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The Carlyle Group (CG) Competitors

The Carlyle Group logo
$50.46 -0.63 (-1.23%)
(As of 11/15/2024 ET)

CG vs. MORN, BEN, IVZ, LM, EV, ARES, OWL, TPL, HOOD, and BAM

Should you be buying The Carlyle Group stock or one of its competitors? The main competitors of The Carlyle Group include Morningstar (MORN), Franklin Resources (BEN), Invesco (IVZ), Legg Mason (LM), Eaton Vance (EV), Ares Management (ARES), Blue Owl Capital (OWL), Texas Pacific Land (TPL), Robinhood Markets (HOOD), and Brookfield Asset Management (BAM).

The Carlyle Group vs.

Morningstar (NASDAQ:MORN) and The Carlyle Group (NASDAQ:CG) are both large-cap business services companies, but which is the superior business? We will compare the two businesses based on the strength of their community ranking, valuation, earnings, dividends, risk, media sentiment, profitability, analyst recommendations and institutional ownership.

The Carlyle Group received 293 more outperform votes than Morningstar when rated by MarketBeat users. However, 57.48% of users gave Morningstar an outperform vote while only 56.69% of users gave The Carlyle Group an outperform vote.

CompanyUnderperformOutperform
MorningstarOutperform Votes
296
57.48%
Underperform Votes
219
42.52%
The Carlyle GroupOutperform Votes
589
56.69%
Underperform Votes
450
43.31%

Morningstar currently has a consensus target price of $360.67, suggesting a potential upside of 6.84%. The Carlyle Group has a consensus target price of $53.33, suggesting a potential upside of 5.69%. Given Morningstar's stronger consensus rating and higher probable upside, equities analysts plainly believe Morningstar is more favorable than The Carlyle Group.

Company Sell Ratings Hold Ratings Buy Ratings Strong Buy Ratings Rating Score
Morningstar
0 Sell rating(s)
1 Hold rating(s)
2 Buy rating(s)
0 Strong Buy rating(s)
2.67
The Carlyle Group
0 Sell rating(s)
9 Hold rating(s)
6 Buy rating(s)
0 Strong Buy rating(s)
2.40

Morningstar has a net margin of 14.69% compared to The Carlyle Group's net margin of 2.21%. The Carlyle Group's return on equity of 24.91% beat Morningstar's return on equity.

Company Net Margins Return on Equity Return on Assets
Morningstar14.69% 23.28% 9.66%
The Carlyle Group 2.21%24.91%6.76%

57.0% of Morningstar shares are held by institutional investors. Comparatively, 55.9% of The Carlyle Group shares are held by institutional investors. 39.9% of Morningstar shares are held by company insiders. Comparatively, 27.2% of The Carlyle Group shares are held by company insiders. Strong institutional ownership is an indication that hedge funds, endowments and large money managers believe a stock will outperform the market over the long term.

Morningstar pays an annual dividend of $1.62 per share and has a dividend yield of 0.5%. The Carlyle Group pays an annual dividend of $1.40 per share and has a dividend yield of 2.8%. Morningstar pays out 21.4% of its earnings in the form of a dividend. The Carlyle Group pays out 482.8% of its earnings in the form of a dividend, suggesting it may not have sufficient earnings to cover its dividend payment in the future. Morningstar has raised its dividend for 15 consecutive years.

In the previous week, Morningstar had 8 more articles in the media than The Carlyle Group. MarketBeat recorded 24 mentions for Morningstar and 16 mentions for The Carlyle Group. The Carlyle Group's average media sentiment score of 0.68 beat Morningstar's score of 0.30 indicating that The Carlyle Group is being referred to more favorably in the news media.

Company Very Positive Positive Neutral Negative Very Negative Overall Sentiment
Morningstar
9 Very Positive mention(s)
2 Positive mention(s)
5 Neutral mention(s)
3 Negative mention(s)
0 Very Negative mention(s)
Neutral
The Carlyle Group
6 Very Positive mention(s)
2 Positive mention(s)
4 Neutral mention(s)
0 Negative mention(s)
0 Very Negative mention(s)
Positive

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

CompanyGross RevenuePrice/Sales RatioNet IncomeEarnings Per SharePrice/Earnings Ratio
Morningstar$2.04B7.10$141.10M$7.5744.59
The Carlyle Group$2.96B6.09-$608.40M$0.29174.00

Morningstar has a beta of 1.18, meaning that its share price is 18% more volatile than the S&P 500. Comparatively, The Carlyle Group has a beta of 1.7, meaning that its share price is 70% more volatile than the S&P 500.

Summary

Morningstar beats The Carlyle Group on 13 of the 21 factors compared between the two stocks.

New MarketBeat Followers Over Time

This chart shows the number of new MarketBeat users adding {thisCompany.Symbol} 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

MetricThe Carlyle GroupInvestment advice IndustryFinance SectorNASDAQ Exchange
Market Cap$18.05B$11.90B$11.00B$8.66B
Dividend Yield2.73%23.91%5.94%4.06%
P/E Ratio174.0033.5728.4217.27
Price / Sales6.095.1245.0369.06
Price / Cash11.4719.4918.4936.35
Price / Book2.853.923.695.87
Net Income-$608.40M$298.28M$998.34M$225.66M
7 Day Performance-3.57%-1.35%-0.06%-1.34%
1 Month Performance-1.71%-0.60%1.86%1.15%
1 Year Performance58.43%33.66%24.78%24.02%

The Carlyle Group Competitors List

CompanyMarketRankShare PriceAnalysts' Price Target1Y Price PerformanceMarket CapRevenueP/E RatioEmployee CountIndicator(s)
CG
The Carlyle Group
4.5862 of 5 stars
$50.46
-1.2%
$53.33
+5.7%
+60.5%$18.05B$2.96B174.002,200Analyst Upgrade
Insider Selling
Short Interest ↓
MORN
Morningstar
3.9864 of 5 stars
$350.55
+0.6%
N/A+24.7%$15.03B$2.22B46.3111,334Analyst Upgrade
Insider Selling
Short Interest ↓
News Coverage
BEN
Franklin Resources
4.6196 of 5 stars
$21.49
-0.4%
N/A-11.7%$11.24B$8.48B24.989,200Analyst Upgrade
Short Interest ↓
IVZ
Invesco
4.4854 of 5 stars
$17.79
-2.7%
N/A+28.9%$8.00B$5.72B-19.348,500
LM
Legg Mason
N/A$49.99
flat
N/A+0.0%$4.45B$2.92B17.793,059High Trading Volume
EV
Eaton Vance
2.8746 of 5 stars
$25.92
+1.4%
N/AN/A$2.96B$1.73B20.901,983Short Interest ↑
ARES
Ares Management
4.3062 of 5 stars
$170.46
-0.5%
N/A+64.0%$53.35B$5.08B78.552,850Insider Selling
OWL
Blue Owl Capital
2.804 of 5 stars
$22.84
-1.6%
N/A+66.5%$33.43B$1.73B134.36540Analyst Forecast
TPL
Texas Pacific Land
1.3108 of 5 stars
$1,406.76
+0.5%
N/A+153.0%$32.32B$686.70M72.18100Insider Selling
News Coverage
Positive News
HOOD
Robinhood Markets
4.1022 of 5 stars
$33.00
+0.6%
N/A+307.1%$29.17B$2.41B55.932,200Analyst Forecast
Short Interest ↓
BAM
Brookfield Asset Management
4.3097 of 5 stars
$56.92
-1.5%
N/A+66.6%$25.29B$4.06B50.372,400Short Interest ↓
Positive News

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This page (NASDAQ:CG) was last updated on 11/17/2024 by MarketBeat.com Staff
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