Carlyle Group Inc (CG) Return on Assets ROA from the second quarter of 2026 to second quarter of 2025 and for the year 2026, Average High and Low, Fundamental Ratios from Jun 30 2026 to Jun 30 2025 - CSIMarket
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Carlyle Group Inc   (NASDAQ: CG)
    Sector  Financial    Industry Investment Services
   Industry Investment Services
   Sector  Financial


Carlyle Group Inc 's ROA from the second quarter of 2026 to the second quarter of 2025 and 5 Year Period

Return on Assets, Quarterly Results, Trends, Rankings, Statistics


What is Carlyle Group Inc 's ROA in the second quarter of 2026?
Carlyle Group Inc achieved a return on average assets (ROA) of 1.89 % in its second quarter of 2026, which is below Carlyle Group Inc 's average return on assets, which stands at 4.41%.

ROA fell compared to the first quarter of 2026, despite the net income growth of % from the first quarter of 2026.

However, within the Financial sector 344 other companies had a higher return on assets. While return on assets, the total ranking has deteriorated compared to the first quarter of 2026 from 1654 to 1733.

What is ROA?



Return On Assets (Jun 30 2026)
II. Quarter
(Mar 31 2026)
I. Quarter
(Dec 31 2025)
IV. Quarter
(Sep 30 2025)
III. Quarter
(Jun 30 2025)
II. Quarter
Y / Y Total Assets Change 12.48 % 23.85 % 156.84 % 144.3 % 115.39 %
Y / Y Net Income Change -31.48 % - 52 % -81.73 % 119.76 %
Net Income (TTM) in million 541 644 945 827 1,330
Return On Assets (TTM) 1.89 % 2.32 % 3.59 % 3.78 % 7.43 %
CG's Total Ranking # 1733 # 1654 # 1520 # 1089 # 1199
Total Assets (TTM) in million 28,196 29,842 29,116 27,056 25,068
Seq. Total Assets Change -5.52 % 2.49 % 7.61 % 7.93 % 4.04 %
Seq. Net Income Change - - 207.11 % -65.71 % 106.87 %



Return On Assets Company Ranking
Within: No.
Industry # 56
Sector # 345
Overall # 1830

Return On Assets Statistics
High Average Low
16.4 %
4.41 %
-2.98 %
(Jun 30 2021)   (Jun 30 2016)





Financial Statements
Carlyle Group Inc 's Assets $ 28,196 million CG's Balance sheet
Carlyle Group Inc 's Income $ 225 million Quarterly CG's Income Statement
CG's Income by Division See CG's Income by Division



Annual Return On Assets (Dec 31 2025)
FY 2025
(Dec 31 2024)
FY 2024
(Dec 31 2023)
FY 2023
(Dec 31 2022)
FY 2022
(Dec 31 2021)
FY 2021
Y / Y Total Assets Change 47.56 % 4.25 % 5.33 % -0.9 % 26.04 %
Total Assets in million 16,728 11,336 10,875 10,324 10,418
Y / Y Net Income Change -13.42 % - - -57.81 % 695.51 %
Net Income in million 945 1,091 -497 1,285 3,045
Annual Return On Assets 5.65 % 9.62 % -4.57 % 12.44 % 29.23 %




Comment on CG's ROA in the fiscal year ending 2025
In the fiscal year 2025 Carlyle Group Inc 's ROA decreased compared to previous year to 5.65 %, due to deterioration of net income -13.42 % to $944.70 million, from $1,091.10 million a year ago, as CG's assets were $16,728.20 million.


More Return On Assets Ratios
CG's' Return on Assets at Yahoo Finance
Investment Services Industry Return On Assets Trends and Statistics
Financial Sector Roa Statistics
Roa Trends for overall market
CG's Roa Ratio versus Investment Services Industry, Financial Sector and overall Market
Highest Ranking Return On Assets
Lowest Ranking Return On Assets
Subscribers only: Roa for CG's Competitors
Subscribers only: Roa for Carlyle Group Inc 's Suppliers
Subscribers only: Return On Assets for CG's Customers

You may also want to know
CG's Roi CG's Inventory Turnover Ratio CG's Growth Rates CG's Dividend Comparisons
CG's Profitability Ratios CG's Asset Turnover Ratio CG's Dividend Growth
CG's Roe CG's Valuation Ratios CG's Financial Strength Ratios CG's Dividend Payout Ratio



Companies with similar Return On Assets at Jun 30 2026, within Financial Sector ROA
Selectquote Inc   4.90 %
Unitedhealth Group Incorporated  4.78 %
Brixmor Property Group Inc   4.77 %
Stewart Information Services Corp  4.75 %
Euronet Worldwide Inc   4.56 %
Ryman Hospitality Properties inc   4.52 %
Hanover Insurance Group Inc   4.50 %
Upstart Holdings Inc   4.34 %
First American Financial Corporation  4.23 %
Perella Weinberg Partners  4.16 %
Amerisafe Inc   4.13 %
Aflac Incorporated  4.13 %
American Homes 4 Rent  4.11 %
Quetta Acquisition Corporation  4.11 %
Brown and Brown Inc   4.09 %
Siriuspoint Ltd   4.03 %
Equinix Inc   3.82 %
Centurion Acquisition Corp   3.79 %
Old Republic International Corporation  3.76 %
Abrdn Palladium Etf Trust  3.72 %
Camden Property Trust  3.68 %
W P Carey Inc   3.61 %
Sim Acquisition Corp I  3.60 %
Ares Management Corporation  3.55 %
Aldel Financial Ii inc   3.52 %
Extra Space Storage Inc   3.42 %
Universal Health Realty Income Trust  3.41 %
Markel Group Inc   3.37 %
Franklin Resources Inc   3.37 %
Agriculture & Natural Solutions Acquisition Corp  3.31 %


Date modified: 2026-08-13T05:53:16+00:00


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