What is Carlyle Group Inc (CG) Stock Return on Shareholders’ Capital?

With 1.9 million shares changed hands, the volume of the stock remained lighter than its average volume of 2.45 million shares. During the session, the Asset Management company that operates in wider Financial sector, reached to the highest price of $51.13 whereas the lowest price it dropped to was $50.15. The 52-week range on CG shows that it touched its highest point at $55.11 and its lowest point at $36.65 during that stretch. It currently has a 1-year price target of $57.12. With its current market cap of 18.15 billion, CG has annualized dividend of $1.40 while the current yield stands at 2.76%. CG paid its most recent dividend on 1723766400, while the ex-dividend date for that was 1731888000. Beta for the stock currently stands at 1.68.

Price Performance and Earnings:

Stock performance is one of the indicators that investors use to determine whether they will profit from a stock. The price performance of CG was down-trending over the past week, with a drop of -0.88%, but this was down by -3.88% over a month. Three-month performance surged to 17.32% while six-month performance rose 24.98%. The stock gained 26.86% in the past year, while it has gained 0.48% so far this year. A look at the trailing 12-month EPS for CG yields 0.30 with Next year EPS estimates of 4.43. For the next quarter, that number is 1.03. This implies an EPS growth rate of 15.99% for this year and 17.95% for next year.

Float and Shares Shorts:

At present, 357.68 million CG shares are outstanding with a float of 244.41 million shares on hand for trading. On 2024-12-13, short shares totaled 9.76 million, which was 273.0 higher than short shares on 1731628800. In addition to Mr. William E. Conway Jr. as the firm’s Co-Founder & Co-Chairman of the Board, Mr. Harvey Mitchell Schwartz serves as its CEO & Director.

Institutional Ownership:

Through their ownership of 0.59523 of CG’s outstanding shares, institutional investors have minority control over the company.

Analysts Ratings:

Reading analyst opinions is an effective way to decide where to invest, and there are several opinions available for CG since 12 analysts follow the stock currently. There are 7 analysts who recommend BUY ratings, while 0 suggest SELL ratings. Of the remaining analysts, 5 believe that the stock is worth HOLDING, 0 give it an OVERWEIGHT rating, and 0 thinks that it’s UNDERWEIGHT. In the same way, a target price assigned to a stock can also reveal much about its potential. With CG analysts setting a high price target of 85.0 and a low target of 47.0, the average target price over the next 12 months is 56.58824. Based on these targets, CG could surge 67.55% to reach the target high and fall by -7.35% to reach the target low. Reaching the average price target will result in a growth of 11.55% from current levels.

Analysts have provided yearly estimates in a range of $3.99743 being high and $3.58871 being low. For CG, this leads to a yearly average estimate of $3.75818. Based on analyst estimates, the high estimate for the next quarter is $1.12 and the low estimate is $0.97. The average estimate for the next quarter is thus $1.05.