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Carlyle Group Inc (CG) is set to release its earnings performance on 02/06 ET in Pre-Market trading. Consensus forecasts predict a revenue of 1.08B and an earnings per share (EPS) of 1.01 for the . With Intellectia's exclusive AI algorithms, users can predict whether the earnings will beat or miss expectations before the report drops. Leverage this powerful tool to strategize and position your trades ahead of the earnings release!
The earnings call summary and Q&A indicate strong financial performance, strategic growth in various segments, and positive future outlooks. Key highlights include exceeding 2025 financial targets, significant transaction pipeline, robust growth in AlpInvest and Global Credit, and strategic capital management. Although management deferred some details to February 26, the overall sentiment is positive, driven by strong metrics and optimistic guidance. The lack of market cap information limits precise impact estimation, but the overall positive sentiment suggests a likely stock price increase in the short term.
The company demonstrated strong financial performance with increased FRE growth expectations and significant inflows, especially in Global Credit and Real Estate. The Q&A highlighted confidence in sustained growth across various sectors, including private equity, credit, and wealth channels. Despite some lack of detail in management's responses, the overall sentiment remains positive, driven by strong inflows and optimistic guidance. The absence of negative indicators and the potential for further growth support a strong positive outlook for the stock price.
The earnings call summary indicates strong financial performance with record FRE, AUM, and transaction fees, alongside optimistic guidance and strategic growth initiatives. The Q&A section supports this sentiment, highlighting growth in private credit, wealth management, and insurance sectors. Despite some uncertainty in long-term guidance, the firm's strategic positioning and strong results suggest a positive outlook for the stock price in the near term.
Carlyle Group Inc (CG) is scheduled to release its earnings report onFeb 6, 2026, Pre-Market(approximately 4:00 PM ET). This timing allows investors to react during after-hours trading, with a conference call typically following shortly after.
Analysts' consensus predicts 1.08B in revenue and an EPS of 1.01 for Carlyle Group Inc's .
Intellectia's exclusive AI algorithms forecast a forCarlyle Group Inc's earnings, with a prediction date of Feb 6, 2026. Carlyle Group Inc
Leverage Intellectia's AI forecast to position trades ahead of theFeb 6, 2026 release—consider calls for a beat scenario or protective puts for misses. Focus on pre-market volatility, and use the scenario probabilities to build strategies around revenue and guidance updates.
Intellectia's predictions are backed by rigorous backtesting, showing a high hit rate for Beat and Miss calls compared to traditional analysis. While no forecast is 100% certain, we provide probability-based scenarios (e.g., 50% chance of a *Beat*) and detailed rationales to help you make informed decisions. Combine our insights with your strategy for the best results—it's like having a co-pilot for earnings season! Empowering users to strategize trades before reports drop.
AI Earnings Prediction uses advanced Large Language Models (LLMs) to analyze a wealth of data, including past earnings transcripts, real-time market sentiment, analyst insights, and company news from the last three months. It focuses on key indicators like revenue, EPS, and margins to predict whether a company will *Beat*, *Miss*, or remain Neutral relative to market expectations. Think of it as a super-smart analyst crunching numbers and news 24/7 to give you a trading edge!
Predictions are generated two days before a company’s earnings release (e.g., 5:00 PM ET on Feb 13 for a Feb 15 report) to capture the latest market and company data. They’re updated in real-time if significant news breaks, ensuring you get fresh insights.
Currently, AI Earnings Prediction focuses on companies with market caps above $40 billion, covering major players like SPG, AAPL, MSFT, and NVDA for the 2025-2026 earnings seasons. We prioritize high-impact stocks with robust data to ensure reliable forecasts. Stay tuned as we expand coverage to more companies based on user demand!
Each prediction includes a detailed rationale, key indicator forecasts, and scenario probabilities to guide your trades. For a *Beat*, consider buying call options or shares; for a *Miss*, explore puts or hedging strategies. The prediction card provides actionable suggestions, like specific option strikes or hedging tips, tailored to your risk tolerance. Trade smart and turn insights into profits!