Carlyle Group Inc
NASDAQ:CG

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Carlyle Group Inc
NASDAQ:CG
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Price: 50.21 USD -1.06% Market Closed
Market Cap: 18B USD
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Operating Margin
Carlyle Group Inc

2.8%
Current
20%
Average
24%
Industry

Operating Margin represents how efficiently a company is able to generate profit through its core operations.

Higher ratios are generally better, illustrating the company is efficient in its operations and is good at turning sales into profits.

Operating Margin
2.8%
=
Operating Profit
143.1m
/
Revenue
5.2B

Operating Margin Across Competitors

Country US
Market Cap 18B USD
Operating Margin
3%
Country US
Market Cap 208.9B USD
Operating Margin
49%
Country US
Market Cap 153.4B USD
Operating Margin
37%
Country US
Market Cap 132.2B USD
Operating Margin
4%
Country CA
Market Cap 85.4B USD
Operating Margin
25%
Country LU
Market Cap 61.7B Zac
Operating Margin N/A
Country ZA
Market Cap 61.6B Zac
Operating Margin
28%
Country MU
Market Cap 60.3B Zac
Operating Margin
83%
Country US
Market Cap 56.2B USD
Operating Margin
0%
Country US
Market Cap 51.8B USD
Operating Margin
27%
Country UK
Market Cap 34.6B GBP
Operating Margin
95%
No Stocks Found

Carlyle Group Inc
Glance View

Market Cap
18B USD
Industry
Financial Services
Economic Moat
None

In the world of high finance, Carlyle Group Inc. stands as a formidable player, weaving its influence across various sectors through its adept management of alternative assets. Founded in 1987, Carlyle began with the vision of capitalizing on overlooked opportunities in the market. Today, the firm is a global investment powerhouse, managing billions across its extensive portfolio. Carlyle specializes in private equity, real assets, and credit, employing a nuanced strategy that seeks to generate substantial returns. By acquiring companies, improving their performance, and ultimately selling them for a profit, Carlyle taps into the lucrative cycle of buying low and selling high, often steering companies through pivotal growth phases. This approach is augmented by its real asset and credit investments, which stabilize returns and diversify risks across different market conditions. Carlyle’s business model is intricately designed to capitalize on its global reach and sector-specific expertise. It operates through a complex amalgamation of funds that focus on diverse investment opportunities. This network of funds aligns investor capital with promising ventures, from aerospace to healthcare, ensuring a breadth of exposure that minimizes risks and maximizes potential gains. Carlyle earns revenue through management fees and performance incentives linked to the success of their investments—a model that encourages not just preservation, but active enhancement of company value. This intrinsic alignment with investor interests, coupled with a strategic focus on innovation and market trends, allows Carlyle to sustain its status as a leader in the competitive world of asset management.

CG Intrinsic Value
42.76 USD
Overvaluation 15%
Intrinsic Value
Price

See Also

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What is Operating Margin?

Operating Margin represents how efficiently a company is able to generate profit through its core operations.

Higher ratios are generally better, illustrating the company is efficient in its operations and is good at turning sales into profits.

Operating Margin
2.8%
=
Operating Profit
143.1m
/
Revenue
5.2B
What is the Operating Margin of Carlyle Group Inc?

Based on Carlyle Group Inc's most recent financial statements, the company has Operating Margin of 2.8%.