KKR & Co - Stock

KKR & Co Liabilities 2024

KKR & Co Liabilities

294.44 B USD

KKR & Co Dividend yield

0.66 %

Ticker

KKR

ISIN

US48251W1045

WKN

A2LQV6

In 2024, KKR & Co's total liabilities amounted to 294.44 B USD, a 14.77% difference from the 256.54 B USD total liabilities in the previous year.

KKR & Co Aktienanalyse

What does KKR & Co do?

KKR & Co Inc is an investment company based in New York City. The company was founded in 1976 by Henry Kravis, George Roberts, and Jerome Kohlberg Jr. These three visionary entrepreneurs were part of the M&A team at Bear Stearns, the Wall Street bank, which they left in the same year to start their own firm. KKR's business model is based on the purchase and takeover of companies using leverage to make them profitable in a short period of time and then sell them. This model was already practiced in the 1980s with the acquisition of various companies, earning KKR the reputation of being one of the most famous buyout firms in the world. The company has since expanded its business with a wider range of investment strategies and services. KKR is divided into various areas, including Private Equity, Infrastructure, Energy, Real Estate, Credit, and Hedge Funds. Each of these areas is aimed at meeting the investment needs of clients with different risk profiles and investment strategies. KKR currently manages assets of over $230 billion and operates offices in North America, Europe, Asia, and the Middle East. In the Private Equity category, the company offers a wide range of services to its clients, ranging from financing mergers and acquisitions to supporting business development. Over the past decades, KKR has acquired many large companies, including Toys'R'Us, RJR Nabisco, Wincor Nixdorf, and many others. Another important aspect of KKR's Private Equity strategy is supporting the management of acquired companies to build industry leaders. In the Infrastructure sector, KKR invests in areas that are essential for the basic needs of daily life, such as energy, transportation, utilities, and telecommunications. KKR's infrastructure funds have invested in numerous projects worldwide in recent years, from airports to power plants and pipelines. KKR has also invested in the renewable energy sector and has already completed some significant transactions in the solar energy field. KKR's investment in Acciona Energia, one of the leading wind power producers in Europe, shows the company's serious commitment to the alternative energy industry. Another important area is real estate. KKR acquires and develops properties in various market segments, including office and retail properties, apartments, and basic infrastructure. KKR's Credit strategy focuses on the purchase and management of debt securities from companies and other entities. The company has specialized teams that focus on specific types of debt securities, such as distressed debt. This strategy offers the opportunity to invest in different phases of the economic cycle and generate returns. Hedge fund strategies like KKR's Absolute Return Forestry Fund and its equity strategy capitalize on market inefficiencies and give the fund manager full freedom to invest in different classes of securities. Overall, KKR has developed a wide range of services in various asset classes tailored to the needs of a variety of clients. Over the years, the company has also offered its clients various products, including IPOs, PIPEs, bonds, and convertible bonds. In addition, KKR also offers services in the area of capital markets, including supporting companies in issuing debt securities and going public. Throughout its history, KKR has achieved an impressive track record in delivering returns to its clients. However, the company is also subject to continuous development. To remain competitive in a rapidly changing world, KKR will continue to adjust its strategy in terms of investments, geography, and market access. Answer: KKR & Co Inc is an investment company based in New York City. It was founded in 1976 by Henry Kravis, George Roberts, and Jerome Kohlberg Jr. The company's business model involves buying and taking over companies using leverage, making them profitable, and then selling them. KKR has expanded its business into various areas, including private equity, infrastructure, energy, real estate, credit, and hedge funds. The company offers a range of services tailored to meet different investment needs. KKR has a global presence and manages assets worth over $230 billion. Its success lies in providing returns for its clients and adapting its strategy to changing markets. KKR & Co ist eines der beliebtesten Unternehmen auf Eulerpool.com.

Liabilities Details

Assessing KKR & Co's Liabilities

KKR & Co's liabilities constitute the company's financial obligations and debts owed to external parties and stakeholders. They are categorized into current liabilities, due within a year, and long-term liabilities, which are due over a longer period. A detailed assessment of these liabilities is crucial for evaluating KKR & Co's financial stability, operational efficiency, and long-term viability.

Year-to-Year Comparison

By comparing KKR & Co's liabilities year-over-year, investors can identify trends, shifts, and anomalies in the company’s financial positioning. A decrease in total liabilities often signals financial strengthening, while an increase might indicate enhanced investments, acquisitions, or potential financial strain.

Impact on Investments

KKR & Co's total liabilities play a significant role in determining the company's leverage and risk profile. Investors and analysts examine this aspect meticulously to ascertain the firm’s ability to meet its financial obligations, which influences investment attractiveness and credit ratings.

Interpreting Liability Fluctuations

Shifts in KKR & Co’s liability structure indicate changes in its financial management and strategy. A reduction in liabilities reflects efficient financial management or debt payoffs, while an increase may suggest expansion, acquisition activities, or accruing operational expenses, each carrying distinct implications for investors.

Frequently Asked Questions about KKR & Co Stock

What is the level of liabilities of KKR & Co this year?

KKR & Co has a debt balance of 294.44 B USD this year.

What were the liabilities of KKR & Co compared to the previous year?

The liabilities of KKR & Co have increased by 14.77% increased compared to the previous year.

What are the consequences of high debt for investors of KKR & Co?

High liabilities can pose a risk for investors of KKR & Co, as they can weaken the company's financial position and impair its ability to meet its obligations.

What consequences do low liabilities have for investors in KKR & Co?

Low liabilities mean that KKR & Co has a strong financial position and is able to meet its obligations without overburdening its finances.

How does an increase in liabilities of KKR & Co affect the company?

An increase in liabilities of KKR & Co can lead to the company having more obligations and potentially find it more difficult to meet its financial commitments.

How does a reduction in the liabilities of KKR & Co affect the company?

A decrease in the liabilities of KKR & Co can lead to the company having fewer obligations and a stronger financial position, which can make it easier for the company to fulfill its financial commitments.

What are some factors that influence the liabilities of KKR & Co?

Some factors that can influence the liabilities of KKR & Co include investments, acquisitions, operating costs, and sales development.

Why is the level of liabilities of KKR & Co so important for investors?

The liabilities of KKR & Co are important for investors as they serve as an indicator of the company's financial stability and provide investors with information on how the company meets its financial obligations.

What strategic measures can KKR & Co take to modify the liabilities?

To change its liabilities, KKR & Co can take measures such as cost savings, increasing revenue, selling assets, raising investments, or forming partnerships. It is important for the company to conduct a thorough review of its financial situation to choose the best strategic actions.

How much dividend does KKR & Co pay?

Over the past 12 months, KKR & Co paid a dividend of 0.65 USD . This corresponds to a dividend yield of about 0.66 %. For the coming 12 months, KKR & Co is expected to pay a dividend of 0.62 USD.

What is the dividend yield of KKR & Co?

The current dividend yield of KKR & Co is 0.66 %.

When does KKR & Co pay dividends?

KKR & Co pays a quarterly dividend. This is distributed in the months of September, December, March, June.

How secure is the dividend of KKR & Co?

KKR & Co paid dividends every year for the past 17 years.

What is the dividend of KKR & Co?

For the upcoming 12 months, dividends amounting to 0.62 USD are expected. This corresponds to a dividend yield of 0.63 %.

In which sector is KKR & Co located?

KKR & Co is assigned to the 'Finance' sector.

Wann musste ich die Aktien von KKR & Co kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of KKR & Co from 5/28/2024 amounting to 0.175 USD, you needed to have the stock in your portfolio before the ex-date on 5/10/2024.

When did KKR & Co pay the last dividend?

The last dividend was paid out on 5/28/2024.

What was the dividend of KKR & Co in the year 2023?

In the year 2023, KKR & Co distributed 0.61 USD as dividends.

In which currency does KKR & Co pay out the dividend?

The dividends of KKR & Co are distributed in USD.

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Andere Kennzahlen von KKR & Co

Our stock analysis for KKR & Co Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of KKR & Co Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.