Carlyle Group Change in Inventories 2010-2025 | CG

Carlyle Group annual/quarterly change in inventories history and growth rate from 2010 to 2025. Change in inventories can be defined as the increase or decrease in a company's inventories for the period.
  • Carlyle Group change in inventories for the quarter ending March 31, 2025 was $0.067B, a 254.65% decline year-over-year.
  • Carlyle Group change in inventories for the twelve months ending March 31, 2025 was $0.303B, a 18.49% increase year-over-year.
  • Carlyle Group annual change in inventories for 2024 was $0.112B, a 34.44% decline from 2023.
  • Carlyle Group annual change in inventories for 2023 was $0.171B, a 210.32% decline from 2022.
  • Carlyle Group annual change in inventories for 2022 was $-0.155B, a 139.57% decline from 2021.
Carlyle Group Annual Change in Inventories
(Millions of US $)
2024 $112
2023 $171
2022 $-155
2021 $392
2020 $-43
2019 $77
2018 $420
2017 $-421
2016 $-69
2015 $221
2014 $323
2013 $201
2012 $-325
2011 $166
2010 $-65
2009 $3
Sector Industry Market Cap Revenue
Finance Finance - Investment Management $16.908B $5.426B
The Carlyle Group Inc., one among the largest global investment firms, originates, structures and acts as lead equity investor in management-led buyouts, strategic minority equity investments, equity private placements, consolidations & buildups, growth capital financings, real estate opportunities, bank loans, high-yield debt, distressed assets, mezzanine debt, etc.?It provides investment management services to private equity funds, real estate funds, private credit funds, collateralized loan obligations, etc. It has 3 reportable units. Global Private Equity unit advises buyout, growth, real estate and natural resources funds. Global Credit unit advises funds & vehicles that pursue investment strategies, like loans & structured credit, direct lending, opportunistic credit, distressed credit, aircraft financing & servicing, infrastructure debt and insurance solutions. Global Investment Solutions unit advises through fund of funds, secondary purchases of existing portfolios and managed co-investment programs.
Stock Name Country Market Cap PE Ratio
BlackRock (BLK) United States $153.671B 22.02
KKR (KKR) United States $110.457B 28.44
Apollo Global Management (APO) United States $77.506B 20.52
Ares Management (ARES) United States $55.055B 39.57
Ameriprise Financial (AMP) United States $49.199B 14.27
MSCI Inc (MSCI) United States $43.161B 35.58
Blue Owl Capital (OWL) United States $29.311B 24.75
T Rowe Price (TROW) United States $21.135B 10.45
TPG (TPG) United States $18.452B 24.48
Franklin Resources (BEN) United States $11.488B 9.72
SEI Investments (SEIC) United States $10.484B 18.31
Hamilton Lane (HLNE) United States $8.122B 30.09
Schroders (SHNWF) United Kingdom $7.707B 0.00
Invesco (IVZ) United States $6.628B 8.09
Janus Henderson Group (JHG) United Kingdom $5.814B 10.19
ONEX (ONEXF) Canada $5.651B 12.67
Affiliated Managers (AMG) United States $5.209B 8.63
AllianceBernstein Holding (AB) United States $4.471B 12.13
Victory Capital Holdings (VCTR) United States $4.184B 11.48
Cohen & Steers Inc (CNS) United States $3.948B 25.99
Artisan Partners Asset Management (APAM) United States $3.383B 11.59
Grupo Aval Acciones Y Valores S.A (AVAL) Colombia $3.360B 11.32
Federated Hermes (FHI) United States $3.357B 10.20
Fairfax India Holdings (FFXDF) Canada $2.419B 61.72
GCM Grosvenor (GCMG) United States $2.416B 21.08
Sprott (SII) Canada $1.596B 32.22
Ashmore Group (AJMPF) United Kingdom $1.554B 0.00
Prospect Capital (PSEC) United States $1.502B 3.96
Cannae Holdings (CNNE) United States $1.251B 0.00
Virtus Investment Partners (VRTS) United States $1.225B 6.64
Capital Southwest (CSWC) United States $1.145B 8.66
PennantPark Floating Rate Capital (PFLT) United States $1.038B 8.44
Patria Investments (PAX) Cayman Islands $0.829B 10.85
Associated Capital (AC) United States $0.791B 20.90
Noah Holdings (NOAH) China $0.789B 10.84
Eagle Point Credit (ECC) United States $0.600B 6.96
Gamco Investors (GAMI) United States $0.545B 8.64
Barings Corporate Investors (MCI) $0.396B 0.00
Sound Point Meridian Capital (SPMC) United States $0.370B 0.00
Value Line (VALU) United States $0.361B 16.83
Silvercrest Asset Management Group (SAMG) United States $0.203B 14.68
Barings Participation Investors (MPV) $0.189B 0.00
ArrowMark Financial (BANX) United States $0.145B 0.00
Monroe Capital (MRCC) United States $0.144B 6.05
Westwood Holdings Group Inc (WHG) United States $0.142B 45.91
Great Elm Capital (GECC) United States $0.128B 8.48
Portman Ridge Finance (PTMN) United States $0.108B 4.88
OFS Credit (OCCI) $0.099B 3.58
Hennessy Advisors (HNNA) United States $0.086B 8.84
Binah Capital (BCG) United States $0.035B 0.00
U.S Global Investors (GROW) United States $0.032B 0.00
Royalty Management Holding (RMCO) United States $0.016B 0.00
Prestige Wealth (PWM) Hong Kong, SAR China $0.006B 0.00
Medley Management (MDLY) United States $0.000B 0.00
Jupai Holdings (JP) China $0.000B 0.00
AMTD IDEA Group (AMTD) France $0.000B 0.00