CG The Carlyle Group

$1.04 (4.41%)

CG Stock Analysis Overview

What this means: InvestorsObserver gives The Carlyle Group (CG) an overall rank of 43, which is below average. The Carlyle Group is in the bottom half of stocks based on the fundamental outlook for the stock and an analysis of the stock's chart. A rank of 43 means that 57% of stocks appear more favorable to our system.

Who this matters to: Overall Ranking is a comprehensive evaluation. It considers technical and fundamental factors and is a good starting point for evaluating a stock.

The Carlyle Group (CG) Analyst Forecast

Next 12 months ➝MEAN$32.30+30.58%HIGH$40.00+61.71%LOW$28.00+13.20%Current Price$24.7352-week High$34.9852-week Low$15.21
  • Last Price$24.74
  • Previous Close$23.69
  • Change $1.04
  • Open$24.04
  • Volume266,454
  • Avg. Volume (100-day)1,940,055
  • Market Capitalization$9B
  • Days Range $24.04 - $24.87
  • 52-week Range $15.21 - $34.98
  • Dividend Yield4.22%
  • Ex. Dividend Date08/10/2020
  • P-E
  • EPS-0.91
  • Earnings Date10/29/2020
  • SectorFinancial Services
  • IndustryAsset Management
  • Avg. Analyst Rec.
  • Beta0.935
  • PEG Ratio
The Carlyle Group Inc is a diversified multi-product global alternative asset management firm. The company operates in four business segment which includes Corporate Private Equity, Real Assets, Global Credit, Investment Solutions. The group's maximum revenue is generated from America.