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Carlyle Group Inc (CG)

Upturn stock ratingUpturn stock rating
$66.6
Last Close (24-hour delay)
Profit since last BUY43.38%
upturn advisory
Strong Buy
BUY since 84 days
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  • SELL Advisory (Loss)​
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Upturn Advisory Summary

09/12/2025: CG (5-star) is a STRONG-BUY. BUY since 84 days. Simulated Profits (43.38%). Updated daily EoD!

Upturn Star Rating

rating

Outstanding Performance

These Stocks/ETFs, based on Upturn Advisory, have historically outperformed the market, making them a top-tier choice for investors.

Number of Analysts

rating

18 Analysts rated it

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

1 Year Target Price $68.08

1 Year Target Price $68.08

Analysts Price Target For last 52 week
$68.08 Target price
52w Low $32.6
Current$66.6
52w High $68.2

Analysis of Past Performance

Type Stock
Historic Profit 76.62%
Avg. Invested days 54
Today’s Advisory Strong Buy
Upturn Star Rating Upturn stock ratingUpturn stock rating
Upturn Advisory Performance Upturn Advisory Performance 4.0
Stock Returns Performance Upturn Returns Performance 4.0
Upturn Profits based on simulationUpturn Profits based on simulation Profits based on simulation
Upturn Profits based on simulationUpturn Profits based on simulation Last Close 09/12/2025

Key Highlights

Company Size Large-Cap Stock
Market Capitalization 24.09B USD
Price to earnings Ratio 19.47
1Y Target Price 68.08
Price to earnings Ratio 19.47
1Y Target Price 68.08
Volume (30-day avg) 18
Beta 2
52 Weeks Range 32.60 - 68.20
Updated Date 09/14/2025
52 Weeks Range 32.60 - 68.20
Updated Date 09/14/2025
Dividends yield (FY) 2.08%
Basic EPS (TTM) 3.42

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 22.74%
Operating Margin (TTM) 28.65%

Management Effectiveness

Return on Assets (TTM) 5.62%
Return on Equity (TTM) 21.37%

Valuation

Trailing PE 19.47
Forward PE 13.42
Enterprise Value 33912846336
Price to Sales(TTM) 4.36
Enterprise Value 33912846336
Price to Sales(TTM) 4.36
Enterprise Value to Revenue 9.38
Enterprise Value to EBITDA 8.6
Shares Outstanding 361704992
Shares Floating 264807779
Shares Outstanding 361704992
Shares Floating 264807779
Percent Insiders 25.38
Percent Institutions 64.09

ai summary icon Upturn AI SWOT

Carlyle Group Inc

stock logo

Company Overview

overview logo History and Background

Carlyle Group Inc. was founded in 1987 by William Conway Jr., Daniel A. D'Aniello, and Stephen M. Rubenstein. Initially focused on defense industry investments, Carlyle expanded into diverse sectors like consumer, energy, and financial services. It went public in 2012.

business area logo Core Business Areas

  • Global Private Equity: Invests in companies across various industries and geographies, seeking to improve operations and increase value.
  • Global Credit: Provides financing solutions, including loans, structured credit, and direct lending, to companies and projects.
  • Investment Solutions: Offers investment management services to institutions and high-net-worth individuals, including fund of funds and customized solutions.
  • Real Assets: Invests in real estate, infrastructure, and natural resources globally.

leadership logo Leadership and Structure

Harvey M. Schwartz is the current CEO. The organizational structure is divided into business segments, each with its own leadership team, overseen by the executive management committee and the board of directors.

Top Products and Market Share

overview logo Key Offerings

  • Global Credit Funds: Carlyle is a major player in global credit. They provide financing to companies and projects. Market share is fragmented. Competitors include Ares, Blackstone, and Oaktree.
  • Private Equity Funds: Carlyle's flagship product. They are one of the world's largest private equity investors. Market share is difficult to define precisely due to the diverse nature of the industry. Competitors include Apollo, KKR, Blackstone, and TPG.
  • Real Estate Funds: Carlyle has raised $60 billion for private property investments. Competitors include Blackstone, Brookfield and Starwood

Market Dynamics

industry overview logo Industry Overview

The alternative asset management industry is experiencing growth driven by institutional investors seeking higher returns in a low-interest-rate environment. This has led to an influx of capital and increased competition.

Positioning

Carlyle Group is one of the largest and most established alternative asset managers globally, with a diversified investment platform and strong brand reputation. Its size and global reach provide competitive advantages.

Total Addressable Market (TAM)

The global alternative asset management market is estimated to be worth trillions of dollars. Carlyle is well-positioned to capture a significant share of this market due to its scale and brand recognition.

Upturn SWOT Analysis

Strengths

  • Global scale and reach
  • Diversified investment platform
  • Experienced investment professionals
  • Strong brand reputation
  • Significant assets under management

Weaknesses

  • High management fees relative to market returns
  • Dependence on macroeconomic conditions
  • Complexity of investment strategies
  • Potential for reputational damage from investment failures
  • Lack of fund liquidity

Opportunities

  • Growing demand for alternative investments
  • Expansion into new geographies and asset classes
  • Technological advancements to improve efficiency
  • Increasing regulatory scrutiny, which may favor larger, more established firms
  • Fund liquidations that lead to more cash on hand for investing

Threats

  • Increased competition from other alternative asset managers
  • Economic downturns and market volatility
  • Changes in regulations and tax laws
  • Rising interest rates
  • Geopolitical risks

Competitors and Market Share

competitor logo Key Competitors

  • Blackstone (BX)
  • Apollo Global Management (APO)
  • KKR & Co. Inc. (KKR)
  • Ares Management Corporation (ARES)
  • Brookfield Asset Management (BAM)

Competitive Landscape

Carlyle competes with other large alternative asset managers for capital and investment opportunities. Key competitive factors include investment performance, fundraising capabilities, and brand reputation. Carlyle has an advantage in terms of global reach and diversification, but faces pressure from rivals with specific sector expertise.

Major Acquisitions

iStar Inc's net lease business

  • Year: 2021
  • Acquisition Price (USD millions): 3070
  • Strategic Rationale: The acquisition aimed to expand Carlyle's real estate portfolio with high-quality net lease assets, generating stable cash flow and diversifying their holdings.

Growth Trajectory and Initiatives

Historical Growth: Discuss Carlyle Group Inc's growth trends over the past years.

Future Projections: Provide projections for Carlyle Group Inc's future growth based on analyst estimates.

Recent Initiatives: Highlight recent strategic initiatives undertaken by Carlyle Group Inc.

Summary

Carlyle Group is a leading global alternative asset manager with a strong brand and diversified investment platform. Its global reach and experienced team provide competitive advantages, but it faces challenges from economic volatility and increased competition. Successfully navigating regulatory changes and improving fund liquidity will be crucial for its future success. Recent initiatives have been positive signals, and they are well-positioned to capitalize on opportunities.

Peer Comparison

Sources and Disclaimers

Data Sources:

  • Company Filings (SEC)
  • Analyst Reports
  • Industry Publications
  • Press Releases

Disclaimers:

The information provided is for informational purposes only and should not be considered financial advice. Investment decisions should be made based on your own research and consultation with a qualified financial advisor.

Upturn AI SummarizationUpturn AI Summarization AI Summarization is directionally correct and might not be accurate.

Upturn AI SummarizationUpturn AI Summarization Summarized information shown could be a few years old and not current.

Upturn AI SummarizationUpturn AI Summarization Fundamental Rating based on AI could be based on old data.

Upturn AI SummarizationUpturn AI Summarization AI-generated summaries may have inaccuracies (hallucinations). Please verify the information before taking action.

About Carlyle Group Inc

Exchange NASDAQ
Headquaters Washington, DC, United States
IPO Launch date 2012-05-03
CEO & Director Mr. Harvey Mitchell Schwartz
Sector Financial Services
Industry Asset Management
Full time employees 2300
Full time employees 2300

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