CG
Carlyle Group Inc
$44.55
▼ 0.4%Updated Today 3:42 PM ET
CG at a glance — five pillars scored 0–100 from real filed financials.
Overall: Unrated · 0/100. A wider, greener shape means more pillars look healthy. Dividends scores 0 when a company pays none — that is a choice, not a flaw.
Market Cap
$0.00
P/E
—
Forward P/E (est.)
—
ROE
—
Revenue Growth
—
EPS Growth
—
Profit Margin
—
FCF Yield
—
Debt / Equity
—
ROIC
—
Interest Coverage
—
Current Ratio
—
Dividend Yield
—
Implied Growth (rev. DCF)
—
Rating Score
0/100
Carlyle Group Inc (CG) is a small-cap company in the Financial Services industry, part of the Financials sector of the S&P 500.
In its latest reported year it generated about $4.78B in revenue and $808.70M in net profit.
Our model rates CG Unrated (0/100) on growth, profitability, financial health, and valuation. The summary below is built from its filed financials and current ratios and refreshes automatically.
4Y CAGR
-14.1%
Revenue moved from $2.27B in 2016 to $4.78B in 2025, a 8.6% compound annual growth rate. The most recent year was roughly steady year over year. Slower, mature growth is common for established businesses.
Gross Margin
—
Operating Margin
—
Net Margin
16.9%
ROE
—
Total Debt
$2.23B
Net Debt
$561.80M
Net Debt / EBITDA
—
Debt / Equity
—
Leverage: debt-to-equity is n/a. Detailed balance-sheet leverage is limited for this name. It carries roughly $2.23B of total debt against $1.67B of cash.
Operating CF
-$3.28B
Free Cash Flow
-$3.37B
FCF Margin
-70.6%
In the latest year Carlyle Group Inc produced about -$3.28B of operating cash flow but negative free cash flow as it invested heavily. Cash flow is what ultimately pays shareholders, so it is worth tracking over time.
Can the payout survive a bad year? Scored from filed cash flow, earnings coverage, and the raise/cut record.
Coverage is weak, the payout was cut recently, or it's being financed rather than earned — treat the current yield as fragile.
Per share (latest FY)
$1.40
Total paid (latest FY)
$505.10M
History on record
10 years
free cash flow was negative in the latest year — the dividend is being financed
62% of net income paid out
total dividends increased 8 years in a row
payout was cut at least once in the last 10 years
Coverage uses the latest fiscal year as filed with the SEC; the streak counts total dollars paid (per-share figures can carry split artifacts). Educational information, not income advice.
P/E
—
P/S
—
P/B
—
EV / EBITDA
—
CG trades at n/a trailing earnings. With no positive trailing earnings, value it on sales, cash flow, or growth rather than P/E.
Where CG sits versus its Financials sector peers in the S&P 500.
Bands show the middle half (25th–75th percentile) of the 141 Financials companies in the S&P 500 — the peer-relative anchor professional comps analysis uses. Context only — not investment advice.
How CG stacks up against its Financials peers — valuation, profitability, and growth versus the sector median.
In the Financials sector (289 S&P 500 companies), CG ranks #165 of 289 by our overall rating.
P/E vs sector
—
median 15.3x
ROE vs sector
—
median 13.6%
Growth vs sector
—
median 15.9%
Sector rank
#165
of 289 by rating
Peers are the closest Financials companies by sub-industry and size. Sector median is across all 289 S&P 500 names in the sector. Educational, not a recommendation.
Project revenue → earnings → price. Edit the assumptions to build your own case.
2030 price target (Base Case)
$0.00 – $0.00
vs. $44.55 today · expected CAGR -2% – 8%
| Metric | 2026 | 2027 | 2028 | 2029 | 2030 |
|---|---|---|---|---|---|
| Revenue | $5.16B | $5.58B | $6.02B | $6.50B | $7.02B |
| Net income | $877.57M | $947.78M | $1.02B | $1.11B | $1.19B |
| EPS | $2.44 | $2.63 | $2.84 | $3.07 | $3.32 |
| Share price (low) | $29.25 | $31.59 | $34.12 | $36.85 | $39.80 |
| Share price (high) | $48.76 | $52.66 | $56.87 | $61.42 | $66.33 |
| CAGR (low–high) | -34% / 9% | -16% / 9% | -9% / 8% | -5% / 8% | -2% / 8% |
Educational model on sample fundamentals — not a forecast or investment advice. Outputs are only as good as your assumptions.
The case for CG:
- As an established S&P 500 member in Financials, it brings scale and a long operating history.
The case against CG:
- Like any single stock, it is exposed to competition, the economic cycle, and shifts in its end markets.
Market risk — sector rotation, the economic cycle, and broad sentiment move the stock regardless of fundamentals.
On balance, the picture is mixed: Carlyle Group Inc is a small-cap financials business growing at a mature pace, with modest profitability, and a heavier debt load to watch. It trades at n/a earnings, which our model scores Unrated (0/100). Weigh this against your own goals and time horizon — this is educational information, not a recommendation.
Analyst Ratings
What 25 Wall Street analysts covering CG recommend (July 2026). Consensus is a useful sanity check — not a substitute for your own homework.
Analysts have turned more cautious over the last three months (-12 pts of buy ratings).
Latest SEC Filings
CG's most recent filings, straight from SEC EDGAR. Annual and quarterly reports are the deep dives; 8-Ks flag material events the moment they happen.
CG — frequently asked questions
Is CG a good stock to buy?
We don't give buy or sell advice. Review Carlyle Group Inc's fundamentals, valuation, and 5-year financials on this page, then make your own decision — and consider a licensed professional.
Where does CG's data come from?
Live price data plus real fundamentals and 5-year financials pulled directly from Carlyle Group Inc's SEC filings — refreshed automatically, not hand-entered.
How is the 5-year projection for CG calculated?
It's a scenario model: it grows revenue at an assumed rate, applies a profit margin and a valuation multiple, and shows the resulting share-price range. The assumptions are yours to change — it's a tool for thinking, not a prediction.
Is this CG analysis financial advice?
No. Everything on this page is educational research, not financial advice or a recommendation to buy or sell CG. Always do your own research and consider a licensed professional.
Data notice. Fundamentals and financial statements are sourced from company filings (SEC EDGAR) and market-data providers; prices and market caps refresh on trading days and may be delayed. Ratings, projections, technical signals, and written summaries are model- or rule-generated for education and may simplify or lag the latest filings.
Not advice. Nothing on this page is investment advice or a recommendation to buy, hold, or sell any security. Do your own research and consult a licensed financial professional before investing.
