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The Carlyle Group Inc. 4.625% Subordinated Notes due 2061 (CGABL) 10-Year Financial Performance & Capital Metrics

CGABL • • Banking & Credit
Financial ServicesCredit ServicesCredit Servicing and Structured Finance
AboutFunctions as a financing subsidiary/special purpose entityShow more
  • Net Interest Income -$565M -34.8%
  • Total Revenue $5.43B +83.1%
  • Net Income $1.02B +267.7%
  • Return on Equity 15.16% +264.4%
  • Net Interest Margin -2.45% -23.5%
  • Efficiency Ratio 24.9% +13.2%
  • ROA 4.61% +261.3%
  • Equity / Assets 30.68% +1.9%
  • Book Value per Share 19.26 +9.1%
  • Tangible BV/Share 17.54 +12.9%
  • Debt/Equity -
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Efficient operations: 24.9% efficiency ratio
  • ✓Well capitalized: 30.7% equity/assets
  • ✓Diversified revenue: 100.0% from non-interest income
  • ✓Trading at only 0.9x book value

✗Weaknesses

  • ✗Weak NIM of -2.4%

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y3.41%
5Y9.95%
3Y-14.83%
TTM-

Profit (Net Income) CAGR

10Y1.1%
5Y-2.94%
3Y-30.54%
TTM732.19%

EPS CAGR

10Y-14.57%
5Y-21.81%
3Y-30.91%
TTM-383.33%

ROCE

10Y Avg7.67%
5Y Avg13.86%
3Y Avg3.22%
Latest6.23%

Peer Comparison

Credit Servicing and Structured Finance
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Size & Scale
Valuation
Per Share
Growth
Profitability
Quality & Returns
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Momentum & Returns
Total Return (DRIP)
Technical
Volume & Trading
Shares & Dilution
Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
BNHBrookfield Finance Inc. 4.625%15.8676.73-10.34%0.75%0.61%1.42
UPSTUpstart Holdings, Inc.2.67B27.2360.5154.2%5.13%4.33%
NRDSNerdWallet, Inc.343.94M10.8516.9521.67%5.82%13%37.88%
FOAFinance Of America Companies Inc.23219.3516.4024.25%0.79%1.65%90.98
AGMFederal Agricultural Mortgage Corporation1.47B157.669.48-0.77%11.32%10.62%5.45%17.93
CGABLThe Carlyle Group Inc. 4.625% Subordinated Notes due 20616.33B17.596.3583.06%18.81%9.58%15.96%
KKRSKKR Group Finance Co. IX LLC 4.15.67B17.593.3450.89%22.42%7.96%41.53%
YRDYiren Digital Ltd.673.16M3.900.7418.59%27.25%12.13%30.64%0.00

Compare CGABL vs Peers

Analyze head-to-head performance against top industry competitors across valuation, growth, and profitability metrics.

vs KKRS

Compare head-to-head with KKR Group Finance Co. IX LLC 4.

vs UPST

Compare head-to-head with Upstart Holdings, Inc.

Compare Top 5

vs KKRS, UPST, AGM, YRD

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Net Interest Income+000000-178M-211.6M-419.1M-564.9M
NII Growth %--------18.88%-98.06%-34.79%
Net Interest Margin %----------
Interest Income0000000000
Interest Expense1.04B128.5M197.6M164.6M00178M211.6M419.1M564.9M
Loan Loss Provision626.4M1.41B1.97B1.95B004.76B4.73B2.98B2.14B
Non-Interest Income+3.01B2.27B3.68B2.43B3.38B2.93B8.78B4.44B2.96B5.43B
Non-Interest Income %----------
Total Revenue+3.01B2.27B3.68B2.43B3.38B2.93B8.78B4.44B2.96B5.43B
Revenue Growth %-22.53%-24.35%61.64%-33.98%39.13%-13.12%199.32%-49.46%-33.23%83.06%
Non-Interest Expense712.8M521.1M276.8M460.7M-2.14B-2.35B431M575.8M652.1M1.35B
Efficiency Ratio----------
Operating Income+-7.4M-11.2M-71.4M-144.2M1.23B580M4.21B1.72B-1.09B1.37B
Operating Margin %----------
Operating Income Growth %-100.63%-51.35%-537.5%-101.96%955.34%-52.98%625%-58.99%-163.13%225.82%
Pretax Income+402.2M45.3M1.13B360.2M1.23B580M4.03B1.57B-712.6M1.39B
Pretax Margin %----------
Income Tax+2.1M30M124.9M31.3M49M197M982M287.8M-104.2M302.6M
Effective Tax Rate %----------
Net Income+400.1M15.3M1.01B328.9M1.18B382M3.04B1.28B-608.4M1.02B
Net Margin %----------
Net Income Growth %-56.28%-96.18%6484.31%-67.35%260.11%-67.75%697.12%-57.81%-147.36%267.72%
Net Income (Continuing)400.1M15.3M1.01B328.9M1.18B382M3.04B1.28B-608.4M1.09B
EPS (Diluted)+1.340.0510.072.909.481.078.403.51-1.682.77
EPS Growth %-89.98%-96.3%20202.42%-71.2%226.9%-88.71%685.05%-58.21%-147.86%264.88%
EPS (Basic)5.370.1810.932.909.481.078.403.51-1.682.85
Diluted Shares Outstanding298.74M308.52M100.08M113.39M124.88M358.39M362.57M365.71M361.4M368.02M

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash & Short Term Investments+1.01B670.9M1B629.6M793.4M987M13.3B1.38B1.44B1.27B
Cash & Due from Banks991.5M670.9M1B629.6M793.4M987M2.47B1.36B1.44B1.27B
Short Term Investments18.4M0000010.83B20M00
Total Investments+18.4M0000010.83B20M00
Investments Growth %23.49%-100%------99.82%-100%-
Long-Term Investments0000000000
Accounts Receivables0000000000
Goodwill & Intangibles+----------
Goodwill0000000000
Intangible Assets135.7M42M35.9M77.3M62.3M48M34M897.8M766.1M634.1M
PP&E (Net)110.9M106.1M100.4M95.1M312M510M504M476.9M493.7M526.7M
Other Assets0000000000
Total Current Assets1.35B1.04B1.26B1.07B1.07B1.26B13.68B2.06B2.13B2.07B
Total Non-Current Assets246.6M148.1M136.3M172.4M374.3M654M552M1.39B1.28B1.19B
Total Assets+32.19B9.97B12.28B12.91B13.81B1.91B21.25B21.4B21.18B23.1B
Asset Growth %-10.57%-69.02%23.14%5.16%6.93%-86.15%1010.82%0.72%-1.06%9.1%
Return on Assets (ROA)1.17%0.07%9.05%2.61%8.86%4.86%26.29%6.02%-2.86%4.61%
Accounts Payable0000000369.2M00
Total Debt+000003.94B2.07B000
Net Debt-991.5M-670.9M-1B-629.6M-793.4M2.95B-398M-1.36B-1.44B-1.27B
Long-Term Debt0000000000
Short-Term Debt000003.94B2.07B000
Other Liabilities23.12B8.39B9.17B9.9B10.7B12.57B12.87B13.68B15.21B16.48B
Total Current Liabilities40.9M54M82.1M111.3M71M4.03B2.19B495.6M140.3M138.7M
Total Non-Current Liabilities23.23B8.46B9.25B9.97B10.77B12.63B13.35B14.09B15.25B16.62B
Total Liabilities23.27B8.52B9.33B10.08B10.84B12.71B15.54B14.58B15.39B16.76B
Total Equity+8.92B1.45B2.95B2.84B2.97B3.17B5.71B6.82B6.38B7.09B
Equity Growth %-30.59%-83.71%102.82%-3.82%4.7%6.78%79.94%19.55%-6.5%11.14%
Equity / Assets (Capital Ratio)----------
Return on Equity (ROE)3.67%0.29%45.76%11.37%40.8%12.44%68.6%20.51%-9.22%15.16%
Book Value per Share29.874.7129.4725.0123.788.8515.7418.6517.6519.26
Tangible BV per Share----------
Common Stock000003M3M3.6M3.6M3.6M
Additional Paid-in Capital0000000000
Retained Earnings00000348M2.81B3.4B2.08B2.04B
Accumulated OCI00000-208M-247M-322.2M-297.3M-329.8M
Treasury Stock0000000000
Preferred Stock0000000000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+3.9B305.3M156.9M156.9M358.6M716.8M1.79B-379.3M955.7M1.09B
Operating CF Growth %600.43%-92.18%-48.61%0%128.55%99.89%149.86%-121.18%351.96%13.94%
Net Income400.1M-1.8M995.4M995.4M1.18B374.7M3.04B1.28B-579.3M1.08B
Depreciation & Amortization322.8M72M41.3M41.3M65.6M52.1M52M147.4M180.6M184.1M
Deferred Taxes-31.4M-4.4M93.4M93.4M13.9M134.5M508.4M-73.2M-368.7M91.2M
Other Non-Cash Items2.77B-161.7M-1.34B-1.34B-1B54.5M-508.5M01.51B-736.7M
Working Capital Changes62.5M66.6M50.5M50.5M-43.7M-4M-1.47B-1.89B-33.2M0
Cash from Investing+-21.5M-20.1M-49.5M-34M-27.8M-61.2M-32M-828.8M-43.6M-77.6M
Purchase of Investments-10.56B-458.3M-938.6M-938.6M-2.55B-397.4M-5.41B-5.14B-533.1M-891.7M
Sale/Maturity of Investments1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Net Investment Activity----------
Acquisitions0000000000
Other Investing-1.36B138.5M445.5M461M49.7M65.3M528M1.02B70.2M154.3M
Cash from Financing+-62.7M53.6M-26.4M-26.4M129.4M700K-68M-81.2M-16.2M-24.4M
Dividends Paid00000-351.3M-355.8M-443.6M-497.7M-503M
Share Repurchases00000-26.4M-161M-69.6M-203.5M-554.6M
Stock Issued0000000000
Net Stock Activity----------
Debt Issuance (Net)0000000000
Other Financing-62.7M53.6M-26.4M-26.4M129.4M352M287.8M362.4M481.5M478.6M
Net Change in Cash+-250.5M-320.6M329.2M344.8M189.7M161.6M1.49B-1.11B80.6M-175.6M
Exchange Rate Effect-1000K-1000K1000K1000K-1000K-1000K-1000K-1000K-1000K0
Cash at Beginning1.24B991.5M670.9M684M638.3M828M989M2.48B1.36B1.44B
Cash at End991.5M670.9M1B1.03B828M989.6M2.48B1.36B1.44B1.27B
Interest Paid0000000000
Income Taxes Paid0000000000
Free Cash Flow+3.84B279.9M122.9M122.9M330.8M655.6M1.75B-419.9M889.1M1.01B
FCF Growth %628.06%-92.71%-56.09%0%169.16%98.19%166.93%-123.99%311.74%13.73%

Banking Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)3.67%0.29%45.76%11.37%40.8%12.44%68.6%20.51%-9.22%15.16%
Return on Assets (ROA)1.17%0.07%9.05%2.61%8.86%4.86%26.29%6.02%-2.86%4.61%
Net Interest Margin0%0%0%0%0%0%-0.84%-0.99%-1.98%-2.45%
Efficiency Ratio23.71%22.91%7.53%18.98%-63.48%-80.23%4.91%12.97%22%24.9%
Equity / Assets27.72%14.58%24.01%21.96%21.51%165.76%26.85%31.87%30.12%30.68%
Book Value / Share29.874.7129.4725.0123.788.8515.7418.6517.6519.26
NII Growth--------18.88%-98.06%-34.79%
Dividend Payout-----91.96%11.68%34.53%-49.29%

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