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    The Carlyle Group Inc.

    CG

    38.745

    USD
    +2.15
    (+5.89%)
    Day's range
    36.68
    38.9209
    52 wk Range
    33.02
    57.5

    Key ratios

    P/E Ratio
    13.99
    Price/Book
    2.47
    Debt/Equity
    0.00%
    Return on equity
    18.52%
    Dividend Yield
    3.63%
    EBITDA
    0

    Statements Highlights

    Period EndingDec 31, 2020Dec 31, 2021Dec 31, 2022Dec 31, 2023Dec 31, 2024
    Total Revenue1,876,700,0005,531,800,0003,355,300,0001,324,200,0003,402,400,000
    Gross Profit882,000,0005,531,800,0002,276,400,000-379,200,0003,402,400,000
    Operating Income545,400,0004,027,500,0001,572,500,000-600,900,0001,393,700,000
    Net Income348,200,0002,974,700,0001,225,000,000-608,400,0001,020,400,000
    Total Assets15,644,800,00021,250,400,00021,403,000,00021,176,000,00023,103,500,000
    Total Current Liabilities286,300,000379,700,000495,600,0000380,600,000
    Total Equity2,930,200,0005,706,200,0006,821,300,0005,784,500,0007,088,300,000
    Free Cash Flow-230,400,0001,749,600,000-1,038,300,000138,300,000-837,200,000
    Cash from Operations-169,200,0001,791,000,000-379,300,000204,900,000-759,500,000
    Cash from Investing-61,200,000-32,200,000-828,800,000-43,600,000-77,600,000
    Cash from Financing370,300,000-242,500,000114,800,000-99,600,000682,800,000
    Net Change in Cash161,600,0001,485,500,000-1,113,600,00080,600,000-175,600,000

    Dividends

    Analyst Recomendations

    Overall consensus
    Buy