Research Analysts’ Weekly Ratings Updates for Carlyle Group (CG)

Carlyle Group (NASDAQ: CG) recently received a number of ratings updates from brokerages and research firms:

  • 7/13/2026 – Carlyle Group had its “outperform” rating reaffirmed by BMO Capital Markets. They now have a $52.00 price target on the stock.
  • 7/13/2026 – Carlyle Group had its price target lowered by Royal Bank Of Canada from $58.00 to $56.00. They now have a “sector perform” rating on the stock.
  • 7/9/2026 – Carlyle Group had its price target lowered by Citizens Jmp from $75.00 to $70.00. They now have a “market outperform” rating on the stock.
  • 7/9/2026 – Carlyle Group had its price target lowered by Barclays PLC from $63.00 to $57.00. They now have an “overweight” rating on the stock.
  • 7/6/2026 – Carlyle Group was upgraded by Weiss Ratings from “sell (d+)” to “hold (c-)”.
  • 6/17/2026 – Carlyle Group was downgraded by Weiss Ratings from “hold (c-)” to “sell (d+)”.
  • 5/18/2026 – Carlyle Group had its price target lowered by TD Cowen from $53.00 to $50.00. They now have a “hold” rating on the stock.
  • 5/16/2026 – Carlyle Group was downgraded by Wall Street Zen from “hold” to “sell”.

Carlyle Group Announces Dividend

The firm also recently announced a quarterly dividend, which was paid on Thursday, May 28th. Stockholders of record on Monday, May 18th were issued a dividend of $0.35 per share. The ex-dividend date of this dividend was Monday, May 18th. This represents a $1.40 dividend on an annualized basis and a dividend yield of 3.1%. Carlyle Group’s dividend payout ratio is presently 95.89%.

The Carlyle Group (NASDAQ: CG) is a global alternative asset manager that invests across a range of strategies including private equity, real assets (such as real estate and infrastructure), global credit, and investment solutions. Founded in 1987 and headquartered in Washington, DC, Carlyle raises and manages investment funds that acquire, operate and exit companies and assets on behalf of institutional and private investors. The firm is publicly traded on the Nasdaq exchange and operates as an asset manager and investment advisor rather than as an operating company.

Carlyle’s core activities include sourcing and executing private equity buyouts and growth investments, originating and managing credit and financing solutions, and acquiring and operating real asset portfolios.

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