9 / 12 days

Win streak return: +15.56% · Lose: 21.43%

Median / σ daily

+0.000% · 8.209%

Avg green +2.80% · avg red 2.23%

Extreme days (>3%)

10.4%

586 up · 519 down

History from Jan 3, 1984 through Apr 7, 2026 · 10648 trading days with returns.

Trailing year — daily returns (calendar)

Apr 8, 2025Apr 7, 2026 · Mon–Fri sessions only

Monday–Friday — average return

Average dividend-adjusted return on that weekday (green / red by sign). Green/red day rule: ±0.01% vs prior close.

Monday–Friday — win rate

Share of sessions that closed green on that weekday. Bars are green at or above 50%, red below 50%.

Top green days

Largest single-session gains (dividend-adjusted), by historical return.

DateReturn
Aug 7, 1990+131.00%
May 21, 1985+130.11%
Jan 4, 1994+125.58%
May 22, 1990+125.00%
Jul 2, 1985+124.65%
Jul 3, 1990+122.90%
Jul 2, 1986+120.75%
May 20, 1986+119.23%
Aug 3, 1993+113.50%
Apr 24, 1990+112.95%
Dec 27, 1989+111.96%
Dec 28, 1993+110.72%
Aug 5, 1986+110.29%
Aug 6, 1985+109.68%
Dec 27, 1985+109.65%
May 23, 1989+109.57%
Dec 27, 1984+108.85%
Oct 12, 1993+103.36%
Jul 5, 1989+102.70%
Feb 21, 1986+99.02%

Worst red days

Largest single-session losses; "Days to recovery" counts trading sessions until close recovered the prior peak (dividend-adjusted).

DateReturnDays to recovery
Aug 6, 199057.54%1580
May 20, 198556.24%1
Jul 2, 199055.69%9
May 21, 199055.55%1
Jul 1, 198654.99%2
Jul 1, 198554.85%1
Apr 23, 199053.91%26
Jan 3, 199453.09%1
May 19, 198652.84%1
May 22, 198952.52%5
Dec 26, 198952.33%1
Dec 26, 198452.12%1
Aug 5, 198551.97%1
Feb 20, 198651.85%2
Dec 26, 198551.85%1
Aug 4, 198651.77%1
Aug 2, 199351.35%1
Jul 3, 198950.91%3
Dec 27, 199350.88%1
Oct 11, 199350.83%1

Frequently asked questions

What is the daily win rate for Brookfield (BN)?

Historically, Brookfield (BN) closed green on 43.9% of trading days (4675 green, 4308 red, 1665 flat), using dividend-adjusted closes and a ±0.01% threshold for green vs red.

What is the current winning or losing streak for Brookfield (BN)?

As of 2026-04-07, Brookfield (BN) is on a 1-day winning streak (consecutive green or red days by the same rules, ignoring trailing flat days).

What does Steady, Balanced, or Explosive mean for Brookfield (BN)?

We label Brookfield (BN) as "explosive" based on the sample standard deviation of daily returns: High daily volatility — frequent large price swings.

What were the best and worst single trading days for Brookfield (BN)?

Largest single-day gain: +131.00%. Largest single-day loss: 57.54%. Tables on this page list the top record green and red days.

What counts as an "extreme" daily move for Brookfield (BN)?

We treat a day as extreme if the absolute dividend-adjusted daily return exceeds 3%. About 10.4% of trading days for Brookfield (BN) were extreme (586 up, 519 down).

Data & methodology

How are green, red, and flat days defined?

We use dividend-adjusted (or close-to-close for non-equity) daily returns. Green: return ≥ +0.01%. Red: return ≤ −0.01%. Flat: between those bounds.

How is the current streak calculated?

We count consecutive green or consecutive red days using the same thresholds. If the most recent session is flat, we skip trailing flat days and measure from the last non-flat close.

What does “vs S&P 500” mean?

On sessions where the S&P 500 (^GSPC) was green, we report how often this stock was also green. Shown only for USD equities when benchmark data exists and the symbol is not the index itself.

Where does the archetype come from?

Sample standard deviation of daily returns: low → Steady, high → Explosive, otherwise Balanced. Labels describe typical daily volatility, not quality of the investment.