CG official logo CG
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
$49.52
Last Close (24-hour delay)
upturn advisory logo
PASS
  • BUY Advisory
  • SELL Advisory (Profit)
  • SELL Advisory (Loss)
  • Profit
  • Loss
  • Pass (Skip investing)
Upturn Stock price based on last close icon Stock price based on last close
*as per simulation
(see disclosures)
Time period over
  • ALL
  • 1Y
  • 1M
  • 1W

Upturn Advisory Summary

02/23/2026: CG (4-star) is currently NOT-A-BUY. Pass it for now.

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 $67.53

1 Year Target Price $67.53

Analysts Price Target For last 52 week
$67.53 Target price
52w Low $32.17
Current$49.52
52w High $68.94
Advertisement

Key Highlights

Company Size Large-Cap Stock
Market Capitalization 19.18B USD
Price to earnings Ratio 29.9
1Y Target Price 67.53
Price to earnings Ratio 29.9
1Y Target Price 67.53
Volume (30-day avg) 18
Beta 2.04
52 Weeks Range 32.17 - 68.94
Updated Date 02/23/2026
52 Weeks Range 32.17 - 68.94
Updated Date 02/23/2026
Dividends yield (FY) 2.64%
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

Advertisement

Earnings Date

Report Date 2026-02-11
When -
Estimate 1.02
Actual 1.01

Profitability

Profit Margin 20.06%
Operating Margin (TTM) 30.58%

Management Effectiveness

Return on Assets (TTM) 3.62%
Return on Equity (TTM) 14.1%

Valuation

Trailing PE 29.9
Forward PE 12.44
Enterprise Value 29712302080
Price to Sales(TTM) 4.76
Enterprise Value 29712302080
Price to Sales(TTM) 4.76
Enterprise Value to Revenue 8.9
Enterprise Value to EBITDA 8.6
Shares Outstanding 357400000
Shares Floating 258564604
Shares Outstanding 357400000
Shares Floating 258564604
Percent Insiders 26.71
Percent Institutions 65.54

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. Initially a private equity firm focused on leveraged buyouts, it has evolved into a global investment firm. Key milestones include its IPO in 2012, significant global expansion, and diversification into various alternative asset classes. Carlyle has grown to become one of the largest and most diversified investment firms in the world.

Company business area logo Core Business Areas

  • Investment Solutions: This segment offers a broad range of investment strategies and products to institutional and retail clients. It includes publicly traded funds, bespoke solutions, and advisory services across various alternative asset classes.
  • Global Private Equity: Carlyle's flagship segment, focused on acquiring and managing companies through leveraged buyouts, growth capital, and strategic partnerships. It operates across sectors like technology, healthcare, consumer, and industrial.
  • Global Credit: This segment provides a comprehensive suite of credit solutions, including direct lending, distressed debt, structured credit, and real estate debt. It aims to deliver attractive risk-adjusted returns for investors.
  • Global Investment Solutions: This segment is focused on providing diverse investment solutions, including hedge fund solutions, liquid strategies, and other diversified investment products to institutional and retail clients globally. It encompasses areas like real estate and infrastructure investments.

leadership logo Leadership and Structure

Carlyle Group Inc. is led by a management team that includes a Chairman, Chief Executive Officer, and other senior executives responsible for various business segments and global operations. The firm operates with a decentralized structure, empowering regional leaders and investment teams to make decisions within their respective markets and asset classes.

Top Products and Market Share

Product Key Offerings logo Key Offerings

  • Global Private Equity Funds: Carlyle manages a diverse range of private equity funds targeting buyouts, growth equity, and sector-specific strategies. Market share data is not publicly disclosed for individual funds, but Carlyle is a leading global player. Competitors include Blackstone, KKR, Apollo Global Management, and Advent International.
  • Global Credit Strategies: This includes a suite of credit funds and investment vehicles, such as direct lending, distressed debt, and real estate debt. Carlyle is a significant participant in the global credit market. Competitors include Ares Management, Oaktree Capital Management, and Thoma Bravo.
  • Investment Solutions Platform: This encompasses a variety of offerings for institutional and retail investors, including hedge fund solutions, liquid alternative investments, and customized portfolio management. Carlyle aims to be a significant provider in this growing market. Competitors include BlackRock, State Street Global Advisors, and many other asset managers.

Market Dynamics

industry overview logo Industry Overview

The alternative asset management industry, where Carlyle operates, is characterized by strong growth driven by institutional investors seeking diversification and higher returns. The industry is highly competitive, with significant capital deployment, increasing regulatory scrutiny, and a trend towards specialization and consolidation. Key trends include the increasing demand for private equity, credit, and real estate investments, as well as the growth of evergreen fund structures and sustainable investing.

Positioning

Carlyle is positioned as a leading global diversified alternative asset manager. Its competitive advantages include a long track record, extensive global network, deep sector expertise across its various investment strategies, and strong relationships with both limited partners (investors) and portfolio companies. The firm's diversified platform provides resilience against market cycles.

Total Addressable Market (TAM)

The TAM for alternative assets is substantial and growing rapidly. Estimates vary, but the global alternative assets under management are projected to reach tens of trillions of dollars in the coming years. Carlyle is well-positioned to capture a significant portion of this market due to its diversified offerings and global reach, but it faces intense competition from other large alternative asset managers.

Upturn SWOT Analysis

Strengths

  • Global scale and diversified investment strategies
  • Strong track record and experienced management team
  • Deep sector expertise across various industries
  • Extensive global network of relationships
  • Brand recognition and investor confidence

Weaknesses

  • Reliance on fundraising cycles and market sentiment
  • Potential for operational complexity due to global presence
  • Sensitivity to economic downturns affecting portfolio company performance
  • Challenges in consistently outperforming public markets across all strategies

Opportunities

  • Continued growth in demand for alternative assets
  • Expansion into new geographies and emerging markets
  • Development of new investment strategies and products (e.g., ESG-focused funds)
  • Leveraging technology for operational efficiency and data analytics
  • Strategic partnerships and acquisitions

Threats

  • Increasing competition from other alternative asset managers
  • Rising interest rates impacting deal financing and valuations
  • Regulatory changes and compliance burdens
  • Geopolitical instability affecting global markets
  • Potential for investor redemption pressures during market volatility

Competitors and Market Share

Key competitor logo Key Competitors

  • Blackstone Inc. (BX)
  • KKR & Co. Inc. (KKR)
  • Apollo Global Management, Inc. (APO)

Competitive Landscape

Carlyle competes with other large, established alternative asset managers. Its advantages include its diversified platform, global reach, and established track record. However, it faces intense competition for fundraising, deal sourcing, and talent. Competitors often have similar strategies, making differentiation crucial.

Major Acquisitions

Albion Financial Group

  • Year: 2018
  • Acquisition Price (USD millions):
  • Strategic Rationale: Acquisition to bolster its U.S. investment solutions business, particularly in the registered investment advisor space.

Everence Capital Management

  • Year: 2021
  • Acquisition Price (USD millions):
  • Strategic Rationale: Acquisition to expand its presence in Latin America and enhance its alternative investment offerings in the region.

Growth Trajectory and Initiatives

Historical Growth: Carlyle has demonstrated significant historical growth, primarily driven by the expansion of its Assets Under Management (AUM) through both organic fundraising and strategic acquisitions. The firm has also diversified its strategies and geographic presence.

Future Projections: Future growth for Carlyle is projected to be driven by the increasing demand for alternative assets, continued expansion of its global platform, and the introduction of new investment products. Analyst estimates for future revenue and earnings would be available through financial research platforms.

Recent Initiatives: Recent initiatives may include focusing on specific sectors like technology and healthcare, expanding its credit offerings, investing in sustainable investing strategies, and leveraging technology to enhance operational efficiency and client service.

Summary

Carlyle Group Inc. is a leading global alternative asset manager with a strong diversified platform across private equity, credit, and investment solutions. Its extensive global network, deep sector expertise, and consistent fundraising ability are key strengths. However, it faces intense competition, reliance on market cycles for investment income, and potential operational complexities. Continued focus on strategic growth, new product development, and operational efficiency will be crucial for sustained success, while navigating economic volatility and regulatory changes remains a key area to monitor.

Similar Stocks

Sources and Disclaimers

Data Sources:

  • Carlyle Group Inc. Investor Relations
  • SEC Filings (10-K, 10-Q)
  • Financial News Outlets (e.g., Wall Street Journal, Bloomberg)
  • Industry Research Reports

Disclaimers:

This analysis is based on publicly available information as of the last update and is for informational purposes only. It does not constitute financial advice. Investors should conduct their own due diligence and consult with a qualified financial advisor before making any investment decisions.

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.

Information icon warning about potential inaccuracies or hallucinations in Upturn AI-generated summaries 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 2500
Full time employees 2500

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