The Carlyle Group (CG) Research Hub

The Carlyle Group (CG) trades on NASDAQ, US in the Financial Services (Asset Management) sector. As of 2026-09-11, shares last closed at 42.34 USD (-4.01%), in a range — insufficient history for 200-DMA. Valuation: trailing P/E 28.95, market cap 15.99B. This hub links to the full technical, earnings and options research available for CG.

Last updated 2026-09-11 · Source: FMP end-of-day prices (adjusted); indicators computed by SniperIQ

SectorFinancial Services (Asset Management)
ExchangeNASDAQ, US
Last close42.34 USD (-4.01%)
52-week range40.47 USD – 51.63 USD
Trend regimeRange
14-day RSI34.1 (Bearish)
Trailing P/E28.95
Market cap15.99B
Dividend yield3.18%

Available research for CG

Earnings

CG earnings: real EPS beat/miss history, analyst consensus Buy, P/E 28.95. Updated 2026-07-23.

Options: Covered Call

Covered Call on CG: how it works, illustrative setup around the real 42.34 USD price, max profit/loss, breakeven and when to use it. Educational.

Options: Iron Condor

Iron Condor on CG: how it works, illustrative setup around the real 42.34 USD price, max profit/loss, breakeven and when to use it. Educational.

Options: Protective Put

Protective Put on CG: how it works, illustrative setup around the real 42.34 USD price, max profit/loss, breakeven and when to use it. Educational.

Technical

CG technical analysis: range, last 42.34 USD, RSI 34.1, 52w range 40.47 USD–51.63 USD, real support/resistance. Updated 2026-09-11.

Frequently asked questions

What sector is CG in?

The Carlyle Group (CG) is classified under Financial Services (Asset Management), listed on NASDAQ, US.

Is CG in an uptrend or downtrend?

As of 2026-09-11, CG is in a range — insufficient history for 200-DMA. See the full technical research page for support and resistance levels.

What is CG's trailing P/E ratio?

CG's trailing P/E is 28.95, with a market cap of 15.99B. See the earnings research page for full valuation detail.