CG

CG

USD

The Carlyle Group Inc. Common Stock

$51.160-0.020 (-0.039%)

リアルタイム価格

金融サービス
Asset Management
米国

価格チャート

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主要指標

市場指標
企業ファンダメンタルズ
取引統計

市場指標

始値

$51.180

高値

$52.269

安値

$50.590

出来高

0.93M

企業ファンダメンタルズ

時価総額

18.5B

業種

Asset Management

United States

取引統計

平均出来高

2.99M

取引所

NMS

通貨

USD

52週レンジ

安値 $33.02現在値 $51.160高値 $69.85

AI分析レポート

最終更新: 2025年11月4日
AIによる生成データソース: Yahoo Finance, Bloomberg, SEC

CG Analysis: Carlyle Group's Rocky Path & Short-Term Recovery Signals

News Sentiment Check (Mixed Bag)

  • Analyst Consensus Shift: 5 major firms maintained ratings but cut price targets on Nov 3 (Citigroup to $71, TD Cowen to $77, Evercore ISI to $57). Contradicts October's bullish Morgan Stanley upgrade.
  • Bright Spot: Q3 earnings beat (Oct 31) showed $17B inflows and $474B AUM growth - fundamental strength battling market skepticism.
  • Sector Headwinds: Chemical sector news (major Carlyle exposure) shows tariff pressures and Chinese oversupply dragging performance.

Price Action Reality Check

  • Steep Descent: 23% drop from Sept 19 peak ($69.35) to Nov 3 close ($51.81)
  • Critical Support Test: Trading near 52-week low ($33.02) territory after breaking $53.38 support
  • Volume Clues:
  • Oct 31: 7.1M shares traded (2.4x avg) on earnings news
  • Nov 3: 6.7M volume confirms bearish momentum

Predictive Outlook (Cautious Optimism)

  1. Day 1: Expected -1.35% dip to $51.09
  2. Day 2: Projected +2.17% rebound to $52.20
  3. Day 3: Potential +3.73% surge to $54.15 Note: AI predictions lack confidence metrics - treat as tentative

Strategic Plays

  • Entry Watch: $53.36-$53.91 range (previous support becomes resistance)
  • Stop-Loss: Tight $47.98 floor (-7.4% from current)
  • Take-Profit: First target $54.38 (5% upside)

Who Should Consider: Short-term traders comfortable with 3-5 day holds. Not yet positioned for long-term investors given debt concerns (185% D/E ratio).

Risk Alert

  • Debt bomb (185% D/E) with -94.9% revenue growth
  • Technicals show bearish DMI but bullish MACD crossover - conflicting signals
  • Chemical sector exposure = ongoing volatility

Disclaimer: Analysis valid through December 5, 2025. Not financial advice - conduct your own due diligence. Past performance doesn't guarantee future results.

関連ニュース

Analyst Upgrades

Citigroup Maintains Buy on Carlyle Group, Lowers Price Target to $71

Citigroup analyst Christopher Allen maintains Carlyle Group with a Buy and lowers the price target from $74 to $71.

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Citigroup Maintains Buy on Carlyle Group, Lowers Price Target to $71
Analyst Upgrades

TD Cowen Maintains Buy on Carlyle Group, Lowers Price Target to $77

TD Cowen analyst Bill Katz maintains Carlyle Group with a Buy and lowers the price target from $78 to $77.

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TD Cowen Maintains Buy on Carlyle Group, Lowers Price Target to $77
Analyst Upgrades

Keefe, Bruyette & Woods Maintains Market Perform on Carlyle Group, Lowers Price Target to $64

Keefe, Bruyette & Woods analyst Kyle Voigt maintains Carlyle Group with a Market Perform and lowers the price target from $66 to $64.

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Keefe, Bruyette & Woods Maintains Market Perform on Carlyle Group, Lowers Price Target to $64
Analyst Upgrades

JP Morgan Maintains Neutral on Carlyle Group, Lowers Price Target to $66

JP Morgan analyst Kenneth Worthington maintains Carlyle Group with a Neutral and lowers the price target from $68 to $66.

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JP Morgan Maintains Neutral on Carlyle Group, Lowers Price Target to $66
Analyst Upgrades

Evercore ISI Group Maintains In-Line on Carlyle Group, Lowers Price Target to $57

Evercore ISI Group analyst Glenn Schorr maintains Carlyle Group with a In-Line and lowers the price target from $64 to $57.

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Evercore ISI Group Maintains In-Line on Carlyle Group, Lowers Price Target to $57
GlobeNewswire

Carlyle Secured Lending, Inc. Announces Intent to Redeem All Outstanding 8.20% Notes Due 2028

NEW YORK, Oct. 31, 2025 (GLOBE NEWSWIRE) -- Carlyle Secured Lending, Inc. (the "Company") (NASDAQ:CGBD) today announced that it intends to redeem all $85,000,000 aggregate principal amount of its outstanding

Reuters

Carlyle fee-related earnings jump as assets hit $474 billion in third quarter

Asset manager Carlyle Group on Friday reported a rise in fee-related earnings and inflows of $17 billion for the third quarter, and said it expected to beat its financial targets for the full year.

AI予測Beta

AI推奨

強気

更新日時: 2025年11月5日 04:53

弱気中立強気

65.4% 信頼度

リスクと取引

リスクレベル3/5
中リスク
適しているのは
アグレッシブ保守的バリュー
取引ガイド

エントリーポイント

$53.36

利確

$54.38

損切り

$47.98

主要因子

DMIは弱気トレンドを示しており (ADX:6.5、+DI:10.3、-DI:10.9)、注意が必要です
現在の価格はサポートレベル(53.38ドル)に非常に接近しており、強力な買い機会を示唆しています
出来高は平均(26,992)の16.3倍で、極めて強い買い圧力を示しています
MACD -0.0229はシグナルライン-0.0276の上にあり、強気クロスオーバーを示しています

最新情報を入手

価格アラートを設定し、AI分析の更新とリアルタイム市場ニュースを受け取る。