CG | The Carlyle Group

CUSIP: 14316J108

3 Funds Holding
19.0M Total Shares
$766M Total Value
$49.24
Price
$17.5B
Market Cap
50.8
P/E Ratio
9.6
Forward P/E
$0.97
EPS (TTM)
2.86%
Dividend Yield
$2.0B
Cash
$13.9B
Total Debt
356M
Shares Out
$39.60
$69.85
52-Week Range

Institutional Ownership of The Carlyle Group

Fund / Manager Click to search
Shares Value % of Portfolio Cost Basis Est. Return
Oakmark Select Fund|Bill Nygren
17.7M $744M
0.99%
1.3M $20M
0.22%
$52.11 -5.36%
40.0K $2M
0.40%
$51.12 -3.23%

Trading Activity for The Carlyle Group

Fund / Manager Click to search
Action Change Shares After Value Price
2026-Q2
BUY +3.2% 1.3M $20M $46.87
2026-Q1
SELL -0.4% 1.2M $22M $54.45
2025-Q4
BUY +44.8% 1.2M $18M $57.59
2025-Q3
BUY +35.9% 863.4K $9M $63.38
SELL -42.9% 40.0K $3M $63.38
2025-Q2
BUY NEW 635.5K $5M $45.08
2024-Q4
BUY NEW 70.0K $4M $51.12
2023-Q2
SELL EXIT $29.59
2023-Q1
SELL -50.0% 37.0K $238674 $34.08
2022-Q4
BUY NEW 74.0K $382848 $28.78
2022-Q2
SELL EXIT $38.39
2021-Q4
SELL -16.2% 88.0K $5M $54.69
2021-Q2
SELL -22.4% 105.0K $5M $43.09
2021-Q1
SELL -29.1% 135.3K $5M $35.48
2020-Q4
SELL -1.2% 190.7K $6M $27.80
2020-Q3
SELL -12.3% 193.0K $5M $27.14
2020-Q2
SELL -42.8% 220.0K $6M $24.89
2020-Q1
SELL EXIT $31.45
BUY NEW 384.9K $8M $31.45
2019-Q4
SELL -1.0% 577.9K $19M $27.99
2018-Q4
SELL -1.9% 583.8K $9M $19.02
2018-Q3
BUY +11.5% 396.8K $9M $23.65
2018-Q2
BUY +6.3% 356.0K $8M $21.62

Insider Trading for The Carlyle Group

No Insider Transactions
No Form 4 filings found for this stock in the last 2 years.