Carlyle Group Stock

Carlyle Group Stocks 2024

Carlyle Group Stocks

361.4 M

Ticker

CG

ISIN

US14316J1088

WKN

A2PXCR

In 2024, Carlyle Group had 361.4 M outstanding stocks, a 0% change from the 361.4 M stocks in the previous year.

The Carlyle Group Stocks history

YEARNUMBER OF STOCKS (undefined USD)
2026e361.4
2025e361.4
2024e361.4
2023361.4
2022365.7
2021362.6
2020358.4
2019122.6
2018113.4
2017100.1
2016308.5
201574.5
201468.5
2013278.3
2012259.7
201130.5
201030.5
200930.5
200830.5
200730.5
200630.5

Carlyle Group shares outstanding

The number of shares was Carlyle Group in 2023 — This indicates how many shares 361.396 M is divided into. Since shareholders are the owners of a company, each share represents a small portion of the company's ownership.
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Number of stocks
Details

Revenue, EBIT and Earnings per share

Revenue Per Share

Revenue per share represents the total revenue Carlyle Group earns, divided by the number of outstanding shares. It is a crucial metric as it reflects the company's ability to generate sales and signifies growth and expansion potential. Comparing yearly revenue per share allows investors to analyze the consistency in a company’s earnings and predict future trends.

EBIT Per Share

EBIT per share indicates Carlyle Group's earning before interest and taxes, offering insights into operational profitability excluding the effects of capital structure and tax rates. It can be juxtaposed against revenue per share to gauge the efficiency in converting sales into profits. A consistent increase in EBIT per share over the years underscores operational efficiency and profitability.

Income Per Share

Income per share, or earnings per share (EPS), reveals the portion of Carlyle Group’s profit allocated to each share of common stock. It’s instrumental in evaluating the profitability and financial health. By comparing it with revenue and EBIT per share, investors discern how effectively a firm translates sales and operational profits into net income.

Expected Values

Expected values are projections of revenue, EBIT, and income per share for forthcoming years. These anticipations, rooted in historical data and market analysis, aid investors in strategizing their investments, evaluating Carlyle Group's prospective performance, and estimating future stock prices. However, it’s pivotal to consider market volatilities and uncertainties that can influence these projections.

Carlyle Group Aktienanalyse

What does Carlyle Group do?

The Carlyle Group Inc is a US investment company founded in 1987. It is headquartered in Washington, D.C. and has offices in over 30 countries worldwide. Carlyle manages assets worth approximately $260 billion (as of Spring 2021). Carlyle's business model is based on investing in companies and optimizing them to generate long-term profits. The company invests in both public and private companies and typically holds a significant minority or majority stake. Its investments span various industries, including energy, aerospace, consumer goods, and healthcare. Carlyle is divided into several divisions to structure and organize its business. The key divisions include Private Equity, Real Estate, Global Credit, and Investment Solutions. Private Equity involves majority and minority investments in companies acquired through funds. Carlyle's private equity strategy focuses on buyouts, growth capital, and investments in specialized areas such as technology, energy, or infrastructure. In Real Estate, Carlyle is involved in real estate development, holding minority stakes in real estate projects or partnering in their development with other companies. The Global Credit division of Carlyle invests in fixed-income securities, loans, and other credit assets, aiming to minimize risk and generate stable returns. Investment Solutions is responsible for customizing investment portfolios for clients and asset managers. Carlyle offers a wide range of investment funds, including private equity funds, real estate funds, hedge funds, infrastructure funds, energy and commodity funds, and credit funds. The company also provides alternative investment products such as Risk Parity or Liquidités Moyen Terme. Carlyle considers itself a promoter of technology and innovation and has established the Carlyle Innovation Center for Government and the Carlyle Growth Investments to support this. As one of the largest private equity companies globally, Carlyle has benefited from the increasing demand for alternative investment products in recent years. The company plans to expand into emerging markets, develop new investment products, and focus more on sustainability and social responsibility. Overall, Carlyle is considered a successful company capable of increasing long-term wealth due to its broad range of investments and extensive industry knowledge. Carlyle Group ist eines der beliebtesten Unternehmen auf Eulerpool.com.

Stocks Details

Evaluating Carlyle Group's Shares Outstanding

Carlyle Group's shares outstanding refer to the total number of shares that are currently held by all its shareholders, including institutional investors and restricted shares held by the company’s officers and insiders. The number of shares outstanding is crucial in determining the company's market capitalization and is used by investors to assess the company’s size, financial health, and investment potential.

Year-to-Year Comparison

Tracking the changes in Carlyle Group’s shares outstanding over the years can provide investors with insights into the company's financial strategies and market valuation. An increase in shares outstanding can result from actions like issuing new shares, while a decrease can result from buybacks.

Impact on Investments

For investors, understanding Carlyle Group’s shares outstanding is essential for evaluating its earnings per share (EPS) and market valuation. A change in the number of shares outstanding can impact the EPS, which is a significant driver of stock prices and investor decisions.

Interpreting Changes in Shares Outstanding

Variances in Carlyle Group’s shares outstanding can signal shifts in the company’s financial strategy. An increase may dilute the EPS and share value, indicating potential fundraising or acquisitions. Conversely, a decrease, often due to share buybacks, can enhance share value and indicate the company’s confidence in its financial performance.

Frequently Asked Questions about Carlyle Group stock

How many stocks are there of Carlyle Group?

The current number of stocks of Carlyle Group is 361.4 M undefined.

What does Number of Shares / OutstandingShares mean?

The outstanding shares (or issued shares) of Carlyle Group are the total number of shares issued and actively held by shareholders - both external investors and company insiders. However, these must be actual shares. may grant stock options to executives that can be converted into shares.

How has the number of shares of Carlyle Group evolved in recent years?

The number of shares of Carlyle Group has increased by 0% gestiegen compared to last year.

What does the number of shares mean for investors?

The number of shares outstanding is used to calculate key metrics such as a company's market capitalization, earnings per share (EPS), and cash flow per share (CFPS). The number of outstanding shares of a company is not static and can fluctuate greatly over time.

Why does the number of stocks fluctuate?

There are various factors that can lead to a change. Carlyle Group as a company can issue new shares, carry out stock splits or reverse splits.

Does the number of shares have an impact on the performance of Carlyle Group?

There is no tangible long-term evidence or study that stocks with a certain number of shares (regardless of Mega/Large/Mid/Small Cap) would yield significantly higher returns than others. There are occasional small studies (limited number of stocks, short investment period) that certain classes outperform or have higher risk, but none of them are 1. conclusive (cause-effect is unclear, experiment is not repeatable) or 2. generalizable (generalization is not possible due to small sample size and time period).

How much dividend does Carlyle Group pay?

Over the past 12 months, Carlyle Group paid a dividend of 1.38 USD . This corresponds to a dividend yield of about 2.61 %. For the coming 12 months, Carlyle Group is expected to pay a dividend of 1.54 USD.

What is the dividend yield of Carlyle Group?

The current dividend yield of Carlyle Group is 2.61 %.

When does Carlyle Group pay dividends?

Carlyle Group pays a quarterly dividend. This is distributed in the months of March, June, September, December.

How secure is the dividend of Carlyle Group?

Carlyle Group paid dividends every year for the past 15 years.

What is the dividend of Carlyle Group?

For the upcoming 12 months, dividends amounting to 1.54 USD are expected. This corresponds to a dividend yield of 2.91 %.

In which sector is Carlyle Group located?

Carlyle Group is assigned to the 'Finance' sector.

Wann musste ich die Aktien von Carlyle Group kaufen, um die vorherige Dividende zu erhalten?

To receive the latest dividend of Carlyle Group from 11/25/2024 amounting to 0.35 USD, you needed to have the stock in your portfolio before the ex-date on 11/18/2024.

When did Carlyle Group pay the last dividend?

The last dividend was paid out on 11/25/2024.

What was the dividend of Carlyle Group in the year 2023?

In the year 2023, Carlyle Group distributed 1.225 USD as dividends.

In which currency does Carlyle Group pay out the dividend?

The dividends of Carlyle Group are distributed in USD.

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Our stock analysis for Carlyle Group Revenue stock includes important financial indicators such as revenue, profit, P/E ratio, P/S ratio, EBIT, as well as information on dividends. We also assess aspects such as stocks, market capitalization, debt, equity, and liabilities of Carlyle Group Revenue. If you are looking for more detailed information on these topics, we offer comprehensive analyses on our subpages.