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45

CG

๐Ÿฆ Financial Services

The Carlyle Group Inc.

Conservative #757Aggressive #839Low RiskMLโ†‘ 45pt
$51.99-4.54%
Day High$53.05
Day Low$51.12
Volume3.5M
Mkt Cap$18.7B
52W Low $3352W High $70
Market Cap
$19.2B
P/E Ratio
23.6
Sector avg: 26.8
Rev Growth
19.8%
Sector avg: 13.4%
Earnings Growth
-20.7%
Profit Margin
17.6%
Sector avg: -2.8%
Debt/Equity
2.04

Why This Score

CG scores 45.4 on the Conservative profile, blending a fundamental score (80% weight, emphasizing quality and stability (84% of fundamental weight)) with a machine-learning signal (20% weight) trained on 82 features across 30 years of data.

Strengths
  • Positive but moderate momentum (13%) โ€” steady appreciation without overheating.
Risk Factors
  • Above-average volatility (11.1%) may not suit conservative risk tolerance.
  • Elevated leverage (D/E 2.04) increases financial risk in a rising-rate environment.

Moderate penalties (-7.5 points) reflect identified risk factors. The overall score balances these against the stock's fundamental strengths.

Score Breakdown

Overall Score45.4
Fundamental Score48.3
ML Score37.0

Score by Horizon

3 Month
55.1
6 Month
61.5
Primary
1 Year
64.8

Quality Assessment

C
Quality Grade
Average quality โ€” moderate profitability or leverage
1 quality flag detected โ€” see details below. These penalties are already factored into the final score.
Quality Flags
High accrual ratio (317.3%) โ€” earnings quality concern

Position Sizing

Suggested Allocation
5%
Confidence
high

Score Composition Waterfall

How each component affects the final score
Backtested Scoring Levers (IC-calibrated from 30y ElasticNet)
Weinstein (12.1%)
0
Declining
Sentiment (2.5%)
63
Positive
Analyst (6.4%)
64
Favorable
Tradability (post-hoc)
98
Grade A
Base
46.0
SHAP
+2.4
Factors
+0.7
Conviction
-3.7
Final
45.4
Positive adjustment
Negative adjustment
Base blend
Final score

Factor Breakdown

46AVG
Value68
Quality50
Growth44
Stability57
Investment13

Signal SegmentsComputed from ML features

Fundamental (Valuation, Quality, Growth)51.0
Technical (Momentum, Weinstein, Volatility)53.0
External (Sentiment, Analyst, Macro)82.0
Scores below 50 indicate weakness in that segment relative to the universe.

Data Quality

Score
Features
Confidence
Feature Coverage89%

Growth Estimates

Short-term
-3.2% to +2.9%
Medium-term
-7.9% to +1.9%
Long-term
-10.5% to +2.5%

ML Model Core Features100 trained inputs โ†’ ML Score: 37

These features are direct inputs to the machine learning model. The model was trained on these signals alongside 100 features (including 12 momentum/technical indicators) to produce the ML percentile score.

Analyst Intelligence
Consensus Score63.5/100
Target Upside+36.8%
Coverage24 analysts
Market Sentiment
Sentiment Score62.8/100
News Volume1 articles
Technical Stage
Weinstein Stage4 โ€” Declining
12M Momentum+0.1%
6M Momentum-0.1%
Volatility+0.1%
Momentum & Technical
Momentum Acceleration+27.0%
Momentum ConsistencyDivergent (-0.93)
Relative Strength vs Sector+4.1%
Trend Strength (ADX Proxy)Weak (1.2)
Momentum Quality+0.108
Momentum BreadthNarrow
Macro Regime
Bull RegimeYes
High Vol RegimeNo
S&P 500 Return+25.0%
Yield Curve-0.1bp

Sector-Relative AnalysisIn-model features

Value Trap Signal
0%
Low risk
Sector RevGr Rank
P79
Revenue growth vs Financial Services peers
Sector PE Rank
P23
Valuation vs Financial Services peers
Sector FCF Rank
P4
Free cash flow vs Financial Services peers
Growth Deviation
+0.2ฯƒ
Z-score vs sector median
Stagnation Flag
NO
Not flagged

Analysis Signals

Scoring Factors
Fundamental score of 48 relative to sector peers48/100
Machine learning ensemble ranks this stock at the 37th percentileP37
Blended score: 80% fundamental (48) + 20% ML (37) = 46.046.0
Risk assessment: low. Low vol 0.1%; Drawdown 17% โ†’ 0.0ptLow
Earnings quality grade C: mixed earnings quality, some red flags. Score adjusted by 0 pointsGrade C
SHAP feature alignment: +2.4pt (features align with model priorities)SHAP
Conviction adj: -3.7pt (conviction=N/A)Conviction
Risk Factors
Quality concern: High accrual ratio (317.3%) โ€” earnings quality concernFlag

Sector Peer Comparison(Financial Services โ€” Rank #218 of 356 stocks)

StockScoreP/ERev GrowthMarginMkt Cap
CG45.423.619.8%17.6%$19.2B
CME86.427.29.9%57.5%$114.0B
FHB84.911.83.2%24.2%$3.1B
ACT84.58.92.4%54.6%$6.1B
CINF84.210.711.4%18.9%$25.4B
SEIC82.214.010.7%27.3%$9.9B
TROW79.910.13.1%28.5%$20.5B
QQQX79.710.448.6%257.3%$1.4B
IBOC78.210.67.5%40.1%$4.2B
HWC77.812.2-1.5%24.1%$5.6B
FFIN77.518.811.7%30.7%$4.7B
TRMK77.111.934.8%19.3%$2.6B
NMIH77.17.78.4%55.1%$3.0B
EWBC76.712.74.6%28.3%$15.3B
WSFS76.312.8-3.1%21.1%$3.5B
MCHB76.1N/A123.7%23.2%$3.1B
Sector Average47.526.813.4%-2.8%โ€”

Company Overviewvia FMP

The Carlyle Group Inc. is an investment firm specializing in direct and fund of fund investments. Within direct investments, it specializes in management-led/ Leveraged buyouts, privatizations, divestitures, strategic minority equity investments, structured credit, global distressed and corporate opportunities, small and middle market, equity private placements, consolidations and buildups, senior debt, mezzanine and leveraged finance, and venture and growth capital financings, seed/startup, early venture, emerging growth, turnaround, mid venture, late venture, PIPES. The firm invests across four segments which include Corporate Private Equity, Real Assets, Global Market Strategies, and Solutions. The firm typically invests in industrial, agribusiness, ecological sector, fintech, airports, parking, Plastics, Rubber, diversified natural resources, minerals, farming, aerospace, defense, automotive, consumer, retail, industrial, infrastructure, energy, power, healthcare, software, software enabled services, semiconductors, communications infrastructure, financial technology, utilities, gaming, systems and related supply chain, electronic systems, systems, oil and gas, processing facilities, power generation assets, technology, systems, real estate, financial services, transportation, business services, telecommunications, media, and logistics sectors. Within the industrial sector, the firm invests in manufacturing, building products, packaging, chemicals, metals and mining, forestry and paper products, and industrial consumables and services. In consumer and retail sectors, it invests in food and beverage, retail, restaurants, consumer products, domestic consumption, consumer services, personal care products, direct marketing, and education. Within aerospace, defense, business services, and government services sectors, it seeks to invest in defense electronics, manufacturing and services, government contracting and services, information technology, distribution companies. In telecommunication and media sectors, it invests in cable TV, directories, publishing, entertainment and content delivery services, wireless infrastructure/services, fixed line networks, satellite services, broadband and Internet, and infrastructure. Within real estate, the firm invests in office, hotel, industrial, retail, for sale residential, student housing, hospitality, multifamily residential, homebuilding and building products, and senior living sectors. The firm seeks to make investments in growing business including those with overleveraged balance sheets. The firm seeks to hold its investments for four to six years. In the healthcare sector, it invests in healthcare services, outsourcing services, companies running clinical trials for pharmaceutical companies, managed care, pharmaceuticals, pharmaceutical related services, healthcare IT, medical, products, and devices. It seeks to invest in companies based in Sub-Saharan focusing on Ghana, Kenya, Mozambique, Botswana, Nigeria, Uganda, West Africa, North Africa and South Africa focusing on Tanzania and Zambia; Asia focusing on Pakistan, India, South East Asia, Indonesia, Philippines, Vietnam, Korea, and Japan; Australia; New Zealand; Europe focusing on France, Italy, Denmark, United Kingdom, Germany, Austria, Belgium, Finland, Iceland, Ireland, Netherlands, Norway, Portugal, Spain, Benelux , Sweden, Switzerland, Hungary, Poland, and Russia; Middle East focusing on Bahrain, Jordan, Kuwait, Lebanon, Oman, Qatar, Saudi Arabia, Turkey, and UAE; North America focusing on United States which further invest in Southeastern United States, Texas, Boston, San Francisco Bay Area and Pacific Northwest; Asia Pacific; Soviet Union, Central-Eastern Europe, and Israel; Nordic region; and South America focusing on Mexico, Argentina, Brazil, Chile, and Peru. The firm seeks to invest in food, financial, and healthcare industries in Western China. In the real estate sector, the firm seeks to invest in various locations across Europe focusing on France and Central Europe, United States, Asia focusing on China, and Latin America. It typically invests between $1 million and $50 million for venture investments and between $50 million and $2 billion for buyouts in companies with enterprise value of between $31.57 million and $1000 million and sales value of $10 million and $500 million. It seeks to invest in companies with market capitalization greater than $50 million and EBITDA between $5 million to $25 million. It prefers to take a majority or a minority stake. It typically holds its investments for three to five years. Within automotive and transportation sectors, the firm seeks to hold its investments in for four to six years. While investing in Japan, it does not invest in companies with more than 1,000 employees and prefers companies' worth between $100 million and $150 million. The firm originates, structures, and acts as lead equity investor in the transactions. The Carlyle Group Inc. was founded in 1987 and is based in Washington, District of Columbia with additional offices in 21 countries across 5 continents (North America, South America, Asia, Australia and Europe).

CEO
Harvey Mitchell Schwartz
Employees
2,300
Beta
2.04
Industry
Asset Management
FMP-Identified Peers

Technical Picturecomputed from daily prices

RSI (14)
34.2
Neutral
Trend
Bearish
10-day vs 50-day MA
From 52W High
-25.6%
High: $69.85
From 52W Low
+57.5%
Low: $33.02
Moving Averages
10-Day
$52.80
Below
20-Day
$55.20
Below
50-Day
$59.30
Below
200-Day
$57.40
Below
60-Day Support
$48.98
60-Day Resistance
$67.3
Weinstein Stage Analysisbased on 200-day SMA framework
Stage 4 โ€” DecliningScore: 29/100

Stock is in a downtrend below the 200-day moving average. Price is below both the 50-day and 200-day SMAs, indicating sustained selling pressure.

Unfavorable technical position; wait for Stage 1 basing
Transition signal: 3โ†’4
Price vs 200 SMA
-9.4%
200 SMA Slope (60d)
+9.39%
Rising
Volume Ratio
1.11x
10d avg vs 50d avg
Days in Stage
12
Confidence: 50%
Recent Gap Up

Entry & Exit Zones

Avoid
No Entry
โ€”
No entry โ€” active downtrend
Exit Target
โ€”
Exit position if held
Stop Level
โ€”
No stop โ€” exit recommended

Stage 4 downtrend โ€” price is below both SMA50 and SMA200 with a declining 200-day average. Capital preservation takes priority. Do not buy into a downtrend.

Technical zones only โ€” derived from moving averages and price structure. Not financial advice. Past technical patterns do not guarantee future performance.

Financial Statementslast 4 quarters via FMP

MetricQ4 2025Q3 2025Q2 2025Q1 2025
Revenue$1.8B$781M$1.2B$808M
Gross Profit$1.0B$573M$977M$667M
Operating Income$500M$86M$441M$171M
Net Income$358M$900,000$320M$130M
EPS (Diluted)$0.96$0.00$0.87$0.35
Gross Margin54.5%73.5%83.1%82.5%
Operating Margin27.1%11.0%37.5%21.2%
Net Margin19.4%0.1%27.2%16.1%

Why This Stock

Financial ServicesP/E ratio of 23.6Revenue growth 19.8%Profit margin 17.6%

Tradability FilterGrade A โ€” 98/100Score impact: +17.7pt

Volume
100
2.7M avg/day
Dollar Vol
100
$136M/day
Float
100
259M shares
Mkt Cap
84
$19.2B
Range
100
112% spread
Composite Liquidity Score98/100
FDCBA

Multi-Year Range Analysis

Sideways: 0/100
YearLowHighRangeStatus
2021$33.43$60.6257.8%Wide
2022$24.59$56.0078%Wide
2023$25.20$42.4951.1%Wide
2024$36.65$55.1140.2%Wide
2025$33.02$69.8571.6%Wide
3-Year Range
94%
Narrow Years
0 / 5
Sideways Penalty
None

Growth Projection Adjustment

0.15x dampening
weinstein declining

Growth estimates have been dampened based on technical and fundamental signals. This is a post-hoc adjustment to prevent overly optimistic projections for stocks showing declining momentum or deteriorating fundamentals.

Free Float
71.7%
Outstanding Shares
360M
Bid-Ask Spread
112.0%
Institutional Tradable
Yes

Scores are generated by a multi-stage ML pipeline combining fundamental analysis, ensemble predictions, and structural risk signals. All data is for research purposes only and does not constitute financial advice. Past performance does not guarantee future results.