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Carlyle Group Inc. (CG)

As-reported financials and SEC filings for Carlyle Group Inc. The latest annual period is FY2025. The latest reported quarter is Q2 FY2026. Financial statements come straight from the company’s EDGAR filings; valuation figures such as P/E and market cap use market data.

About Carlyle Group Inc.

Carlyle Group Inc. is a global investment firm managing private capital across three main segments: Global Private Equity, Global Credit, and Carlyle AlpInvest. The company invests in a variety of strategies including corporate buyouts, real estate, infrastructure, credit products, and secondary investments, serving institutional investors worldwide. Carlyle manages assets totaling $477 billion as of the end of 2025 and operates with over 2,500 employees across multiple continents.

Snapshot

Revenue
$4.78B
Revenue growth (YoY)
-11.9%
Net income
$808.7M
Diluted EPS
$2.18
Gross margin
Operating margin
Net margin
16.9%
FCF margin
-70.6%
ROE
11.5%
net income / fiscal-year-end equity
P/E
50.4×
trailing when available, otherwise FY EPS
Market cap
$17.24B
Long-term debt / equity
non-current term debt only

Fundamentals are from SEC filings for FY2025, the latest annual period (ended December 31, 2025). P/E and market cap are derived from stored market prices, last retrieved on a rolling basis and typically within the past week.

What changed at Carlyle Group

  • Revenue fell 11.9% to $4.8B in FY2025, slower than the 83.1% the year before.
  • Most recent quarter Q2 FY2026: revenue $1.1B, down 28.6% from Q2 FY2025.
  • Free cash flow was negative $3.4B in FY2025.
  • Net income fell 20.7% to $809M in FY2025.

Computed from the as-reported figures in the statements below. A change we cannot state from filed figures is left out rather than estimated.

Peer comparison

Where Carlyle Group’s fundamentals sit among the 425 Financials companies. Each figure is ranked only against peers that report it, from lowest (left) to highest (right).

Net margin16.9%
54th percentile of 377
FCF margin-70.6%
4th percentile of 272
Revenue growth (YoY)-11.9%
9th percentile of 420
ROE11.5%
62nd percentile of 375
P/E50.4×
94th percentile of 318
Short interest3.74d
46th percentile of 420

Carlyle Group’s FCF margin of -70.6% ranks in the 4th percentile of the 272 Financials companies reporting it. Carlyle Group’s P/E of 50.4 ranks in the 94th percentile of the 318 peers with a meaningful P/E. Carlyle Group’s revenue growth of -11.9% ranks in the 9th percentile of the 420 Financials companies reporting it.

No reported insider transactions (codes P/S) in the last 90 days. For context, about 15% of companies in the universe saw any reported insider purchase (code P) in the same window. Browse insider activity →

Percentiles describe where a figure sits among sector peers reporting it (100th = highest). They are position within a peer group, not a rating, and not investment advice. Short interest ranking uses days to cover from FINRA Consolidated Short Interest data; FINRA is the owner and source of that data, included at no additional charge.

Institutional ownership

Held by 4 of the superinvestors we track (plus 7 quant / multi-strat books), based on each investor’s most recent 13F; periods vary by investor (newest: Q2 2026).

Conviction investors
4
+7 quant / multi-strat
Initiated / added
6
2 new, 4 added
Reduced / exited
4
4 trimmed, 0 exited
Combined position
$999.0M
reported long value
InvestorAs ofPosition valueSharesChange
Harris Associates (Oakmark)Q2 2026$743.7M17.7MAdded
Point72 Asset ManagementquantQ2 2026$92.0M2.2MAdded
Markel GroupQ2 2026$55.9M1.3MHeld
Citadel AdvisorsquantQ2 2026$35.2M835.2KNew
Renaissance TechnologiesquantQ2 2026$31.4M744.7KAdded
D. E. ShawquantQ2 2026$10.1M238.9KAdded
AQR Capital ManagementquantQ2 2026$9.9M234.9KReduced
Soros Fund ManagementQ2 2026$9.5M226.8KReduced
Millennium ManagementquantQ2 2026$7.5M178.5KReduced
Two Sigma InvestmentsquantQ2 2026$2.1M48.9KNew
Gotham Asset ManagementQ2 2026$1.8M43.1KReduced

From quarterly Form 13F filings, which can be up to 45 days delayed. Long US-listed positions only: excludes short positions, options, cash, bonds, and non-US holdings, so this is not a manager’s complete portfolio. Counts are of the investors we track, not all institutions. Not investment advice.

Short interest

Total shares sold short as of each twice-monthly FINRA settlement. Rising short interest means more investors are positioned against the stock; days to cover estimates how many trading days of average volume that position represents.

Shares short
19.9M
settled 2026-08-14
Change vs prior
+19.0%
vs previous settlement
Days to cover
3.74
at avg daily volume
Avg daily volume
5.3M
FINRA reported
SettlementShares shortChangeDays to cover
2026-08-1419.9M+19.0%3.74
2026-07-3116.8M+3.5%6.20
2026-07-1516.2M-4.7%6.36
2026-06-3017.0M+4.2%3.52
2026-06-1516.3M+3.9%4.96
2026-05-2915.7M-10.4%5.01
2026-05-1517.5M+20.6%5.03
2026-04-3014.5M-0.1%4.41

Source: FINRA Consolidated Short Interest. FINRA is the owner and source of the FINRA-supplied data, which is included at no additional charge for your own personal or professional use; republishing or redistributing it is not permitted. Settlement dates are shown; FINRA publishes each settlement about nine business days later, so the latest figure can be two to four weeks old. Not presented as a percentage of float. No FINRA endorsement of this product is implied. Not investment advice.

Income statement (as reported)

 FY2025FY2024FY2023FY2022FY2021
Revenue$4.78B$5.43B$2.96B$4.44B$8.78B
Gross profit
Operating income
Net income$808.7M$1.02B$-608.4M$1.23B$2.97B
Diluted EPS$2.18$2.77$-1.68$3.35$8.20

Figures as reported to the SEC. Underlined values link to the filing they came from; dotted values are calculated by us from reported figures; “adj” means restated for a stock split (hover to see the figure as filed). Full details: where the numbers come from.

Balance sheet (as reported)

 FY2025FY2024FY2023FY2022FY2021
Cash and equivalents$1.97B$1.27B$1.44B$1.36B$2.47B
Current assets
Total assets$29.12B$23.10B$21.18B$21.40B$21.25B
Current liabilities
Long-term debt$2.27B$2.07B
Total liabilities$22.06B$16.76B$15.39B$14.58B$15.54B
Total equity$7.06B$6.35B$5.78B$6.82B$5.71B

Figures as reported to the SEC. Underlined values link to the filing they came from; dotted values are calculated by us from reported figures; “adj” means restated for a stock split (hover to see the figure as filed). Full details: where the numbers come from.

Cash flow (as reported)

 FY2025FY2024FY2023FY2022FY2021
Operating cash flow$-3.28B$-759.5M$204.9M$-379.3M$1.79B
Capital expenditure$99.4M$77.7M$66.6M$40.6M$41.4M
Free cash flow$-3.37B$-837.2M$138.3M$-419.9M$1.75B

Figures as reported to the SEC. Underlined values link to the filing they came from; dotted values are calculated by us from reported figures; “adj” means restated for a stock split (hover to see the figure as filed). Full details: where the numbers come from.

Quarterly trend (as reported)

QuarterRevenueRevenue YoYNet incomeDiluted EPS
Q2 FY2026$1.12B-28.6%$137.1M$0.37
Q1 FY2026$254.0M-73.9%$-132.2M$-0.37
Q4 FY2025$1.90B84.1%$358.1M$0.96
Q3 FY2025$332.7M-87.4%$900,000$0.00
Q2 FY2025$1.57B47.0%$319.7M$0.87
Q1 FY2025$973.1M41.4%$130.0M$0.35
Q4 FY2024$1.03B11.5%$210.9M$0.57
Q3 FY2024$2.64B267.7%$595.7M$1.63

Latest 8 reported quarters, from company XBRL filings on SEC EDGAR.

Company facts

ExchangeNasdaq
SectorFinancials
SIC industryInvestment Advice
Latest annual periodFY2025 (ended December 31, 2025)
Latest reported quarterQ2 FY2026 (ended June 30, 2026)
Oldest indexed filing2016
SEC CIK1527166

Selected SEC filings

10-K2026-02-27
View on EDGAR →
10-Q2026-08-10
View on EDGAR →
10-Q2026-05-08
View on EDGAR →
8-K2026-08-05
View on EDGAR →
8-K2026-06-05
View on EDGAR →
8-K2026-06-01
View on EDGAR →
8-K2026-05-07
View on EDGAR →

Largest Financials peers

All Financials companies →

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Data sourced from SEC EDGAR. Figures are as-reported and may be unaudited or restated; verify against the source filing before relying on them. Informational only. Not investment advice.