Investor presentation
Logotype for FS KKR Capital Corp

FS KKR Capital (FSK) Investor presentation summary

Event summary combining transcript, slides, and related documents.

Logotype for FS KKR Capital Corp

Investor presentation summary

24 Mar, 2026

Advisor and platform overview

  • Manages ~$14 billion AUM as a publicly traded BDC within KKR Credit's $288 billion platform, leveraging a network of 2,700+ issuers and 250 professionals, with a diversified $11 billion capital structure.

  • Focuses on upper middle market companies ($50–$150 million+ EBITDA), emphasizing defensive, non-cyclical sectors and rigorous portfolio monitoring.

  • KKR Credit platform includes $145 billion in leveraged credit, $135 billion in private credit, and $8 billion in strategic investments.

  • Private credit strategy emphasizes direct lending, asset-based finance, and junior capital, with strong alignment through $2.5 billion of KKR capital committed.

  • Leverages KKR's global resources, including private equity, capital markets, and operational improvement teams, for origination and due diligence advantages.

Investment philosophy and process

  • Employs a disciplined, PE-style due diligence process with a focus on downside and structural protections.

  • Global, multi-channel origination and a broad network enable total solutions and repeat relationships; 66% of originations come from existing portfolio companies.

  • Consistent portfolio construction and risk management, with ongoing monitoring and quarterly reviews.

  • Targets upper middle market borrowers, which historically show lower default rates and stronger credit profiles.

Portfolio composition and performance

  • $13.0 billion portfolio fair value across 232 companies, with 62.4% in senior secured loans and 13% in asset-based finance as of December 31, 2025.

  • Median portfolio company EBITDA is $132 million with 5.8x leverage; top 10 holdings represent 19.4% of fair value.

  • Weighted average yield on accruing debt investments is 10.0%, with a non-accrual rate at fair value of 3.4%.

  • Asset-based finance investments are diversified, backed by pools of financial and hard assets, and managed by a specialized team.

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