KKR Income Opportunities Fund (NYSE: KIO) is a diversified, closed-end management investment company that seeks to provide attractive current income and capital appreciation by investing primarily in corporate credit instruments. Managed by KKR Income Opportunities Advisors, LLC, the fund leverages the global credit platform of KKR & Co. Inc., deploying capital across a broad spectrum of debt securities—including broadly syndicated loans, high-yield bonds, convertible bonds, private credit, and other credit-related instruments.
Since its initial public offering in June 2018, the fund has pursued a flexible, research-driven strategy designed to capture opportunities across credit markets. Portfolio managers draw upon KKR’s extensive origination capabilities and wide network of corporate relationships to source both public and private credit transactions. This approach enables the fund to access higher-yielding opportunities while managing risk through rigorous credit analysis and diversification across industries and geographies.
KKR Income Opportunities Fund primarily targets issuers in North America and Europe but also allocates to select emerging markets where attractive risk-adjusted returns may be available. The fund may employ leverage to enhance income potential and seeks to distribute monthly dividends to shareholders. Its investment team, based in KKR’s New York headquarters with support from offices in London and Hong Kong, draws on decades of collective experience in credit markets to position the portfolio dynamically in changing market conditions.
As part of the broader KKR platform—founded in 1976 by Henry Kravis and George R. Roberts—KKR Income Opportunities Fund benefits from integrated research capabilities, proprietary credit origination channels, and a global risk-management framework. The fund is governed by an independent board of directors, with periodic updates provided to shareholders on portfolio positioning and market outlooks.
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