Carlyle Group Inc vs General Motors Company — how do they compare? Carlyle Group Inc trades at $48.27 (market cap $17.20B), while General Motors Company trades at $89.23 (market cap $76.85B). The key difference: General Motors Company is far larger — about 4.5× Carlyle Group Inc's market cap, and Carlyle Group Inc pays the higher dividend (2.93%). Which is the better fit depends on your goals.
| CG | GM | |
|---|---|---|
Market Cap | $17.20B | $76.85B |
Sector | Financials | Consumer Cyclical |
52-Week High | $69.35 | $90.30 |
52-Week Low | $40.52 | $54.16 |
Dividend Yield | 2.93% | 0.82% |
Enterprise Value | — | $179.83B |
Trailing returns across standard periods
Latest headlines on both assets
The Carlyle Group is one of the world's largest alternative-asset managers, with $376.4 billion in total assets under management, including $259.6 billion in fee-earning AUM, at the end of June 2022. The company has three core business segments: private equity, which includes private equity, real estate, infrastructure and natural resources funds (accounting for 41% of fee-earning AUM and 65% of base management fees during 2021), global credit (45% and 24%) and investment solutions (14% and 11%). The firm primarily serves institutional investors and high-net-worth individuals. Carlyle operates through 29 offices across five continents, serving close to 2,700 active carry fund investors from 95 countries.
Read more on CG →General Motors Co. emerged from the bankruptcy of General Motors Corp. (old GM) in July 2009. GM has eight brands and operates under four segments: GM North America, GM International, Cruise, and GM Financial. The United States now has four brands instead of eight under old GM. The company lost its U.S. market share leader crown in 2021 with share down 280 basis points to 14.6%, but we expect GM to reclaim the top spot in 2022 as 2021 suffered from the chip shortage. GM Financial became the company's captive finance arm in October 2010 via the purchase of AmeriCredit.
Read more on GM →