Discontinued — last reported Q4 '25

Geographic · Equity securities

Europe — Equity securities

The Carlyle Group Europe — Equity securities increased by 2083.0% to $231.40M in Q4 2025 compared to the prior quarter.

Analysis

StatementSegment
CategoryMarket Position
SignalContext dependent
VolatilityModerate
First reportedQ4 2023
Last reportedQ4 2025Feb 27, 2026

How to read this metric

An increase suggests higher regional equity exposure, while a decrease indicates capital rotation or divestment.

Detailed definition

Represents the total fair value of equity security holdings within the European geographic segment. This metric tracks t...

Peer comparison

Similar to equity investment balances reported by other global alternative asset managers with regional operations.

Metric ID: cg_segment_europe_equity_securities

Historical Data

3 periods
 Q4 '23Q4 '24Q4 '25
Value$0.00$10.60M$231.40M
QoQ Change>999%
YoY Change>999%
Range$0.00$231.40M
Avg YoY Growth>999%
Median YoY Growth>999%

Frequently Asked Questions

What is The Carlyle Group's europe — equity securities?
The Carlyle Group (CG) reported europe — equity securities of $231.40M in Q4 2025.
What does europe — equity securities mean?
The total value of equity investments held by the firm in Europe.