KKR & Co (KKR) Stock Price

KKR & Co Price

NYSE·CLOSED
89.67
​
Market closed

Over the last 18 years KKR & Co grew revenue by 11.2% annually, reaching 19.26 B USD. Earnings per share have declined at 2.5% per year over the last 18 years. For KKR & Co, the net margin of 12.3% is down versus 29.4% a few years ago. At today's price the dividend yield works out to roughly 0.81%. The payout ratio is around 29% of earnings. The dividend has grown at 8.0% per year over the past 15 years. The consensus 12-month price target for KKR & Co is 126.00 USD, about 40.5% above where the stock trades today. Of 27 analysts, 23 rate the stock a buy — an overall Buy consensus.

KKR & Co stock price

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KKR & Co business model & stock analysis

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.

Frequently asked questions about KKR & Co

The main competitors of KKR & Co Inc in the market include various global investment firms such as Blackstone Group, The Carlyle Group, and Apollo Global Management. These companies also operate in the private equity industry and engage in similar activities like mergers and acquisitions, leveraged buyouts, and asset management. The presence of these strong competitors in the market creates a competitive landscape for KKR & Co Inc, driving them to continuously innovate and differentiate their offerings to attract investors and optimize returns.

KKR & Co Inc, commonly known as KKR, operates as an investment firm with a unique business model. As a global alternative asset manager, KKR mainly focuses on private equity, credit, and real estate investments. The company actively engages in various investment strategies, including leveraged capital markets, distressed assets, infrastructure development, and growth equity. KKR aims to generate attractive risk-adjusted returns for its investors through active asset management, value creation, and capital allocation expertise. With a wide portfolio of companies across industries and geographies, KKR utilizes its industry insights and operational expertise to drive long-term value for its investors and portfolio companies.

KKR & Co Inc is primarily active in the financial industry.

KKR & Co Inc, also known as Kohlberg Kravis Roberts & Co, is a renowned global investment firm with a rich history and background. Founded in 1976, the company has become one of the world's leading alternative asset management firms. With its headquarters in New York City, KKR has a diverse portfolio spanning various sectors, including private equity, energy, infrastructure, real estate, and credit. Over the years, KKR has established a strong reputation for its successful investments and value creation strategies. With a global presence and a proven track record, KKR & Co Inc continues to play a significant role in shaping the financial landscape and delivering results for its investors.

KKR & Co Inc, a renowned investment firm, has achieved remarkable milestones throughout its history. The company stands out for pioneering the leveraged buyout transaction, revolutionizing the private equity industry. Additionally, KKR & Co Inc has successfully executed numerous transformative acquisitions across various sectors, enhancing its global presence. As a leader in alternative investments, KKR & Co Inc has consistently demonstrated its expertise by delivering favorable returns to its investors. The company's innovative strategies and collaborative approach have propelled it to become a respected name in the financial industry, cementing its position as an influential player in the market.

KKR & Co Inc has a global presence, operating primarily in countries like the United States, Australia, Canada, Europe, and Asia. As a leading investment firm, KKR & Co Inc engages in various sectors and industries worldwide, offering services such as private equity, infrastructure investments, and credit investments. With its wide-ranging geographical reach, KKR & Co Inc has established a strong foothold in major financial markets across different continents.

KKR & Co Inc represents a set of core values and corporate philosophy that define its operations. The company is committed to delivering strong investment performance and generating long-term value for its investors. KKR believes in fostering a culture of partnership, integrity, excellence, and collaboration. By leveraging its deep industry expertise and global network, KKR aims to identify attractive investment opportunities that align with its values and contribute to sustainable growth. The company's dedication to responsible investment practices and ESG considerations further highlight its commitment to making a positive impact. KKR & Co Inc's strategic approach and focus on value creation make it a trusted and reliable partner in the world of finance.

Analysts currently set an average price target of 127.11 USD for the KKR & Co stock (median: 126.00 USD), implying +41.8 % versus the latest price. The consensus is based on 27 analyst ratings.

27 analysts currently rate the KKR & Co stock: 23 recommend buying, 4 holding and 0 selling. For 2026, analysts expect KKR & Co to generate revenue of 11.37 B USD and earnings per share of 5.90 USD.

Converted at the current exchange rate, the KKR & Co share trades at 80.01 EUR (89.67 USD).

The KKR & Co share (KKR) is listed on 6 stock exchanges, including: NYSE (KKR), London (0Z1W.L), Frankfurt (KR51.F), München (KR51.MU), Düsseldorf (KR51.DU).

KKR & Co Inc is one of the leading global investment companies specializing in private equity, infrastructure investments, alternative investments, credit strategies, and strategic partnerships. The company was founded in 1976 in New York City by Jerome Kohlberg, Henry Kravis, and George Roberts and is headquartered there today. Private equity is KKR's core business. The company invests in high-growth potential companies and supports them in implementing long-term strategies. KKR has a strong track record of identifying attractive investment opportunities and creating value through operational improvements and strategic M&A transactions. The company prides itself on providing its investors with above-average returns. Infrastructure investments are another important division of KKR. The company invests in infrastructure strategies, particularly in the energy, transportation, water and waste management sectors, as well as energy efficiency and renewable energy. KKR has a deep understanding of the complex regulatory and operational requirements in this sector and uses this to successfully identify investment opportunities and increase value for its investors. Alternative investments encompass a wide range of asset classes, including hedge funds, commodities, real estate, and currencies. KKR is a leader in developing innovative investment strategies and offers its clients a global perspective on alternative investments. The company leverages its extensive knowledge of global markets to achieve attractive returns for its clients. Credit strategies are another important division of KKR. The company provides investment solutions in the credit area, including direct lending, structured loans, and distressed debt. KKR has a broad network of partners and contacts in this sector, enabling it to find attractive investment opportunities and increase value for its investors. KKR & Co Inc also offers strategic partnerships. The company works closely with its clients to develop customized investment solutions that focus on the specific needs and goals of each client. KKR has a highly flexible business structure that allows it to address individual requirements and needs of clients and create tailored investment solutions. Additionally, KKR also offers products such as borrowing and bond issuance. The company leverages its strong market position to efficiently and cost-effectively raise capital for itself and its clients. KKR is capable of meeting complex financing needs, including structured financing and syndicated loans. Overall, KKR & Co Inc is a leading global investment company specializing in private equity, infrastructure investments, alternative investments, credit strategies, and strategic partnerships. The company has a strong track record of identifying attractive investment opportunities and creating value through operational improvements and strategic M&A transactions. KKR has a broad network of partners and contacts that enable it to find attractive investment opportunities and increase value for its investors. With its innovative investment strategies, extensive experience, and strong network, KKR can offer attractive returns to its clients worldwide.

The expected revenue of KKR & Co is 11.37 B USD. This figure is based on current financial data and reflects the company's business performance.

The expected profit of KKR & Co is 5.64 B USD. The net profit reflects the company's profitability after deducting all expenses.

The price-to-earnings ratio (P/E) of KKR & Co is currently 15.19. The P/E ratio compares the current share price to the earnings per share and helps investors assess the valuation of the KKR & Co stock.

The price-to-sales ratio (P/S) of KKR & Co is currently 7.54. The P/S ratio compares the market capitalization to the annual revenue and serves as a valuation metric for the KKR & Co stock.

The Eulerpool Quality Score for KKR & Co is 5/10.

The ISIN of KKR & Co is US48251W1045. The ISIN (International Securities Identification Number) is a globally unique identifier for securities.

The WKN of KKR & Co is A2LQV6. The WKN (Wertpapierkennnummer) is a six-digit German security identification number.

The ticker of KKR & Co is KKR. The ticker symbol is used to trade KKR & Co shares on the stock exchange.

Fair ValueTerminal
78.91 USD
Over-/UndervaluationTerminal
Fairly valued
Sector
Industry
Capital Markets
Number of shares
Employees
Revenue per Employee
3.82 M USD
Revenue growth Ø5 years
EBIT growth Ø5 years
Net Income growth Ø5 years
Website kkr.com
Currency
USD
Initial public offering
Jul 15, 2010
ISIN
US48251W1045
Cusip
48251W104
Sedol
BG1FRR1
Market capitalization
79.93 B USDLarge Cap
52-Week Range
PEG
3.20
P/E ratio
P/Ee 2026
14.17
P/Ee 2027
12.32
P/Ee 2028
10.75
P/Ee 2029
9.23
P/S
P/Se
7.54
EV/EBIT
289.53
P/B Ratio
2.59
ROE (Return on Equity)
ROA (Return on Assets)
ROCE (Return on Capital Employed)
ROIC (Return on Invested Capital)
2.80 %
Dividend
Dividend yield
0.81 %
Est. Dividend Yield
0.85 %
Payout Ratio
29.43 %
Dividend growth Ø5Y
5.07 %
Dividend payments per year
4
Dividend paid since
16 years
Dividend not reduced since
6 years
Dividend increased since
6 years
Dividend withholding tax
30.00 %
Last updated Oct 9, 2026, 5:44 AM
KKR & Co Presentations

KKR & Co Ticker

DÜSSELDORF · KR51.DUFRANKFURT · KR51.FLONDON · 0Z1W.LLONDON STOCK EXCHANGE · 0Z1W.LMUNICH · KR51.MUNEW YORK · KKR

KKR & Co FIGI

KKR:US · BBG000BCQ6J8KKR:UA · BBG000BCQ724KKR:UC · BBG000BCQ7T5KKR:UN · BBG000BCQ895KKR:UP · BBG000BCQ8N9KKR:UB · BBG000BCQ993KKR:UT · BBG000BCQB16KKR:UM · BBG000BCQBM3KKR:UX · BBG000BCQBT6KKR:UD · BBG000BCQDS3KKR:UF · BBG000BCQHD0KKR:VY · BBG000BCQJ00