Ticker: CG

Carlyle Group

Finance Financials Asset Management
Price 43.04
Reco Sell Potential 40 Risk 70 Updated 2026-09-10

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AI recommendation Analyst forecast Calendar event Positive signal Negative signal Neutral / update Hold / informational B My buy S My sell
Description

Company and Business Model

Carlyle Group is a global investment firm specializing in private equity, real assets, and credit. Its core products include investment funds across various sectors, with major business segments in private equity, real estate, and infrastructure. The firm generates revenue primarily through management fees and performance-based income from its investment funds. Carlyle Group's diversified portfolio allows it to engage in a wide range of investment strategies, catering to institutional and individual investors.

Investment Profile

The investment profile of Carlyle Group is more aligned with dividends, given its dividend yield of 3.5%. However, the recent decline in revenue and high risk may deter growth-focused investors. The stock may appeal to those seeking income through dividends rather than capital appreciation. Investors should consider their risk tolerance and investment horizon before engaging with this stock.

Fundamental metrics (experimental) Updated: 2026-09-07
EPS (TTM) — earnings per share for the last 12 months, $
1.01
Revenue QoQ — quarter-over-quarter revenue growth
506.4%
EPS surprise
-2.2%
20d volatility
2.3%
Dividend yield
3.0%
last ex-date
2026-08-17
AI recommendation changes
Date Before After Reason
2026-09-10 Buy Sell Weak momentum and high risk overshadow dividend yield.
2026-09-04 Sell Buy Mixed performance; cautious outlook amid market conditions.
2026-09-02 Buy Sell Weak momentum and high risk overshadow potential upside.
Analyst forecasts
Date Analyst Action Target Price Then
2026-08-06 UBS Target Raised 63 → 70 49.35
2026-08-06 Evercore ISI Target Raised 48 → 51 49.84
2026-08-06 Barclays Target Raised 57 → 64 49.84
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