Carlyle Group Inc (CG)

Currency in USD
46.07
-0.56(-1.20%)
Closed·
46.070.00(0.00%)
·
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Fair Value
Day's Range
45.5447.00
52 wk Range
39.6069.85
Key Statistics
Prev. Close
46.63
Open
45.88
Day's Range
45.54-47
52 wk Range
39.6-69.85
Volume
1.98M
Average Volume (3m)
3.47M
1-Year Change
-23.4336%
Book Value / Share
14.96
Fair Value
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Fair Value Upside
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CG Scorecardpro icon
Company’s Health
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Fair Value
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Fair Price
Upside
Price Target
56.69
Upside
+23.05%
Members' Sentiments
Bearish
Bullish
ProTips
8 analysts have revised their earnings downwards for the upcoming period

Carlyle Group Inc News & Analysis

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Technical Analysis

Summary
Strong Sell
Sell
Neutral
Buy
Strong Buy
Neutral
Technical Indicators
Strong Sell
Moving Averages
Buy

Analyst Ratings

8 Buy
7 Hold
1 Sell
Ratings:
16 analysts
Overall Consensus
Buy

Analysts 12-Month Price Target:

Average 56.69
(+23.05% Upside)
Firm
ArticlePositionPrice TargetUpside / DownsideFrom Price TargetActionDate
BMO Capital
Buy94.00+104.04%102.00Maintain13/07/2026
BMO Capital
Buy52.00+12.87%60.00Maintain13/07/2026
RBC Capital
Hold56.00+21.55%58.00Maintain13/07/2026
Barclays
Buy57.00+23.72%63.00Maintain09/07/2026
Citizens
Buy70.00+51.94%75.00Maintain09/07/2026

Carlyle Group Inc Earnings Call Summary for Q1/2026

  • Q1 2026 EPS of $0.89 missed forecast by 11%; revenue of $254M fell short by 76% vs. $1.06B estimate, though stock rose 1.15% to $49.48
  • Distributable earnings reached $327M with fee-related earnings of $300M (47% margin); firm generated $12B in realized proceeds, its third-best quarter
  • Carlyle AlpInvest posted record AUM and inflows; firm entering fundraising 'super cycle' with accelerated activity expected through 2026
  • Stock down 15.78% YTD trading near 52-week low; maintains 2.83% dividend yield with 15 consecutive years of payments; 9 analysts revised earnings downward
  • Management cited geopolitical uncertainties, supply chain disruptions, and elevated wealth channel redemptions as key risks to future performance
Last Updated: 12/05/2026, 19:58
Read Full Transcript

Earnings

Latest Release
07/05/2026
EPS / Forecast
0.89 / 1.00
Revenue / Forecast
254M / 1.06B
EPS Revisions
Last 90 days

Dividends

Payout Ratio
Payout ratio (TTM)
Earnings retained
EPS 1.48%
Dividend Yield
3.00%
Industry Median 1.90%
Annualised payout
1.40
Paid quarterly
5-Years Growth
+6.96%
Growth Streak

Compare CG to Peers and Sector

Metrics to compare
CG
Peers
Sector
Relationship
P/E Ratio
30.3x15.4x10.1x
PEG Ratio
−0.611.640.03
Price/Book
3.1x3.6x1.0x
Price / LTM Sales
5.1x5.8x2.9x
Upside (Analyst Target)
22.6%11.8%13.6%
Fair Value Upside
Unlock21.4%2.5%Unlock

The Carlyle Group Inc. is an investment firm specializing in direct and fund of fund investments. Within direct investments, it specializes in management-led/ Leveraged buyouts, privatizations, divestitures, strategic minority equity investments, structured credit, global distressed and corporate opportunities, small and middle market, equity private placements, consolidations and buildups, senior debt, mezzanine and leveraged finance, and venture and growth capital financings, seed/startup, early venture, emerging growth, turnaround, mid venture, late venture, PIPES, recapitalization. The firm invests across four segments which include Corporate Private Equity, Real Assets, Global Market Strategies, and Solutions. The firm typically invests in industrial, agribusiness, ecological sector, fintech, airports, parking, Plastics, Rubber, diversified natural resources, minerals, farming, aerospace, defense, automotive, consumer, retail, industrial, infrastructure, energy, power, healthcare, software, software enabled services, semiconductors, communications infrastructure, financial technology, utilities, gaming, systems and related supply chain, electronic systems, systems, oil and gas, processing facilities, power generation assets, technology, systems, real estate, financial services, transportation, business services, telecommunications, media, and logistics sectors. Within the industrial sector, the firm invests in manufacturing, building products, packaging, chemicals, metals and mining, forestry and paper products, and industrial consumables and services. In consumer and retail sectors, it invests in food and beverage, retail, restaurants, consumer products, domestic consumption, consumer services, personal care products, direct marketing, and education. Within aerospace, defense, business services, and government services sectors, it seeks to invest in defense electronics, manufacturing and services, government contracting and services, information technology, distribution companies, supply chains, aftermarket services, cybersecurity and digital resilience, digital transformation. Within healthcare, biotech and medtech innovation, life sciences, healthcare IT, pharmacy, pharma commercialization. In telecommunication and media sectors, it invests in cable TV, directories, publishing, entertainment and content delivery services, wireless infrastructure/services, fixed line networks, satellite services, broadband and Internet, and infrastructure. Within real estate, the firm invests in office, hotel, industrial, retail, for sale residential, student housing, hospitality, multifamily residential, homebuilding and building products, and senior living sectors. The firm seeks to make investments in growing business including those with overleveraged balance sheets. The firm seeks to hold its investments for four to six years. In the healthcare sector, it invests in healthcare services, outsourcing services, companies running clinical trials for pharmaceutical companies, managed care, pharmaceuticals, pharmaceutical related services, healthcare IT, medical, products, and devices. It seeks to invest in companies based in Sub-Saharan focusing on Ghana, Kenya, Mozambique, Botswana, Nigeria, Uganda, West Africa, North Africa and South Africa focusing on Tanzania and Zambia; Asia focusing on Pakistan, India, Hong Kong, South East Asia, Indonesia, Philippines, Malaysia, Singapore, Vietnam, Taiwan, Korea, and Japan; Australia; New Zealand; Europe focusing on France, Italy, Denmark, United Kingdom, Germany, Austria, Belgium, Finland, Iceland, Ireland, Netherlands, Norway, Portugal, Spain, Benelux , Sweden, Switzerland, Hungary, Poland, and Russia; Middle East focusing on Bahrain, Jordan, Kuwait, Lebanon, Oman, Qatar, Saudi Arabia, Turkey, and UAE; North America focusing on United States which further invest in Southeastern United States, Texas, Boston, San Francisco Bay Area and Pacific Northwest; Asia Pacific; Soviet Union, Central-Eastern Europe, and Israel; Nordic region; and South America focusing on Mexico, Argentina, Brazil, Chile, and Peru. The firm seeks to invest in food, financial, and healthcare industries in Western China. In the real estate sector, the firm seeks to invest in various locations across Europe focusing on France and Central Europe, United States, Asia focusing on China, and Latin America. It typically invests between $2.24 million and $50 million for venture investments and between $50 million and $2 billion for buyouts in companies with enterprise value of between $31.57 million and $1000 million and sales value of $50 million and $300 million. It seeks to invest in companies with market capitalization greater than $50 million and EBITDA between $5 million to $25 million. It prefers to take a majority or a minority stake. While investing in Japan, it does not invest in companies with more than 1,000 employees and prefers companies’ worth between $100 million and $150 million. The firm originates, structures, and acts as lead equity investor in the transactions. The Carlyle Group Inc. was founded in 1987 and is based in Washington, District of Columbia with additional offices across North America, South America, Asia, Australia and Europe.

Ownership

Ownership Overview

Type
Common Stock Held% of Shares OutstandingMarket Value
Mutual Funds & ETFs
123.93M34.43%5.71B
Other Institutional Investors
109.08M30.30%5.03B
Public Companies & Retail Investors
126.96M35.27%5.85B
Total
359.97M100.00%16.58B

Top Holders

Holder
% of holding
Shares Held
Date Reported
Value (In 1,000s)
BlackRock, Inc.8.62%31,024,4451,429,296
Capital Research and Management Company5.00%17,987,864828,701

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FAQ

What Is the Carlyle Group (NASDAQ: CG) Share Price Today?

The Carlyle Group stock price today is 46.07 USD.

What Stock Exchange Does Carlyle Group (CG) Trade On?

Carlyle Group is listed and trades on the Nasdaq Stock Exchange.

What Is the Ticker (Stock Symbol) for Carlyle Group?

The stock symbol (also called a 'ticker') for Carlyle Group is "CG."

Does Carlyle Group Pay Dividends? What’s The Current CG Dividend Yield?

Yes, CG Pays Dividends to its Shareholders. The current Carlyle Group dividend yield is 3%.

What Is the Current Carlyle Group Market Capitalisation?

As of today, Carlyle Group (NASDAQ: CG) market cap is 16.58B USD.

What Is Carlyle Group's (CG) Earnings Per Share (TTM)?

The Carlyle Group EPS is currently 1.48 (Trailing Twelve Months).

When Is the Next Carlyle Group Earnings Date?

Carlyle Group's next earnings report will be released on 05/08/2026.

Is CG a Buy or Sell From a Technical Analyst Perspective?

Based on today's Carlyle Group moving averages and other technical indicators, the daily buy/sell signal for CG stock is Strong Buy.

How Many Times Has Carlyle Group Stock Split?

Carlyle Group has split 0 times. (See the CG stock split history page for full effective split date and price information.)

How Many Employees Does Carlyle Group Have?

Carlyle Group has 2500 employees, based on their latest Companies House report.

What is the current trading status of Carlyle Group (NASDAQ: CG)?

As of 20/07/2026, Carlyle Group (CG) is trading at a share price of 46.07 USD, with a previous close of 46.63 USD. The stock has fluctuated within a day range of 45.54 USD to 47.00 USD, while its 52-week range spans from 39.60 USD to 69.85 USD.

What Is Carlyle Group (CG) Price Target According to Analysts?

The average 12-month price target for Carlyle Group is 56.69 USD, with a high estimate of 70 USD and a low estimate of 44 USD. 8 analysts recommend buying the stock, while 1 suggest selling, leading to an overall rating of Buy. The stock has an +23.05% Upside potential.

What Is the CG Premarket Price?

CG's last pre-market stock price is 47.19 USD. The pre-market share volume is 60.00, and the stock has decreased by 0.56, or 1.20%.
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