26 Trending Stocks

Wed, Jan 27, 2021

The Carlyle Group LP

CG 31.49
0.92 (2.8%)

Open: 31.99 High: 32.11 Low: 31.18

9 x 31.49 = 283.41
x $31.49 =

NASDAQ: CG $12 Billion Large-Cap. Financials Sector. Asset Management Industry. 5 Year Return 130%. 1 Year Return 7%. 2021 YTD Return 1%. 3.2% dividend yield. 34 total dividend payments. Since Earnings 6%.

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52WL $15.21

The 52 Week Low is $15.21 set on Wed, Mar 18, 2020.

52WH $34.75

The 52 Week High is $34.75 set on Wed, Jan 20, 2021.

ATH $38.00

The All-Time High is $38.00 set on Tue, Jan 14, 2014.

52 Week Range

$15.21
$34.75
Mar 18, 2020
Jan 20, 2021

Earnings

0.84

Earnings Per Share

23.02

Price To Earnings Ratio


for

Wed, Dec 31, 1969

Since Report


Q2 Earnings for Apr, May & Jun

Thu, Jul 30, 2020

Since Q2 Earnings Report

CG 6.4%

Dividends

3.18

Dividend Yield

1.00

Dividend Rate

Mon, Nov 9, 2020

Ex-Dividend Date

Tue, Nov 17, 2020

Dividend Payment Date

Quarterly

Dividend Frequency

34

Dividend History

Profile

The Carlyle Group LP trades on the NASDAQ. CG's market cap is 11.8 Billion.

The Carlyle Group Inc is a diversified multi-product global alternative asset management firm. The company operates in four business segment which includes Corporate Private Equity, Real Assets, Global Credit, Investment Solutions. The group's maximum revenue is generated from America.

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