MetaCap

Carlyle Group (CG) vs Blue Owl Capital (OWL)

Head-to-head comparison of performance, valuation, growth, profitability and dividends. Prices delayed 15 minutes; data as of Oct 7, 2026.

Summary

Carlyle Group (CG) has outperformed Blue Owl Capital (OWL) over the past year, losing 38.6% versus a loss of 43.5%. Over five years, CG leads with a -26.5% price change compared with -42.7% for OWL. Blue Owl Capital is the larger company by market cap ($14.28 billion vs $13.47 billion), about 1.1 times the size.

On valuation, Carlyle Group trades at a lower forward P/E (7.4x vs 9.3x for Blue Owl Capital). Blue Owl Capital offers the higher dividend yield (9.99% vs 3.70%). Carlyle Group converts more of its revenue into profit, with a net margin of 16.9% versus 13.9%.

Summary generated from market data by MetaCap's automated system. Methodology

Relative performance

CG-38.65%OWL-43.45%
+10%-21%-52%
Oct 7, 20251 yearOct 7, 2026
CG-23.51%OWL-40.65%
+80%+13%-55%
Oct 4, 20215 yearsOct 5, 2026

Percent change in share price from the first common trading day shown; excludes dividends.

Head-to-head

CG versus OWL key metrics
MetricCGOWL
Share price$37.80$9.11
Market cap$13.47B$14.28B
1-day change-2.78%+0.44%
YTD return-36.05%-39.02%
1-year return-38.65%-43.45%
5-year return-26.53%-42.67%
P/E ratio (TTM)38.9775.92
Forward P/E7.449.25
EPS (TTM)$0.97$0.12
Dividend yield3.70%9.99%
Annual dividend$1.40$0.91
Revenue (latest FY)$4.78B$567.75M
Revenue growth (YoY)-11.91%+7.56%
Net income (latest FY)$808.70M$78.83M
Net margin16.92%13.89%
52-week high$67.30$17.33
52-week low$37.50$7.95
Distance from 52-week high-43.83%-47.43%
Analyst consensusbuybuy
Avg. price target upside+45.21%+37.54%
Average volume3.51M18.98M
Shares outstanding356.33M683.91M
Employees2,5001,380
SectorFinanceFinance
IndustryInvestment ManagersInvestment Managers

Highlighted cells mark the higher value for growth, returns, margins and yield, and the lower value for P/E ratios. Highlighting is a mechanical comparison, not a recommendation.

Key differences

  • Blue Owl Capital trades at a higher earnings multiple (75.9x vs 39.0x trailing P/E).
  • Blue Owl Capital offers a meaningfully higher dividend yield (9.99% vs 3.70%).
  • Blue Owl Capital grew revenue faster in its latest fiscal year (+7.56% vs -11.91%).

About Carlyle Group

CG stock →

The Carlyle Group Inc. is an investment firm specializing in direct and fund of fund investments.

Finance · Investment Managers · 2,500 employees

About Blue Owl Capital

OWL stock →

Blue Owl Capital Inc. operates as an alternative asset manager in the United States.

Finance · Investment Managers · 1,380 employees

CG vs OWL FAQ

Which is bigger, Carlyle Group or Blue Owl Capital?

Blue Owl Capital (OWL) is larger, with a market capitalization of $14.28B compared with $13.47B for Carlyle Group (CG).

Which stock has performed better over the past year, CG or OWL?

CG returned -38.65% over the past 12 months, compared with -43.45% for OWL (price return, excluding dividends). Past performance does not predict future results.

Which has the lower P/E ratio, CG or OWL?

CG has the lower trailing P/E at 39.0, versus 75.9 for OWL. A lower P/E is not by itself a sign of a better investment; it can reflect slower expected growth or higher risk.

Which pays a higher dividend, Carlyle Group or Blue Owl Capital?

Blue Owl Capital has the higher yield at 9.99%, compared with 3.70% for Carlyle Group.

Are Carlyle Group and Blue Owl Capital in the same industry?

Yes. Both are classified in the Investment Managers industry within the Finance sector.

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