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KKR KKR & Co

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  • 109.285
  • +1.115+1.03%
Trading Mar 11 10:56 ET
97.07BMarket Cap33.32P/E (TTM)

KKR & Co Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
545.16%6.65B
-110.09%-111.66M
-4.81%1.88B
227.23%3.36B
179.02%1.53B
71.70%-1.49B
270.98%1.11B
232.73%1.97B
35.05%-2.64B
-310.83%-1.93B
Net income from continuing operations
-8.42%4.91B
-12.90%1.38B
-39.77%1.43B
-11.80%993.24M
321.22%1.09B
1,382.78%5.36B
8,018.51%1.59B
1,813.19%2.38B
162.07%1.13B
-79.26%259.69M
Operating gains losses
-14.25%1.75B
-120.72%-272.27M
563.30%1.05B
-23.40%1.11B
71.01%-144.17M
159.04%2.04B
90.50%1.31B
63.84%-227.52M
169.93%1.45B
-362.56%-497.37M
Other non cash items
101.20%100.76M
54.33%-405.59M
449.00%539.11M
109.78%377.41M
88.37%-410.17M
-36.19%-8.43B
20.08%-888.04M
94.38%-154.47M
-31.12%-3.86B
-673.37%-3.53B
Change In working capital
-23.77%1.09B
-258.18%-891.08M
-116.96%-139.5M
186.66%821.19M
31.13%1.3B
199.85%1.43B
170.42%563.34M
37.28%822.69M
7.56%-947.58M
582.74%990.23M
-Change in receivables
-46.67%565.78M
-47.48%257.39M
-227.34%-748.53M
92.06%473.63M
321.34%583.29M
54.78%1.06B
545.51%490.07M
156.80%587.83M
-10.38%246.61M
-190.43%-263.53M
-Change in payables and accrued expense
291.00%2.12B
-460.70%-1.05B
170.12%1.51B
170.01%706.07M
36.08%951.95M
117.37%542.82M
185.91%291.1M
246.99%560.64M
47.28%-1.01B
242.29%699.55M
-Change in other current assets
-655.80%-1.05B
117.10%78.13M
-334.98%-684.93M
-202.15%-422.1M
-104.02%-19.84M
-81.78%188.69M
20.15%-456.82M
155.30%291.48M
-115.81%-139.7M
-19.07%493.73M
-Change in other current liabilities
35.00%-466.58M
-577.02%-178.23M
95.15%-28M
30.08%-170.54M
-169.01%-89.82M
-139.00%-717.8M
-140.60%-26.33M
-1,030.03%-577.73M
-5,588.21%-243.9M
130.15%130.15M
-Change in other working capital
-123.66%-83.77M
-99.38%1.63M
-386.71%-192.45M
18.32%234.13M
-82.41%-127.09M
29.47%353.98M
69.97%265.32M
-106.87%-39.54M
171.97%197.88M
61.98%-69.67M
Cash from discontinued investing activities
Operating cash flow
545.16%6.65B
-110.09%-111.66M
-4.81%1.88B
227.23%3.36B
179.02%1.53B
71.70%-1.49B
270.98%1.11B
232.73%1.97B
35.05%-2.64B
-310.83%-1.93B
Investing cash flow
Cash flow from continuing investing activities
-390.54%-19.05B
-377.10%-2.25B
-375.44%-5.12B
-2,846.70%-5.48B
-62.33%-6.2B
71.55%-3.88B
127.41%812.97M
70.00%-1.08B
103.91%199.39M
-91.13%-3.82B
Net PPE purchase and sale
-30.58%-141.54M
-82.00%-53.17M
-156.05%-44.6M
31.34%-26.47M
25.48%-17.3M
-27.44%-108.39M
-10.35%-29.21M
28.64%-17.42M
-73.01%-38.56M
-95.21%-23.21M
Net business purchase and sale
--0
----
----
----
----
--0
----
----
----
----
Net investment purchase and sale
-394.02%-18.94B
-368.64%-2.21B
-361.80%-5.09B
-2,197.11%-5.45B
-62.53%-6.2B
67.60%-3.83B
128.04%821.38M
69.19%-1.1B
107.74%259.78M
-93.08%-3.81B
Net other investing changes
-41.62%34.71M
-66.38%6.99M
-67.18%13.97M
89.40%-2.31M
-10.36%16.06M
263.05%59.46M
304.77%20.8M
274.58%42.58M
18.15%-21.83M
262.87%17.92M
Cash from discontinued investing activities
Investing cash flow
-390.54%-19.05B
-377.10%-2.25B
-375.44%-5.12B
-2,846.70%-5.48B
-62.33%-6.2B
71.55%-3.88B
127.41%812.97M
70.00%-1.08B
103.91%199.39M
-91.13%-3.82B
Financing cash flow
Cash flow from continuing financing activities
-44.60%7.08B
-59.49%2.89B
1,894.27%2.08B
-40.33%2.06B
-97.83%44.96M
-42.08%12.77B
32.17%7.14B
-97.60%104.12M
-57.66%3.45B
-50.01%2.07B
Net issuance payments of debt
-4.42%3.46B
39.47%1.04B
2,601.45%519.55M
-19.14%1.11B
-48.09%788.98M
-44.56%3.62B
-55.27%744.69M
-101.25%-20.77M
-56.56%1.38B
4,719.59%1.52B
Net common stock issuance
--0
--0
--0
----
----
16.39%-289.84M
--0
---17.57M
----
----
Cash dividends paid
0.48%-612.07M
-6.45%-155.44M
2.18%-155.31M
2.65%-155.3M
3.11%-146.03M
-19.81%-615.03M
3.12%-146.03M
-5.47%-158.76M
-46.21%-159.52M
-46.34%-150.72M
Proceeds from stock option exercised by employees
-199.97%-125.01M
-222.41%-31.98M
---84K
----
----
36.59%-41.67M
67.84%-9.92M
--0
----
----
Net other financing activities
-56.90%4.35B
-68.84%2.04B
468.46%1.71B
-52.92%1.2B
-184.96%-597.99M
-38.60%10.1B
67.14%6.55B
-89.36%301.23M
-50.50%2.54B
-84.58%703.88M
Cash from discontinued financing activities
Financing cash flow
-44.60%7.08B
-59.49%2.89B
1,894.27%2.08B
-40.33%2.06B
-97.83%44.96M
-42.08%12.77B
32.17%7.14B
-97.60%104.12M
-57.66%3.45B
-50.01%2.07B
Net cash flow
Beginning cash position
55.45%20.81B
27.77%14.96B
49.50%16.07B
66.17%16.17B
55.45%20.81B
27.16%13.39B
0.70%11.71B
-13.12%10.75B
-28.16%9.73B
27.16%13.39B
Current changes in cash
-171.93%-5.32B
-94.16%529.36M
-216.84%-1.17B
-105.68%-57.67M
-25.77%-4.63B
136.42%7.4B
406.10%9.06B
237.12%998.44M
201.54%1.01B
-220.00%-3.68B
Effect of exchange rate changes
-568.13%-118.95M
-458.70%-123.85M
263.00%59.19M
-780.87%-38.09M
-175.04%-16.21M
109.42%25.41M
198.12%34.53M
-155.19%-36.31M
103.27%5.59M
143.75%21.6M
End cash Position
-26.14%15.37B
-26.14%15.37B
27.77%14.96B
49.50%16.07B
66.17%16.17B
55.45%20.81B
55.45%20.81B
0.70%11.71B
-13.12%10.75B
-28.16%9.73B
Free cash flow
506.21%6.51B
-115.29%-164.82M
-6.24%1.83B
224.41%3.33B
177.20%1.51B
70.13%-1.6B
259.93%1.08B
229.43%1.95B
34.46%-2.68B
-316.16%-1.96B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 545.16%6.65B-110.09%-111.66M-4.81%1.88B227.23%3.36B179.02%1.53B71.70%-1.49B270.98%1.11B232.73%1.97B35.05%-2.64B-310.83%-1.93B
Net income from continuing operations -8.42%4.91B-12.90%1.38B-39.77%1.43B-11.80%993.24M321.22%1.09B1,382.78%5.36B8,018.51%1.59B1,813.19%2.38B162.07%1.13B-79.26%259.69M
Operating gains losses -14.25%1.75B-120.72%-272.27M563.30%1.05B-23.40%1.11B71.01%-144.17M159.04%2.04B90.50%1.31B63.84%-227.52M169.93%1.45B-362.56%-497.37M
Other non cash items 101.20%100.76M54.33%-405.59M449.00%539.11M109.78%377.41M88.37%-410.17M-36.19%-8.43B20.08%-888.04M94.38%-154.47M-31.12%-3.86B-673.37%-3.53B
Change In working capital -23.77%1.09B-258.18%-891.08M-116.96%-139.5M186.66%821.19M31.13%1.3B199.85%1.43B170.42%563.34M37.28%822.69M7.56%-947.58M582.74%990.23M
-Change in receivables -46.67%565.78M-47.48%257.39M-227.34%-748.53M92.06%473.63M321.34%583.29M54.78%1.06B545.51%490.07M156.80%587.83M-10.38%246.61M-190.43%-263.53M
-Change in payables and accrued expense 291.00%2.12B-460.70%-1.05B170.12%1.51B170.01%706.07M36.08%951.95M117.37%542.82M185.91%291.1M246.99%560.64M47.28%-1.01B242.29%699.55M
-Change in other current assets -655.80%-1.05B117.10%78.13M-334.98%-684.93M-202.15%-422.1M-104.02%-19.84M-81.78%188.69M20.15%-456.82M155.30%291.48M-115.81%-139.7M-19.07%493.73M
-Change in other current liabilities 35.00%-466.58M-577.02%-178.23M95.15%-28M30.08%-170.54M-169.01%-89.82M-139.00%-717.8M-140.60%-26.33M-1,030.03%-577.73M-5,588.21%-243.9M130.15%130.15M
-Change in other working capital -123.66%-83.77M-99.38%1.63M-386.71%-192.45M18.32%234.13M-82.41%-127.09M29.47%353.98M69.97%265.32M-106.87%-39.54M171.97%197.88M61.98%-69.67M
Cash from discontinued investing activities
Operating cash flow 545.16%6.65B-110.09%-111.66M-4.81%1.88B227.23%3.36B179.02%1.53B71.70%-1.49B270.98%1.11B232.73%1.97B35.05%-2.64B-310.83%-1.93B
Investing cash flow
Cash flow from continuing investing activities -390.54%-19.05B-377.10%-2.25B-375.44%-5.12B-2,846.70%-5.48B-62.33%-6.2B71.55%-3.88B127.41%812.97M70.00%-1.08B103.91%199.39M-91.13%-3.82B
Net PPE purchase and sale -30.58%-141.54M-82.00%-53.17M-156.05%-44.6M31.34%-26.47M25.48%-17.3M-27.44%-108.39M-10.35%-29.21M28.64%-17.42M-73.01%-38.56M-95.21%-23.21M
Net business purchase and sale --0------------------0----------------
Net investment purchase and sale -394.02%-18.94B-368.64%-2.21B-361.80%-5.09B-2,197.11%-5.45B-62.53%-6.2B67.60%-3.83B128.04%821.38M69.19%-1.1B107.74%259.78M-93.08%-3.81B
Net other investing changes -41.62%34.71M-66.38%6.99M-67.18%13.97M89.40%-2.31M-10.36%16.06M263.05%59.46M304.77%20.8M274.58%42.58M18.15%-21.83M262.87%17.92M
Cash from discontinued investing activities
Investing cash flow -390.54%-19.05B-377.10%-2.25B-375.44%-5.12B-2,846.70%-5.48B-62.33%-6.2B71.55%-3.88B127.41%812.97M70.00%-1.08B103.91%199.39M-91.13%-3.82B
Financing cash flow
Cash flow from continuing financing activities -44.60%7.08B-59.49%2.89B1,894.27%2.08B-40.33%2.06B-97.83%44.96M-42.08%12.77B32.17%7.14B-97.60%104.12M-57.66%3.45B-50.01%2.07B
Net issuance payments of debt -4.42%3.46B39.47%1.04B2,601.45%519.55M-19.14%1.11B-48.09%788.98M-44.56%3.62B-55.27%744.69M-101.25%-20.77M-56.56%1.38B4,719.59%1.52B
Net common stock issuance --0--0--0--------16.39%-289.84M--0---17.57M--------
Cash dividends paid 0.48%-612.07M-6.45%-155.44M2.18%-155.31M2.65%-155.3M3.11%-146.03M-19.81%-615.03M3.12%-146.03M-5.47%-158.76M-46.21%-159.52M-46.34%-150.72M
Proceeds from stock option exercised by employees -199.97%-125.01M-222.41%-31.98M---84K--------36.59%-41.67M67.84%-9.92M--0--------
Net other financing activities -56.90%4.35B-68.84%2.04B468.46%1.71B-52.92%1.2B-184.96%-597.99M-38.60%10.1B67.14%6.55B-89.36%301.23M-50.50%2.54B-84.58%703.88M
Cash from discontinued financing activities
Financing cash flow -44.60%7.08B-59.49%2.89B1,894.27%2.08B-40.33%2.06B-97.83%44.96M-42.08%12.77B32.17%7.14B-97.60%104.12M-57.66%3.45B-50.01%2.07B
Net cash flow
Beginning cash position 55.45%20.81B27.77%14.96B49.50%16.07B66.17%16.17B55.45%20.81B27.16%13.39B0.70%11.71B-13.12%10.75B-28.16%9.73B27.16%13.39B
Current changes in cash -171.93%-5.32B-94.16%529.36M-216.84%-1.17B-105.68%-57.67M-25.77%-4.63B136.42%7.4B406.10%9.06B237.12%998.44M201.54%1.01B-220.00%-3.68B
Effect of exchange rate changes -568.13%-118.95M-458.70%-123.85M263.00%59.19M-780.87%-38.09M-175.04%-16.21M109.42%25.41M198.12%34.53M-155.19%-36.31M103.27%5.59M143.75%21.6M
End cash Position -26.14%15.37B-26.14%15.37B27.77%14.96B49.50%16.07B66.17%16.17B55.45%20.81B55.45%20.81B0.70%11.71B-13.12%10.75B-28.16%9.73B
Free cash flow 506.21%6.51B-115.29%-164.82M-6.24%1.83B224.41%3.33B177.20%1.51B70.13%-1.6B259.93%1.08B229.43%1.95B34.46%-2.68B-316.16%-1.96B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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