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Compare Hasbro, Inc. (HAS) vs KKR & Co Inc (KKR) Price & Performance

Hasbro, Inc.Trade
KKR & Co IncTrade

Price performance (Past 24H)

Key statistics

Hasbro, Inc. vs KKR & Co Inc — how do they compare? Hasbro, Inc. trades at $97.48 (market cap $13.69B), while KKR & Co Inc trades at $111.4 (market cap $99.61B). The key difference: KKR & Co Inc is far larger — about 7.3× Hasbro, Inc.'s market cap, and Hasbro, Inc. pays the higher dividend (2.89%). Which is the better fit depends on your goals.

HASKKR
Market Cap
$13.69B$99.61B
Sector
Consumer CyclicalFinancials
52-Week High
$105.88$149.34
52-Week Low
$70.95$83.88
Enterprise Value
$15.88B$22.17B
Dividend Yield
2.89%0.7%

Returns comparison

Trailing returns across standard periods

Top news

Latest headlines on both assets

About Hasbro, Inc.

Hasbro is a branded play company providing children and families around the world with entertainment offerings based on a world-class brand portfolio. From toys and games to television programming, motion pictures, and a licensing program, Hasbro reaches customers by leveraging its well-known brands such as Transformers, Nerf, and Magic: The Gathering. Ownership stakes in Discovery Family, which offers programming around Hasbro brands, and owned production capabilities from Entertainment One help bolster Hasbro's multichannel presence. The firm acquired Entertainment One in 2019, bolting on popular properties like Peppa Pig and PJ Masks, and has plans to tie up with Dungeons & Dragons Beyond in 2022, offering the firm access 10 million digital tabletop players.

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About KKR & Co Inc

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.

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