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The Carlyle Group Inc. (CG)
Performance
Return for Risk
Dividends
Drawdowns
Volatility
Financials

Company Info

ISIN
US14316J1088
CUSIP
14316J108
IPO Date
May 3, 2012

Highlights

Market Cap
$18.09B
Enterprise Value
$29.25B
EPS (TTM)
$2.17
PE Ratio
22.29
PEG Ratio
0.14
Total Revenue (TTM)
$4.61B
Gross Profit (TTM)
$3.28B
EBITDA (TTM)
$1.34B
Year Range
$33.02 - $69.85
Target Price
$69.60
ROA (TTM)
2.78%
ROE (TTM)
11.46%

Share Price Chart


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Performance

Performance Chart

The chart shows the growth of an initial investment of $10,000 in The Carlyle Group Inc., comparing it to the performance of the S&P 500 index or another benchmark. All prices have been adjusted for splits and dividends.


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S&P 500 Index

Returns By Period

The Carlyle Group Inc. (CG) has returned -17.61% so far this year and 13.94% over the past 12 months. Looking at the last ten years, CG has achieved an annualized return of 16.39%, outperforming the S&P 500 Index benchmark, which averaged 12.16% per year.


The Carlyle Group Inc.

1D
4.24%
1M
-6.92%
YTD
-17.61%
6M
-21.80%
1Y
13.94%
3Y*
19.83%
5Y*
8.66%
10Y*
16.39%

Benchmark (S&P 500 Index)

1D
2.91%
1M
-5.09%
YTD
-4.63%
6M
-2.39%
1Y
16.33%
3Y*
16.69%
5Y*
10.18%
10Y*
12.16%
*Multi-year figures are annualized to reflect compound growth (CAGR)

Monthly Returns

Based on dividend-adjusted daily data since May 3, 2012, CG's average daily return is +0.07%, while the average monthly return is +1.44%. At this rate, your investment would double in approximately 4.0 years.

Historically, 52% of months were positive and 48% were negative. The best month was Nov 2023 with a return of +25.9%, while the worst month was Apr 2022 at -25.8%. The longest winning streak lasted 10 consecutive months, and the longest losing streak was 5 months.

On a daily basis, CG closed higher 52% of trading days. The best single day was Mar 19, 2020 with a return of +17.0%, while the worst single day was Mar 16, 2020 at -21.2%.


JanFebMarAprMayJunJulAugSepOctNovDecTotal
2026-0.56%-10.98%-6.92%-17.61%
202511.23%-10.65%-12.54%-11.36%17.85%13.72%18.02%7.02%-2.88%-14.96%2.96%8.40%20.20%
2024-1.65%15.47%2.31%-4.50%-3.31%-6.54%23.89%-18.64%7.30%16.19%7.14%-5.15%28.05%
202320.54%-3.47%-9.71%-2.35%-8.44%16.56%11.58%-8.25%-6.77%-8.69%25.86%18.70%42.55%
2022-7.01%-7.70%4.35%-25.80%7.10%-17.83%22.90%-15.67%-20.57%9.44%11.46%-4.27%-43.78%
20212.64%6.85%7.33%16.05%2.87%6.51%8.58%-1.65%-4.25%18.76%-2.19%0.38%78.46%

Benchmark Metrics

The Carlyle Group Inc. has an annualized alpha of 0.24%, beta of 1.36, and R² of 0.41 versus S&P 500 Index. Calculated based on daily prices since May 04, 2012.

  • This stock captured 172.80% of S&P 500 Index gains and 164.88% of its losses — amplifying both gains and losses, but participating more in upside than downside.
  • R² of 0.41 means the benchmark explains less than half of this stock's behavior — treat beta with caution or consider switching to a more representative benchmark.

Alpha
0.24%
Beta
1.36
0.41
Upside Capture
172.80%
Downside Capture
164.88%

Return for Risk

Risk / Return Rank

CG ranks 50 for risk / return — on par with similar stocks. You're getting a typical balance of risk and reward. Not a standout, but not a red flag either — a reasonable choice if other factors align with your goals.


CG Risk / Return Rank: 5050
Overall Rank
CG Sharpe Ratio Rank: 5252
Sharpe Ratio Rank
CG Sortino Ratio Rank: 4747
Sortino Ratio Rank
CG Omega Ratio Rank: 4747
Omega Ratio Rank
CG Calmar Ratio Rank: 5252
Calmar Ratio Rank
CG Martin Ratio Rank: 5151
Martin Ratio Rank
The rank (0–100) shows how this investment's returns compare to the risk taken. Higher = better. Based on the past 12 months of data, combining Sharpe, Sortino, and other metrics used by quantitative funds and institutional investors.

Return / Risk — by metrics

The table below present risk-adjusted performance metrics for The Carlyle Group Inc. (CG) and compare them to a chosen benchmark (S&P 500 Index).


CGBenchmarkDifference

Sharpe ratio

Return per unit of total volatility

0.32

0.90

-0.57

Sortino ratio

Return per unit of downside risk

0.71

1.39

-0.68

Omega ratio

Gain probability vs. loss probability

1.10

1.21

-0.11

Calmar ratio

Return relative to maximum drawdown

0.45

1.40

-0.95

Martin ratio

Return relative to average drawdown

0.97

6.61

-5.63

Explore CG risk-adjusted metrics in detail

Dive deeper into individual metrics with historical trends, benchmark comparisons, and performance across different time periods.

Dividends

Dividend History

The Carlyle Group Inc. provided a 2.89% dividend yield over the last twelve months, with an annual payout of $1.40 per share. The company has been increasing its dividends for 5 consecutive years.


0.00%5.00%10.00%15.00%20.00%$0.00$0.50$1.00$1.50$2.00$2.50$3.00$3.5020152016201720182019202020212022202320242025
Dividends
Dividend Yield
PeriodTTM20252024202320222021202020192018201720162015
Dividend$1.40$1.40$1.40$1.38$1.23$1.00$1.00$1.36$1.24$1.24$1.68$3.39

Dividend yield

2.89%2.37%2.77%3.38%4.11%1.82%3.18%4.24%7.87%5.41%11.02%21.70%

Monthly Dividends

The table displays the monthly dividend distributions for The Carlyle Group Inc.. The dividends shown in the table have been adjusted to account for any splits that may have occurred.


JanFebMarAprMayJunJulAugSepOctNovDecTotal
2026$0.00$0.35$0.00$0.35
2025$0.00$0.35$0.00$0.00$0.35$0.00$0.00$0.35$0.00$0.00$0.35$0.00$1.40
2024$0.00$0.35$0.00$0.00$0.35$0.00$0.00$0.35$0.00$0.00$0.35$0.00$1.40
2023$0.00$0.33$0.00$0.00$0.35$0.00$0.00$0.35$0.00$0.00$0.35$0.00$1.38
2022$0.00$0.25$0.00$0.00$0.33$0.00$0.00$0.33$0.00$0.00$0.33$0.00$1.23
2021$0.00$0.25$0.00$0.00$0.25$0.00$0.00$0.25$0.00$0.00$0.25$0.00$1.00

Dividend Yield & Payout


Dividend Yield

The Carlyle Group Inc. has a dividend yield of 2.89%, which is quite average when compared to the overall market.

Payout Ratio

The Carlyle Group Inc. has a payout ratio of 62.37%, which is quite average when compared to the overall market. This suggests that The Carlyle Group Inc. strikes a balance between reinvesting profits for growth and paying dividends to shareholders.

Drawdowns

Drawdowns Chart

The Drawdowns chart displays portfolio losses from any high point along the way. Drawdowns are calculated considering price movements and all distributions paid, if any.


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Worst Drawdowns

The table below displays the maximum drawdowns of the The Carlyle Group Inc.. A maximum drawdown is a measure of risk, indicating the largest reduction in portfolio value due to a series of losing trades.

The maximum drawdown for the The Carlyle Group Inc. was 62.69%, occurring on Feb 9, 2016. Recovery took 858 trading sessions.

The current The Carlyle Group Inc. drawdown is 29.30%.


Depth

Start

To Bottom

Bottom

To Recover

End

Total

-62.69%Jan 15, 2014521Feb 9, 2016858Jul 9, 20191379
-56.75%Nov 15, 2021231Oct 14, 2022531Nov 25, 2024762
-50.04%Jan 24, 202038Mar 18, 2020207Jan 12, 2021245
-38.53%Jan 24, 202560Apr 21, 202554Jul 9, 2025114
-33.8%Sep 19, 2025120Mar 12, 2026

Volatility

Volatility Chart

The chart below shows the rolling one-month volatility.


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Financials

Financial Performance

The chart below illustrates the trends in the financial health of The Carlyle Group Inc. over time, highlighting three key metrics: Total Revenue, Earnings Before Interest and Taxes (EBIT), and Net Income.


Annual
Quarterly

0.0

Valuation

The Valuation section provides an overview of how The Carlyle Group Inc. is priced in the market compared to other companies in the Asset Management industry. It includes key financial ratios that help investors assess whether the stock is undervalued or overvalued.


PE Ratio

The chart displays the Price-to-Earnings (P/E) ratio for CG, comparing it with other companies in the Asset Management industry. Currently, CG has a P/E ratio of 22.3. This P/E ratio is significantly higher than those of industry peers. This could indicate that the stock is overvalued or that investors expect strong future growth.

PEG Ratio

The chart shows the Price/Earnings to Growth (PEG) ratio for CG compared to other companies in the Asset Management industry. CG currently has a PEG ratio of 0.1. This PEG ratio is close to the industry average, suggesting the stock’s valuation is balanced against its growth outlook.

PS Ratio

This chart shows the Price-to-Sales (P/S) ratio for CG relative to other companies in the Asset Management industry. Currently, CG has a P/S ratio of 3.9. This P/S ratio falls within the average range for the industry, suggesting the stock is fairly valued based on its revenue.

PB Ratio

The chart illustrates the Price-to-Book (P/B) ratio for CG in comparison with other companies in the Asset Management industry. Currently, CG has a P/B value of 2.6. This P/B ratio is higher than most companies in the industry. It may suggest the stock is overvalued or that investors expect the company to generate high returns on its assets.

Income Statement



TTM
Revenue

Total Revenue

Cost Of Revenue

Gross Profit

Operating Expenses

Selling, General & Admin Expenses

R&D Expenses

Depreciation And Amortization

Total Operating Expenses

Income

Income Before Tax

Operating Income

EBITDA

EBIT

Earnings From Continuing Operations

Net Income

Income Tax Expense

Other Non-Operating Income (Expenses)

Extraordinary Items

Discontinued Operations

Effect Of Accounting Charges

Non Recurring

Minority Interest

Other Items

Interest Income

Interest Expense

Net Interest Income

Values in undefined except per share items