
Kkr & (KKR) Stock
Major global investment manager for private equity and credit. Here's the price, business snapshot, and what's worth knowing about Kkr & in May 2026.
KKR & Co. L.P. (KKR) is a global alternative asset manager specialising in private equity, credit, real assets and hedge fund strategies. The firm raises capital from institutional and retail channels, manages assets on behalf of clients and generates revenue from management fees, performance fees (carried interest) and realised investment gains. With a market capitalisation around $110.2 billion, KKR combines long-term illiquid investments with more fee-stable businesses such as credit and permanent capital vehicles. Investors should note the firm's cyclicality: earnings can swing with fundraising cycles, exit timing and public markets, and valuations often include significant unrealised gains. KKR uses leverage in many investments and faces regulatory, market and liquidity risks. This summary is educational only and not personalised advice; prospective investors should consider their risk tolerance, horizon and seek professional advice before investing.
Why It's Moving

KKRβs bullish setup is being driven by strong fundraising, steady analyst support, and confidence in its diversified growth engine.
- KKR raised a record $129 billion in 2025, signaling that its fundraising platform is still winning capital and expanding future fee-generating assets.
- Analyst sentiment remains broadly positive, with most covering firms rating the stock a buy or strong buy, reflecting expectations that KKR can keep compounding through multiple market cycles.
- The market is watching KKRβs diversified mix of private equity, credit, and infrastructure, which helps soften volatility and supports the view that earnings can keep scaling even in a choppier backdrop.

KKRβs bullish setup is being driven by strong fundraising, steady analyst support, and confidence in its diversified growth engine.
- KKR raised a record $129 billion in 2025, signaling that its fundraising platform is still winning capital and expanding future fee-generating assets.
- Analyst sentiment remains broadly positive, with most covering firms rating the stock a buy or strong buy, reflecting expectations that KKR can keep compounding through multiple market cycles.
- The market is watching KKRβs diversified mix of private equity, credit, and infrastructure, which helps soften volatility and supports the view that earnings can keep scaling even in a choppier backdrop.
When is the next earnings date for KKR & CO INC (KKR)?
KKRβs next earnings date is not yet confirmed by the company, but based on the current reporting pattern it is typically expected around late July 2026, with the most likely window July 29β31, 2026. The report should cover Q2 2026. This is the next scheduled release after KKR reported Q1 2026 results on May 5, 2026.
Stock Performance Snapshot
Analyst Rating
Analysts recommend buying KKR's stock with a target price of $159.56, indicating significant growth potential.
Financial Health
KKR is experiencing strong revenue and cash generation, indicating solid financial performance and stability.
Dividend
KKR's low dividend yield of 0.77% means it may not provide significant income for investors. If you invested $1000 you would be paid $7.50 a year in dividends (based on the last 12 months).
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Explore BasketWhy Youβll Want to Watch This Stock
Private equity at core
Private equity drives KKRβs long-term returns through buyouts and active ownership, though timing of exits affects reported results and can create volatility.
Diversified fee streams
KKR combines management fees, carried interest and balance-sheet income across strategies and regions, which can smooth revenue but depends on fundraising success.
Cyclicality and leverage
Performance is sensitive to economic cycles and leverage levels in portfolio companies; investors should expect periods of higher volatility and valuation uncertainty.
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