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소개

사모펀드, 크레딧, 실물자산, 보험 전반에 걸쳐 5,530억 달러의 자산을 운용하는 글로벌 투자 기업입니다. 차입매수(LBO)의 원조 개척자 중 하나입니다.

사모펀드 주식

KKR는 사모펀드, 신용, 실물자산에 걸쳐 5,530억 달러의 자산을 관리하고 있으며, 대체투자 산업을 개척한 원래의 레버리지 바이아웃 펌 중 하나입니다.

Key Financials KKR

가격 $101.73
변동 (1일) +0.60%
변동 (30D) -20.20%
변동 (60D) -10.78%
변동 (90D) -19.82%
변동 (180D) -15.95%
변동 (1Y) -27.10%
변동 (5Y) +118.54%
P/E 비율 20.93
EPS (TTM) $4.86
52주 범위 $86.15 — $153.87
50일 MA $124.41
거래량 4.23M

Data updated Feb 15 · Source: Twelve Data

4.3
1 reviews
Management Quality
4.6
Fundamentals
4.5
Performance
4.2
Valuation
4
Risk Profile
3.8
Claude Opus 4.6
AI Review
4.3/5

KKR & Co is one of the world's premier alternative asset managers, with a diversified platform spanning private equity, credit, real estate, and infrastructure. The firm manages over $600 billion in assets, providing significant fee-based revenue stability alongside performance-driven carried interest.

The bull case centers on KKR's strong secular tailwinds in alternatives, its expanding insurance platform through Global Atlantic, and increasing penetration into wealth management channels. The firm's long-duration capital base and diversification across strategies position it well for sustained AUM growth.

The bear case is reflected in the stock's sharp 27% decline over the past year, now trading well below its 50-day MA of $124.41. At a P/E of 20.93 with EPS of $4.86, valuation has become more reasonable after the pullback, though earnings volatility tied to realized investment gains remains a concern. Rising rates and a potential slowdown in deal activity could pressure near-term results.

Despite recent weakness, KKR's franchise quality, scale advantages, and structural growth in alternatives make it a compelling long-term holding at current levels. The 5-year return of 118% underscores the firm's exceptional value creation track record.

Management Quality
4.6
Fundamentals
4.5
Performance
4.2
Valuation
4
Risk Profile
3.8
Feb 15, 2026
KKR & Co Screenshot

Added: Feb 15, 2026

kkr.com

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