Carlyle Group Inc vs Ferrari NV — how do they compare? Carlyle Group Inc trades at $48.27 (market cap $17.23B), while Ferrari NV trades at $406 (market cap $71.67B). The key difference: Ferrari NV is far larger — about 4.2× Carlyle Group Inc's market cap, and Carlyle Group Inc pays the higher dividend (2.9%). Which is the better fit depends on your goals.
| CG | RACE | |
|---|---|---|
Market Cap | $17.23B | $71.67B |
Sector | Financials | Consumer Cyclical |
52-Week High | $69.35 | $504.09 |
52-Week Low | $40.52 | $314.63 |
Dividend Yield | 2.9% | 1.04% |
Enterprise Value | — | $73.60B |
Trailing returns across standard periods
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 →Ferrari engineers and manufactures some of the world's most expensive exotic sports cars. The Ferrari brand is synonymous with Formula One racing, exclusivity, Italian design, and state-of-the-art technology. Ferrari also has a captive finance company that provides funding for dealers and clients.
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