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KKR & Co. KKR Other — Issuances
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Other financials
Where this comes from
Reported directly by KKR & Co. in its filing.
Tagged under the XBRL concept us-gaap:LiabilityForFuturePolicyBenefitExpectedFuturePolicyBenefitIssuance.
The source filing: KKR & Co.’s 10-Q, filed August 6, 2026.
- Filed
- Aug 6, 2026, 5:25 PM EDT
- Fiscal quarter
- Q2 FY2026
- Calendar quarter
- Q2 2026
- Accession
- 0001404912-26-000027
| Line item | Six Months Ended / June 30, 2026 / Payout Annuities(1) | Six Months Ended / June 30, 2026 / Other(2) | Six Months Ended / June 30, 2026 / Total | Six Months Ended / June 30, 2025 / Payout Annuities(1) | Six Months Ended / June 30, 2025 / Other(2) | Six Months Ended / June 30, 2025 / Total |
|---|---|---|---|---|---|---|
| Balance at Original Discount Rate | $25,126,080 | $9,466,765 | $34,592,845 | $22,116,114 | $9,336,911 | $31,453,025 |
| Effect of Actual Variances from Expected Experience | (13,767) | (22,690) | (36,457) | 17,445 | (44,815) | (27,370) |
| Adjusted Beginning of Period Balance | 25,112,313 | 9,444,075 | 34,556,388 | 22,133,559 | 9,292,096 | 31,425,655 |
| Issuances | 1,168,320 | 252,991 | 1,421,311 | 1,124,442 | 216,912 | 1,341,354 |
| Interest | 459,161 | 229,141 | 688,302 | 368,021 | 225,674 | 593,695 |
| Benefit Payments | (1,098,909) | (494,779) | (1,593,688) | (970,535) | (459,022) | (1,429,557) |
| Ending Balance at Original Discount Rate | 25,640,885 | 9,431,428 | 35,072,313 | 22,655,487 | 9,275,660 | 31,931,147 |
| Effect of Changes in Discount Rate Assumptions | (2,655,339) | (144,499) | (2,799,838) | (2,657,844) | (88,495) | (2,746,339) |
ITEM 1. FINANCIAL STATEMENTS
FAQ
- What is KKR & Co.'s other — issuances?
- KKR & Co. (KKR) reported other — issuances of $130.92M in Q2 2026.
- How has KKR & Co.'s other — issuances changed year-over-year?
- KKR & Co.'s other — issuances increased by 14.4% year-over-year, from $114.47M to $130.92M.
- What is the long-term trend for KKR & Co.'s other — issuances?
- Over 3 years (2022 to 2025), KKR & Co.'s other — issuances has grown at a 266.8% compound annual growth rate (CAGR), from $9.39M to $463.28M.
- What does other — issuances mean?
- This metric tracks the total volume of new insurance policies or annuity contracts issued within the reporting period. It serves as a primary indicator of top-line growth and market penetration for the insurance segment. High issuance volume reflects strong sales momentum and demand for the firm's insurance products.
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