Free Cash Flow per Share: A measure of financial performance calculated as operating cash flow minus capital expenditures, expressed on a per share basis. Calculated as: Free Cash Flow / Weighted Average Shares Outstanding (Diluted)
KKR & Co. Inc. (KKR) had Free Cash Flow per Share of $3.04 for the most recently reported fiscal quarter, ending 2025-06-30.
| Income Statement Financials | |
$5.09B  | 
								|
$472.39M  | 
								|
$2.95B  | 
								|
$2.14B  | 
								|
$4.68B  | 
								|
$413.23M  | 
								|
$1.12B  | 
								|
$1.53B  | 
								|
$1.53B  | 
								|
$1.35B  | 
								|
$1.35B  | 
								|
$1.35B  | 
								|
$1.35B  | 
								|
$413.23M  | 
								|
$382.22M  | 
								|
890.72M  | 
								|
954.21M  | 
								|
$0.53  | 
								|
$0.50  | 
								|
| Balance Sheet Financials | |
$20.01B  | 
								|
--  | 
								|
$360.86B  | 
								|
$380.87B  | 
								|
$254.85B  | 
								|
$51.21B  | 
								|
$57.05B  | 
								|
$311.89B  | 
								|
$66.43B  | 
								|
$63.52B  | 
								|
$68.97B  | 
								|
890.94M  | 
								|
| Cash Flow Statement Financials | |
$2.99B  | 
								|
$-5.04B  | 
								|
$4.59B  | 
								|
$15.37B  | 
								|
$18.06B  | 
								|
$2.69B  | 
								|
$357.20M  | 
								|
$-2.27B  | 
								|
$-37.74M  | 
								|
| Fundamental Metrics & Ratios | |
0.08  | 
								|
--  | 
								|
--  | 
								|
0.43  | 
								|
0.74  | 
								|
42.03%  | 
								|
8.12%  | 
								|
8.12%  | 
								|
--  | 
								|
30.04%  | 
								|
9.28%  | 
								|
$2.90B  | 
								|
--  | 
								|
--  | 
								|
--  | 
								|
0.01  | 
								|
--  | 
								|
2.61  | 
								|
34.55  | 
								|
2.04%  | 
								|
2.13%  | 
								|
0.36%  | 
								|
1.13%  | 
								|
$77.42  | 
								|
| 
										 Free Cash Flow per Share  | 
									$3.04  | 
								
$3.13  | 
								|