Carlyle Group is an investment firm with industry capabilities that deploys private capital across three business segments: Global Private Equity, which advises its buyout and middle market and growth capital funds, its U.S. and internationally focused real estate funds, its natural resources funds, and its Legacy Energy funds; Global Credit, which advises a group of funds that pursue investment strategies including loans and structured credit, direct lending, infrastructure debt, insurance solutions and global capital markets; and Global Investment Solutions, which advises global private equity programs and related co-investment and secondary activities across various fund vehicles. The CG YTD return is shown above.
The YTD Return on the CG YTD return page and across the coverage universe of our site,
is a measure of the total return for a given investment year-to-date for the current calendar year
(up to the end of prior trading session). Arguably, choosing the current calendar year for a measurement
period is on the one hand completely arbitrary, but on the other hand a year-to-date look can be extremely
useful in the context of our country's tax system which taxes gains and income on a calendar year basis.
Thus, researching Year-To-Date Returns is good practice for investors — whether CG YTD return or other benchmarks/peers
— and when doing so it is also important to factor in dividends, because a financial instrument's YTD return is
more than just the change in price if that instrument pays a dividend or coupon. Our website aims to empower investors
by performing the CG YTD return calculation (with any dividends reinvested as applicable), and to provide a
coverage universe of many stocks and ETFs to be able to compare YTD returns.
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