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Ownership

Who owns Brookfield Renewable Corp, from the filings themselves: stakes over 5% (Schedule 13D/G), the institutional managers reporting the stock each quarter (13F), and the funds holding it (N-PORT).

Stakes over 5%

Investors crossing 5% ownership must disclose it. Schedule 13G filers certify the stake is passive; Schedule 13D is the general form for everyone else — founders, strategic holders, and activists alike. Each entry is the holder's most recent disclosure. Coverage begins with SEC's structured filings from December 18, 2024; a holder appears once they file or amend after that date.

BROOKFIELD CORPORATION, BAM PARTNERS TRUST, BROOKFIELD RENEWABLE POWER INC. July 23, 2026

BROOKFIELD CORPORATION: 24.1% · 44,813,835 shares — BAM PARTNERS TRUST: 24.1% · 44,813,835 shares — BROOKFIELD RENEWABLE POWER INC.: 3.7% · 5,758,183 shares

Clearbridge Investments, LLC, ClearBridge Investments Ltd, ClearBridge Investments (North America) Pty Ltd February 12, 2026

Clearbridge Investments, LLC: 0.2% · 262,083 shares — ClearBridge Investments Ltd: 5.5% · 8,024,184 shares — ClearBridge Investments (North America) Pty Ltd: 0.6% · 925,608 shares

Super investors holding BEPC

Every institutional manager whose latest 13F reports this stock, largest position first. "% of their portfolio" is the weight inside that manager's own book — how much conviction the position represents; "% of company" is how much of Brookfield Renewable Corp they hold. Together these 512 managers report 70.59% of shares outstanding.

Investor Position value Shares % of their portfolio % of company As of
Clearbridge Investments, LLC $384M 10,341,055 0.32% 6.00% June 30, 2026
Brookfield Corp /ON/ $375M 10,094,152 0.49% 5.86% June 30, 2026

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Funds holding BEPC

Funds disclosing this stock in their monthly N-PORT portfolio, with the position's share of the fund's net assets. Together these 257 funds hold 12.22% of shares outstanding — counted inside the manager totals above, not on top of them, since a fund's shares also appear in its manager's 13F.

Fund Position value % of net assets % of company As of
Parnassus Value Equity Fund $121M 2.63% 1.77% March 31, 2026
Parnassus Mid Cap Fund $78.2M 3.43% 1.14% March 31, 2026

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