NYSE - Delayed Quote USD

KKR & Co. Inc. (KKR)

142.55
-4.03
(-2.75%)
At close: August 1 at 4:00:02 PM EDT
142.55
0.00
(0.00%)
After hours: August 1 at 7:59:06 PM EDT
Loading Chart for KKR
  • Previous Close 146.58
  • Open 143.05
  • Bid 140.00 x 100
  • Ask 142.79 x 100
  • Day's Range 138.73 - 142.87
  • 52 Week Range 86.15 - 170.40
  • Volume 5,049,285
  • Avg. Volume 3,747,972
  • Market Cap (intraday) 131.931B
  • Beta (5Y Monthly) 1.88
  • PE Ratio (TTM) 67.24
  • EPS (TTM) 2.12
  • Earnings Date Oct 23, 2025
  • Forward Dividend & Yield 0.74 (0.52%)
  • Ex-Dividend Date Jun 18, 2025
  • 1y Target Est 161.41

KKR & Co. Inc. is a private equity and real estate investment firm specializing in direct and fund of fund investments. It specializes in acquisitions, leveraged buyouts, management buyouts, credit special situations, growth equity, mature, mezzanine, distressed, turnaround, lower middle market, and middle market investments. The firm considers investments in all industries with a focus on software, fintech, data and information, security, semiconductors, consumer electronics, internet of things (iot), internet, information services, information technology infrastructure, financial technology, network and cyber security architecture, engineering and operations, content, technology and hardware, energy and infrastructure, real estate, services industry with a focus on business services, intelligence, industry-leading franchises and companies in natural resource, containers and packaging, agriculture, airports, ports, forestry, electric utilities, textiles, apparel and luxury goods, household durables, digital media, insurance, brokerage houses, non-durable goods distribution, supermarket retailing, grocery stores, food, beverage, and tobacco, hospitals, entertainment venues and production companies, publishing, printing services, capital goods, financial services, specialized finance, pipelines, and renewable energy. In energy and infrastructure, it focuses on the upstream oil and gas and equipment, minerals and royalties and services verticals. In real estate, the firm seeks to invest in private and public real estate securities including property-level equity, debt and special situations transactions and businesses with significant real estate holdings, and oil and natural gas properties. The firm also invests in asset services sector that encompasses a broad array of B2B, B2C and B2G services verticals including asset-based, transport, logistics, leisure/hospitality, resource and utility support, infra-like, mission-critical, and environmental services. Within Americas, the firm prefers to invest in consumer products; chemicals, metals and mining; energy and natural resources; financial services; healthcare; biopharmaceutical; medical device; health care services; life science tools/diagnostics; health care information technology sub-sectors; industrials; media and communications; retail; and technology. Within Europe, the firm invests in consumer and retail; energy; financial services; health care; industrials and chemicals; media and digital; and telecom and technologies. Within Asia, it invests in consumer products; energy and resources; financial services; healthcare; industrials; logistics; media and telecom; retail; real estate; and technology. It also seeks to make impact investments focused on identifying and investing behind businesses with positive social or environmental impact. The firm seeks to invest in mid to high-end residential developments but can invest in other projects throughout Mainland China through outright ownership, joint ventures, and merger. It invests globally with a focus on Australia, emerging and developed Asia, Middle East and Africa, Nordic, Southeast Asia, Asia Pacific, Ireland, Hong Kong, Japan, Taiwan, India, Vietnam, Malaysia, Singapore, Indonesia, France, Germany, Netherlands, United Kingdom, Caribbean, Mexico, South America, North America, Israel, Brazil, Latin America, Korea with a focus on South Korea, and United States of America. In the United States and Europe, the firm focuses on buyouts of large, publicly traded companies. For middle market private equity it seeks to invest in companies with enterprise values between $200 million and $1 billion ($1000 million). The firm prefers to invest in a range of debt and public equity investing and may co-invest. It seeks a board seat in its portfolio companies and a controlling ownership of a company or a strategic minority position. The firm may acquire majority and minority equity interests, particularly when making private equity investments in Asia or sponsoring investments as part of a large investor consortium. The firm typically holds its investment for a period of five to seven years and more and exits through initial public offerings, secondary offerings, and sales to strategic buyers. KKR & Co. Inc. was founded in May 1, 1976 and is based in New York, New York with additional offices across North America, Europe, Australia, Middle East and Asia Pacific.

www.kkr.com

4,834

Full Time Employees

December 31

Fiscal Year Ends

Recent News: KKR

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Performance Overview: KKR

Trailing total returns as of 8/1/2025, which may include dividends or other distributions. Benchmark is S&P 500 (^GSPC) .

YTD Return

KKR
3.35%
S&P 500 (^GSPC)
6.06%

1-Year Return

KKR
19.71%
S&P 500 (^GSPC)
14.53%

3-Year Return

KKR
163.48%
S&P 500 (^GSPC)
51.46%

5-Year Return

KKR
323.08%
S&P 500 (^GSPC)
90.70%

Compare To: KKR

Select to analyze similar companies using key performance metrics; select up to 4 stocks.

Statistics: KKR

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Valuation Measures

Annual
As of 8/1/2025
  • Market Cap

    127.00B

  • Enterprise Value

    61.72B

  • Trailing P/E

    67.24

  • Forward P/E

    27.32

  • PEG Ratio (5yr expected)

    0.81

  • Price/Sales (ttm)

    8.49

  • Price/Book (mrq)

    5.10

  • Enterprise Value/Revenue

    3.86

  • Enterprise Value/EBITDA

    7.06

Financial Highlights

Profitability and Income Statement

  • Profit Margin

    9.56%

  • Return on Assets (ttm)

    --

  • Return on Equity (ttm)

    --

  • Revenue (ttm)

    21.45B

  • Net Income Avi to Common (ttm)

    2.01B

  • Diluted EPS (ttm)

    2.12

Balance Sheet and Cash Flow

  • Total Cash (mrq)

    40.34B

  • Total Debt/Equity (mrq)

    74.63%

  • Levered Free Cash Flow (ttm)

    --

Research Analysis: KKR

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Earnings Per Share

Consensus EPS
 

Revenue vs. Earnings

Revenue 1.86B
Earnings 1.06B

Q3

24

Q4

24

Q1

25

Q2

25

0
500M
1B
2B
2B
 

Analyst Recommendations

  • Strong Buy
  • Buy
  • Hold
  • Underperform
  • Sell
 

Analyst Price Targets

135.00
161.41 Average
142.55 Current
187.00 High
 

Research Reports: KKR

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  • Raising target as deployment sets stage for future monetization

    Founded in 1976, KKR & Co. is a leading global investment management firm. KKR manages assets through a variety of investment funds and accounts covering multiple asset classes, mostly private equity. It seeks to create value by bringing operational expertise to its portfolio companies and through the active oversight and monitoring of its investments.

    Rating
    Price Target
     
  • Stocks are mixed at Thursday midday. The Nasdaq is higher, up on strong tech

    Stocks are mixed at Thursday midday. The Nasdaq is higher, up on strong tech earnings after the bell last night. Inflation data came in higher than expected. So, going in wrong direction. The yield on the 10-year Treasury note is 4.33%. Crude oil is at $69 per barrel.

     
  • KKR Earnings: Solid Second-Quarter Results as Markets Ignore Tariff-Driven Uncertainty

    KKR is one of the world's largest alternative asset managers, with $664.3 billion in total managed assets, including $526.0 billion in fee-earning AUM, at the end of March 2025. The company has two core segments: asset management (which includes private markets—private equity, credit, infrastructure, energy, and real estate—and public markets—primarily credit and hedge/investment fund platforms) and insurance (following the firm's initial investment in, and then ultimate purchase of, Global Atlantic Financial Group, which is engaged in retirement/annuity and life insurance lines as well as reinsurance).

    Rating
    Price Target
     
  • Large Cap US Pick List - July 2025

    This pick list highlights constituents of the Morningstar US Large Cap Index that we believe offer investors the best risk-adjusted return prospects. Stocks of large-cap companies where neither growth nor value characteristics predominate. Stocks in the top 70% of the capitalization of the U.S. equity market are defined as large cap.

     

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