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Carlyle Group LP-The

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SectorFinance

49.09 -0.55

Overview

Share price change

24h

Current

Min

48.66

Max

49.5

Key metrics

By Trading Economics

Income

290M

158M

Sales

960M

1.1B

P/E

Sector Avg

50.563

22.368

EPS

1.07

Dividend yield

2.84

Profit margin

13.769

Employees

2,500

EBITDA

452M

327M

Recommendations

By TipRanks

Recommendations

Buy

12 Months Forecast

+18.9% upside

Dividends

By Acuity

Dividend yield

Sector Avg

2.84%

4.40%

Next Earnings

30 paź 2026

Next Dividend date

26 sie 2026

Next Ex Dividend date

9 lis 2026

Market Stats

By TradingEconomics

Market Cap

-310M

17B

Previous open

49.64

Previous close

49.09

News Sentiment

By Acuity

46%

54%

139 / 437 Ranking in Finance

Carlyle Group LP-The Chart

Wyniki osiągnięte w przeszłości nie są gwarantem przyszłych wyników.

Related News

21 sie 2026, 23:06 UTC

Correlated Moves

Carlyle Group Inc shares are higher in after-market trading, reflecting strong investor interest and aligning with broader market gains following a recent sell-off.

20 sie 2026, 23:01 UTC

Carlyle Group Inc shares are lower in after-market trading, continuing a decline amid broader market weakness and concerns over consumer spending.

19 sie 2026, 23:11 UTC

News

Carlyle Group invests in Castelion's $1 billion funding round, boosting defense sector engagement. Shares are higher in after-market trading following the announcement.

17 sie 2026, 19:21 UTC

Event
Correlated Moves

Carlyle Group shares are lower, impacted by a decline in the Asset Management & Custody Banks sub-sector and the recent $0.35 ex-dividend announcement.

14 sie 2026, 20:01 UTC

Carlyle Group Inc shares are lower today amid broader market pressure following a surprise drop in U.S. retail sales for July.

13 sie 2026, 23:01 UTC

Carlyle Group Inc shares are lower in after-market hours, reflecting broader market uncertainty amid rising initial jobless claims and unchanged producer prices.

12 sie 2026, 19:56 UTC

Carlyle Group Inc shares are lower today, following a decline from an early peak. No specific news was identified to explain the movement.

11 sie 2026, 19:45 UTC

News
Correlated Moves

Carlyle Group Inc is trading higher, supported by positive market momentum and a rise in Brookfield Asset Management, despite a recent revenue drop.

10 sie 2026, 19:26 UTC

Correlated Moves

Carlyle Group Inc is trading higher, building on gains since Friday amid pressure in the bond market and rising yields influenced by inflation expectations.

7 sie 2026, 19:46 UTC

News

Carlyle Group shares are lower as the firm invests $600 million in Prime Capital Financial, valuing it at over $1.8 billion.

6 sie 2026, 22:02 UTC

News

Carlyle Group announces a $600 million investment in Prime Capital Financial, valuing it at over $1.8 billion, as shares trade lower in after-market hours.

5 sie 2026, 19:52 UTC

Social Media
Macro Event
Correlated Moves
News

Carlyle Group's Q2 net income fell to $137.1 million, down from $319.7 million, contributing to a decline in its stock price today.

4 sie 2026, 23:31 UTC

Carlyle Group Inc shares are higher in after-market hours, supported by broader market gains and positive sentiment regarding potential oil supply agreements.

3 sie 2026, 23:31 UTC

Carlyle Group Inc shares are lower in after-market hours, continuing a decline from Monday's close, though still above the 20-day moving average.

31 lip 2026, 22:26 UTC

Correlated Moves

CG shares lower after-market, influenced by Vanguard Total Stock Market ETF.

30 lip 2026, 23:41 UTC

Carlyle Group Inc shares are higher in after-market trading, recovering from an early dip amid broader market volatility following the Federal Reserve's interest rate decision.

29 lip 2026, 20:08 UTC

Correlated Moves
News

Carlyle Group is among bidders for BP's gas assets off Egypt. Shares are lower today, reflecting broader market declines and negative sentiment.

28 lip 2026, 17:43 UTC

Correlated Moves

Carlyle Group Inc shares are lower today amid broader market pressures, reflecting declines in correlated assets and significant drops in the Nikkei 225 Index.

27 lip 2026, 19:16 UTC

News
Correlated Moves

Carlyle Group is in a bidding war with Bain Capital for Wealth Enhancement, a deal valued at about $7 billion, boosting shares higher today.

23 lip 2026, 19:56 UTC

Correlated Moves

CG rises, supported by Industrial Select Sector SPDR Fund.

21 lip 2026, 19:12 UTC

Correlated Moves
News

Carlyle Group is in talks to transfer its ESG consulting firm to Bridgepoint. Shares are lower amid declines in the Asset Management sub-sector.

20 lip 2026, 19:52 UTC

Correlated Moves

Carlyle Group Inc shares are lower, impacted by declines in the Asset Management & Custody Banks sector and broader market sentiment.

Peer Comparison

Price change

Carlyle Group LP-The Forecast

Price Target

By TipRanks

18.9% upside

12 Months Forecast

Average 58.7 USD  18.9%

High 73 USD

Low 50 USD

Based on 11 Wall Street analysts offering 12 month price targets forCarlyle Group LP-The - Dist in the last 3 months.

Rating Consensus

By TipRanks

Buy

11 ratings

5

Buy

5

Hold

1

Sell

Sentiment

By Acuity

139 / 437 Ranking in Finance

News Sentiment

Bullish Evidence

Volatility

Below average

News Volume (RCV)

Above average

Financials

Selling and administration expenses

Operating expenses

Pre-tax profit

Sales

Cost of sales

Gross profit on sales

Interest expense on debt

EBITDA

Operating profit

$

About Carlyle Group LP-The

The Carlyle Group Inc. is an investment firm specializing in direct and fund of fund investments. Within direct investments, it specializes in management-led/ Leveraged buyouts, privatizations, divestitures, strategic minority equity investments, structured credit, global distressed and corporate opportunities, small and middle market, equity private placements, consolidations and buildups, senior debt, mezzanine and leveraged finance, and venture and growth capital financings, seed/startup, early venture, emerging growth, turnaround, mid venture, late venture, PIPES. The firm invests across four segments which include Corporate Private Equity, Real Assets, Global Market Strategies, and Solutions. The firm typically invests in industrial, agribusiness, ecological sector, fintech, airports, parking, Plastics, Rubber, diversified natural resources, minerals, farming, aerospace, defense, automotive, consumer, retail, industrial, infrastructure, energy, power, healthcare, software, software enabled services, semiconductors, communications infrastructure, financial technology, utilities, gaming, systems and related supply chain, electronic systems, systems, oil and gas, processing facilities, power generation assets, technology, systems, real estate, financial services, transportation, business services, telecommunications, media, and logistics sectors. Within the industrial sector, the firm invests in manufacturing, building products, packaging, chemicals, metals and mining, forestry and paper products, and industrial consumables and services. In consumer and retail sectors, it invests in food and beverage, retail, restaurants, consumer products, domestic consumption, consumer services, personal care products, direct marketing, and education. Within aerospace, defense, business services, and government services sectors, it seeks to invest in defense electronics, manufacturing and services, government contracting and services, information technology, distribution companies. In telecommunication and media sectors, it i
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