Your Best Stock

KKR & Co KKR

US equityMarket cap rank #191Asset Management
$95.19
−$2.02 (-2.08%)
Market open · Sep 24, 1:10 pm ET
After hours $97.21 0.00%
Open$96.71
Prev close$97.21
Day range$93.97 – $97.51
Volume1.64M
Market cap$85.45B
P/E (TTM)30.4
Dividend yield0.79%

Fundamentals

Latest reported quarter: Q2, ended Jun 2026

Revenue$5.66B+13.1% YoY
Operating profit$325.71M-0.5% YoY
Net profit$1.13B-16.7% YoY
Diluted EPS$0.70+40.0% YoY
Free cash flow$3.20B+762.7% YoY
Operating cash flow$3.25B

Revenue, last 8 quarters

$4.7BSep '24$3.2BDec '24$3.1BMar '25$5.0BJun '25$5.5BSep '25$5.7BDec '25$4.3BMar '26$5.7BJun '26

Net profit, last 8 quarters

$1.4BSep '24$1.4BDec '24$684.5MMar '25$1.4BJun '25$1.8BSep '25$2.3BDec '25$277.5MMar '26$1.1BJun '26

Diluted EPS by quarter

0.64Sep '241.18Dec '24-0.22Mar '250.50Jun '250.90Sep '251.16Dec '250.38Mar '260.70Jun '26

Free cash flow by quarter

$1.8BSep '24$-164.8MDec '24$2.5BMar '25$371.4MJun '25$2.4BSep '25$-4.9BDec '25$1.7BMar '26$3.2BJun '26

Annual revenue

$4.2BFY20$16.1BFY21$5.6BFY22$14.3BFY23$21.6BFY24$19.2BFY25

Profitability & balance sheet

Gross margin22.5%
Operating margin7.8%
Net margin14.1%
Return on equity11.0%
Return on assets0.7%
Return on invested capital3.7%
Current ratio3.80
Liabilities / assets80.6%
Cash & investments$134.95B
Total debt$54.96B
Net cash (debt)$79.99B
Free cash flow / sales11.1%

Where the revenue comes from

Quarter 2026/Q2

By business line

  • Insurance$3.39B 54.4%
  • Asset Management$2.84B 45.6%

Income statement

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Total Revenue as Reported $5.73B $4.32B $19.46B $5.74B $5.53B
Total Operating Revenue $5.66B $4.25B $19.21B $5.69B $5.46B
Cost of Revenue $4.59B $3.07B $15.75B $4.54B $4.12B
Gross Profit $1.07B $1.18B $3.46B $1.14B $1.35B
Operating Expense $743.22M $721.62M $2.97B $784.05M $834.90M
Selling and Admin Expenses $489.71M $419.57M $2.97B $784.05M $834.90M
-General & Admin Expense $489.71M $419.57M $2.97B $784.05M $834.90M
Other Operating Expenses $253.52M $302.06M
Operating Profit $325.71M $456.47M $490.20M $356.90M $512.72M
Net Non-Operating Interest Income (Expense) -$44.59M -$10.48M $109.96M $4.77M $11.73M
Non-Operating Interest Income $732.79M $741.59M $3.18B $779.42M $806.71M
Non-Operating Interest Expense $777.38M $752.07M $3.07B $774.65M $794.98M
Other Income (Expense) $1.09B $16.90M $6.50B $2.24B $1.68B
Gain on Sale of Security $1.09B -$496.49M $5.97B $2.88B $1.23B
Other Non-Operating Income (Expenses) $4.23M $513.38M $533.78M $158.84M $220.06M
Pretax Profit $1.37B $462.89M $7.10B $2.60B $2.20B
Tax $246.11M $185.39M $953.75M $333.14M $359.74M
Net Profit $1.13B $277.51M $6.15B $2.27B $1.84B
Profit from Continuing Operations $1.13B $277.51M $6.15B $2.27B $1.84B
Minority Interests $427.40M -$127.72M $3.77B $1.12B $939.47M
Net Income to Parent Company $700.48M $405.23M $2.37B $1.15B $900.36M
Preferred Stock Dividends $40.43M $40.43M $132.07M $40.43M $40.43M
Net Income to Common Stockholders $660.05M $364.80M $2.24B $1.11B $859.93M
Basic EPS $0.74 $0.41 $2.51 $1.24 $0.97
Diluted EPS $0.70 $0.38 $2.34 $1.16 $0.90
Dividend Per Share $0.20 $0.19 $0.73 $0.19 $0.19
Earnings from Equity Interest $221.47M

Balance sheet

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Total Assets $414.46B $412.08B $410.14B $410.14B $398.48B
Total Current Assets $242.95B $244.38B $243.38B $243.38B $241.26B
Cash and Cash Equivalents & Short-Term Investments $134.95B $131.66B $132.71B $132.71B $134.09B
-Cash and Cash Equivalents $21.08B $19.20B $16.89B $16.89B $22.68B
-Short Term Investments $113.87B $112.46B $115.82B $115.82B $111.41B
Receivables $107.66B $112.27B $110.06B $110.06B $106.60B
-Accounts Receivable $476.80M $469.52M $487.53M $487.53M $591.64M
-Loans Receivable $48.75B $52.78B $53.64B $53.64B $52.41B
-Accrued Interest Receivable $289.63M $300.84M $311.29M $311.29M $267.37M
-Due from Related Parties Current $2.73B $2.70B $2.31B $2.31B $2.08B
-Other Receivables $55.41B $56.02B $53.31B $53.31B $51.26B
Prepaid Assets $219.18M $173.00M $349.09M $349.09M $365.41M
Restricted Cash $122.14M $285.39M $259.64M $259.64M $204.63M
Total Non-Current Assets $171.52B $167.70B $166.76B $166.76B $157.22B
Net PPE $1.91B $1.83B $1.84B $1.84B $1.85B
-Gross PPE $2.33B $2.24B $2.22B $2.22B $1.88B
-Accumulated Depreciation -$427.90M -$402.60M -$383.10M -$383.10M -$36.90M
Investments and Advances $151.90B $148.82B $148.17B $148.17B $138.92B
-Available for Sale Securities $54.14B $53.76B $41.13B
-Long Term Equity Investment $12.32B $11.91B $20.49B
Financial Assets $666.72M $756.87M $495.85M $495.85M $446.42M
Goodwill and Other Intangible Assets $9.52B $8.98B $8.78B $8.78B $8.73B
-Goodwill $1.34B $1.19B $1.03B $1.03B $1.05B
-Other Intangible Assets $8.18B $7.79B $7.75B $7.75B $7.67B
Non-Current Deferred Assets $2.96B $3.07B $2.90B $2.90B $2.68B
Other Non-Current Assets $4.56B $4.25B $4.57B $4.57B $4.60B
Total Liabilities $334.01B $331.28B $328.51B $328.51B $323.08B
Total Current Liabilities $63.85B $62.38B $58.25B $58.25B $57.39B
Payables $8.49B $7.42B $7.22B $7.22B $6.97B
-Accounts Payable $7.84B $6.77B $6.56B $6.56B $6.41B
-Total Tax Payable $256.06M $230.14M $225.52M $225.52M $144.67M
-Due to Related Parties Current $387.95M $415.26M $442.36M $442.36M $424.37M
Current Accrued Expenses $55.36B $54.96B $51.03B $51.03B $50.41B
Total Non-Current Liabilities $270.16B $268.90B $270.26B $270.26B $265.69B
Long Term Debt and Capital Lease Obligation $54.96B $54.63B $54.54B $54.54B $54.45B
-Long Term Debt $53.98B $53.70B $53.60B $53.60B $53.50B
-Long Term Capital Lease Obligation $981.96M $931.04M $935.48M $935.48M $945.00M
Derivative Product Liabilities $1.20B $1.15B $1.47B $1.47B $1.61B
Non-Current Deferred Liabilities $2.91B $3.06B $3.06B $3.06B $2.95B
Employee Benefits $143.49M $205.50M $122.57M $122.57M $370.81M
Other Non-Current Liabilities $210.94B $209.85B $211.07B $211.07B $206.30B
Total Equity $80.45B $80.81B $81.63B $81.63B $75.40B
Stockholders' Equity $31.05B $30.50B $30.90B $30.90B $29.75B
Capital Stock $2.55B $2.55B $2.55B $2.55B $2.55B
-Common Stock $8.98M $8.89M $8.91M $8.91M $8.91M
-Preferred Stock $2.54B $2.54B $2.54B $2.54B $2.54B
Additional Paid-In Capital $18.80B $18.98B $19.04B $19.04B $18.88B
Retained Earnings $14.57B $14.08B $13.88B $13.88B $12.94B
Gains/Losses Not Affecting Retained Earnings -$4.88B -$5.12B -$4.58B -$4.58B -$4.62B
Minority Interests $49.40B $50.31B $50.73B $50.73B $45.65B

Cash flow

Line item 2026 Q2 2026 Q1 2025 ANNUAL 2025 Q4 2025 Q3
Operating Cash Flow $3.25B $1.75B $477.76M -$4.90B $2.39B
Net cash flow from continuing operations $3.25B $1.75B $477.76M -$4.90B $2.39B
Net Income from Continuing Operations $1.13B $277.51M $6.15B $2.27B $1.84B
Gain/Loss from Continuing Operations $16.11M -$35.06M $4.73B $1.50B -$699.72M
Other Non-Cash Items $1.39B $789.09M -$7.71B -$6.92B $19.37M
Change in Working Capital $327.75M $183.58M $2.85B $745.57M $1.21B
-Change in Receivables $81.06M $77.12M $408.54M -$159.59M $230.48M
-Change in Payables and Accrued Expense $834.56M $8.03M $2.04B -$38.01M $447.22M
-Change in Other Current Assets -$522.17M $467.26M -$729.73M -$90.34M -$8.06M
-Change in Other Current Liabilities $238.69M $252.96M $1.78B $932.85M $761.28M
-Change In Other Working Capital -$304.39M -$621.79M -$652.39M $100.66M -$217.62M
Net cash flow from investing $634.87M $2.35B -$16.28B -$4.24B -$7.01B
Net Cash Flow from Continuing Investing Activities $634.87M $2.35B -$16.28B -$4.38B -$6.86B
Net PPE Purchase and Sale -$48.57M -$27.42M -$160.77M -$33.84M -$38.72M
Net Business Purchase and Sale -$138.72M -$37.92M -$146.27M
Net Investment Purchase and Sale $805.86M $2.40B -$15.97B -$4.19B -$6.82B
Net Other Investing Changes $16.30M $10.48M $9,000.00 $129.10M -$144.63M
Financing Cash Flow -$2.19B -$1.69B $17.43B $3.41B $9.43B
Net Cash Flow from Continuing Financing Activities -$2.19B -$1.69B $17.43B $3.41B $9.43B
Net Issuance Payments Of Debt $678.07M $655.44M $1.95B -$201.18M $2.10B
Net Common Stock Issuance -$41.98M -$191.24M -$3.36M $0.00 $0.00
Net Preferred Stock Issuance $0.00 $0.00 $2.54B $0.00 $0.00
Cash Dividends Paid -$215.54M -$205.24M -$768.54M -$205.31M -$205.25M
Proceeds from Stock Option Exercised -$117.28M -$64,000.00 -$126.28M -$18.30M -$1.21M
Net Other Financing Charges -$2.49B -$1.95B $13.84B $3.84B $7.53B
Ending Cash Balance $21.20B $19.49B $17.15B $17.15B $22.89B
Net Change in Cash $1.70B $2.40B $1.63B -$5.73B $4.81B
Beginning Cash Balance $19.49B $17.15B $15.37B $22.89B $18.06B
Effect of Exchange Rate Changes $15.70M -$68.32M $155.57M -$6.74M $19.09M
Free Cash Flow $3.20B $1.72B $317.00M -$4.93B $2.35B
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