Evergy Inc. Common Stock vs KKR & Co Inc — how do they compare? Evergy Inc. Common Stock trades at $80.8 (market cap $18.57B), while KKR & Co Inc trades at $90 (market cap $80.39B). The key difference: KKR & Co Inc is far larger — about 4.3× Evergy Inc. Common Stock's market cap, and Evergy Inc. Common Stock pays the higher dividend (3.45%). Which is the better fit depends on your goals — on Pluang, investors hold Evergy Inc. Common Stock for 0 Days and KKR & Co Inc for 67 Days on average.
| EVRG | KKR | |
|---|---|---|
Market Cap | $18.57B | $80.39B |
Volume | 1,988,675 | 6,517,705 |
Sector | Utilities | Financials |
52-Week High | $88.13 | $142.75 |
52-Week Low | $72.31 | $83.88 |
Typical Hold Time | 0 Days | 67 Days |
Enterprise Value | $35.04B | $2.95B |
Dividend Yield | 3.45% | 0.87% |
Signals from Pluang's Aura AI — not financial advice
No Aura AI signal available yet.
KKR trades at $89.67, down 1.1% on the day, with a bearish technical signal but strong analyst support. Recent earnings show beats in Q1 and Q2 2026, with revenue of $19.21B in 2025 and net income of $2.37B. The stock is supported by a consensus price target of $123.30, indicating significant upside potential. News highlights active deal-making, including joint ventures and asset sales, reinforcing its global investment firm strategy.
The outlook for KKR is positive based on robust fundamentals and analyst optimism, though technical indicators suggest near-term caution. Investment opportunities include potential price appreciation toward the consensus target and ongoing strategic investments. Risks involve market volatility, execution of large-scale deals, and macroeconomic factors affecting asset management returns.
Trailing returns across standard periods
What Pluang investors did over the last 30 days
Evergy is a regulated electric utility serving customers in Kansas and Missouri. Its operations include electricity generation, transmission, and distribution through its integrated utility subsidiaries.
Read more on EVRG →KKR is one of the world's largest alternative asset managers, with $490.7 billion in total assets under management, including $384.5 billion in fee-earning AUM, at the end of June 2022. The company has two core segments: asset management (which includes private markets--private equity, credit, infrastructure, energy and real estate--and public markets--primarily credit and hedge/investment fund platforms) and insurance (following the February 2021 purchase of a 61.5% economic stake in Global Atlantic Financial Group, which is engaged in retirement/annuity and life insurance lines as well as reinsurance). On the asset management side, private markets account for 50% of fee-earning AUM and 70% of base management fees, while public markets account for 50% and 30%, respectively.
Read more on KKR →