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CG 4-star rating from Upturn Advisory
Carlyle Group Inc (CG) company logo

Carlyle Group Inc (CG)

Carlyle Group Inc (CG) 4-star rating from Upturn Advisory
$60.92
Last Close (24-hour delay)
Today's Top Picks logoToday’s top pick
Profit since last BUY1.23%
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Strong Buy
BUY since 9 days
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  • SELL Advisory (Loss)
  • Profit
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Upturn Stock price based on last close icon Stock price based on last close
*as per simulation
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Time period over
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Upturn Advisory Summary

12/23/2025: CG (4-star) is a STRONG-BUY. BUY since 9 days. Simulated Profits (1.23%). Updated daily EoD!

Upturn Star Rating

Upturn 4 star rating for performance

Above Average Performance

These Stocks/ETFs, based on Upturn Advisory, frequently surpass the market, reflecting reliable and trustworthy advice.

Number of Analysts

3 star rating from financial analysts

18 Analysts rated it

Moderately tracked stock, growing coverage, gaining market and investor attention.

1 Year Target Price $66.27

1 Year Target Price $66.27

Analysts Price Target For last 52 week
$66.27 Target price
52w Low $32.38
Current$60.92
52w High $69.38

Analysis of Past Performance

Type Stock
Historic Profit 63.19%
Avg. Invested days 49
Today’s Advisory Strong Buy
Upturn Star Rating upturn star rating icon
Upturn Advisory Performance Upturn Advisory Performance icon 4.0
Stock Returns Performance Upturn Returns Performance icon 3.0
Upturn Profits based on simulation icon Profits based on simulation
Upturn last close icon Last Close 12/23/2025

Key Highlights

Company Size Large-Cap Stock
Market Capitalization 22.31B USD
Price to earnings Ratio 34.65
1Y Target Price 66.27
Price to earnings Ratio 34.65
1Y Target Price 66.27
Volume (30-day avg) 18
Beta 2.06
52 Weeks Range 32.38 - 69.38
Updated Date 12/23/2025
52 Weeks Range 32.38 - 69.38
Updated Date 12/23/2025
Dividends yield (FY) 2.35%
Basic EPS (TTM) 1.78

Analyzing Revenue: Products, Geography and Growth

Revenue by Products

Product revenue - Year on Year

Revenue by Geography

Geography revenue - Year on Year

Earnings Date

Report Date -
When -
Estimate -
Actual -

Profitability

Profit Margin 20.62%
Operating Margin (TTM) -29.78%

Management Effectiveness

Return on Assets (TTM) 3.33%
Return on Equity (TTM) 12.54%

Valuation

Trailing PE 34.65
Forward PE 12.38
Enterprise Value 32859918336
Price to Sales(TTM) 6.95
Enterprise Value 32859918336
Price to Sales(TTM) 6.95
Enterprise Value to Revenue 11.68
Enterprise Value to EBITDA 8.6
Shares Outstanding 360410486
Shares Floating 265056684
Shares Outstanding 360410486
Shares Floating 265056684
Percent Insiders 25.13
Percent Institutions 65.94

Icon representing Upturn AI-generated SWOT analysis summary Upturn AI SWOT

Carlyle Group Inc

Carlyle Group Inc(CG) company logo displayed in Upturn AI summary

Company Overview

Company history and background logo History and Background

The Carlyle Group Inc. was founded in 1987 by William E. Conway Jr., Daniel A. D'Aniello, and David M. Rubenstein. It began as a small investment firm and has since grown into one of the world's largest and most diversified investment firms. Key milestones include its IPO in 2012, significant expansion into global markets, and diversification of its investment strategies beyond traditional private equity to include credit, real assets, and investment solutions.

Company business area logo Core Business Areas

  • Investment Solutions: This segment provides diversified investment strategies, including funds of funds and custom solutions, to institutional investors and sovereign wealth funds. It focuses on offering access to a broad range of private equity and alternative asset classes.
  • Global Credit: This segment encompasses a wide range of credit strategies, including corporate private credit, structured credit, and opportunistic credit. It aims to generate attractive risk-adjusted returns through credit investments across various market cycles.
  • Global Investment: This segment is the core private equity business, focusing on acquiring and managing companies across various industries and geographies. It invests in buyouts, growth equity, and other control-oriented investments.
  • Investment Management: This segment represents the broader asset management operations, encompassing the various investment strategies and funds managed by the firm across its different segments.

leadership logo Leadership and Structure

Carlyle Group Inc. is a publicly traded company with a board of directors overseeing its strategic direction. The executive leadership team, including the CEO and heads of various business segments and geographies, manages day-to-day operations. The company operates with a matrix structure, integrating its global investment teams and strategies.

Top Products and Market Share

Product Key Offerings logo Key Offerings

  • Private Equity Funds: Carlyle manages a variety of private equity funds targeting different sectors and investment stages, from large buyouts to growth capital. These funds acquire stakes in or full ownership of companies, aiming to improve their performance and exit at a profit. Competitors include Blackstone, KKR, Apollo Global Management, and other major private equity firms.
  • Credit Funds: Carlyle offers a range of credit funds that invest in corporate loans, distressed debt, and other credit instruments. These funds aim to provide capital to businesses and generate income through interest payments and capital appreciation. Competitors include Ares Management, Golub Capital, and other credit-focused investment firms.
  • Investment Solutions: This offering provides customized investment solutions and fund-of-funds for institutional investors seeking diversified exposure to alternative assets. Competitors include Lexington Partners, Partners Group, and other providers of secondary market and fund-of-funds services.

Market Dynamics

industry overview logo Industry Overview

The private equity and alternative asset management industry is highly competitive and dynamic, driven by institutional investor demand for diversification and higher returns. Key trends include the increasing allocation to private markets, the growth of credit strategies, and the ongoing consolidation within the industry. Regulatory changes and macroeconomic conditions also significantly influence the market.

Positioning

Carlyle Group Inc. is positioned as a leading global investment firm with a diversified platform across private equity, credit, and investment solutions. Its strengths lie in its extensive global network, deep industry expertise, and ability to execute complex transactions. It competes with other large, established alternative asset managers.

Total Addressable Market (TAM)

The TAM for alternative assets, including private equity, private credit, and real assets, is substantial and continues to grow, estimated in the trillions of dollars globally. Carlyle Group Inc. is a significant player within this TAM, particularly in its core segments of private equity and credit. Its positioning is strong due to its established track record and broad investor base, but it faces intense competition from other major players vying for capital and deal flow.

Upturn SWOT Analysis

Strengths

  • Diversified Investment Strategies
  • Global Presence and Network
  • Strong Brand Recognition and Reputation
  • Experienced Leadership Team
  • Significant Assets Under Management (AUM)

Weaknesses

  • Reliance on Fundraising Cycles
  • Potential for Performance Fluctuations
  • Sensitivity to Market Downturns
  • Complexity of Global Operations
  • Competition for Talent

Opportunities

  • Growing Demand for Alternative Investments
  • Expansion into Emerging Markets
  • Development of New Investment Products
  • Strategic Acquisitions and Partnerships
  • Increased Focus on ESG Investments

Threats

  • Intensifying Competition
  • Rising Interest Rates and Economic Uncertainty
  • Increased Regulatory Scrutiny
  • Geopolitical Risks
  • Changes in Investor Sentiment

Competitors and Market Share

Key competitor logo Key Competitors

  • Blackstone Inc. (BX)
  • KKR & Co. Inc. (KKR)
  • Apollo Global Management, Inc. (APO)
  • Brookfield Asset Management Ltd. (BAM)

Competitive Landscape

Carlyle competes in a highly consolidated alternative asset management landscape where scale, performance, and investor relationships are critical. Its competitive advantages include its diversified platform, global reach, and established reputation. However, it faces intense competition from larger rivals like Blackstone and KKR, which often have greater scale and broader product offerings.

Major Acquisitions

Global Atlantic Financial Group

  • Year: 2021
  • Acquisition Price (USD millions): 760
  • Strategic Rationale: To enhance Carlyle's capabilities in the insurance sector and expand its asset management offerings, leveraging Global Atlantic's expertise in insurance-related investments and capital solutions.

Pioneer Investment Management

  • Year: 2021
  • Acquisition Price (USD millions):
  • Strategic Rationale: Carlyle acquired a significant stake in Pioneer Investment Management, a subsidiary of UniCredit, to expand its European presence and product offerings, particularly in liquid alternatives and mutual funds.

Growth Trajectory and Initiatives

Historical Growth: Carlyle has demonstrated significant historical growth, driven by the expansion of its AUM, successful fundraising, and strategic acquisitions. Its evolution from a modest firm to a global investment powerhouse underscores its growth trajectory.

Future Projections: Future growth is projected to be driven by continued fundraising across its various strategies, expansion into new markets and asset classes, and potential strategic alliances. Analyst consensus for future earnings and AUM growth can be found in financial industry reports.

Recent Initiatives: Recent initiatives may include the launch of new funds, partnerships to enhance specific investment capabilities, and a focus on incorporating Environmental, Social, and Governance (ESG) principles into its investment processes.

Summary

Carlyle Group Inc. is a well-established and diversified global investment firm with strong brand recognition and a broad range of investment strategies. Its strengths lie in its global reach, experienced team, and ability to raise significant capital. However, it faces intense competition and is susceptible to market downturns and fundraising cycles. Continued focus on expanding its investment solutions and credit segments, alongside prudent risk management, will be crucial for sustained growth and navigating future challenges.

Similar Stocks

Sources and Disclaimers

Data Sources:

  • Carlyle Group Inc. Investor Relations Website
  • SEC Filings (10-K, 10-Q)
  • Reputable Financial News Outlets (e.g., Wall Street Journal, Bloomberg)
  • Financial Data Providers (e.g., Refinitiv, S&P Capital IQ)

Disclaimers:

This analysis is based on publicly available information and is intended for informational purposes only. It does not constitute financial advice. Investors should conduct their own due diligence before making any investment decisions. Market share data and competitor information are estimates and subject to change.

Information icon for Upturn AI Summarization accuracy disclaimer AI Summarization is directionally correct and might not be accurate.

Information icon for Upturn AI Summarization data freshness disclaimer Summarized information shown could be a few years old and not current.

Information icon warning about Upturn AI Fundamental Rating based on potentially old data Fundamental Rating based on AI could be based on old data.

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About Carlyle Group Inc

Exchange NASDAQ
Headquaters Washington, DC, United States
IPO Launch date 2012-05-03
CEO -
Sector Financial Services
Industry Asset Management
Full time employees 2400
Full time employees 2400

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. 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. In telecommunication and media sectors, it i