Carlyle Group

Carlyle Group

Precio: 44.55

Empresa y modelo de negocio

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.

Perfil de inversión

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.

Sitio oficial

Métricas fundamentales

EPS (TTM) — ganancias por acción de los últimos 12 meses, $
1.52 OK
Ingresos QoQ — crecimiento trimestral de ingresos
-89.7%
Sorpresa EPS
-2.2% en línea
Volatilidad 20d
2.1% estable
Rendimiento de dividendos
3.1% moderado última fecha ex-div.: 2026-05-18
Datos FMP / FinFeed actualizados: 2026-06-10
Recomendación: Vender Potencial: 30 Riesgo: 72 Actualizado: 2026-06-11 05:16
Cómo funciona la recomendación
Por qué la IA piensa así:
Weak fundamentals and negative momentum raise significant concerns.

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Gráfico de precio

Recomendación IA Pronóstico de analista Evento de calendario Señal positiva Señal negativa Neutral / actualización Mantener / informativo B My buy S My sell
Cambios de recomendación IA
Fecha Antes Después Razón
2026-05-28 02:38 Mantener Vender Weak fundamentals and negative momentum raise significant risk.
2026-05-20 02:38 Vender Mantener Weak fundamentals and negative momentum raise significant concerns.
2026-05-12 02:55 Mantener Vender Weak fundamentals and negative momentum raise significant concerns.
Pronósticos de analistas
Fecha Analista Acción Objetivo Precio entonces
2026-05-11 10:35 RBC Capital Rating reducido — → 58 50.63
2026-05-08 09:51 CFRA Rating reducido — → 45 49.01
2026-04-21 12:05 Evercore ISI Objetivo aumentado 52 → 56 53.4995
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Генеральный директор Nvidia Дженсен Хуанг дал интервью после отчета о доходах компании, акции выросли на фоне сильных результатов

В среду акции Nvidia выросли после публикации квартального отчета, который превзошел ожидания аналитиков.