Companies

KKR & Co. Inc.

KKR, KKR-PD, KKRS, KKRT · CIK 0001404912 · operating

$90.61+3.34%Last updated Mar 2, 10:07 PM

Key Statistics

Valuation

Market Cap$83.91B
P/E38.72
Fwd P/E11.41
PEG
P/S3.27
P/B2.85
EV/EBITDA
EV/Rev5.75

Profitability

Gross Margin
Op. Margin
Net Margin12.18%
ROE7.67%
ROA0.58%
FCF Margin2.45%

Financial Health

Current Ratio
Debt/Equity10.63
Free Cash Flow$477.76M
Div. Yield0.82%

Growth & Other

Revenue Growth-11.04%
EPS Growth
Beta2.01
52W High$153.87
52W Low$84.52

About KKR & Co. Inc.

KKR operates as a global alternative asset manager focused primarily on private equity and real estate investments. The firm executes direct investments and fund-of-funds strategies across leveraged buyouts, growth equity, credit, distressed situations, and real estate transactions. Its investment approach spans multiple middle market and large-cap sectors including technology, financial services, energy and infrastructure, healthcare, consumer goods, industrials, and business services. The firm also pursues impact investments targeting businesses with measurable social or environmental outcomes.

The company maintains a diversified geographic footprint across North America, Europe, Asia Pacific, and emerging markets including the Middle East and Africa. Within the United States and Europe, KKR focuses on buyouts of large publicly traded companies, while its middle market private equity operations target companies with enterprise values between $200 million and $5 billion. The firm typically structures investments as majority or minority equity stakes, seeks board representation in portfolio companies, and maintains a holding period of five to seven years or longer before exiting through initial public offerings, secondary offerings, or sales to strategic buyers.

Founded in 1976, KKR maintains headquarters in New York with offices distributed across multiple continents. The firm manages assets across numerous investment vehicles and participates in co-investment arrangements alongside institutional capital partners. Its investment committee evaluates opportunities across numerous industry verticals, with particular emphasis on digital infrastructure, software, semiconductors, healthcare services, and energy transition businesses.

Earnings Per Share (Annual · SEC XBRL)

Fiscal years are as reported by the company and may not align with the calendar year. For example, Apple's FY 2024 ends in September 2024.

Fiscal YearEPS DilutedEPS BasicYoY
2025
2024
2023
2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
2012
2011

Annual Reports (10-K) · 12 filings

Report DateFiledAccession Number
2025-12-312026-02-270001404912-26-000007SEC ↗
2024-12-312025-02-280001404912-25-000015SEC ↗
2023-12-312024-02-290001404912-24-000005SEC ↗
2022-12-312023-02-270001404912-23-000005SEC ↗
2021-12-312022-02-280001404912-22-000004SEC ↗
2020-12-312021-02-190001404912-21-000008SEC ↗
2019-12-312020-02-180001404912-20-000006SEC ↗
2018-12-312019-02-150001404912-19-000006SEC ↗
2017-12-312018-02-230001404912-18-000005SEC ↗
2016-12-312017-02-240001404912-17-000005SEC ↗
2015-12-312016-02-260001404912-16-000009SEC ↗
2014-12-312015-02-270001047469-15-001418SEC ↗