KKR

Global investment firm managing alternative assets

New York City, New York, United States

About KKR

KKR & Co. Inc. manages a variety of alternative asset classes, including private equity, credit, and real assets, catering to institutional investors, high-net-worth individuals, and retail investors. The firm focuses on acquiring and managing investments to generate returns, earning revenue through management fees, performance fees, and investment income. KKR's investment strategies aim to create value by actively managing and improving the operations of its portfolio companies. A key aspect of KKR's approach is its thematic top-down strategy, which identifies macroeconomic trends and targets sectors expected to grow. Additionally, KKR prioritizes sustainability and responsible investing by incorporating environmental, social, and governance (ESG) factors into its investment decisions.

New York City, New YorkHeadquarters
1976Year Founded
$34,864.9MTotal Funding
IPOCompany Stage
Venture Capital, Financial ServicesIndustries
1,001-5,000Employees

Benefits

Investing in Training and Development
Driving Diversity for Better Results
Focusing on Wellness and Benefits
Greening Our Operations

Risks

Rising interest rates could impact KKR's leveraged buyouts and debt-financed investments.
Geopolitical tensions may affect KKR's international investments and global strategies.
Increased competition in private equity could challenge KKR's market position.

Differentiation

KKR integrates ESG factors into its investment processes, emphasizing sustainability.
The firm employs a thematic top-down approach, identifying macroeconomic trends for investment.
KKR manages multiple alternative asset classes, including private equity, credit, and real assets.

Upsides

KKR's ESG focus aligns with the rise of sustainable infrastructure investments.
The expansion of private credit markets offers growth opportunities for KKR's credit strategies.
Increased focus on digital transformation presents opportunities to expand KKR's tech portfolio.