Capital Group KKR U.S. Equity
FundsMulti-Asset

Capital Group KKR U.S. Equity

Managed by Capital Group (The Capital Group Companies, Inc.)

Capital Group KKR U.S. Equity

Capital Group (The Capital Group Companies, Inc.) logo

Managed by

Capital Group (The Capital Group Companies, Inc.)
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Capital Group KKR U.S. Equity banner
An interval fund blending public U.S. equities with private equity investments through KKR, seeking long-term capital appreciation for retail and institutional investors.

Key Statistics

Fund Size

$99M

Target Return

N/A

Annualized Return

N/A

Launch Year

2026

Min. Investment

€1,000

Availability

Closed

Structure

Delaware Statutory Trust

Product Category

Closed-end

Domicile

United States

Liquidity Level

Semi-liquid

Management Fee

0.35%

Carry

None at fund level.%

High Water Mark

No

Ticker

USEPX (Class A); USEAX (Class F-2)

Currencies

USD

Investor Eligibility

No accreditation requirements; available to retail investors

Liquidity Options

N/A

Highlights

First Capital Group–KKR product; operations began 2 March 2026
~59% US large/mid-cap equities + ~38% KKR private equity
$1,000 minimum; quarterly 5% repurchase offers
Net expense ratio 0.76% (F-2) to 1.05% (Class A)
$99M net assets after first month

Allocations

Investment Strategy

Buyout
Growth Equity
U.S. Large-Cap Equity
U.S. Mid-Cap Equity
Co-Investments

Information about fund

Public Stocks Plus KKR Private Equity, for $1,000

Capital Group KKR U.S. Equity+ is the first product of the Capital Group–KKR partnership: an interval fund that began operations on 2 March 2026 and holds roughly 59% in large- and mid-cap US stocks selected by Capital Group’s equity team and 38% in KKR private equity investments, through the KKR Private Equity Conglomerate and co-investment vehicles. It is built for ordinary retail investors: a $1,000 minimum, quarterly offers to repurchase 5% of shares, and net expense ratios from 0.76% (F-2) to 1.05% (Class A) after waivers. It ended its first month with $99 million of net assets and a loss of about 3.2%, in line with the equity market.

Key Figures (31 March 2026)

Net Assets

$99M

First month

Allocation

59 / 38

US equities / KKR private equity

Minimum

$1,000

Retail interval fund

Liquidity

Quarterly

5% of shares

Net Expenses

0.76–1.05%

F-2 to Class A

Launched

2 Mar 2026

First month -3.2%

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