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Capital Group and KKR Launch Their First Two Public-Private Investment Solutions and Announce Plans to Expand Their Exclusive Strategic Partnership

In This Article:

  • Subsequent strategies will include two public-private equity-oriented solutions, expected to launch in the U.S. in 2026

  • Work is underway to extend access for individuals interested in private markets through vehicles such as model portfolios and target date funds

LOS ANGELES and NEW YORK, April 29, 2025 /PRNewswire/ -- Leading global investment firms Capital Group and KKR today launched two interval funds focused on credit strategies, Capital Group KKR Core Plus+ and Capital Group KKR Multi-Sector+. Since their strategic partnership was announced in May 2024, the organizations have been working together on opportunities to further broaden access to private market investment solutions and provide education for individual investors, financial advisors and institutional clients.

KKR/CG logo
KKR/CG logo

Capital Group and KKR are already working on additional strategies and expect to deliver two equity-focused strategies intended to address different client needs and offer access to additional private markets asset classes.

"These solutions demonstrate the power of our combined scale and experience. We believe what Capital Group and KKR can do together is unmatched — blending best-in-class public and private market exposures to deliver diversified and differentiated investment outcomes at a compelling fee. I think of these public-private solutions as the best of both worlds," said Capital Group President and CEO, Mike Gitlin.

The two new interval funds employ a thoughtful and deliberate approach, designed from the ground up to deliver blended public-private markets exposure with a risk, return and liquidity profile driven by input from financial advisors and a focus on investor needs and outcomes. Defining features include:

  • Public credit and private credit exposures combined into a single, holistic solution: over time, and subject to market conditions, each fund will seek to allocate approximately 60% of net assets to public fixed income and 40% to private credit consisting of direct lending and asset-based finance investments.

  • Improved liquidity relative to standalone alternatives: quarterly repurchase offers up to 10% of the fund's outstanding shares at net asset value (NAV). Most interval funds offer 5% quarterly liquidity1.

  • Highly competitive total expense ratios2:

    • Capital Group KKR Core Plus+ at 84 basis points

    • Capital Group KKR Multi-Sector+ at 89 basis points

  • Low investment minimum of $1,000 for all share classes.

Just getting started

"Together with Capital Group, we are aiming to unlock the benefits of private investments for the 95%3 of individual investors who have not historically been able to invest in the private markets. We have only scratched the surface of what we can offer investors as we look to expand our collaboration across additional asset classes, geographies and formats. We entered this partnership knowing that our firms are highly aligned with collaborative cultures and complementary strengths―the launch of these first two funds shows what's possible when our teams come together," said Joe Bae and Scott Nuttall, Co-CEOs of KKR.