Blue Owl Capital Inc (OWL) 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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Blue Owl Capital Inc   (NYSE: OWL)
    Sector • Financial    Industry • Investment Services
   Industry • Investment Services
   Sector • Financial


Blue Owl Capital 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 Blue Owl Capital Inc 's ROA in the second quarter of 2026?
Blue Owl Capital Inc achieved a return on average assets (ROA) of 2.72 % in its second quarter of 2026, this is above OWL's average return on assets of -7.43%.
Blue Owl Capital Inc s assets during the 12 months ending in the second quarter of 2026 are valued at $12 billion

ROA decreased relative to the period ending Mar 31 2026, due to the decline in net income.

However, within the Financial sector 275 other companies had a higher return on assets. While Return on assets, overall ranking has advanced in the Jun 30 2026 quarter, so far to 1638, from total ROA ranking in the first quarter of 2026 at 2007.

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 0.45 % 1.05 % 39.53 % 39.14 % 55.54 %
Y / Y Net Income Change -14.19 % 117.05 % 112.16 % -52.3 % -48.79 %
Net Income (TTM) in million 338 348 305 226 278
Return On Assets (TTM) 2.72 % 2.81 % 2.47 % 1.96 % 2.62 %
OWL's Total Ranking # 1638 # 2007 # 1877 # 1732 # 1553
Total Assets (TTM) in million 12,334 12,415 12,468 12,469 12,279
Seq. Total Assets Change -0.65 % -0.42 % -0.01 % 1.55 % -0.06 %
Seq. Net Income Change -23.78 % -47.2 % 218.22 % -32.99 % 92.79 %



Return On Assets Company Ranking
Within: No.
Industry # 48
Sector # 276
Overall # 1650

Return On Assets Statistics
High Average Low
4.51 %
-7.43 %
-84.78 %
(Sep 30 2024)   (Jun 30 2021)





Financial Statements
Blue Owl Capital Inc 's Assets $ 12,334 million OWL's Balance sheet
Blue Owl Capital Inc 's Income $ 61 million Quarterly OWL's Income Statement
OWL's Income by Division See OWL'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 13.19 % 20.58 % -2.43 % -8.13 % 2891.65 %
Total Assets in million 10,114 8,935 7,410 7,594 8,266
Y / Y Net Income Change -27.34 % 90.44 % - - -
Net Income in million 305 420 221 -40 -1,802
Annual Return On Assets 3.02 % 4.71 % 2.98 % -0.53 % -21.8 %




Comment on OWL's ROA in the fiscal year ending 2025
In the fiscal year 2025 Blue Owl Capital Inc 's ROA decreased compared to previous year to 3.02 %, due to deterioration of net income -27.34 % to $305.49 million, from $420.45 million a year ago, as OWL's assets were $10,113.56 million.


More Return On Assets Ratios
OWL'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
OWL'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 OWL's Competitors
Subscribers only: Roa for Blue Owl Capital Inc 's Suppliers
Subscribers only: Return On Assets for OWL's Customers

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



Companies with similar Return On Assets at Jun 30 2026, within Financial Sector ROA
Jefferson Capital Inc   7.49 %
Gaming And Leisure Properties inc   7.45 %
Greenlight Capital Re Ltd   7.40 %
Universal Insurance Holdings Inc   7.33 %
Renaissancere Holdings Ltd  7.32 %
Utg Inc   7.06 %
Proshares Trust Ii  7.04 %
Rli Corp  6.96 %
Berkshire Hathaway Inc  6.94 %
Marsh and Mclennan Companies Inc   6.90 %
Oscar Health Inc   6.76 %
Nasdaq Inc   6.76 %
Chicago Atlantic Real Estate Finance Inc   6.72 %
Ltc Properties Inc  6.72 %
Bimini Capital Management Inc   6.63 %
Caretrust Reit Inc   6.63 %
American Integrity Insurance Group Inc   6.47 %
U S Global Investors Inc  6.30 %
Cohen and Co Inc   6.21 %
Palomar Holdings Inc   5.99 %
Vici Properties Inc   5.96 %
Hippo Holdings Inc   5.95 %
Binah Capital Group inc   5.95 %
NewLake Capital Partners, Inc.  5.91 %
Equifax Inc  5.85 %
Rreef Property Trust Inc   5.84 %
National Health Investors Inc   5.83 %
Credit Acceptance Corp  5.80 %
Travelers Companies inc   5.78 %
Arch Capital Group Ltd   5.77 %


Date modified: 2026-09-26T07:39:03+00:00


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