7Baggers
Quarterly
Annual
    Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-03-31 2014-09-30 2014-06-30 2014-03-31 2013-09-30 2013-06-30 2012-09-30 2011-06-30 
                                                    
      assets
                                                    
      asset management and strategic holdings
                                                    
      cash and cash equivalents
    13,561,041,000 10,729,004,000 11,503,912,000 8,602,477,000 7,829,321,000 7,083,931,000 8,393,892,000 6,977,836,000 5,885,308,000 5,576,121,000 6,705,325,000 6,911,691,000 6,720,983,000 8,324,897,000 6,699,668,000 7,256,382,000 5,170,243,000 5,031,724,000 5,363,009,000 4,363,105,000 2,454,541,000 1,982,292,000 2,346,713,000 2,686,985,000 2,143,057,000 1,808,368,000 1,751,287,000 2,264,875,000 2,065,172,000 1,880,834,000 1,876,687,000 2,436,566,000 2,131,687,000 2,758,398,000 2,508,902,000 2,196,800,000 1,512,475,000 1,280,893,000 1,047,740,000 1,756,918,000 1,306,975,000 1,472,760,000 2,504,205,000 1,324,925,000 1,112,316,000 1,167,413,000 1,278,354,000 933,479,000 
      restricted cash and cash equivalents
    54,489,000 52,056,000 179,449,000 114,285,000 168,888,000 227,486,000 116,599,000 74,043,000  161,619,000  201,194,000 170,374,000 103,961,000  140,618,000 168,295,000 79,017,000 485,583,000 143,846,000 133,526,000 116,506,000 74,262,000 83,170,000 91,737,000 66,950,000 196,365,000 65,949,000 76,967,000 59,316,000 56,302,000 44,175,000 103,372,000 128,815,000 212,155,000 180,611,000 133,219,000 57,302,000 267,628,000 272,790,000 53,362,000 71,378,000 91,935,000 65,442,000 45,490,000 21,515,000 69,582,000 92,792,000 
      investments
    118,617,813,000 115,427,392,000 110,703,961,000 104,301,594,000 102,046,987,000 100,693,987,000 98,634,801,000 103,801,213,000 101,878,868,000 97,949,918,000 92,375,463,000 89,720,859,000 88,191,528,000 88,770,480,000 88,775,514,000 89,908,570,000 83,441,638,000 76,156,229,000 69,274,715,000 60,990,162,000 54,425,153,000 48,601,127,000 54,936,268,000 50,844,657,000 51,243,090,000 45,795,254,000 44,907,982,000 44,119,593,000 42,622,545,000 42,101,905,000 39,013,934,000 37,251,837,000 36,267,767,000 34,225,324,000 31,409,765,000 31,277,959,000 30,375,163,000 29,785,312,000 65,305,931,000 62,705,798,000 60,971,453,000 59,928,242,000 57,378,768,000 51,433,451,000 44,263,123,000 41,142,537,000 40,940,868,000 38,578,531,000 
      due from affiliates
    2,079,123,000 1,953,350,000 1,813,329,000 2,034,664,000 1,616,747,000 1,449,394,000 1,446,852,000 1,590,415,000  1,847,869,000  1,370,693,000 1,551,889,000 1,277,574,000  1,102,874,000 1,048,854,000 1,061,431,000 872,994,000 768,887,000 930,103,000 852,484,000 717,399,000 658,481,000 675,950,000 734,195,000 657,189,000 682,007,000 614,592,000 565,681,000 554,349,000 484,004,000 394,717,000 323,335,000 250,452,000 343,106,000 309,625,000 318,567,000 139,783,000 116,103,000 109,346,000 130,999,000 134,832,000 161,317,000 133,746,000 134,725,000 124,932,000 145,701,000 
      other assets
    6,129,090,000 6,090,207,000 5,669,371,000 5,552,218,000 5,080,261,000 4,869,575,000 4,975,223,000 5,106,451,000 6,703,972,000 5,048,330,000 7,114,360,000 5,177,042,000 4,798,529,000 2,407,714,000 4,244,894,000 2,954,330,000 2,956,710,000 2,766,628,000 2,665,336,000 3,008,357,000 3,016,497,000 2,877,421,000 2,008,236,000 2,516,341,000 2,414,467,000 2,687,802,000 2,536,692,000 2,247,747,000 2,053,890,000 2,103,303,000 2,531,075,000 2,759,322,000 2,493,529,000 2,599,943,000 2,996,865,000 2,709,793,000 3,195,497,000 2,187,096,000 2,824,557,000 2,924,689,000 3,510,924,000 2,978,116,000 2,968,019,000 2,500,480,000 2,168,599,000 1,875,940,000 909,800,000 365,417,000 
      insurance
                                                    
      reinsurance recoverable
    46,541,460,000 45,657,605,000 45,321,679,000 46,386,313,000 45,473,921,000 44,160,226,000 36,617,344,000 25,814,485,000  26,157,178,000  26,163,181,000 26,224,818,000 24,639,148,000  25,233,883,000 16,385,100,000 15,681,893,000                               
      insurance intangible assets
    5,590,682,000 5,454,971,000 5,303,897,000 5,092,908,000 4,904,683,000 4,856,923,000 4,450,824,000 2,506,921,000  2,391,610,000  1,632,083,000 1,548,907,000 1,481,284,000  1,279,070,000 1,194,142,000 1,089,830,000                               
      separate account assets
    3,906,414,000 3,843,382,000 3,738,664,000 4,134,173,000 4,122,642,000 4,223,173,000 4,107,000,000 3,899,903,000  4,164,803,000  4,052,251,000 4,362,633,000 5,069,742,000  5,445,170,000 5,637,651,000 5,470,087,000                               
      total assets
    398,480,928,000 380,867,573,000 372,372,919,000 360,655,876,000 348,469,179,000 339,773,927,000 317,294,194,000 288,732,956,000 287,694,799,000 282,610,589,000 277,077,191,000 266,248,640,000 266,075,098,000 266,290,981,000 264,285,440,000 265,799,650,000 229,234,863,000 216,445,114,000 79,806,502,000 70,655,333,000 62,110,382,000 55,601,075,000 60,899,319,000 57,645,049,000 57,524,065,000 52,004,019,000 50,743,375,000 50,343,948,000 48,572,664,000 47,579,153,000 45,834,719,000 44,305,639,000 42,868,081,000 41,635,712,000 39,002,897,000 37,984,599,000 37,506,871,000 34,428,583,000 71,057,759,000 69,056,926,000 67,286,990,000 66,332,985,000 65,634,317,000 56,402,666,000 48,160,051,000 44,807,645,000 43,648,620,000 40,588,171,000 
      liabilities and equity
                                                    
      debt obligations
    49,232,778,000 47,361,299,000 45,807,864,000 45,641,569,000 45,396,247,000 45,053,639,000 44,886,870,000 43,676,117,000 43,693,384,000 42,519,776,000 40,598,613,000 38,257,833,000 37,177,474,000 36,112,872,000 36,669,755,000 38,988,544,000 36,316,451,000 34,669,430,000 33,423,596,000 31,451,641,000 28,676,899,000 26,265,381,000 27,013,284,000 25,281,202,000 25,685,785,000 22,262,369,000 22,341,192,000 20,266,172,000 19,972,383,000 22,041,271,000 21,193,859,000 20,290,714,000 19,425,253,000 19,625,439,000 18,544,075,000 17,589,353,000 17,894,036,000 16,827,497,000 18,730,017,000 16,587,643,000 11,717,676,000 10,306,770,000 10,557,736,000 3,241,751,000 2,027,116,000 1,706,010,000 1,314,845,000 1,530,056,000 
      due to affiliates
    424,369,000 452,981,000 463,289,000 470,691,000 444,947,000 443,219,000 538,099,000 441,798,000  435,270,000  444,872,000 444,194,000 457,668,000  299,703,000 334,728,000 322,511,000 325,177,000 298,944,000 261,774,000 261,720,000 286,098,000 267,137,000 276,440,000 254,781,000 275,584,000 252,547,000 259,259,000 265,190,000 323,810,000 379,809,000 392,340,000 385,374,000 359,479,000 375,931,000 412,400,000 429,448,000 144,807,000 161,835,000 141,649,000 133,123,000 119,299,000 110,624,000 96,772,000 92,793,000 58,191,000 42,136,000 
      accrued expenses and other liabilities
    14,798,038,000 13,696,680,000 12,376,223,000 11,919,685,000 9,869,018,000 8,868,372,000 7,718,415,000 7,784,684,000  7,792,747,000  7,135,124,000 7,461,253,000 7,241,786,000  8,914,739,000 8,731,727,000 7,293,077,000                               
      policy liabilities
    200,507,307,000 191,676,236,000 188,413,845,000 184,050,410,000 177,832,610,000 173,598,686,000 160,058,271,000 140,982,985,000  141,129,974,000  135,733,868,000 133,747,480,000 131,076,687,000  124,611,909,000 105,834,516,000 102,607,224,000                               
      funds withheld payable at interest
    45,371,908,000 44,143,847,000 44,254,674,000 45,389,307,000 43,943,834,000 42,639,725,000 34,339,522,000 22,736,507,000  22,995,695,000  21,063,577,000 22,090,096,000 21,781,731,000  23,614,810,000 14,622,639,000 13,446,163,000                               
      reinsurance liabilities
    1,455,966,000 1,401,109,000 1,400,007,000 1,164,153,000 1,831,453,000 1,564,706,000 1,423,242,000 1,199,754,000  826,566,000  729,531,000 456,320,000 607,014,000  261,669,000 175,518,000 422,078,000                               
      separate account liabilities
    3,906,414,000 3,843,382,000 3,738,664,000 4,134,173,000 4,122,642,000 4,223,173,000 4,107,000,000 3,899,903,000  4,164,803,000  4,052,251,000 4,362,633,000 5,069,742,000  5,445,170,000 5,637,651,000 5,470,087,000                               
      total liabilities
    323,078,973,000 309,899,128,000 303,415,987,000 298,857,266,000 289,939,212,000 282,862,077,000 258,915,282,000 227,134,781,000 227,100,365,000 225,487,213,000 223,418,306,000 214,265,845,000 213,256,707,000 208,993,110,000 206,146,220,000 208,742,097,000 176,735,602,000 170,142,484,000 39,006,586,000 36,611,703,000 32,715,720,000 29,011,045,000 30,396,945,000 29,059,852,000 29,242,002,000 25,796,178,000 25,360,766,000 24,204,037,000 24,285,474,000 25,810,215,000 25,171,919,000 24,440,205,000 23,325,722,000 23,347,914,000 21,884,814,000 21,162,334,000 21,822,918,000 19,520,258,000 21,590,174,000 19,556,186,000 15,129,445,000 14,219,030,000 13,869,570,000 6,854,459,000 4,651,764,000 3,903,067,000 3,007,920,000 2,757,831,000 
      commitments and contingencies
                                                    
      redeemable noncontrolling interests
    2,360,396,000 1,993,598,000 1,921,480,000 1,322,308,000 1,291,487,000 922,093,000 615,427,000 421,874,000 183,413,000 144,126,000 152,065,000 82,133,000 81,167,000 81,793,000 82,491,000 93,339,000           1,122,641,000 1,070,575,000 962,147,000 690,630,000 610,540,000 570,134,000 512,481,000 781,428,000 632,348,000 395,210,000 339,637,000 230,762,000 188,629,000 160,565,000 303,169,000 300,957,000 277,084,000 665,576,000 574,065,000 580,840,000 472,837,000  
      stockholders' equity
                                                    
      series d mandatory convertible preferred stock, 0.01 par value. 51,750,000 and 0 shares, issued and outstanding as of september 30, 2025 and december 31, 2024, respectively.
    2,543,404,000                                                
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of september 30, 2025 and december 31, 2024.
                                                    
      common stock
    8,910,000 8,909,000 8,882,000 8,874,000 8,874,000 8,850,000 8,850,000 8,846,000  8,611,000  8,598,000 8,598,000 5,905,000  5,830,000   5,729,000 5,663,000 5,591,000                            
      additional paid-in capital
    18,877,610,000 18,640,161,000 18,612,895,000 18,266,988,000 18,133,336,000 18,032,599,000 17,549,157,000 17,327,485,000  16,339,472,000  16,015,645,000 15,948,026,000 8,729,544,000  8,735,677,000   8,687,817,000 8,594,005,000 8,459,914,000 8,456,154,000 8,565,919,000 8,332,039,000 8,252,018,000 8,145,133,000 8,106,408,000 8,005,338,000                     
      retained earnings
    12,943,836,000 12,248,728,000 11,941,148,000 11,312,398,000 10,867,154,000 10,354,524,000 9,818,336,000 8,923,933,000  6,890,381,000  6,365,963,000 6,590,883,000 7,510,671,000  7,247,400,000   3,440,782,000 2,037,935,000 1,056,918,000 433,546,000 1,792,152,000 1,345,828,000 1,172,754,000 726,312,000 91,953,000 551,036,000                     
      accumulated other comprehensive income
    -4,624,558,000 -5,221,973,000 -5,636,342,000 -5,504,575,000 -7,336,261,000 -6,974,780,000 -4,517,649,000 -5,852,491,000  -4,691,575,000  -6,054,953,000 -4,590,616,000 -1,650,212,000  -174,439,000   -18,612,000 -41,081,000 -52,969,000 -54,694,000 -41,639,000 -51,093,000 -40,274,000 -39,954,000 -39,645,000 -40,448,000          -24,341,000 -28,799,000 -31,083,000 -32,154,000       2,651,000 
      total kkr & co. inc. stockholders' equity
    29,749,202,000 28,219,229,000 27,469,987,000 24,083,685,000 21,673,103,000 21,421,193,000 22,858,694,000 20,407,773,000  19,662,681,000  17,451,045,000 19,072,683,000 15,714,287,000  16,932,970,000   13,716,818,000 12,197,656,000 9,954,868,000 9,325,962,000 10,807,490,000 10,117,754,000 9,875,478,000 9,322,371,000 8,649,610,000 9,006,767,000                     
      noncontrolling interests
    43,292,357,000 40,755,618,000 39,565,465,000 36,392,617,000 35,565,377,000 34,568,564,000 34,904,791,000 40,768,528,000 40,429,454,000 37,316,569,000 35,778,000,000 34,449,617,000 33,664,541,000 41,501,791,000 40,474,565,000 40,031,244,000   27,083,098,000 21,845,974,000 19,439,794,000 17,264,068,000 19,694,884,000 18,467,443,000 18,406,585,000 16,885,470,000 15,610,358,000 16,062,569,000 14,932,659,000 13,677,569,000 12,866,324,000 12,432,092,000 12,334,768,000 11,268,462,000 10,545,902,000 10,610,456,000 9,860,160,000 9,309,222,000 43,731,774,000 43,681,529,000 46,253,010,000 46,300,976,000 45,947,973,000 45,863,240,000 40,439,129,000 38,036,349,000 38,325,332,000  
      total equity
    73,041,559,000 68,974,847,000 67,035,452,000 60,476,302,000 57,238,480,000 55,989,757,000 57,763,485,000 61,176,301,000 60,411,021,000 56,979,250,000 53,506,820,000 51,900,662,000 52,737,224,000 57,216,078,000 58,056,729,000 56,964,214,000   40,799,916,000 34,043,630,000 29,394,662,000 26,590,030,000 30,502,374,000 28,585,197,000 28,282,063,000 26,207,841,000 24,259,968,000 25,069,336,000 23,325,043,000 21,078,308,000 20,052,260,000 19,295,300,000 19,029,878,000 17,506,370,000 16,485,735,000 16,427,055,000 15,344,316,000 14,677,563,000 49,278,956,000 49,340,175,000 51,854,376,000 51,812,998,000 51,487,663,000 48,882,631,000 42,934,222,000 40,323,738,000 40,167,863,000 37,830,340,000 
      total liabilities and equity
    398,480,928,000 380,867,573,000 372,372,919,000 360,655,876,000 348,469,179,000 339,773,927,000 317,294,194,000 288,732,956,000 287,694,799,000 282,610,589,000 277,077,191,000 266,248,640,000 266,075,098,000 266,290,981,000 264,285,440,000 265,799,650,000   79,806,502,000 70,655,333,000 62,110,382,000 55,601,075,000 60,899,319,000 57,645,049,000 57,524,065,000 52,004,019,000 50,743,375,000 50,343,948,000 48,572,664,000 47,579,153,000 45,834,719,000 44,305,639,000 42,868,081,000 41,635,712,000 39,002,897,000 37,984,599,000 37,506,871,000 34,428,583,000 71,057,759,000 69,056,926,000 67,286,990,000 66,332,985,000 65,634,317,000 56,402,666,000 48,160,051,000 44,807,645,000 43,648,620,000 40,588,171,000 
      series d mandatory convertible preferred stock, 0.01 par value. 51,750,000 and 0 shares, issued and outstanding as of june 30, 2025 and december 31, 2024, respectively.
     2,543,404,000                                               
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of june 30, 2025 and december 31, 2024.
                                                    
      series d mandatory convertible preferred stock, 0.01 par value. 51,750,000 and 0 shares, issued and outstanding as of march 31, 2025 and december 31, 2024, respectively.
      2,543,404,000                                              
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of march 31, 2025 and december 31, 2024.
                                                    
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of september 30, 2024 and december 31, 2023.
                                                    
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of june 30, 2024 and december 31, 2023.
                                                    
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of march 31, 2024 and december 31, 2023.
                                                    
      asset management
                                                    
      series c mandatory convertible preferred stock, 0.01 par value. 0 and 22,999,974 shares, issued and outstanding as of december 31, 2023 and december 31, 2022, respectively.
                                                    
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of december 31, 2023 and december 31, 2022.
                                                    
      series c mandatory convertible preferred stock, 0.01 par value. 0 and 22,999,974 shares, issued and outstanding as of september 30, 2023 and december 31, 2022, respectively.
                                                    
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of september 30, 2023 and december 31, 2022.
                                                    
      other liabilities
            7,176,042,000  6,937,832,000    8,359,619,000                                  
      stockholders' equity - series c mandatory convertible preferred stock
            1,115,792,000  1,115,792,000                                      
      stockholders' equity - common stock
            18,865,775,000  16,613,028,000                                      
      kkr & co. inc. stockholders' equity - common stock per outstanding share of common stock
            21,990  19,290    27,640                                  
      series c mandatory convertible preferred stock, 0.01 par value. 22,999,974 and 22,999,974 shares, issued and outstanding as of march 31, 2023 and december 31, 2022, respectively.
             1,115,792,000                                       
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of march 31, 2023 and december 31, 2022.
                                                    
      series c mandatory convertible preferred stock, 0.01 par value. 22,999,974 and 23,000,000 shares, issued and outstanding as of september 30, 2022 and december 31, 2021, respectively.
               1,115,792,000                                     
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of september 30, 2022 and december 31, 2021.
                                                    
      series ii preferred stock, 0.01 par value. 499,999,999 shares authorized, 258,726,163 shares issued and outstanding as of december 31, 2021.
                                                    
      series c mandatory convertible preferred stock, 0.01 par value. 22,999,974 and 23,000,000 shares, issued and outstanding as of june 30, 2022 and december 31, 2021, respectively.
                1,115,792,000                                    
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of june 30, 2022 and december 31, 2021.
                                                    
      series c mandatory convertible preferred stock, 0.01 par value. 23,000,000 shares issued and outstanding as of march 31, 2022 and december 31, 2021.
                 1,115,792,000                                   
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of march 31, 2022 and december 31, 2021.
                                                    
      series ii preferred stock, 0.01 par value. 499,999,999 shares authorized, 258,726,163 and 258,726,163 shares, issued and outstanding as of march 31, 2022 and december 31, 2021, respectively.
                 2,587,000                                   
      kkr & co. inc. stockholders' equity - series a and b preferred stock
                                                    
      kkr & co. inc. stockholders' equity - series c mandatory convertible preferred stock
                  1,115,792,000                                  
      kkr & co. inc. stockholders' equity - series i and ii preferred stock, common stock
                  16,466,372,000                                  
      series a preferred stock, 0.01 par value. 0 and 13,800,000 shares, issued and outstanding as of september 30, 2021 and december 31, 2020, respectively.series b preferred stock, 0.01 par value. 0 and 6,200,000 shares, issued and outstanding as of september 30, 2021 and december 31, 2020.
                                                    
      series c mandatory convertible preferred stock, 0.01 par value. 23,000,000 shares issued and outstanding as of september 30, 2021 and december 31, 2020.
                   1,115,792,000                                 
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of september 30, 2021 and december 31, 2020.
                                                    
      series ii preferred stock, 0.01 par value. 499,999,999 shares authorized, 271,027,751 and 275,626,493 shares, issued and outstanding as of september 30, 2021 and december 31, 2020, respectively.
                   2,710,000                                 
      liabilities and stockholders' equity
                                                    
      cash and cash equivalents held at consolidated entities
                      1,144,865,000 1,380,976,000 1,150,562,000 1,171,245,000 816,441,000 855,415,000 955,764,000 911,450,000 693,860,000 963,777,000 1,139,498,000 868,114,000 1,802,372,000 1,329,735,000 1,477,009,000 1,599,897,000 1,624,758,000 1,276,330,000 1,980,892,000 799,413,000 1,472,120,000 1,280,628,000 1,334,930,000 1,751,490,000 2,556,558,000 917,051,000 436,777,000 465,515,000 325,084,000 472,251,000 
      accounts payable, accrued expenses and other liabilities
                      5,257,813,000 4,861,118,000 3,777,047,000 2,483,944,000 3,097,563,000 3,511,513,000 3,279,777,000 3,279,028,000 2,743,990,000 3,685,318,000 4,053,832,000 3,503,754,000 3,654,250,000 3,769,682,000 3,508,129,000 3,337,101,000 2,981,260,000 3,197,050,000 3,516,482,000 2,263,313,000 2,715,350,000 2,806,708,000 3,270,120,000 3,779,137,000 3,192,535,000 3,502,084,000 2,527,876,000 2,104,264,000 1,634,884,000 1,185,639,000 
      series a and b preferred stock, 0.01 par value. 13,800,000 and 6,200,000 shares, respectively, issued and outstanding as of december 31, 2020 and 2019.
                      482,554,000                              
      series c mandatory convertible preferred stock, 0.01 par value. 23,000,000 shares issued and outstanding as of december 31, 2020.
                      1,115,792,000                              
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of december 31, 2020 and 2019.
                                                    
      series ii preferred stock, 0.01 par value. 499,999,999 shares authorized, 275,626,493 and 290,381,345 shares, issued and outstanding as of december 31, 2020 and 2019, respectively.
                      2,756,000                              
      see note 1
                                                    
      series a and b preferred stock, 0.01 par value. 13,800,000 and 6,200,000 shares, respectively, issued and outstanding as of september 30, 2020 and december 31, 2019.
                       482,554,000                             
      series c mandatory convertible preferred stock, 0.01 par value. 23,000,000 shares issued and outstanding as of september 30, 2020.
                       1,115,792,000                             
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of september 30, 2020 and december 31, 2019.
                                                    
      series ii preferred stock, 0.01 par value. 499,999,999 shares authorized, 278,781,478 and 290,381,345 shares, issued and outstanding as of september 30, 2020 and december 31, 2019, respectively.
                       2,788,000                             
      see note 1 "organization"
                                                    
      series a and b preferred stock, 0.01 par value. 13,800,000 and 6,200,000 shares, respectively, issued and outstanding as of june 30, 2020 and december 31, 2019.
                        482,554,000                            
      series i preferred stock, 0.01 par value. 1 share authorized, 1 share issued and outstanding as of june 30, 2020 and december 31, 2019.
                                                    
      series ii preferred stock, 0.01 par value. 499,999,999 shares authorized, 285,978,495 and 290,381,345 shares, issued and outstanding as of june 30, 2020 and december 31, 2019, respectively.
                        2,860,000                            
      series a and b preferred stock, 0.01 par value. 13,800,000 and 6,200,000 shares, respectively, issued and outstanding as of march 31, 2020 and december 31, 2019.
                         482,554,000                           
      class a common stock
                         5,537,000 5,600,000 5,468,000 5,456,000 5,339,000 5,349,000 5,256,000                     
      class b common stock
                                                    
      class c common stock, 0.01 par value. 499,999,999 shares authorized, 286,477,271 and 290,381,345 shares, issued and outstanding as of march 31, 2020 and december 31, 2019, respectively.
                         2,865,000                           
      series a and b preferred stock, 0.01 par value. 13,800,000 and 6,200,000 shares, respectively, issued and outstanding as of december 31, 2019 and 2018.
                          482,554,000                          
      class c common stock, 0.01 par value. 499,999,999 shares authorized, 290,381,345 and 299,081,239 shares, issued and outstanding as of december 31, 2019 and 2018, respectively.
                          2,904,000                          
      series a and b preferred stock, 0.01 par value. 13,800,000 and 6,200,000 shares, respectively, issued and outstanding as of september 30, 2019 and december 31, 2018.
                           482,554,000                         
      class c common stock, 0.01 par value. 499,999,999 shares authorized, 295,746,147 and 299,081,239 shares, issued and outstanding as of september 30, 2019 and december 31, 2018, respectively.
                           2,958,000                         
      series a and b preferred stock, 0.01 par value. 13,800,000 and 6,200,000 shares, respectively, issued and outstanding as of june 30, 2019 and december 31, 2018.
                            482,554,000                        
      class c common stock, 0.01 par value. 499,999,999 shares authorized, 296,961,596 and 299,081,239 shares, issued and outstanding as of june 30, 2019 and december 31, 2018, respectively.
                            2,970,000                        
      series a and b preferred stock, 0.01 par value. 13,800,000 and 6,200,000 shares, respectively, issued and outstanding as of march 31, 2019 and december 31, 2018.
                             482,554,000                       
      class c common stock, 0.01 par value. 499,999,999 shares authorized, 298,645,285 and 299,081,239 shares, issued and outstanding as of march 31, 2019 and december 31, 2018, respectively.
                             2,987,000                       
      kkr & co. l.p. capital - common unitholders
                                7,909,830,000 6,918,185,000 6,703,382,000 6,380,654,000 6,212,556,000 5,755,354,000 5,457,279,000 5,334,045,000 5,001,602,000 5,059,694,000           
      preferred units
                                                    
      preferred stock
                              482,554,000 482,554,000                     
      class c common stock
                              2,991,000 3,031,000                     
      equity
                                                    
      series a preferred units
                                332,988,000 332,988,000 332,988,000 332,988,000 332,988,000 332,988,000 332,988,000 332,988,000 332,988,000 332,988,000           
      series b preferred units
                                149,566,000 149,566,000 149,566,000 149,566,000 149,566,000 149,566,000 149,566,000 149,566,000 149,566,000            
      total kkr & co. l.p. partners' capital
                                8,392,384,000 7,400,739,000 7,185,936,000 6,863,208,000 6,695,110,000 6,237,908,000 5,939,833,000              
      total kkr & co. l.p. partner's capital
                                       5,816,599,000 5,484,156,000            
      liabilities
                                                    
      total kkr & co. l.p. capital - common unitholders
                                         5,035,353,000           
      total kkr & co. l.p. partners' capital including preferred units
                                         5,368,341,000           
      kkr & co. l.p. partners’ capital
                                          5,575,981,000 5,689,729,000 5,633,520,000 5,500,280,000 5,496,720,000 3,016,677,000 2,501,518,000 2,293,542,000 1,844,057,000 1,521,637,000 
      total kkr & co. l.p. partners’ capital
                                          5,547,182,000 5,658,646,000 5,601,366,000 5,486,179,000 5,491,877,000 3,011,683,000 2,495,093,000 2,287,389,000 1,842,531,000 1,524,288,000 
      appropriated capital
                                             25,843,000 47,813,000 7,708,000     
      revenues
                                                    
      fees
                                                220,028,000 166,376,000 162,154,000  
      expenses
                                                    
      compensation and benefits
                                                329,182,000 200,602,000 366,350,000  
      occupancy and related charges
                                                17,637,000 13,878,000 14,344,000  
      general, administrative and other
                                                108,676,000 77,542,000 65,825,000  
      total expenses
                                                455,495,000 292,022,000 446,519,000  
      investment income
                                                    
      net gains from investment activities
                                                2,230,401,000 98,537,000 2,308,613,000  
      dividend income
                                                121,059,000 209,486,000 10,440,000  
      interest income
                                                114,861,000 128,020,000 95,578,000  
      interest expense
                                                    
      total investment income
                                                2,441,265,000 411,429,000 2,396,763,000  
      income before taxes
                                                2,205,798,000 285,783,000 2,112,398,000  
      income taxes
                                                7,644,000 8,525,000 9,612,000  
      net income
                                                2,198,154,000 277,258,000 2,102,786,000  
      net income attributable to
                                                    
      net income attributable to kkr & co. l.p.
                                                204,740,000 15,134,000 127,411,000  
      distributions declared per kkr & co. l.p. common unit
                                                230 420 240  
      net income attributable to kkr & co. l.p. per common unit
                                                    
      basic
                                                730 60 530  
      diluted
                                                660 50 490  
      weighted-average common units outstanding
                                                    
      net income attributable to redeemable noncontrolling interests
                                                  9,994,000  
      net income attributable to noncontrolling interests
                                                 269,924,000 1,965,381,000  
      noncontrolling interests in consolidated entities
                                                   31,578,069,000 
      noncontrolling interests held by kkr holdings l.p.
                                                   4,727,983,000 
    The information provided in this report is taken from www.sec.gov and many other data providers. While we have conducted our best efforts to ensure that the parsed data is accurate, we cannot guarantee its accuracy. Please use caution and understand that any consequences of its use are your own responsibility.