Carlyle Group Inc
NASDAQ:CG
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Gross Margin
Carlyle Group Inc
Gross Margin is the amount of money a company retains after incurring the direct costs associated with producing the goods it sells and the services it provides. The higher the gross margin, the more capital a company retains, which it can then use to pay other costs or satisfy debt obligations.
Gross Margin Across Competitors
Country | US |
Market Cap | 19.2B USD |
Gross Margin |
44%
|
Country | US |
Market Cap | 231.7B USD |
Gross Margin |
0%
|
Country | US |
Market Cap | 152B USD |
Gross Margin |
81%
|
Country | US |
Market Cap | 142.2B USD |
Gross Margin |
37%
|
Country | CA |
Market Cap | 90.5B USD |
Gross Margin |
19%
|
Country | ZA |
Market Cap | 68.5B Zac |
Gross Margin |
84%
|
Country | LU |
Market Cap | 67.1B Zac |
Gross Margin | N/A |
Country | US |
Market Cap | 59B USD |
Gross Margin |
0%
|
Country | US |
Market Cap | 55.7B USD |
Gross Margin |
50%
|
Country | MU |
Market Cap | 48.5B Zac |
Gross Margin |
89%
|
Country | UK |
Market Cap | 35.6B GBP |
Gross Margin |
99%
|
Carlyle Group Inc
Glance View
Carlyle Group Inc. is a global investment firm with a rich history and a significant footprint in the private equity, real assets, and credit markets. Founded in 1987, Carlyle has grown from a small startup into one of the largest and most prestigious alternative asset managers in the world, managing over $300 billion in assets across multiple sectors and geographies. The firm takes a hands-on approach to investing, leveraging deep industry expertise and a vast network of relationships to drive value in its portfolio companies. With a commitment to disciplined investment strategies and risk management, Carlyle is well-positioned to capitalize on opportunities across diverse economic environments, making it an attractive choice for investors seeking a blend of growth and stability. For investors, Carlyle's diversified investment strategy is a key selling point. The company focuses not only on private equity investments but also on real estate and global credit management, allowing it to navigate different market cycles effectively. Carlyle's strong track record of generating robust returns and a disciplined approach to capital allocation have garnered trust from institutional investors and high-net-worth clients alike. Furthermore, the firm embraces transparency and sustainability, aligning its interests with those of its investors while pursuing long-term value creation. As the demand for alternative investments continues to rise, Carlyle Group Inc. stands out as a resilient player with the experience and expertise to thrive in a competitive landscape, making it a compelling prospect for savvy investors looking to diversify their portfolios.
See Also
Gross Margin is the amount of money a company retains after incurring the direct costs associated with producing the goods it sells and the services it provides. The higher the gross margin, the more capital a company retains, which it can then use to pay other costs or satisfy debt obligations.
Based on Carlyle Group Inc's most recent financial statements, the company has Gross Margin of 43.9%.