CG The Carlyle Group Inc.

Financial ServicesAsset Management
$49.01
3.52%
40
QScore Signal
Hold
Confidence: MEDIUM
Long-Term
43
Short-Term
36

Value

54
P/E21.74
54
P/B3.05
54
P/S3.84
54
EV/EBITDA20.95
54

Growth

59
Revenue Growth19.8%
78
EPS Growth-21.1%
35
FCF Growth262.9%
65

Momentum

34
12-Month Return22.6%
56
3-Month Return-11.6%
0
1-Month Return1.7%
28
RSI (14)34.80
50
50/200 MABearish
30

Profitability

42
ROE14.2%
46
ROA2.8%
45
Gross Margin69.9%
55
Operating Margin26.0%
48
Net Margin17.6%
47
FCF Yield-9.8%
12

Risk

16
Beta1.89
35
60-Day Volatility42.3%
0

Generated 5/7/2026, 10:48:05 PM · How is this calculated?

QScore Analysis