Comparison of KKR & Co. Inc. and Brookfield Asset Management: Earnings, Valuation, Profitability, Analyst Ratings, Insider and Institutional Ownership, Dividends, Risk & Volatility, and Summary
KKR & Co. Inc. (NYSE:KKR) and Brookfield Asset Management (NYSE:BAM) are two major players in the finance industry, but which one is the better investment? Let’s take a closer look at how these companies stack up against each other.
In terms of earnings and valuation, KKR & Co. Inc. has higher revenue and earnings compared to Brookfield Asset Management. Additionally, KKR & Co. Inc. is trading at a lower price-to-earnings ratio, making it a more affordable option for investors.
When it comes to profitability, Brookfield Asset Management outshines KKR & Co. Inc. with higher net margins, return on equity, and return on assets. This indicates that Brookfield Asset Management is more efficient in generating profits from its investments.
Analyst ratings also favor Brookfield Asset Management, with a higher consensus price target suggesting a potential upside for investors. On the other hand, KKR & Co. Inc. has a lower consensus price target, indicating a potential downside.
In terms of insider and institutional ownership, KKR & Co. Inc. has a higher percentage of institutional investors holding its shares, while Brookfield Asset Management has a higher percentage of insider ownership. Strong institutional ownership is often seen as a positive sign for long-term growth potential.
When it comes to dividends, Brookfield Asset Management offers a higher dividend yield compared to KKR & Co. Inc. However, KKR & Co. Inc. has a lower payout ratio, indicating that it may have more room to increase its dividend in the future.
In terms of risk and volatility, both companies have a beta of 1.62, indicating that their stock prices are 62% more volatile than the S&P 500. This means that investors should be prepared for fluctuations in stock prices when investing in either company.
Overall, KKR & Co. Inc. beats Brookfield Asset Management on 9 of the 16 factors compared between the two stocks. Investors should carefully consider these factors before making a decision on which company to invest in.
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