Top line decelerating.
+19.8% YoY versus +119.0% prior. 3y CAGR +10.0%.
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Financial Services · Market Cap: $16.5B
Fundamentals as of 2026-03-31
All analysis on this page is for educational purposes only and does not constitute financial advice. Fair values are model-based estimates. Always do your own research.
The Question
Concerns — The Carlyle Group Inc.'s 7.4% ROE is below sector median.
Financial story
Concerns — The Carlyle Group Inc.'s 7.4% ROE and 3.05 debt-to-equity warrant a closer look at the underlying business.
Bottom line: CG currently has no legendary investor models qualifying — see /stock/CG/valuation for the per-model breakdown, but earns a D sector grade (34/100) in Financial Services. Use the per-tab analysis to form your own view. Drill into the valuation breakdown and sector ranking for the full picture.
+19.8% YoY versus +119.0% prior. 3y CAGR +10.0%.
+19.8%Net margin 16.5% versus 25.0% prior (−8.4pp). Operating 26.2%.
16.5%P/E 29.7x — 67% above the 5y median of 17.8x. Forward 11.1x hints at EPS expansion next year.
29.7xInvestor verdicts vary by methodology. Full breakdown by investor and signal is in the valuation tab.
CG's earnings calendar and history are tracked in the financials tab. Specific dates depend on company-published guidance.
CG is in the Financial Services sector. Sector ranking and peer comparison are in the sector tab.
0 of 6 legendary investor models rate CG a BUY. Fair value estimates and full investor breakdown are in the valuation tab.
The Carlyle Group Inc.'s fair value depends on which model you trust. See the per-investor fair-value table in the valuation tab.
CG trades at 34.6x earnings. Sector context and per-investor signals are in the valuation tab
How does CG compare?
See exactly where CG ranks
Sign in to unlock the full sector ranking — free.
Sign in to see the rankingCG sits at #146 in Financial Services with a D grade (34/100).