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EQUITY - Additional Information (Details)
$ / shares in Units, $ in Thousands
3 Months Ended 6 Months Ended
Mar. 16, 2022
Jun. 30, 2023
USD ($)
$ / shares
shares
Jun. 30, 2022
USD ($)
$ / shares
shares
Jun. 30, 2023
USD ($)
subsidiary
$ / shares
shares
Jun. 30, 2022
USD ($)
$ / shares
shares
Dec. 31, 2022
USD ($)
shares
Mar. 15, 2022
shares
Mar. 14, 2022
shares
Dec. 31, 2021
USD ($)
Equity   $ 18,892,000 $ 14,039,000 [1] $ 18,892,000 $ 14,039,000 [1] $ 18,429,000     $ 13,000,000
Decrease through other distributions to owners, equity [2]       1,290,000 1,474,000        
Net (loss) income attributable to limited partnership unitholders   $ (16,000) 47,000 $ 9,000 55,000        
Exchangeable shares received for every two LP Units held (in shares) | shares             1    
Exchange ratio, exchangeable shares | shares             2    
Exchange ratio (in shares) | shares       1          
Unit issuance       $ 1,475,000          
Partnership commitment agreement, maximum amount       $ 1,500,000          
Fixed preferential cumulative distribution percentage   6.00%   6.00%          
Associates | Holding LP                  
Number of shares issued (in shares) | shares             73,000,000    
Entities with joint control or significant influence                  
Dividends recognised as distributions to owners     0   0        
Incentive distribution rights based on percent increase in unit price       20.00%          
Dividends recognised as distributions to owners, volume weighted average share price threshold | $ / shares   $ 18.08   $ 31.53          
Non-controlling interest - Redemption-Exchange Units held by Brookfield Asset Management Inc.                  
Dividends recognised as distributions to owners   $ 13,000 $ 14,000 $ 27,000 $ 23,000        
Dividends recognised as distributions to owners per share (in dollars per share) | $ / shares   $ 0.0625 $ 0.0625 $ 0.0625 $ 0.0625        
Limited partners                  
Equity   $ 1,456,000 $ 1,417,000 [1] $ 1,456,000 $ 1,417,000 [1] $ 1,408,000     2,252,000
Decrease through other distributions to owners, equity [2]       $ 10,000 $ 9,000        
Weighted average number of ordinary shares outstanding (in shares) | shares   74,600,000 75,300,000 74,600,000 76,000,000        
Units repurchased and canceled (in shares) | shares       0 2,525,490        
Number of shares issued (in shares) | shares   74,613,125   74,613,125   74,612,503      
Brookfield Asset Management Inc.                  
Proportion of ownership interest in subsidiary       65.40%          
Number of shares issued (in shares) | shares   4   4   4      
Brookfield Asset Management Inc. | Preference shares                  
Unit issuance       $ 15,000          
Number of partnership's subsidiaries (in subsidiaries) | subsidiary       3          
Cumulative preferencial cash dividend as a percentage of redemption value       5.00%          
Redemption- exchange units                  
Proportion of ownership interest in subsidiary 75.00%                
Number of shares issued (in shares) | shares   72,954,963   72,954,963   72,955,585   35,000,000  
Converted to class C shares (in shares) | shares       (622,000,000)          
Redemption- exchange units | Holding LP                  
Number of shares issued (in shares) | shares               38,000,000  
Equity Attributable To Owners Of Parent Special Limited Partner                  
Number of shares issued (in shares) | shares   4   4   4      
Interest of others in operating subsidiaries                  
Equity   $ 13,162,000 $ 9,893,000 [1] $ 13,162,000 $ 9,893,000 [1] $ 12,835,000     8,722,000
Decrease through other distributions to owners, equity   968,000 869,000 1,219,000 [2] 1,451,000 [2]        
Preferred securities                  
Equity   $ 1,490,000 $ 15,000 [1] 1,490,000 $ 15,000 [1] $ 1,490,000     $ 15,000
Decrease through other distributions to owners, equity [2]       $ 44,000          
[1] As adjusted to reflect the adoption of IFRS 17. See Note 2(b) for further details.
[2] See Note 19 for additional information on distributions and Unit repurchases.