Competition & Peer Data API & CSV Delivery

Carlyle Group Inc's Competitiveness

A competitive positioning analysis and financial ratio benchmarking of Carlyle Group Inc (CG) against its publicly traded competitors: sales growth, net income, profitability, valuation and market share, plus each peer's market capitalization, revenue, income and employees. Free below: the top 5 peers. Subscriber access adds the full competitor list and CSV downloads.

Peer Data As of Q2 2026
Competitors Tracked
77
Publicly traded peers
Peer Group Market Share
0.41 %
vs 0.63 % a year ago
Revenue Growth Y/Y
-28.57 %
Peers: 10.64 %
Net Margin
20.01 %
Peers: 27.00 %

Key Findings: Carlyle Group Inc vs Its Competitors

  • TTM: Trailing 12-month revenue of 3,611M vs 1,083,073M combined for tracked competitors (0.3% combined share).
  • Trending: Latest-quarter revenue run-rate is accelerating (+24.4% annualized vs trailing 12 months), vs holding steady (+1.4%) for its tracked peer group.
  • Growth: Carlyle Group Inc generated -28.6% revenue growth year over year in Q2 2026, vs 10.6% for its tracked competitors combined.
  • Profitability: Its 20.0% net margin compares with 27.0% for the peer group.
  • Scale: Carlyle Group Inc ranks #25 of 91 companies by market capitalization in the Investment Services industry, holding 0.6% of industry market cap.
  • Peer revenue share: Carlyle Group Inc accounted for 0.4% of combined revenue among its tracked peer group, down from 0.6% a year earlier.
  • Peer differentiation: Revenue per employee of $1.44M compares with $0.74M for the peer group (2.0x).

Every figure above is sourced and cited in detail further down this page (Market Structure, Profitability & Cost Structure, Productivity vs Peers).

CG Sales vs. its Competitors, Q2 2026

Carlyle Group Inc reported revenue contraction of 28.57 % year on year in Q2 2026, below its competitors' combined revenue growth of 10.64 %.

With a net margin of 20.01 %, Carlyle Group Inc reported lower profitability than its competitors (27.00 %).

Carlyle Group Inc generated 0.41 % of the combined sales of its peer group, down from 0.63 % a year earlier.

API endpoints for this dataset
https://api.csimarket.com/api/v1/companies/CG/competitors
https://api.csimarket.com/api/v1/companies/CG/relationships
https://api.csimarket.com/api/v1/companies/CG/similar
Programmatic access for models, analytics, and integration workflows.

Carlyle Group Inc vs. its Competitors, Q2 2026

Revenue growth, year on year

Carlyle Group Inc -28.6 %
Competitors combined +10.6 %

Net income growth, year on year

Carlyle Group Inc -31.5 %
Competitors combined +35.7 %

Net margin

Carlyle Group Inc +20.0 %
Competitors combined +27.0 %

Revenue run-rate vs trailing 12 months

Carlyle Group Inc +24.4 %
Competitors combined +1.4 %

TTM net margin

Carlyle Group Inc +15.0 %
Competitors combined +23.0 %

TTM = trailing twelve months. Run-rate annualizes the latest quarter (×4) and compares it to TTM. In millions of $. High-Confidence Competitors are named as a competitor directly in an SEC filing; Similar-Size Competitors are the closest peers by market-cap rank within the same industry; Similar Growth & Profitability Competitors are the closest peers by combined revenue growth, operating margin and ROIC, all independent of the competitor list.

Competitor Financial Benchmarking - TTM Commercial

TTM revenue, latest-quarter run-rate and net income/margin benchmarked across Carlyle Group Inc and its 4 competitor groupings. Available under Commercial License.

Entity TTM Revenue Latest Q ×4 Rev Run-rate vs TTM TTM Net Income TTM Net Margin
Carlyle Group Inc $12,345M $12,345M +12.3% · Accelerating $1,234M 12.3%
Competitors combined $12,345M $12,345M +12.3% · Accelerating $1,234M 12.3%
High-Confidence Competitors (1) $12,345M $12,345M +12.3% · Accelerating $1,234M 12.3%
Similar-Size Competitors (9) $12,345M $12,345M +12.3% · Accelerating $1,234M 12.3%
Similar Growth & Profitability (2) $12,345M $12,345M +12.3% · Accelerating $1,234M 12.3%
Competitor Financial Benchmarking

TTM revenue, run-rate and net margin benchmarking across Carlyle Group Inc's competitor groups requires a Commercial License.

For context: the Investment Services industry grew revenue -2.0% year over year, combined, vs -28.6% for Carlyle Group Inc. Carlyle Group Inc's share of combined industry revenue moved from 0.61% to 0.45%, a loss of 0.17 percentage points.

Carlyle Group Inc's Competitor Quality Breadth

Share of each group, trailing 12 months: profitable (net margin > 0), expanding (revenue growth > 0), growing faster than the industry's own median, and financially distressed (Piotroski F-Score of 2 or below).

Entity Profitable Expanding Above Industry Growth Distressed
Carlyle Group Inc Yes No No Yes
Competitors combined (77) 95% 85% 58% 19%
High-Confidence Competitors (1) 100% 100% 100% 0%
Similar-Size Competitors (10) 90% 100% 80% 10%
Similar Growth & Profitability (8) 50.00 % (4 of 8) 12.50 % (1 of 8) 0.00 % (0 of 8) 83.30 % (5 of 6)

Source: CSIMarket API, trailing 12 months. Altman Z-Score is not shown here: it is not populated in the underlying data for any company. Percentages are of companies in each group that report the relevant metric, not of the full group size.

Market Share of the Peer Group, Q2 2026

0.4%market share
  • Carlyle Group Inc0.4%
  • Competitors combined99.6%

Share of combined quarterly revenue of Carlyle Group Inc and its 77 tracked competitors.

See Carlyle Group Inc's full market share breakdown »

CG Stock Performance relative to its Competitors

CG Competitors (weighted) Percent change over the selected range

Carlyle Group Inc's Share Price Performance vs Peer Groups

Trailing 12-month total share price return, and the share of each group that outperformed the U.S.A. 500 over the same period. Similar Growth & Profitability Competitors are the closest peers by combined revenue growth, operating margin and ROIC.
27%beat U.S.A. 500
Competitors Combined
(20 of 74)
100%beat U.S.A. 500
High-Confidence
(1 of 1)
30%beat U.S.A. 500
Similar-Size
(3 of 10)
66.7%beat U.S.A. 500
Similar Growth & Profitability
(2 of 3)
Entity TTM Share Price Return
(group: median)
vs U.S.A. 500
Carlyle Group Inc -38.10 % Underperformed
Competitors combined (74) 40.4% 63.2%
High-Confidence Competitors (1) 40.4% 63.2%
Similar-Size Competitors (10) 40.4% 63.2%
Similar Growth & Profitability (3) 40.4% 63.2%
Peer Group Share Price Returns

TTM share price return and U.S.A. 500 outperformance for Carlyle Group Inc's competitor groups requires a Commercial License.

Source: CSIMarket API (daily market-structure computation). Outperformance is trailing-12-month total return vs the U.S.A. 500 over the same window, not risk-adjusted.

CG Stock Performance relative to High-Confidence Competitors

CG High-Confidence Competitors (equal-weighted, 1) Percent change over the selected range

CG Stock Performance relative to Similar-Size Competitors

CG Similar-Size Competitors (equal-weighted, 10) Percent change over the selected range

CG Stock Performance relative to Similar Growth & Profitability Competitors

CG Similar Growth & Profitability Competitors (equal-weighted, 8) Percent change over the selected range

5 Best-Performing Tracked Competitors, Trailing 12 Months

#CompetitorTTM Share Price Returnvs U.S.A. 500
1 The Bank Of New York Mellon Corporation 282.9% Outperformed
2 Wisdomtree Inc 282.9% Outperformed
3 Principal Financial Group inc 282.9% Outperformed
4 Franklin Resources Inc 282.9% Outperformed
5 Diamond Hill Investment Group Inc 282.9% Outperformed
Best-Performing Competitor Returns

TTM share price return and U.S.A. 500 outperformance for Carlyle Group Inc's best-performing tracked competitors requires a Commercial License.

Source: CSIMarket API, trailing 12 months.

Carlyle Group Inc's Comment on Competition and Industry Peers

The company operates in a competitive global environment alongside regional and global investment firms, banking institutions, mutual funds, and other financial entities. Competition varies by business line, geography, distribution channel, and financial market. Key factors influencing competition include investment performance, business relationships, service quality, reputation, brand recognition, pricing, market sentiment, and the appeal of investment opportunities. The company also competes with sponsors of public and private investment funds, local and regional firms, insurance and reinsurance companies, sovereign wealth funds, family offices, government agencies, and instrumentalities. In the high net worth investor segment, competition includes mutual funds and investment firms offering private wealth products.

Publicly Traded Peers of Carlyle Group Inc

Revenue and income for trailing 12 months, in millions of $, except employees
Company Market Cap Revenues Income Employees
Carlyle Group Inc 14,515.76 3,611.30 540.90 2,500
Jpmorgan Chase and Co 906,840.78 186,328.00 63,942.00 318,512
Bank Of America Corporation 404,609.27 121,098.00 33,655.00 213,000
Morgan Stanley 303,821.16 68,350.00 20,370.00 83,000
The Goldman Sachs Group Inc 279,373.77 52,259.00 20,973.00 47,400
Wells Fargo and Company 248,473.80 83,940.00 22,729.00 239,000
SUBTOTAL 3,496,635.57 1,223,982.33 273,085.23 1,657,608
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Sources: Carlyle Group Inc's official press releases and regulatory filings; CSIMarket.com's market research; and the financial filings and press releases of the other companies cited.
Updated on:
Focus of this report: publicly traded companies. Ten additional tables on Carlyle Group Inc versus competitors, including market share analysis, are in the navigation menu under Competition. To download the tables, please subscribe.

Carlyle Group Inc's Competitors Named by the Company

Competitive relationships identified from SEC filings and corroborating sources, each with a basis and confidence.
Competitor Basis Confidence Active Sources
Aircastle Limited Named by the company 85% 2022 to 2026 3
Competitor Evidence Detail

Filing basis, confidence, active dates and source counts for Carlyle Group Inc's named competitors require a Commercial License.

Methodology: relationships are extracted from SEC filings (named-competitor disclosures) and corroborating sources. Named by the company = explicitly disclosed as a competitor; Inferred = derived from corroborating signals. Confidence reflects evidence strength.

Carlyle Group Inc's Business Segment Mix vs Peers

Revenue by operating segment or division, as named and reported by each company. Segment names are the filer's own and are not standardized across companies. Do not assume a same-named or similarly-named segment is defined identically between two companies. Shares are of each company's own total revenue and are not required to sum to 100% (intersegment revenue, unallocated items).
Company Largest Segment 2nd Segment 3rd Segment
Carlyle Group Inc Global Private Equity 50.44 % Global Credit 32.35 % Carlyle AlpInvest 16.21 %
Citigroup inc Markets 29.42 % Services 24.78 % U.S. Personal Banking 19.31 %
Apollo Global Management Inc Retirement Services 36.50 % Asset Management 12.04 % Principal Investing 1.41 %
Prudential Financial Inc Total Reconciling Items 1.88 % Corporate Segment and Other Operating -0.28 % -
American International Group Inc North America Operating 30.08 % International Operating 29.95 % Global Personal Travel Insurance 22.86 %
The Hartford Insurance Group Inc P&C Business Insurance 55.32 % Employee Benefits 25.26 % P&C Personal Insurance 14.56 %

Source: operating segment revenue as reported in each company's SEC filings (10-K/10-Q), via the CSIMarket API, leaf-level reportable segments only (parent roll-up segments are excluded where sub-segments are separately disclosed).

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Carlyle Group Inc's Productivity vs Peers Comparison

Revenue and income per employee, trailing 12 months, in $; market cap in millions of $
CompanyMarket CapRevenue / EmployeeIncome / Employee
Carlyle Group Inc 14,516 1,444,520 216,360
Jpmorgan Chase and Co 906,841 584,995 200,752
Bank Of America Corporation 404,609 568,535 158,005
Morgan Stanley 303,821 823,494 245,422
The Goldman Sachs Group Inc 279,374 1,102,511 442,468
Wells Fargo and Company 248,474 351,213 95,100
PEERS TOTAL 3,482,120 737,336 164,669
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Carlyle Group Inc's Geographic Revenue Exposure vs Peers

Revenue by country/region as reported in each company's most recent filing. Disclosure granularity varies by filer (some report by country, others by broad region) and is shown as disclosed.
Company Largest Market 2nd Market 3rd Market
Blackrock Inc Americas 64.41 % Europe 28.86 % Asia Pacific 5.41 %
Franklin Resources Inc United States 72.53 % Luxembourg 16.77 % Asia Pacific 4.38 %
Stifel Financial Corp Americas 55.21 % - -
Stonex Group Inc Middle East and Asia 90.47 % United States 6.01 % Europe 3.10 %
Brc Group Holdings Inc North America 93.52 % Europe, Middle East, and Africa 3.63 % Asia 1.62 %

Source: revenue geography as reported in each company's SEC filings (10-K/10-Q), via the CSIMarket API. Percentages are of that company's own total consolidated revenue for its most recent reported period.

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Carlyle Group Inc's Position in Industry Market Structure

Market-capitalization share and concentration across all 88 companies in Carlyle Group Inc's industry classification, broader than the peer set above. Market cap in millions of $.

Carlyle Group Inc ranks #25 of 88 companies by market capitalization in its industry, holding 0.64 % of total industry market cap. The industry's Herfindahl-Hirschman Index (HHI) is 606, indicating a unconcentrated market structure (U.S. antitrust guidance: below 1,500 unconcentrated, 1,500 to 2,500 moderately concentrated, above 2,500 highly concentrated).

Rank Company Market Cap Industry Share
1 Morgan Stanley 303,821 13.32 %
2 The Goldman Sachs Group Inc 279,374 12.24 %
3 Blackrock Inc 176,379 7.73 %
4 Schwab Charles Corp 170,944 7.49 %
5 Futu Holdings Ltd 1,234 5.2%
6 Robinhood Markets Inc 1,234 5.2%
7 Cme Group Inc 1,234 5.2%
8 Blackstone Inc 1,234 5.2%
9 Kkr and co inc 1,234 5.2%
10 Intercontinental Exchange Inc 1,234 5.2%
25 Carlyle Group Inc 14,516 0.64 %
Full Industry Market Structure

Market cap and industry share for the rest of Carlyle Group Inc's industry peers requires a Commercial License.

Source: CSIMarket API (daily market-structure computation) across CSIMarket's industry classification, market capitalization as of 2026-09-28.

Carlyle Group Inc's Same-Size Peers & Stock Performance

Peers chosen by closeness in market-cap rank within the same industry classification (not the named-competitor list above). Trailing 12-month total return, 3-month price momentum, beta and Sharpe ratio vs the broad U.S. market.
Rank Company Market Cap TTM Return 3M Momentum Beta Sharpe (1Y)
20 Lpl Financial Holdings Inc 25,024 -7.24 % 5.75 % 1.01 -0.13
21 Price T Rowe Group Inc 22,236 1.74 % -11.42 % 1.14 -0.02
22 Tradeweb Markets Inc 21,443 -7.48 % -0.54 % 0.33 -0.33
23 Franklin Resources Inc 16,863 39.91 % -4.02 % 1.10 1.17
24 Tpg Inc 1,234 12.3% 4.5% 1.10 0.80
25 Carlyle Group Inc 14,516 -38.10 % -8.01 % 1.72 -1.21
26 Invesco Ltd 1,234 12.3% 4.5% 1.10 0.80
27 Up Fintech Holding Limited 1,234 12.3% 4.5% 1.10 0.80
28 Sei Investments Company 1,234 12.3% 4.5% 1.10 0.80
29 Stifel Financial Corp 1,234 12.3% 4.5% 1.10 0.80
30 Evercore Inc 1,234 12.3% 4.5% 1.10 0.80
Full Same-Size Peer Performance

Market cap, return, momentum, beta and Sharpe ratio for the rest of Carlyle Group Inc's same-size peers requires a Commercial License.

Source: CSIMarket API (daily market-structure computation); returns and risk metrics as of 2026-09-28. Beta and Sharpe ratio are versus the broad U.S. equity market, not this industry.

Carlyle Group Inc's Profitability & Cost Structure

Trailing 12-month margins from SEC-filed financials. Operating margin is compared to the Investment Services industry median; gross margin, EBITDA margin and capital intensity are compared to the live industry average (78 companies).
Metric Company Industry Difference
Gross Margin - 61.67 % (avg) -
Operating Margin 57.32 % industry median +21.2 pp
EBITDA Margin 28.08 % 19.52 % (avg) +8.6 pp
Capital Intensity (Capex / Revenue) 3.47 % 2.93 % (avg) +0.5 pp

Source: CSIMarket API, trailing 12 months. SG&A and R&D as a share of revenue have limited coverage as this data is backfilled and appear only where reported. Higher capital intensity is not inherently negative; it reflects the industry's asset requirements.

Carlyle Group Inc's Valuation vs Competitive Position

Valuation multiples vs the Investment Services industry average (78 companies, excluding loss-making/negative-equity outliers), alongside returns on capital for context on whether a premium or discount lines up with measurably stronger or weaker returns.
Metric Company Industry Average Difference
P/E - 23.9x -
EV / EBITDA 17.7x 12.8x +4.8x
P/B 2.3x 3.0x -0.7x
Return on Equity 7.59 % industry aggregate -8.25 %
Return on Invested Capital 4.42 % 8.46 % (avg) -4.04 %

Source: CSIMarket API, trailing 12 months. A valuation premium or discount is not, by itself, a judgment of over- or under-valuation. Compare it against the return and growth context shown elsewhere on this page.

Carlyle Group Inc's Multi-Year Financial Trajectory

Fiscal-year revenue growth, operating margin, return on invested capital and P/E, as reported in SEC filings.
Metric 20182019202020212022202320242025
Revenue Growth -33.98 %39.13 %-13.10 %199.26 %-49.46 %-33.23 %83.06 %-11.91 %
Operating Margin -101.56 %15.73 %-2.60 %37.44 %14.94 %35.49 %67.88 %69.23 %
Return on Invested Capital -11.95 %2.50 %-0.39 %10.93 %1.95 %3.04 %10.25 %7.70 %
P/E 21.8x10.5x34.6x6.6x9.1x-19.0x-

Source: CSIMarket API, fiscal-year figures. P/E is this company's own historical ratio at each fiscal year end and can swing sharply around an earnings trough: that is real, not a data error.

Carlyle Group Inc's Strategic Group Map

Every company in Carlyle Group Inc's industry and named-competitor list, plotted by trailing 12-month revenue growth and operating margin. Carlyle Group Inc is shown in red; its closest peers by combined growth, margin and ROIC (the Similar Growth & Profitability group above) are labeled.

Revenue Growth (TTM, %)Operating Margin (%)VOYACarlyle Group IncPZNSWKHHNNASUSQSCUDBRGMGHL

Source: CSIMarket API, trailing 12 months. Extreme outlier values (from near-zero-revenue companies) are excluded from the plotted cloud but never from the highlighted company or its labeled peers.

Carlyle Group Inc's BCG Growth-Share Matrix

Relative market share (vs Carlyle Group Inc's largest competitor by market cap) against industry revenue growth, using the standard textbook thresholds (1.0x share, 10% growth) a common framework, not a precision instrument.

Question Mark Star Dog Cash Cow Relative Market Share (vs largest competitor) Industry Revenue Growth (%) Carlyle Group Inc

Carlyle Group Inc falls in the Dog quadrant: relative market share of 0.05x vs its largest competitor, in an industry growing revenue 9.2% (median, trailing 12 months).

Source: CSIMarket API (market-cap share and industry revenue growth). The 10% growth and 1.0x share lines are standard textbook thresholds, not derived from this industry's own distribution.

Carlyle Group Inc's Competitive Forces (Porter's Five Forces)

Only the forces this data can support honestly are shown; the other three are marked as such rather than guessed.
Force Assessment Basis
Competitive Rivalry High Industry HHI of 606 (see Industry Market Structure & Concentration above)
Barriers to Entry High (capital intensive) Capital intensity (capex / revenue) of 3.47 % vs industry average 2.93 % (see Profitability & Cost Structure above)
Supplier Power Not covered on this page See Carlyle Group Inc's dedicated suppliers page for concentration and dependency data
Buyer Power Not covered on this page See Carlyle Group Inc's dedicated customers page for concentration and dependency data
Threat of Substitutes - No systematic data source for cross-product substitution exists in this system; not estimated

Note: this is a partial, data-grounded application of the framework, not a complete strategic assessment. Rivalry and barriers-to-entry readings are mechanical translations of the HHI and capital-intensity figures shown elsewhere on this page, not independent judgments.

Carlyle Group Inc's Industry Attractiveness & Competitive Strength

A CSIMarket composite, not a standard field: each axis is an equal-weighted average of three factors already shown elsewhere on this page (industry growth, industry profitability and rivalry for attractiveness; relative market share, profitability and growth vs industry for strength). Disclosed as a designed methodology, not a precision measurement.

High Strength
Medium Strength
Low Strength
High Attractiveness
Invest / Grow
Invest / Grow
Selective
Medium Attractiveness
Invest / Grow
Selective Carlyle Group Inc
Harvest
Low Attractiveness
Selective
Harvest
Harvest / Divest

Carlyle Group Inc falls in the Medium attractiveness / Medium strength cell: Selective.

Source: CSIMarket API, trailing 12 months. Each axis score is a simple 1(low)/2(medium)/3(high) average across its three inputs -- a transparent, disclosed simplification, not a validated academic scoring model.

Carlyle Group Inc's SWOT

Every point below is a fixed rule applied to a metric already shown elsewhere on this page (Market Structure, Profitability, Valuation, Run-Rate, Stock Performance, Quality Breadth) not an independent strategic assessment. A blank quadrant means no rule was met, not that none apply.

Strengths

  • Operating margin 21.2 points above the industry median.
  • Latest-quarter revenue run-rate is accelerating (+24.4% annualized vs trailing 12 months).

Weaknesses

  • Return on equity 8.3 points below the industry aggregate.
  • Underperforming the U.S.A. 500 over the trailing 12 months.
  • Low relative market share vs the industry leader (0.05x).
  • Piotroski F-Score of 2 or below, the standard financial-distress signal.

Opportunities

No rule matched.

Threats

  • High capital intensity requires continuous reinvestment just to keep pace with the industry.

Methodology: mechanical, rule-based SWOT. Each bullet reuses a figure already sourced and cited elsewhere on this page; nothing here is generated narrative or independent analyst judgment.

Carlyle Group Inc's Financial Strength vs Peers Comparison

Quick ratio, working capital, debt to equity and asset turnover, trailing 12 months
CompanyQuick RatioWorking CapitalDebt / EquityAsset Turnover
Carlyle Group Inc 4.53 5.37 0.42 0.13
Jpmorgan Chase and Co 0.17 0.42 1.40 0.04
Bank Of America Corporation 0.09 0.52 1.25 0.04
Morgan Stanley 0.40 1.12 3.16 0.05
The Goldman Sachs Group Inc 0.50 0.79 3.11 0.03
Wells Fargo and Company 0.11 0.80 1.41 0.04
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Quick ratio = cash / current liabilities; working capital ratio = current assets / current liabilities; asset turnover = revenue / total assets. Peers in the Blank Checks industry are excluded.

Carlyle Group Inc's Revenue and Income Growth vs Peers

Quarterly revenue and net income growth, year over year and quarter over quarter
CompanyPeriodRevenue Y/YRevenue Q/QIncome Y/YIncome Q/Q
Carlyle Group Inc Q2 2026-28.6 %+342.3 %-31.5 %-
Jpmorgan Chase and CoQ2 2026+30.4 %+15.9 %+44.0 %+30.4 %
Bank Of America CorporationQ2 2026+15.0 %+4.2 %+27.5 %+5.7 %
Morgan StanleyQ2 2026-30.6 %-43.4 %+58.1 %+0.3 %
The Goldman Sachs Group Inc Q2 2026-65.3 %-70.9 %+78.0 %+17.7 %
Wells Fargo and CompanyQ2 2026+14.2 %+11.4 %+21.6 %+27.4 %
PEERS TOTAL+10.4 %+0.2 %+36.8 %+30.6 %
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Growth is shown only where both periods are positive. Peers in the Blank Checks industry are excluded.

Carlyle Group Inc's Peers' Costs of Sales and Capital Expenditures

Context for revenue growth: peer costs and capex, year over year and quarter over quarter
CompanyPeriodCosts Y/YCosts Q/QCapex Y/YCapex Q/Q
Carlyle Group Inc Q2 2026--+82.9 %+13.9 %
Jpmorgan Chase and CoQ2 2026-6.4 %-1.7 %--
Bank Of America CorporationQ2 2026----
Morgan StanleyQ2 2026--+7.3 %+8.6 %
The Goldman Sachs Group Inc Q2 2026-73.4 %-67.6 %+5.5 %-11.2 %
Wells Fargo and CompanyQ2 2026-16.2 %-18.9 %--
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Carlyle Group Inc's Returns and Turnover vs Peers

ROA, ROI and ROE (trailing 12 months), receivables and inventory turnover
CompanyROAROIROEReceivables TurnoverInventory Turnover
Carlyle Group Inc 1.89%1.36%7.59%--
Jpmorgan Chase and Co1.35%3.71%17.50%--
Bank Of America Corporation0.97%2.76%11.13%--
Morgan Stanley1.35%1.95%17.85%--
The Goldman Sachs Group Inc 1.07%1.86%16.95%0.91-
Wells Fargo and Company1.05%2.94%12.48%6.14-
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ROA = net income / total assets; ROI = net income / investments; ROE = net income / equity; turnover ratios use trailing 12 month revenue (receivables) and cost of sales (inventory).

Carlyle Group Inc's Valuation vs Peers

P/E, price to sales, PEG, price to cash flow and price to book
CompanyP/EPrice / SalesPEGP/CFPrice / Book
Carlyle Group Inc 11.574.020.73-2.01
Jpmorgan Chase and Co14.174.871.03-2.42
Bank Of America Corporation12.783.340.42-1.34
Morgan Stanley15.674.450.355.962.59
The Goldman Sachs Group Inc 14.195.350.288.152.28
Wells Fargo and Company11.822.960.4929.841.36
PEERS AVERAGE12.802.8669.351.68
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P/E = price / diluted EPS (trailing 12 months); PEG = P/E divided by EPS growth; the average row divides the peers' combined market cap by their combined income, sales, cash flow and equity.