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Carlyle Group (CG) Competitors

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$46.07 -0.56 (-1.20%)
Closing price 07/17/2026 04:00 PM Eastern
Extended Trading
$46.25 +0.18 (+0.40%)
As of 07/17/2026 05:01 PM Eastern
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CG vs. TPG, APO, ARES, BN, and BX

Should you buy Carlyle Group stock or one of its competitors? MarketBeat compares Carlyle Group with other companies and stocks that may be similar based on industry, sector, market capitalization, business model, investor interest, or shared news coverage. Companies and stocks commonly compared with Carlyle Group include TPG (TPG), Apollo Global Management (APO), Ares Management (ARES), Brookfield (BN), and Blackstone (BX). These companies are all part of the "finance" sector.

How does Carlyle Group compare to TPG?

Carlyle Group (NASDAQ:CG) and TPG (NASDAQ:TPG) are both large-cap finance companies, but which is the better business? We will contrast the two businesses based on the strength of their earnings, profitability, risk, valuation, media sentiment, analyst recommendations, institutional ownership and dividends.

Carlyle Group has higher revenue and earnings than TPG. Carlyle Group is trading at a lower price-to-earnings ratio than TPG, indicating that it is currently the more affordable of the two stocks.

CompanyGross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Carlyle Group$4.78B3.47$808.70M$1.4631.55
TPG$4.67B3.60$184.59M$0.22198.82

Carlyle Group has a beta of 1.84, meaning that its stock price is 84% more volatile than the broader market. Comparatively, TPG has a beta of 1.45, meaning that its stock price is 45% more volatile than the broader market.

Carlyle Group currently has a consensus target price of $60.71, indicating a potential upside of 31.79%. TPG has a consensus target price of $61.40, indicating a potential upside of 40.37%. Given TPG's stronger consensus rating and higher possible upside, analysts plainly believe TPG is more favorable than Carlyle Group.

Company Sell Ratings Hold Ratings Buy Ratings Strong Buy Ratings Rating Score
Carlyle Group
1 Sell rating(s)
8 Hold rating(s)
7 Buy rating(s)
0 Strong Buy rating(s)
2.38
TPG
0 Sell rating(s)
5 Hold rating(s)
11 Buy rating(s)
0 Strong Buy rating(s)
2.69

Carlyle Group has a net margin of 13.46% compared to TPG's net margin of 3.81%. TPG's return on equity of 28.13% beat Carlyle Group's return on equity.

Company Net Margins Return on Equity Return on Assets
Carlyle Group13.46% 20.95% 5.28%
TPG 3.81%28.13%8.25%

Carlyle Group pays an annual dividend of $1.40 per share and has a dividend yield of 3.0%. TPG pays an annual dividend of $2.36 per share and has a dividend yield of 5.4%. Carlyle Group pays out 95.9% of its earnings in the form of a dividend, suggesting it may not have sufficient earnings to cover its dividend payment in the future. TPG pays out 1,072.7% of its earnings in the form of a dividend, suggesting it may not have sufficient earnings to cover its dividend payment in the future. Carlyle Group has increased its dividend for 4 consecutive years.

In the previous week, TPG had 1 more articles in the media than Carlyle Group. MarketBeat recorded 9 mentions for TPG and 8 mentions for Carlyle Group. Carlyle Group's average media sentiment score of 0.81 beat TPG's score of 0.35 indicating that Carlyle Group is being referred to more favorably in the media.

Company Very Positive Positive Neutral Negative Very Negative Overall Sentiment
Carlyle Group
4 Very Positive mention(s)
2 Positive mention(s)
1 Neutral mention(s)
0 Negative mention(s)
0 Very Negative mention(s)
Positive
TPG
3 Very Positive mention(s)
2 Positive mention(s)
1 Neutral mention(s)
2 Negative mention(s)
0 Very Negative mention(s)
Neutral

55.9% of Carlyle Group shares are owned by institutional investors. Comparatively, 94.0% of TPG shares are owned by institutional investors. 25.4% of Carlyle Group shares are owned by company insiders. Comparatively, 70.0% of TPG shares are owned by company insiders. Strong institutional ownership is an indication that hedge funds, large money managers and endowments believe a company is poised for long-term growth.

Summary

TPG beats Carlyle Group on 11 of the 19 factors compared between the two stocks.

How does Carlyle Group compare to Apollo Global Management?

Carlyle Group (NASDAQ:CG) and Apollo Global Management (NYSE:APO) are both large-cap finance companies, but which is the superior business? We will contrast the two businesses based on the strength of their risk, earnings, analyst recommendations, media sentiment, valuation, profitability, dividends and institutional ownership.

Apollo Global Management has higher revenue and earnings than Carlyle Group. Carlyle Group is trading at a lower price-to-earnings ratio than Apollo Global Management, indicating that it is currently the more affordable of the two stocks.

CompanyGross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Carlyle Group$4.78B3.47$808.70M$1.4631.55
Apollo Global Management$32.05B2.17$3.49B$1.5776.76

Carlyle Group pays an annual dividend of $1.40 per share and has a dividend yield of 3.0%. Apollo Global Management pays an annual dividend of $2.25 per share and has a dividend yield of 1.9%. Carlyle Group pays out 95.9% of its earnings in the form of a dividend, suggesting it may not have sufficient earnings to cover its dividend payment in the future. Apollo Global Management pays out 143.3% of its earnings in the form of a dividend, suggesting it may not have sufficient earnings to cover its dividend payment in the future. Carlyle Group has raised its dividend for 4 consecutive years and Apollo Global Management has raised its dividend for 3 consecutive years. Carlyle Group is clearly the better dividend stock, given its higher yield and longer track record of dividend growth.

Carlyle Group has a net margin of 13.46% compared to Apollo Global Management's net margin of 3.62%. Carlyle Group's return on equity of 20.95% beat Apollo Global Management's return on equity.

Company Net Margins Return on Equity Return on Assets
Carlyle Group13.46% 20.95% 5.28%
Apollo Global Management 3.62%14.43%1.21%

Carlyle Group has a beta of 1.84, indicating that its stock price is 84% more volatile than the broader market. Comparatively, Apollo Global Management has a beta of 1.5, indicating that its stock price is 50% more volatile than the broader market.

55.9% of Carlyle Group shares are held by institutional investors. Comparatively, 77.1% of Apollo Global Management shares are held by institutional investors. 25.4% of Carlyle Group shares are held by insiders. Comparatively, 8.3% of Apollo Global Management shares are held by insiders. Strong institutional ownership is an indication that hedge funds, large money managers and endowments believe a stock is poised for long-term growth.

In the previous week, Apollo Global Management had 31 more articles in the media than Carlyle Group. MarketBeat recorded 39 mentions for Apollo Global Management and 8 mentions for Carlyle Group. Carlyle Group's average media sentiment score of 0.81 beat Apollo Global Management's score of 0.51 indicating that Carlyle Group is being referred to more favorably in the media.

Company Very Positive Positive Neutral Negative Very Negative Overall Sentiment
Carlyle Group
4 Very Positive mention(s)
2 Positive mention(s)
1 Neutral mention(s)
0 Negative mention(s)
0 Very Negative mention(s)
Positive
Apollo Global Management
17 Very Positive mention(s)
6 Positive mention(s)
13 Neutral mention(s)
0 Negative mention(s)
0 Very Negative mention(s)
Positive

Carlyle Group currently has a consensus target price of $60.71, indicating a potential upside of 31.79%. Apollo Global Management has a consensus target price of $149.50, indicating a potential upside of 24.05%. Given Carlyle Group's higher possible upside, equities research analysts plainly believe Carlyle Group is more favorable than Apollo Global Management.

Company Sell Ratings Hold Ratings Buy Ratings Strong Buy Ratings Rating Score
Carlyle Group
1 Sell rating(s)
8 Hold rating(s)
7 Buy rating(s)
0 Strong Buy rating(s)
2.38
Apollo Global Management
0 Sell rating(s)
3 Hold rating(s)
12 Buy rating(s)
1 Strong Buy rating(s)
2.88

Summary

Carlyle Group beats Apollo Global Management on 11 of the 20 factors compared between the two stocks.

How does Carlyle Group compare to Ares Management?

Carlyle Group (NASDAQ:CG) and Ares Management (NYSE:ARES) are both large-cap finance companies, but which is the superior stock? We will contrast the two businesses based on the strength of their institutional ownership, dividends, analyst recommendations, valuation, media sentiment, risk, earnings and profitability.

Carlyle Group has higher earnings, but lower revenue than Ares Management. Carlyle Group is trading at a lower price-to-earnings ratio than Ares Management, indicating that it is currently the more affordable of the two stocks.

CompanyGross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Carlyle Group$4.78B3.47$808.70M$1.4631.55
Ares Management$5.60B7.39$527.36M$2.1558.34

Carlyle Group presently has a consensus price target of $60.71, indicating a potential upside of 31.79%. Ares Management has a consensus price target of $159.13, indicating a potential upside of 26.86%. Given Carlyle Group's higher possible upside, analysts plainly believe Carlyle Group is more favorable than Ares Management.

Company Sell Ratings Hold Ratings Buy Ratings Strong Buy Ratings Rating Score
Carlyle Group
1 Sell rating(s)
8 Hold rating(s)
7 Buy rating(s)
0 Strong Buy rating(s)
2.38
Ares Management
0 Sell rating(s)
5 Hold rating(s)
12 Buy rating(s)
1 Strong Buy rating(s)
2.78

Carlyle Group pays an annual dividend of $1.40 per share and has a dividend yield of 3.0%. Ares Management pays an annual dividend of $5.40 per share and has a dividend yield of 4.3%. Carlyle Group pays out 95.9% of its earnings in the form of a dividend, suggesting it may not have sufficient earnings to cover its dividend payment in the future. Ares Management pays out 251.2% of its earnings in the form of a dividend, suggesting it may not have sufficient earnings to cover its dividend payment in the future. Carlyle Group has increased its dividend for 4 consecutive years and Ares Management has increased its dividend for 7 consecutive years. Ares Management is clearly the better dividend stock, given its higher yield and longer track record of dividend growth.

Carlyle Group has a net margin of 13.46% compared to Ares Management's net margin of 10.54%. Ares Management's return on equity of 22.14% beat Carlyle Group's return on equity.

Company Net Margins Return on Equity Return on Assets
Carlyle Group13.46% 20.95% 5.28%
Ares Management 10.54%22.14%5.58%

In the previous week, Ares Management had 10 more articles in the media than Carlyle Group. MarketBeat recorded 18 mentions for Ares Management and 8 mentions for Carlyle Group. Ares Management's average media sentiment score of 0.96 beat Carlyle Group's score of 0.81 indicating that Ares Management is being referred to more favorably in the news media.

Company Very Positive Positive Neutral Negative Very Negative Overall Sentiment
Carlyle Group
4 Very Positive mention(s)
2 Positive mention(s)
1 Neutral mention(s)
0 Negative mention(s)
0 Very Negative mention(s)
Positive
Ares Management
9 Very Positive mention(s)
2 Positive mention(s)
4 Neutral mention(s)
1 Negative mention(s)
0 Very Negative mention(s)
Positive

Carlyle Group has a beta of 1.84, meaning that its share price is 84% more volatile than the broader market. Comparatively, Ares Management has a beta of 1.51, meaning that its share price is 51% more volatile than the broader market.

55.9% of Carlyle Group shares are held by institutional investors. Comparatively, 50.0% of Ares Management shares are held by institutional investors. 25.4% of Carlyle Group shares are held by company insiders. Comparatively, 36.9% of Ares Management shares are held by company insiders. Strong institutional ownership is an indication that endowments, large money managers and hedge funds believe a company will outperform the market over the long term.

Summary

Ares Management beats Carlyle Group on 14 of the 20 factors compared between the two stocks.

How does Carlyle Group compare to Brookfield?

Carlyle Group (NASDAQ:CG) and Brookfield (NYSE:BN) are both large-cap finance companies, but which is the superior investment? We will contrast the two businesses based on the strength of their analyst recommendations, risk, valuation, dividends, earnings, profitability, media sentiment and institutional ownership.

Carlyle Group currently has a consensus target price of $60.71, indicating a potential upside of 31.79%. Brookfield has a consensus target price of $56.82, indicating a potential upside of 30.21%. Given Carlyle Group's higher possible upside, equities analysts clearly believe Carlyle Group is more favorable than Brookfield.

Company Sell Ratings Hold Ratings Buy Ratings Strong Buy Ratings Rating Score
Carlyle Group
1 Sell rating(s)
8 Hold rating(s)
7 Buy rating(s)
0 Strong Buy rating(s)
2.38
Brookfield
0 Sell rating(s)
2 Hold rating(s)
12 Buy rating(s)
1 Strong Buy rating(s)
2.93

Carlyle Group has a beta of 1.84, indicating that its share price is 84% more volatile than the broader market. Comparatively, Brookfield has a beta of 1.54, indicating that its share price is 54% more volatile than the broader market.

Carlyle Group pays an annual dividend of $1.40 per share and has a dividend yield of 3.0%. Brookfield pays an annual dividend of $0.28 per share and has a dividend yield of 0.6%. Carlyle Group pays out 95.9% of its earnings in the form of a dividend, suggesting it may not have sufficient earnings to cover its dividend payment in the future. Brookfield pays out 54.9% of its earnings in the form of a dividend. Carlyle Group has increased its dividend for 4 consecutive years and Brookfield has increased its dividend for 2 consecutive years. Carlyle Group is clearly the better dividend stock, given its higher yield and longer track record of dividend growth.

55.9% of Carlyle Group shares are owned by institutional investors. Comparatively, 61.6% of Brookfield shares are owned by institutional investors. 25.4% of Carlyle Group shares are owned by company insiders. Comparatively, 11.0% of Brookfield shares are owned by company insiders. Strong institutional ownership is an indication that hedge funds, endowments and large money managers believe a company will outperform the market over the long term.

Brookfield has higher revenue and earnings than Carlyle Group. Carlyle Group is trading at a lower price-to-earnings ratio than Brookfield, indicating that it is currently the more affordable of the two stocks.

CompanyGross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Carlyle Group$4.78B3.47$808.70M$1.4631.55
Brookfield$75.74B1.41$1.31B$0.5185.56

Carlyle Group has a net margin of 13.46% compared to Brookfield's net margin of 1.76%. Carlyle Group's return on equity of 20.95% beat Brookfield's return on equity.

Company Net Margins Return on Equity Return on Assets
Carlyle Group13.46% 20.95% 5.28%
Brookfield 1.76%3.86%1.20%

In the previous week, Brookfield had 9 more articles in the media than Carlyle Group. MarketBeat recorded 17 mentions for Brookfield and 8 mentions for Carlyle Group. Brookfield's average media sentiment score of 0.94 beat Carlyle Group's score of 0.81 indicating that Brookfield is being referred to more favorably in the news media.

Company Very Positive Positive Neutral Negative Very Negative Overall Sentiment
Carlyle Group
4 Very Positive mention(s)
2 Positive mention(s)
1 Neutral mention(s)
0 Negative mention(s)
0 Very Negative mention(s)
Positive
Brookfield
8 Very Positive mention(s)
3 Positive mention(s)
6 Neutral mention(s)
0 Negative mention(s)
0 Very Negative mention(s)
Positive

Summary

Carlyle Group and Brookfield tied by winning 10 of the 20 factors compared between the two stocks.

How does Carlyle Group compare to Blackstone?

Carlyle Group (NASDAQ:CG) and Blackstone (NYSE:BX) are both large-cap finance companies, but which is the better investment? We will compare the two businesses based on the strength of their profitability, analyst recommendations, valuation, media sentiment, institutional ownership, risk, earnings and dividends.

Carlyle Group presently has a consensus target price of $60.71, suggesting a potential upside of 31.79%. Blackstone has a consensus target price of $145.52, suggesting a potential upside of 14.62%. Given Carlyle Group's higher possible upside, analysts plainly believe Carlyle Group is more favorable than Blackstone.

Company Sell Ratings Hold Ratings Buy Ratings Strong Buy Ratings Rating Score
Carlyle Group
1 Sell rating(s)
8 Hold rating(s)
7 Buy rating(s)
0 Strong Buy rating(s)
2.38
Blackstone
0 Sell rating(s)
11 Hold rating(s)
13 Buy rating(s)
0 Strong Buy rating(s)
2.54

Blackstone has higher revenue and earnings than Carlyle Group. Carlyle Group is trading at a lower price-to-earnings ratio than Blackstone, indicating that it is currently the more affordable of the two stocks.

CompanyGross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Carlyle Group$4.78B3.47$808.70M$1.4631.55
Blackstone$14.45B6.53$3.02B$3.9132.47

Carlyle Group has a beta of 1.84, meaning that its share price is 84% more volatile than the broader market. Comparatively, Blackstone has a beta of 1.58, meaning that its share price is 58% more volatile than the broader market.

Blackstone has a net margin of 20.67% compared to Carlyle Group's net margin of 13.46%. Blackstone's return on equity of 22.86% beat Carlyle Group's return on equity.

Company Net Margins Return on Equity Return on Assets
Carlyle Group13.46% 20.95% 5.28%
Blackstone 20.67%22.86%9.73%

In the previous week, Blackstone had 37 more articles in the media than Carlyle Group. MarketBeat recorded 45 mentions for Blackstone and 8 mentions for Carlyle Group. Blackstone's average media sentiment score of 0.99 beat Carlyle Group's score of 0.81 indicating that Blackstone is being referred to more favorably in the news media.

Company Very Positive Positive Neutral Negative Very Negative Overall Sentiment
Carlyle Group
4 Very Positive mention(s)
2 Positive mention(s)
1 Neutral mention(s)
0 Negative mention(s)
0 Very Negative mention(s)
Positive
Blackstone
28 Very Positive mention(s)
2 Positive mention(s)
9 Neutral mention(s)
3 Negative mention(s)
0 Very Negative mention(s)
Positive

55.9% of Carlyle Group shares are owned by institutional investors. Comparatively, 70.0% of Blackstone shares are owned by institutional investors. 25.4% of Carlyle Group shares are owned by insiders. Comparatively, 1.0% of Blackstone shares are owned by insiders. Strong institutional ownership is an indication that hedge funds, large money managers and endowments believe a company is poised for long-term growth.

Carlyle Group pays an annual dividend of $1.40 per share and has a dividend yield of 3.0%. Blackstone pays an annual dividend of $4.64 per share and has a dividend yield of 3.7%. Carlyle Group pays out 95.9% of its earnings in the form of a dividend, suggesting it may not have sufficient earnings to cover its dividend payment in the future. Blackstone pays out 118.7% of its earnings in the form of a dividend, suggesting it may not have sufficient earnings to cover its dividend payment in the future. Carlyle Group has raised its dividend for 4 consecutive years.

Summary

Blackstone beats Carlyle Group on 14 of the 19 factors compared between the two stocks.

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New MarketBeat Followers Over Time

This chart shows the number of new MarketBeat users adding CG and its top 5 competitors to their watchlist. Each company is represented with a line over a 90 day period.
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Media Sentiment Over Time

This chart shows the average media sentiment of NASDAQ and its competitors over the past 90 days as caculated by MarketBeat. The averaged score is equivalent to the following: Very Negative Sentiment <= -1.5, Negative Sentiment > -1.5 and <= -0.5, Neutral Sentiment > -0.5 and < 0.5, Positive Sentiment >= 0.5 and < 1.5, and Very Positive Sentiment >= 1.5.
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CG vs. The Competition

MetricCarlyle GroupFIN IndustryFinance SectorNASDAQ Exchange
Market Cap$16.58B$12.72B$14.39B$12.28B
Dividend Yield3.04%7.48%5.67%9.34%
P/E Ratio31.5521.8120.6823.92
Price / Sales3.474.3444.8384.62
Price / Cash8.8213.3019.2360.41
Price / Book2.353.322.266.18
Net Income$808.70M$553.89M$1.14B$332.29M
7 Day Performance3.04%3.74%0.48%-2.05%
1 Month Performance2.83%4.89%1.80%-2.18%
1 Year Performance-23.43%1.94%13.52%17.67%

Carlyle Group Competitors List

CompanyMarketRankShare PriceAnalysts' Price Target1Y Price PerformanceMarket CapRevenueP/E RatioEmployee CountIndicator(s)
CG
Carlyle Group
4.443 of 5 stars
$46.07
-1.2%
$60.71
+31.8%
-23.4%$16.58B$4.78B31.552,500
TPG
TPG
4.6172 of 5 stars
$42.48
-0.4%
$61.40
+44.5%
-22.0%$16.40B$4.67B193.101,900
APO
Apollo Global Management
4.4963 of 5 stars
$118.82
-1.3%
$149.50
+25.8%
-20.8%$69.38B$32.05B75.686,140
ARES
Ares Management
4.7713 of 5 stars
$120.39
-1.2%
$159.53
+32.5%
-31.5%$40.18B$5.60B55.994,250
BN
Brookfield
4.7924 of 5 stars
$43.38
-0.8%
$56.82
+31.0%
-2.7%$107.19B$75.10B85.06250,000

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This page (NASDAQ:CG) was last updated on 7/19/2026 by MarketBeat.com Staff.
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