arrow_back Back Filing freshness 10-Q FY 2025 SEC EDGAR

Carlyle Group Inc.

CG
$47.78 ▼ -1.11 (-2.27%) at close
Financials ·Investment Advice ·USInvestment Advice
17 Visible periods
23 Metrics
Peer-ranked Benchmarks
Price Chart
30
Health
Poor
Bullish
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Analytical Summary

Carlyle Group Inc. shows strong fundamentals with top-quartile Profit Margin (%). The company's metrics support a bullish outlook for growth-oriented investors.

Market Cap $17.2B
Dividend Yield 2.93%
Revenue Growth -11.9%
Op. Margin
ROIC
FCF / Share $-9.38
Trailing P/E 21.2x
Price / Book
FCF Yield
Debt / Equity
info Valuation on last close. End-of-day price, Aug 7, 2026.

17-Year Financial Trajectory

Annual
Metric Value Trend Year over Year Percentile
Revenue Total top-line sales
$4.78B
↓ -11.9%
Net Income Profit after all expenses
$808.70M
↓ -20.7%
FCF / Share Free cash flow per share
$-9.38
↓ -301.9%
Long-Term Debt Long-term obligations
$144.40M
↑ +15.0%
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Bullish Indicators

  • Profit Margin (%)Profit Margin (%) is in the top quartile
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Bearish Risks

  • No bearish risks detected.

Health Breakdown

Profitability
41
Cash Quality
4

Dividend History

Dividend / share · sourced from SEC filings
$1.40 Latest / share
+0.0% YoY
-5.7% 6-yr CAGR

bar_chart Data from SEC EDGAR XBRL filings

Synced 1 week ago 17 years · 63 quarters