Carlyle Group Inc (CG) Shares Are Down -29.31% YTD

Carlyle Group Inc (NASDAQ:CG) has a beta value of 1.86 and has seen 2.35 million shares traded in the last trading session. The company, currently valued at $12.89B, closed the last trade at $35.69 per share which meant it gained $0.91 on the day or 2.62% during that session. The CG stock price is -61.11% off its 52-week high price of $57.50 and 7.48% above the 52-week low of $33.02. If we look at the company’s 10-day average daily trading volume, we find that it stood at 5.54 million shares traded. The 3-month trading volume is 3.36 million shares.

The consensus among analysts is that Carlyle Group Inc (CG) is Buy stock at the moment, with a recommendation rating of 2.32. 0 analysts rate the stock as a Sell, while 0 rate it as Overweight. 5 out of 12 have rated it as a Hold, with 7 advising it as a Buy. 0 have rated the stock as Underweight. The expected earnings per share for the stock is 0.95.

Carlyle Group Inc (NASDAQ:CG) trade information

Sporting 2.62% in the green in last session, the stock has traded in the red over the last five days, with the highest price hit on recent trading when the CG stock price touched $35.69 or saw a rise of 5.13%. Year-to-date, Carlyle Group Inc shares have moved -29.31%, while the 5-day performance has seen it change -2.46%. Over the past 30 days, the shares of Carlyle Group Inc (NASDAQ:CG) have changed -19.13%. Short interest in the company has seen 11.31 million shares shorted with days to cover at 3.69.

Wall Street analysts have a consensus price target for the stock at $72.5, which means that the shares’ value could jump 50.77% from current levels. The projected low price target is $60.0 while the price target rests at a high of $85.0. In that case, then, we find that the current price level is -138.16% off the targeted high while a plunge would see the stock gain -68.11% from current levels.

Carlyle Group Inc (CG) estimates and forecasts

The company’s shares have lost -30.48% over the past 6 months. Revenue growth from the last financial year stood is estimated to be 12.55%.

6 analysts offering their estimates for the company have set an average revenue estimate of 966.17M for the current quarter. 5 have an estimated revenue figure of 961.16M for the next ending quarter. Year-ago sales stood 1.02B and 788.9M respectively for this quarter and the next, and analysts expect sales will shrink by -5.56% for the current quarter and 12.55% for the next.

If we evaluate the company’s growth over the last 5-year and for the next 5-year period, we find that annual earnings growth was -0.31% over the past 5 years. Earnings growth for 2025 is a modest 5.28% while over the next 5 years, the company’s earnings are expected to increase by 10.90%.

CG Dividends

Carlyle Group Inc is expected to release its next earnings report on 2025-Feb-10 this year, and investors are excited at the prospect of better dividends despite the company’s debt issue. The forward dividend is 1.40 at a share yield of 3.92%. The company’s dividend yield has gone up over the past 12 months, with a 5 Year Average Dividend Yield of 3.29%.

Carlyle Group Inc (NASDAQ:CG)’s Major holders

Insiders own 27.77% of the company shares, while shares held by institutions stand at 61.30% with a share float percentage of 84.88%. Investors are also buoyed by the number of investors in a company, with Carlyle Group Inc having a total of 777.0 institutions that hold shares in the company. The top two institutional holders are VANGUARD GROUP INC with over 23.34 million shares worth more than $936.99 million. As of 2024-06-30, VANGUARD GROUP INC held 6.513% of shares outstanding.

The other major institutional holder is BLACKROCK INC., with the holding of over 22.71 million shares as of 2024-06-30. The firm’s total holdings are worth over $911.7 million and represent 6.3372% of shares outstanding.

Also the top two Mutual Funds that are holding company’s shares are Income Fund of America and VANGUARD INDEX FUNDS-Vanguard Total Stock Market Index Fund . As of Jan 31, 2025 , the former fund manager holds about 3.77% shares in the company for having 13.61 shares of worth $485.75 million while later fund manager owns 7.28 shares of worth $259.8 million as of Dec 31, 2024 , which makes it owner of about 2.02% of company’s outstanding stock.