Carlyle Group Current Ratio 2010-2023 | CG

Current and historical current ratio for Carlyle Group (CG) from 2010 to 2023. Current ratio can be defined as a liquidity ratio that measures a company's ability to pay short-term obligations. Carlyle Group current ratio for the three months ending December 31, 2023 was 2.27.
Carlyle Group Current Ratio Historical Data
Date Current Assets Current Liabilities Current Ratio
2023-12-31 $12.58B $5.53B 2.27
2023-09-30 $12.48B $4.25B 2.94
2023-06-30 $12.40B $4.42B 2.80
2023-03-31 $12.74B $4.51B 2.82
2022-12-31 $13.04B $5.05B 2.58
2022-09-30 $13.20B $5.08B 2.60
2022-06-30 $13.66B $5.20B 2.63
2022-03-31 $13.89B $5.24B 2.65
2021-12-31 $13.97B $5.72B 2.44
2021-09-30 $13.69B $5.48B 2.50
2021-06-30 $12.91B $5.28B 2.45
2021-03-31 $1.48B $4.20B 0.35
2020-12-31 $8.88B $3.95B 2.25
2020-09-30 $8.15B $3.44B 2.37
2020-06-30 $7.05B $3.14B 2.25
2020-03-31 $6.89B $2.53B 2.72
2019-12-31 $1.30B $3.39B 0.38
2019-09-30 $8.84B $3.05B 2.90
2019-06-30 $8.00B $2.94B 2.72
2019-03-31 $7.55B $2.69B 2.81
2018-12-31 $1.51B $2.84B 0.53
2018-09-30 $2.16B $3.17B 0.68
2018-06-30 $2.04B $2.88B 0.71
2018-03-31 $2.26B $2.65B 0.86
2017-12-31 $7.39B $2.81B 2.63
2017-09-30 $3.49B $2.75B 1.27
2017-06-30 $2.95B $2.56B 1.15
2017-03-31 $2.83B $2.38B 1.19
2016-12-31 $3.00B $2.26B 1.33
2016-09-30 $2.69B $2.48B 1.09
2016-06-30 $2.66B $2.29B 1.16
2016-03-31 $2.32B $2.32B 1.00
2015-12-31 $4.49B $2.66B 1.69
2015-09-30 $5.00B $2.92B 1.71
2015-06-30 $4.62B $3.57B 1.29
2015-03-31 $4.36B $2.78B 1.57
2014-12-31 $5.21B $2.89B 1.80
2014-09-30 $5.03B $2.98B 1.69
2014-06-30 $5.06B $2.97B 1.70
2014-03-31 $4.45B $2.71B 1.64
2013-12-31 $4.09B $2.92B 1.40
2013-09-30 $3.92B $2.44B 1.61
2013-06-30 $4.28B $2.12B 2.02
2013-03-31 $4.13B $1.99B 2.08
2012-12-31 $3.69B $1.87B 1.98
2012-09-30 $3.15B $1.77B 1.78
2012-06-30 $3.11B $1.67B 1.86
2012-03-31 $3.00B $1.91B 1.57
2011-12-31 $2.22B $1.91B 1.17
2011-09-30 $1.96B $1.88B 1.04
2011-06-30 $4.97B $1.93B 2.58
2011-03-31 $0.00B 0.00
2010-12-31 $0.00B 0.00
2010-09-30 $0.00B 0.00
2010-06-30 $0.00B 0.00
2009-12-31 $0.99B $0.87B 1.15
Sector Industry Market Cap Revenue
Finance Finance - Publicly Traded Investment Trusts $16.777B $2.964B
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.
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IShares MSCI EAFE ETF (EFA) $52.128B 0.00
SPDR Dow Jones Industrial Average ETF (DIA) $31.780B 0.00
IShares Gold Trust (IAU) United States $28.566B 0.00
IShares IBoxx $ Investment Grade Corporate Bond ETF (LQD) $28.324B 0.00
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IShares MSCI Pacific Ex Japan ETF (EPP) $1.872B 0.00
Liberty All-Star Equity Fund (USA) $1.826B 0.00
Invesco DB Commodity Index Tracking ETF (DBC) $1.778B 0.00
Nuveen Municipal Value Fund (NUV) $1.770B 0.00
Compass Diversified Holdings (CODI) United States $1.748B 17.72
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PIMCO High Income Fund (PHK) $0.700B 0.00
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INV VK TR INV (VGM) $0.518B 0.00
INV VK MUN TR (VKQ) $0.515B 0.00
BlackRock Debt Strategies Fund (DSU) $0.499B 0.00
BlackRock MuniYield Fund (MYD) $0.496B 0.00
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BlackRock MuniAssets Fund (MUA) $0.427B 0.00
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BlackRock MuniYield New York Quality Fund (MYN) $0.387B 0.00
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DWS Municipal Income Trust (KTF) $0.365B 0.00
Tortoise Energy Infrastructure (TYG) $0.362B 0.00
Abrdn Life Sciences Investors (HQL) United States $0.360B 0.00
Source Capital (SOR) $0.343B 0.00
Putnam Premier Income Trust (PPT) $0.336B 0.00
BlackRock MuniYield Michigan Quality Fund (MIY) $0.326B 0.00
PUTNAM MUN OPPO (PMO) $0.312B 0.00
BlackRock MuniHoldings New York Quality Fund (MHN) $0.310B 0.00
Cohen & Steers Total Return Realty Fund (RFI) $0.301B 0.00
Liberty All-Star Growth Fund (ASG) $0.301B 0.00
MFS Intermediate Income Trust (MIN) $0.295B 0.00
INVMUN INCOM (OIA) $0.292B 0.00
Nuveen California Municipal Va (NCA) $0.289B 0.00
IShares MSCI Sweden ETF (EWD) $0.278B 0.00
PUTNAM MANAGED (PMM) $0.274B 0.00
MFS Multimarket Income Trust (MMT) $0.261B 0.00
PIMCO Strategic Income Fund (RCS) $0.261B 0.00
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Morgan Stanley India Investment Fund (IIF) $0.254B 0.00
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BlackRock MuniYield Quality Fund II (MQT) $0.223B 0.00
BlackRock MuniVest Fund II (MVT) $0.223B 0.00
TCW Strategic Income Fund (TSI) $0.220B 0.00
Blackrock Investment Quality Municipal Trust (BKN) $0.211B 0.00
INV VK INVT NY (VTN) $0.204B 0.00
Templeton Dragon Fund (TDF) $0.202B 0.00
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Templeton Emerging Markets Fund (EMF) $0.182B 0.00
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Nuveen New York Municipal Valu (NNY) $0.154B 0.00
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PUTNAM MAST INT (PIM) $0.150B 0.00
Special Opportunities Fund (SPE) $0.138B 0.00
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Korea Fund (KF) United States $0.116B 0.00
John Hancock Investors Trust (JHI) $0.115B 0.00
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High Income Securities Fund (PCF) $0.110B 0.00
MFS High Income Municipal Trust (CXE) $0.110B 0.00
Flaherty & Crumrine Preferred And Income Fund (PFO) $0.106B 0.00
PCM FUND (PCM) $0.102B 0.00
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Swiss Helvetia Fund (SWZ) United States $0.100B 0.00
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Nuveen Municipal Income Fund (NMI) $0.093B 0.00
MFS HI YLD (CMU) $0.092B 0.00
SURO Capital (SSSS) United States $0.090B 0.00
Nuveen California Select Tax-Free Income Portfolio (NXC) $0.082B 0.00
Abrdn Japan Equity Fund (JEQ) $0.081B 0.00
DTF Tax-Freeome 2028 Term (DTF) $0.076B 0.00
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INV VK HI INC2 (VLT) $0.068B 0.00
Central And Eastern Europe Fund (CEE) $0.061B 0.00
European Equity Fund (EEA) $0.060B 0.00
Nuveen Multi-Market Income Fund (JMM) $0.056B 0.00
MFS SPL VALUE T (MFV) $0.032B 0.00
MFS Intermediate High Income Fund (CIF) $0.031B 0.00
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Western Asset Managed Municipals Fund (MMU) $0.000B 0.00
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Mexico Fund (MXF) $0.000B 0.00
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INV VK PA VALU (VPV) $0.000B 0.00