The Carlyle Group LP (CG) : Orinda Asset Management added new position in The Carlyle Group LP during the most recent quarter end. The investment management firm now holds 19,291 shares of The Carlyle Group LP which is valued at $325,632 , the company said in a statement filed on Aug 3, 2016 with the SEC.The Carlyle Group LP makes up approximately 0.35% of Orinda Asset Management’s portfolio.
Other Hedge Funds, Including , California Public Employees Retirement System reduced its stake in CG by selling 3,200 shares or 2.74% in the most recent quarter. The Hedge Fund company now holds 113,700 shares of CG which is valued at $1,919,256. Financial Architects Inc added CG to its portfolio by purchasing 9 company shares during the most recent quarter which is valued at $152.Msi Financial Services Inc boosted its stake in CG in the latest quarter, The investment management firm added 1,321 additional shares and now holds a total of 2,121 shares of The Carlyle Group LP which is valued at $35,781.Burt Wealth Advisors reduced its stake in CG by selling 800 shares or 76.56% in the most recent quarter. The Hedge Fund company now holds 245 shares of CG which is valued at $4,182.Nn Investment Partners Holdings N.v. reduced its stake in CG by selling 44,900 shares or 12.75% in the most recent quarter. The Hedge Fund company now holds 307,200 shares of CG which is valued at $5,007,360. The Carlyle Group LP makes up approx 0.05% of Nn Investment Partners Holdings N.v.’s portfolio.
The Carlyle Group LP opened for trading at $16.9 and hit $16.94 on the upside on Monday, eventually ending the session at $16.87, with a gain of 0.18% or 0.03 points. The heightened volatility saw the trading volume jump to 8,31,098 shares. Company has a market cap of $5,470 M.
On the company’s financial health, The Carlyle Group LP reported $0.35 EPS for the quarter, beating the analyst consensus estimate by $ 0.05 according to the earnings call on Jul 27, 2016. Analyst had a consensus of $0.30. The company had revenue of $533.00 million for the quarter, compared to analysts expectations of $501.00 million. The company’s revenue was down -19.6 % compared to the same quarter last year.During the same quarter in the previous year, the company posted $0.55 EPS.
The Carlyle Group L.P. is a diversified multi-product global alternative asset management firm. The Company advises on an array of investment funds and other investment vehicles that invests across a range of industries geographies asset classes and investment strategies and seeks to deliver returns for its fund investors. The Company operates in four segments: Private Equity Global Market Strategies Real Assets and Investment Solutions. The Corporate Private Equity segment advises its buyout and growth capital funds. The Global Market Strategies segment advises a group of active funds. The Real Assets segment advises its 28 active carry funds focused on real estate infrastructure and energy and natural resources. The Investment Solutions segment provides investment opportunities and resources for its investors and clients.