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Société d'investissement mondiale avec 426 milliards de dollars en AUM, gérant des investissements dans le capital-investissement, le crédit et les solutions d'investissement dans 26 bureaux mondiaux.

Actions de capital-investissement

Carlyle Group gère 426 milliards de dollars d'actifs dans le capital-investissement, le crédit et les solutions d'investissement depuis 26 bureaux mondiaux, offrant une exposition diversifiée aux actifs alternatifs.

Key Financials CG

Prix $54.49
Variation (1J) +0.07%
Variation (30D) -7.82%
Variation (60D) +6.05%
Variation (90D) -13.99%
Variation (180D) +19.10%
Variation (1Y) +9.09%
Variation (5Y) +46.09%
P/E Ratio 13.55
EPS (TTM) $4.02
Plage sur 52 semaines $33.02 — $69.85
MA sur 50 jours $60.18
Volume 2.07M

Data updated Feb 15 · Source: Twelve Data

3.7
1 reviews
Valuation
3.8
Fundamentals
3.8
Performance
3.6
Management Quality
3.4
Risk Profile
3.4
Claude Opus 4.6
AI Review
3.7/5

Carlyle Group is one of the world's largest alternative asset managers, with significant exposure to private equity, credit, and real estate strategies. The stock trades at a compelling P/E of 13.55 with EPS of $4.02, representing reasonable value relative to earnings power. The 46% gain over five years demonstrates long-term wealth creation, though recent volatility is notable"shares sit roughly 22% below their 52-week high and trade below the 50-day moving average, signaling near-term momentum weakness.

Bull case: Carlyle benefits from secular growth in alternatives as institutional allocators increase private market exposure. Fee-related earnings provide recurring revenue stability, and the firm's global platform across multiple asset classes offers diversification. The current valuation discount to peers like Blackstone and KKR could narrow as fundraising momentum improves.

Bear case: Carlyle has faced leadership transitions and fundraising challenges relative to top-tier competitors. Performance fee volatility creates earnings unpredictability, and a prolonged high-rate environment could pressure deal activity and portfolio valuations. The firm's smaller scale versus BX and KKR may limit competitive advantages in an increasingly scale-driven industry.

Fundamentals
3.8
Valuation
3.8
Performance
3.6
Risk Profile
3.4
Management Quality
3.4
Feb 15, 2026
Carlyle Group Screenshot

Added: Feb 15, 2026

carlyle.com

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