
CG
Carlyle Group
$43.07
−$1.04 (−2.36%)Sep 10, 2026
Key metrics
The numbers that frame CG today
- Market cap
- $15.35B
- P/E (TTM)
- 42.2
- P/B
- 2.93x
- Net margin
- 10.1%
- ROE
- 6.6%
- Div yield
- 3.25%
- Debt / equity
- 2.7
- 52wk Low
- $39.32
- 52wk High
- $67.94
Growth
Revenue and earnings trend for CG
RevenueNet income
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Revenue and earnings trends, margins and the multi-year trajectory - free with an account.
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Free cash flow and financial health
Free cash flowNet debt
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Free cash flow detail, returns on capital and the balance-sheet trend - free with an account.
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Recent insider buying and selling activity
PurchasesSales
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Already a member? Log inFrequently asked questions
Plain-English answers about CG
Is Carlyle Group a good buy?
Hold. Carlyle Group has mixed quality and weak momentum. The setup is weak overall. Growth looks poor. That could put pressure on the long-term business case. We think Carlyle Group is selling at a very high price.
What is the market capitalization of CG?
Carlyle Group's market capitalization is $15.35B.
What is the P/E ratio for CG stock?
Carlyle Group's current P/E ratio is 42.2.
What is the 52-week high for CG stock?
The 52-week high for Carlyle Group is $67.94. The current close of $43.07 is 36.6% below that high.
What is the 52-week low for CG stock?
The 52-week low for Carlyle Group is $39.32. The current close of $43.07 is 9.5% above that low.
Does CG stock pay dividends?
Carlyle Group pays a dividend. The latest dividend per share in the company data is $1.40, which implies a yield of 3.25% based on the current close.
What is the Debt / Equity ratio for CG?
Carlyle Group's Debt / Equity ratio is 2.72.