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Carlyle Group Inc. (CG)

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Carlyle Group Inc. (CG) reported revenue of $1.1 billion for Q2 FY2026, the quarter ended 30 June 2026, down 28.6% on the same quarter a year earlier. Net income was $137 million, down 57.1% on the year, and diluted earnings per share $0.37. The figures are the company's own, from the 10-Q it filed with the SEC on 10 August 2026.

Revenue$1.1 billiondown 28.6%
Net income$137 milliondown 57.1%
Diluted EPS$0.37
QuarterQ2 FY2026ended 30 June 2026

Carlyle Group (CG) in brief

Carlyle Group (CG) reported revenue of $4.8 billion for fiscal 2025, the year ended 31 December 2025, down 11.9% on the year before.
Read moreNet income was $809 million and diluted earnings per share $2.18. Revenue was $5.4 billion in fiscal 2024, $3.0 billion in fiscal 2023, $4.4 billion in fiscal 2022 and $8.8 billion in fiscal 2021. Net income in the same years was $1.0 billion, a loss of $608 million, $1.2 billion and $3.0 billion. Over the twelve months to 30 June 2026, Carlyle Group reported revenue of $3.6 billion and net income of $364 million. Revenue grew 10.2% a year, compounded, over the five years to fiscal 2025. Carlyle Group declared $1.40 a share in dividends over the last four quarters and had 353 million shares outstanding at the latest filed count. At the close of 7 October 2026 the market cap of Carlyle Group was $13.4 billion, 39.4 times its earnings over the last twelve months.

Ratios

From the filings

ROE5.0%
ROCE2.9%
Operating margin17.0%
Net margin10.1%
FCF margin-114.2%
Interest cover4.25
Debt to equity1.91
Cash conversion-10.99
Share count, 1 year-1.6%
Sales CAGR, 3 years2.5%
Profit CAGR, 3 years-12.9%
EPS, TTM$0.96

At the close of 7 October 2026

Price$37.80
Market cap$13.4 billion
Stock P/E39.38
Price to book1.85
EV / EBITDA31.79
Dividend yield3.7%
Market cap / sales3.70
52-week high$66.12
52-week low$37.80
Price, 1 year-38.6%
Price CAGR, 3 years8.5%
Price CAGR, 5 years-5.2%
Worked from the filed figures; hover a name for the formula.
Read moreThe priced ones use the latest daily close from CBOE. Debt to equity here stands on the borrowing lines of Carlyle Group Inc.'s balance sheet, added together, finance leases inside them only where the company puts them there; operating leases are a separate line. Nothing here is a valuation or a view.
CGgreeksoup.ai
Daily closes to 7 October 2026, adjusted for splits; prices from CBOE.
Read moreDay by day for the last three years; before that one point a week, carrying the week's last close and its average daily volume, so a volume bar means the same thing across the whole series; the bars sit under the price on their own scale, on the right. The moving averages need consecutive days and are drawn from the daily part. P/E is the close over the trailing four quarters' EPS as filed at each filing date, on the current share count; the dashed line is the median over the range shown. Sales and margin are quarterly revenue and the operating margin from the tables above. EV/EBITDA, price to book and market cap to sales use the latest filed balance sheet and share count at each date. Before the quarters on file begin, P/E, price to book and market cap to sales stand on each annual report from the day it was filed. Drawn in your browser; the range and overlay you pick are remembered here only.

The public record on CG

Filings17 in twelve months: 8 current reports (8-K), about 4 results of operations; 3 officer or director change; 3 regulation fd disclosure; 1 shareholder vote
Planned insider sales3 Form 144 notices in twelve months, $76.4 million; latest 11 September 2026
Options tapeput/call 2.39 by open interest at the 8 October 2026 close; the straddle prices a 5.8% move to 16 October 2026
13F holders10 of the followed funds hold it; largest Harris Associates; 3 Schedule 13D or 13G filings in twelve months
Insider trading7 sales and 0 purchases on Form 4 in twelve months
Congress0 House trades disclosed in six months
Short interest19.3 million shares short, 6.33 days to cover at 15 September 2026
Documentsthe 10-K, the 10-Qs, the proxy and 4 earnings press releases, each linked

Quarterly results, the last 12 quarters

Q3 FY2023Q4 FY2023 *Q1 FY2024Q2 FY2024Q3 FY2024Q4 FY2024 *Q1 FY2025Q2 FY2025Q3 FY2025Q4 FY2025 *Q1 FY2026Q2 FY2026
Revenue7179266881,0702,6351,0329731,5733331,9012541,124
Operating income162-840128224786232165394-37.4520-115248
Operating margin23%-91%19%21%30%22%17%25%-11%27%-45%22%
Interest expense31.432.030.830.430.329.527.828.029.838.338.638.2
Pre-tax income152-84312121978926517144185.8462-179274
Tax rate27%n/a18%32%22%14%7%26%-31%25%n/a18%
Net income81.3-69265.61485962111303200.9358-132137
Net margin11%-75%10%14%23%20%13%20%0%19%-52%12%
Diluted EPS$0.22-$1.91$0.18$0.40$1.63$0.56$0.35$0.87$0.00$0.96-$0.37$0.37
Operating cash flow80025471.1-1,270792-353-352-169-1,560-1,195-1,242-0.5
Capital expenditure17.117.014.217.719.126.716.717.523.242.028.132.0
Free cash flow78323756.9-1,287773-380-369-186-1,583-1,237-1,270-32.5
Buybacks42.9-0.215017815075.8176104203204205304
Dividends paid126126127126126125126126126126126126
Shares outstanding361m361m359m356m358m357m361m359m360m357m360m353m
Filing10-Q10-K10-Q10-Q10-Q10-K10-Q10-Q10-Q10-K10-Q10-Q
Each quarter as filed, linked to its filing.
Read more* The fourth quarter is the full year less the first three quarters, because the company files the year and not the quarter on its own. Money is in $ million as the company files it, or in $ billion by the switch above the tables; per share figures and the share count are as they are. Free cash flow is operating cash flow less capital expenditure; the effective tax rate is income tax over pre-tax income; margins are the line over revenue. Gross profit is revenue less cost of revenue, and operating income is revenue less the company's own total costs, where the statement does not print those lines. Cash flow lines filed year to date are the difference between two filings. Shares outstanding are at the period end where the balance sheet tags them, otherwise the count on the filing's cover page. A derived fourth-quarter EPS is left blank when a split in the year makes the arithmetic meaningless.

Income statement (profit and loss), 12 fiscal years and the trailing twelve months

FY2014FY2015FY2016 †FY2017 †FY2018FY2019FY2020FY2021FY2022FY2023FY2024FY2025TTM
Revenue3,8803,0062,2743,6762,4273,3772,9358,7824,4392,9645,4264,7803,611
Cost of revenuen/a48.531.364.4n/an/an/an/an/an/an/an/an/a
Gross profitn/a2,9582,2433,612n/an/an/an/an/an/an/an/an/a
Gross marginn/a98.4%98.6%98.2%n/an/an/an/an/an/an/an/an/a
Operating income105-46232.21,0443561,2576014,0251,614-6081,3701,041616
Operating margin2.7%-15.4%1.4%28.4%14.7%37.2%20.5%45.8%36.4%-20.5%25.2%21.8%17.0%
Interest expense55.758.061.365.582.282.194.0113110124121124145
Pre-tax income99240245.31,1323601,2335804,0281,572-6011,3941,159642
Income tax76.82.130.012531.349.0197982288-104303214102
Effective tax rate7.7%0.5%66.2%11.0%8.7%4.0%34.0%24.4%18.3%n/a21.7%18.5%15.8%
Net income85.8-18.46.42441163813482,9751,225-6081,020809364
Net margin2.2%-0.6%0.3%6.6%4.8%11.3%11.9%33.9%27.6%-20.5%18.8%16.9%10.1%
Diluted EPS$1.23-$0.30-$0.08$2.38$0.82$2.82$0.97$8.20$3.35-$1.68$2.77$2.18$0.96
Filing10-K10-K10-K10-K10-K10-K10-K10-K10-K10-K10-K10-K
From each year's 10-K, linked; TTM is the last four quarters.
Read moreFree cash flow is operating cash flow less capital expenditure; the effective tax rate is income tax over pre-tax income; margins are the line over revenue. Gross profit is revenue less cost of revenue, and operating income is revenue less the company's own total costs, where the statement does not print those lines. Those four are arithmetic on the filed numbers; everything else is as filed. Money is in $ million as the company files it, or in $ billion by the switch above the tables; per share figures and share counts are as they are. † The year as the company last restated it in a later filing; rest on a figure for the one first filed. EPS is as filed.

Revenue by region

FY2023FY2024FY2025Share
latest year
Americas1,2894,0963,28268.7%
EMEA1,3191,0481,45130.4%
Asia-Pacific35628246.61.0%
AmericasEMEAAsia-Pacific
2,964FY20235,426FY20244,780FY2025

$ million; hover a block for its figure and share

From the latest 10-K, in the company's own words.
Read moreA year is shown only where the parts add up to the revenue above. Fiscal years are labelled by the year they end in.

Cash flow and capital returned

FY2014FY2015FY2016 †FY2017 †FY2018FY2019FY2020FY2021FY2022FY2023FY2024FY2025TTM
Operating cash flow2,6463,903-301-7.1-344359-1691,791-379205-760-3,276-3,998
Capital expenditure29.762.325.434.031.327.861.241.440.666.677.799.4125
Free cash flow2,6163,840-326-41.1-375331-2301,750-420138-837-3,375-4,123
Free cash flow margin67.4%127.8%-14.3%-1.1%-15.4%9.8%-7.9%19.9%-9.5%4.7%-15.4%-70.6%-114.2%
Cash from investing37.0-21.5-25.4-34.0-99.1-27.8-61.2-32.2-829-43.6-77.6-99.4-125
Cash from financing-2,293-4,01115.331972.0-149370-242115-99.66833,9904,092
Depreciation and amortisation192n/an/a41.346.965.652.152.0147181184192199
Share-based compensation344378335320240140105163154249468375414
Buybacks0.00.058.90.210834.526.4162186204555686915
Dividends paid103251141118130155351356444498503505504
Dividend per share$1.88$3.39$1.68$1.24n/an/an/an/an/a$1.40$1.40$1.40$1.40
Diluted shares, weighted68m299m309m100m113m123m358m363m366m361m368m371m367m
Shares outstanding at period end68m80m85m100m108m118m354m355m362m361m357m357m353m
Filing10-K10-K10-K10-K10-K10-K10-K10-K10-K10-K10-K10-K
Cash paid in the year, from the cash flow statement.
Read moreThe dividend per share is as declared. Diluted shares are the weighted average for the year; a falling count is the buybacks net of issuance. TTM sums the last four quarters; the share counts are the latest quarter's.

Balance sheet at year end

FY2014FY2015FY2016 †FY2017 †FY2018FY2019FY2020FY2021FY2022FY2023FY2024FY2025TTM
Funded by
Shareholders' equityn/an/an/an/a2,8362,9702,9305,7066,8215,7846,3487,0577,213
Debt2441261441,5741,5551,9761,9712,0728,1776,5239,00813,42313,803
Other liabilitiesn/an/an/an/a8,5238,86310,74413,4736,4058,8687,7488,6367,180
Total liabilities and equity35,99432,1919,97312,28112,91413,80915,64521,25021,40321,17623,10429,11628,196
Owned
Fixed assets75.411110610095.1108149144140162185225248
Goodwill47.538.310.111.115.316.116.813.3104104104105n/a
Intangible assets39597.431.924.862.046.231.921.6794662530402n/a
Cash and equivalents1,2429926711,0006307939882,4701,3611,4401,2661,9701,256
Other assets34,23530,9539,15411,14412,11212,84514,45918,60219,00518,80821,01826,41426,691
Total assets35,99432,1919,97312,28112,91413,80915,64521,25021,40321,17623,10429,11628,196
Filing10-K10-K10-K10-K10-K10-K10-K10-K10-K10-K10-K10-K
At the fiscal year end; the TTM column is the latest quarter end.
Read moreBoth totals are the company's own. Other liabilities is the filed total less the rows above it: payables, deferred revenue, taxes, borrowings the rows above do not carry and the rest; other assets is the same on the other side. Investments add the current and non-current lines as filed. Debt is the company's own stated total where it files one, otherwise its long-term debt with the current maturities, never parts added together. A row is left blank in a year where the lines shown overlap and the remainder would fall below nil.

Compounded growth

10 years5 years3 yearsTTM
Sales growth, compounded4.7%10.2%2.5%-41.9%
Profit growth, compoundedn/a18.4%-12.9%-71.0%
Return on equity, averagen/a17.4%5.7%11.5%
Yearly growth, compounded; TTM is the last four quarters against the four before.
Read moreReturn on equity is net income over shareholders' equity at each year end, averaged over the window (the TTM column is the latest year alone); equity is the parent's shareholders' equity as tagged in the 10-K. Arithmetic on filed numbers, nothing forecast.

Peers: Trading

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TTM
Debt to equityDiv. yield
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T. Rowe Price Group, Inc. TROW$22.2 billion10.4520.2%30.8%7.0%0.004.9%
Franklin Templeton Inc. BEN$16.4 billion22.046.9%9.7%7.9%0.204.0%
Carlyle Group Inc. CG$13.4 billion39.385.0%17.0%-41.9%1.913.7%
Invesco Ltd. IVZ$13.3 billionn/a-2.5%-7.1%12.2%0.132.8%
Evercore Inc. EVR$11.0 billion15.0840.1%21.4%45.4%0.291.2%
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KKR & Co. Inc. KKR$80.4 billion28.5210.2%n/a31.1%1.721.5%
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Vivmark Residential VMRK$22.2 billion25.678.3%28.2%2.8%0.574.7%
Royal Gold Inc. RGLD$19.6 billion25.249.7%61.4%93.5%0.050.8%
SBA Communications Corp. SBAC$18.0 billion18.32n/a47.6%5.4%n/an/a
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Host Hotels & Resorts, Inc. HST$15.4 billion15.0316.1%14.6%4.9%0.804.2%
Kimco Realty Corp. KIM$14.8 billion25.995.9%36.0%4.4%0.814.6%
Lamar Advertising Co. LAMR$14.8 billion26.5955.9%31.8%4.4%3.284.4%
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Mid-America Apartment Communities, Inc. MAA$13.5 billion33.977.4%n/a0.8%1.055.2%
Carlyle Group Inc. CG$13.4 billion39.385.0%17.0%-41.9%1.913.7%
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Omega Healthcare Investors Inc. OHI$13.2 billion15.7115.9%60.6%15.0%0.756.1%
Regency Centers Corp. REG$13.1 billion24.078.1%72.0%8.2%0.714.0%
Healthpeak Properties, Inc. DOC$12.8 billion52.913.1%5.1%5.5%1.286.6%
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Evercore Inc. EVR$11.0 billion15.0840.1%21.4%45.4%0.291.2%
Udr, Inc. UDR$10.8 billion21.3817.8%40.8%1.5%1.985.1%
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American Healthcare Reit, Inc. AHR$9.8 billion74.183.3%19.2%16.4%0.242.0%
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Bxp, Inc. BXP$9.5 billion31.895.8%28.3%1.9%3.035.1%
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CareTrust Reit, Inc. CTRE$8.4 billion22.517.9%55.7%53.0%0.274.1%
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Agree Realty Corp. ADC$8.2 billion35.393.4%47.9%18.2%0.594.0%
Alexandria Real Estate Equities, Inc. ARE$7.9 billionn/a-6.6%-69.8%-8.4%0.8210.3%
First Industrial Realty Trust Inc. FR$7.9 billion21.6413.1%41.6%8.4%0.933.0%
NNN Reit, Inc. NNN$7.7 billion19.748.6%62.3%6.5%1.005.9%
Morningstar, Inc. MORN$7.6 billion19.2041.2%23.5%9.3%1.660.9%
Stag Industrial, Inc. STAG$6.9 billion27.606.8%37.6%9.6%0.954.2%
Vornado Realty Trust VNO$6.3 billion1,690.501.2%n/a1.4%1.292.2%
Healthcare Realty Trust Inc. HR$5.9 billionn/a-2.1%n/a-6.3%0.996.4%
Rayonier Inc. RYN$5.6 billionn/an/an/an/a0.3613.4%
Dolby Laboratories, Inc. DLB$5.5 billion24.878.8%17.7%0.6%0.002.4%
Kite Realty Group Trust KRG$4.8 billion14.8611.8%16.3%-5.9%0.995.2%
Sabra Health Care Reit, Inc. SBRA$4.8 billion72.462.4%n/a17.3%0.956.4%
Starwood Property Trust, Inc. STWD$4.7 billion21.983.5%1.5%11.8%2.9115.1%
Cousins Properties Inc. CUZ$4.6 billion693.000.1%68.0%11.9%0.834.6%
EPR Properties EPR$4.2 billion17.5011.4%55.1%4.5%1.436.5%
Federated Hermes, Inc. FHI$4.0 billion10.4232.9%27.1%15.0%0.282.4%
Kilroy Realty Corp. KRC$4.0 billion23.913.2%n/a-3.8%0.876.3%
Copt Defense Properties CDP$3.8 billion23.4110.7%30.3%4.5%1.703.6%
Independence Realty Trust, Inc. IRT$3.5 billion81.331.3%16.9%3.5%0.734.7%
Hamilton Lane Inc. HLNEn/an/a29.4%43.6%24.0%0.29n/a
15 companies share its SEC industry code (Investment Advice); the rest are the names nearest in size in its wider industry, Trading, one of the Fama-French 48 industries, a published grouping of SEC industry codes.
Read moreBy market capitalisation; a click on a heading sorts by it, largest first, and a second click turns it round. Each figure is the same arithmetic as the ratio box above, on each company's own filings and latest close; a name marked * is a foreign company that files once a year, on its latest fiscal year.

Filings

FilingPeriodFiledWhere
10-Q30 June 202610 August 2026EDGAR
10-Q31 March 20268 May 2026EDGAR
10-K31 December 202527 February 2026EDGAR
10-Q30 September 20257 November 2025EDGAR
10-Q30 June 20258 August 2025EDGAR
10-Q31 March 20259 May 2025EDGAR
10-K31 December 202427 February 2025EDGAR
10-Q30 September 20247 November 2024EDGAR
10-Q30 June 20246 August 2024EDGAR
10-Q31 March 20247 May 2024EDGAR

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