The Carlyle Group Inc. / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) N/A N/A N/A N/A N/A
    (estimated) N/A N/A N/A N/A N/A
    (estimated) €4.69B +10.9% €1.78B +16.7% 38.0% +0.019 pp N/A N/A
    (estimated) €4.23B +19.1% €1.53B +14.9% 36.1% -0.013 pp N/A N/A
    (estimated) €3.56B +0.9% €1.33B +51.2% 37.4% +0.12 pp N/A N/A
    €3.52B +119.0% €879.12M -267.7% 25.0% +0.58 pp -€587.40M -351.1% -16.7% -0.31 pp
    €1.61B -49.2% -€524.17M -149.7% -32.6% -0.66 pp €233.91M -180.2% 14.5% +0.24 pp
    €3.17B -36.9% €1.06B -58.8% 33.3% -0.18 pp -€291.81M -118.5% -9.2% -0.41 pp
    €5.02B +172.9% €2.56B +754.3% 51.1% +0.35 pp €1.58B -1,796.7% 31.5% +0.37 pp
    €1.84B -26.8% €299.99M -8.6% 16.3% +0.033 pp -€93.05M -128.0% -5.1% -0.18 pp
    €2.51B +41.9% €328.16M +227.0% 13.1% +0.074 pp €332.90M -223.8% 13.2% +0.28 pp
    €1.77B -26.0% €100.37M -52.3% 5.7% -0.031 pp -€268.98M -1,260.6% -15.2% -0.16 pp
    €2.39B +43.5% €210.30M +3,714.1% 8.8% +0.085 pp €23.18M -109.8% 1.0% +0.15 pp
    €1.67B -42.4% €5.51M -134.8% 0.3% +0.0088 pp -€237.10M -106.9% -14.2% -1.3 pp
    €2.89B -13.7% -€15.85M -121.4% -0.5% -0.028 pp €3.42B +48.2% 118.0% +0.49 pp
    €3.36B -1.5% €73.92M -17.6% 2.2% -0.0043 pp €2.30B -11.5% 68.7% -0.078 pp
    €3.41B -10.4% €89.69M +412.8% 2.6% +0.022 pp €2.61B +46.7% 76.5% +0.30 pp
    €3.80B +130.7% €17.49M -98.5% 0.5% -0.70 pp €1.78B -15.5% 46.7% -0.81 pp
    €1.65B -10.6% €1.17B -11.1% 70.9% -0.0040 pp €2.10B -15.9% 127.5% -0.080 pp
    €1.84B +62.4% €1.31B +119.8% 71.3% +0.19 pp €2.50B +549.5% 135.5% +1.0 pp
    €1.13B €598.00M 52.7% €384.42M 33.9%

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