C
KKR Credit Opportunities Portfolio Class D
Recommendation
NAV
Total Assets
Dividend Yield
Turnover Ratio
Expense Ratio
Rating
Reward
Risk
Fund Information
Fund Type
Category
Sub-Category
Prospectus Objective
Inception Date
Open/Closed to New Investors
Minimum Initial Investment
Minimum Subsequent Investment
500
Front End Fee
Back End Fee
Asset Allocation
Cash
Stock
U.S. Stock
Non U.S. Stock
Bond
U.S. Bond
Non-U.S. Bond
Preferred
Convertible
Other
Services Offered
Phone Exchange, Wire Redemption
Top Holdings
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Performance
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7-Day Total Return
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Last Bear Market Total Return
Forward Dividend Yield
Price
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NAV
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52-Week Low
52-Week High
Beta / Standard Deviation
Beta
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Standard Deviation
Company Information
Provider
KKR
Manager/Tenure
(Years)
Jeremiah S. Lane (5), Daniel Pietrzak (5), Christopher A. Sheldon (5)
Website
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Address

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Country
France
Phone Number
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Investment Strategy
The investment seeks to provide attractive risk-adjusted returns and high current income. The fund invests in a select portfolio of the adviser's publicly traded and private credit through exposure to two of its primary credit strategies: (a) Opportunistic Credit, a conviction-based approach investing in a portfolio consisting primarily of publicly traded high yield bonds and (b) Private Credit, which includes directly originated hard and financial asset-based lending, corporate mezzanine debt, as well as directly originated first-lien, second-lien and unitranche senior loans to upper middle-market companies.