Carlyle Group Inc. (CGABL) Stock Price & Analysis
Carlyle Group Inc. (CGABL) fell 0.09% to USD 15.92 as of September 8, 2026 at 20:52 UTC, according to Nexqual real-time market data.
CGABL last closed at USD 15.92; the session ranged USD 15.84–15.95 on volume of 15,408 shares. Market capitalization is —, with a 52-week range of USD 15.84–18.73 (NMS). Source: Nexqual, September 8, 2026 at 20:52 UTC.
Key Statistics (as of September 8, 2026 at 20:52 UTC)
| Price | USD 15.92 |
|---|---|
| Change | ▼ 0.09% (down) |
| Previous Close | USD 15.92 |
| Open | USD 15.92 |
| Day Range | USD 15.84 – 15.95 |
| 52-Week Range | USD 15.84 – 18.73 |
| Volume | 15,408 shares |
| Market Cap | — |
| Exchange | NMS |
Technical Analysis (CGABL)
Nexqual's technical model rates CGABL "SELL" based on 1 bullish and 5 bearish signals across 127 daily candles, as of September 8, 2026 at 20:52 UTC.
| Overall Signal | SELL |
|---|---|
| RSI (14) | 40.18 (neutral) |
| vs SMA50 | Below (USD 16.21) |
| MACD | -0.07 (negative) |
From Carlyle Group Inc.'s Latest SEC 10-K Filing (filed 2026-02-27)
Key Strengths & Strategy (as disclosed to the SEC)
- In 2025, we invested $2.3 billion in new and follow-on investments through our infrastructure and natural resources funds and realized $5.2 billion of proceeds .
- In 2025 , we invested $5.9 billion in new and follow-on investments through our corporate private equity funds and realized $11.3 billion of proceeds.
- In 2025 , we invested $2.2 billion in new and follow- on investments through our real estate funds and realized $1.6 billion of proceeds.
- We incorporate this proprietary data into our investment portfolio management strategy and exit decisions on an ongoing basis.
Partnerships
- We generally conduct our North American energy investing through our strategic investment in NGP, a Texas-based energy investor.
- As a result, we believe that our in-depth knowledge of specific industries improves our ability to source and create transactions, conduct effective and more informed due diligence, develop strong relationships with management teams and use contacts and relationships within these industries to drive value creation. • Variable Deal Sizes and Creative Structures.
Source: SEC EDGAR 10-K, official filing. Curated by Nexqual.
Peers & Related Stocks
| Symbol | Name | Price | Change |
|---|---|---|---|
| KKRS | KKR Group Finance Co. IX LLC 4. | USD 15.89 | ▼ 0.06% |
| AEFC | Aegon Funding Company LLC 5.10% | USD 18.19 | ▲ 1.45% |
| SOJE | Southern Company (The) Series 2 | USD 15.81 | ▲ 0.57% |
| SOJD | Southern Company (The) Series 2 | USD 18.06 | ▼ 0.77% |
| HWCPZ | Hancock Whitney Corporation - 6 | USD 21.41 | ▲ 1.03% |
Data source: Nexqual — real-time market data, technical indicators, analyst consensus, earnings, SEC EDGAR filings. Last updated: September 8, 2026 at 20:52 UTC. This page is informational and not investment advice.