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CG - Carlyle Group Inc (The)

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Moderate Growth and ImprovingStock Price Very High

41%

based on last 5 year data.
Income Statement is MODERATE
Revenue Growth is -13.1%
Operating Income Growth is -52.18%
Net Income Growth is 0.84%
Earnings Per Share (EPS) Growth is -65.6%
Net Margin is 11.87%
Balance Sheet is MODERATE
Current Asset to Current Liability Ratio is 0.06
Debt Ratio is 0.81
Current Debt to Net Income Ratio is 0.0
Total Debt to Total Assets Ratio is 0.36
Cash Flow is WEAK
Cash from Operations is Negative
Capital Expenditure is Low
Net Increase in Cash is Positive
Long Term Score Trend is POSITIVE
Investment Risk is High
based on last 4 quarter data.
Unless specified, all values are in USD Millions. Data extracted from SEC Filing and are subject to processing and input errors.
Carlyle Group Inc (The) (CG)
The Carlyle Group is a global investment firm with deep industry expertise that deploys private capital across four business segments: Corporate Private Equity, Real Assets, Global Credit and Investment Solutions. With $230 billion of assets under management as of September 30, 2020, Carlyle's purpose is to invest wisely and create value on behalf of its investors, portfolio companies and the communities in which we live and invest. Carlyle employs more than 1,800 people in 30 offices across six continents.
Exchange - NASDAQ/NGS (GLOBAL SELECT MARKET)
Industry - Investment Advice
Sector - Finance and Insurance
CEO -
Employees - 1,600
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