Milyon USD cinsinden finanslar. Mali yıl Şubat - Ocak'tır.
Breakdown
TTM
10/31/2024
10/31/2023
10/31/2022
10/31/2021
10/31/2020
Hasılat
59
59
53
38
38
39
Hasılat Artışı (YoY)
2%
11%
39%
0%
-3%
-5%
Satınalma Maliyeti
14
15
11
7
7
7
Brüt Kâr
44
44
41
30
31
31
Satış, Genel ve İdari
1
0
0
0
0
0
Araştırma ve Geliştirme
--
--
--
--
--
--
İşletme Giderleri
4
4
3
2
2
3
Diğer Finansman Gelirleri (Giderleri)
-32
27
--
--
--
--
Kâr Öncesi Gelir
8
66
53
-62
64
16
Kira Vergisi Gideri
--
--
--
--
--
--
Net Kâr
8
66
53
-62
64
16
Net Income Growth
Kâr Artışı
-88%
25%
-185%
-197%
300%
-633%
Dolaşım Daki Hisse Senetleri (Dilüte Edilmiş)
41
27
20.34
22.34
22.34
22.34
Hisse Değişimi (Yıllık Üst Üste)
52%
33%
-9%
0%
0%
10%
EPS (Diluted)
0.19
2.43
2.64
-2.78
2.89
0.72
EPS Artışı
-92%
-8%
-195%
-196%
301%
-524%
Öz sermaye akışı
57
69
-59
27
14
5
Hisse Başı Öz Kaynak Akışı
--
--
--
--
--
--
Brüt Karşılık
74.57%
74.57%
77.35%
78.94%
81.57%
79.48%
Faaliyet Kâr Marjı
67.79%
66.1%
69.81%
71.05%
73.68%
71.79%
Kâr Marjı
13.55%
111.86%
100%
-163.15%
168.42%
41.02%
Özsermaye Karlılık Oranı
96.61%
116.94%
-111.32%
71.05%
36.84%
12.82%
EBITDA
--
--
--
--
--
--
EBITDA Marjinali
--
--
--
--
--
--
D&A EBITDA için
--
--
--
--
--
--
Faaliyet Kârı
40
39
37
27
28
28
Faaliyet Kâr Marjı
67.79%
66.1%
69.81%
71.05%
73.68%
71.79%
Verilen Vergi Oranı
--
--
--
--
--
--
Önemli İstatistikler
Önceki Kapanış
$11.71
Açılış fiyatı
$11.75
Günün Aralığı
$11.71 - $11.81
52 haftalık aralık
$10.69 - $12.98
İşlem hacmi
--
Ort.Hacim
343.6K
EPS (TTM)
0.46
Dividend yield
8.92%
Piyasa Değeri
$481.8M
KIO nedir?
KKR Income Opportunities Fund is a US-based company operating in industry. The company is headquartered in San Francisco, California. The company went IPO on 2013-07-26. KKR Income Opportunities Fund (Fund) is diversified, closed-end management investment company. The Fund’s primary investment objective is to seek a high level of current income with a secondary objective of capital appreciation. The Fund seeks to achieve its investment objectives by employing a dynamic strategy of investing in a targeted portfolio of loans and fixed-income instruments of United States (U.S.) and foreign issuers and implementing hedging strategies in order to achieve attractive risk adjusted returns. The Fund will invest at least 80% of its managed assets in loans and fixed-income instruments or other instruments, including derivative instruments, with similar economic characteristics. The Fund seeks to invest primarily in first and second lien secured loans, unsecured loans, and high-yield corporate debt instruments of varying maturities. KKR Credit Advisors (US) LLC serves as the investment adviser of the Fund.