Discontinued — last reported Q2 '23
Business Segments · Debt instrument, basis spread on variable rate
Asset Management — Debt instrument, basis spread on variable rate
Analysis
StatementSegment
CategoryLeverage
SignalLower is better
VolatilityModerate
First reportedQ2 2023
Last reportedQ2 2023Feb 29, 2024
How to read this metric
A lower spread indicates stronger creditworthiness and lower borrowing costs, while a higher spread suggests increased risk perception.
Detailed definition
The additional interest rate margin added to a benchmark index for variable-rate debt instruments within the asset manag...
Peer comparison
Comparable to 'Credit Spread' or 'Margin over LIBOR/SOFR' reported by peer asset managers.
Metric ID:
kkr_segment_asset_management_debt_instrument_basis_spread_on_variable_rateHistorical Data
1 periods
| Q2 '23 | |
|---|---|
| Value | 2.8% |
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Frequently Asked Questions
- What is KKR & Co.'s asset management — debt instrument, basis spread on variable rate?
- KKR & Co. (KKR) reported asset management — debt instrument, basis spread on variable rate of 2.8% in Q2 2023.
- What does asset management — debt instrument, basis spread on variable rate mean?
- The extra interest rate percentage paid over a benchmark index for variable-rate debt.