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Carlyle Group and Its Mixed 3Q17 Results

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Part 9
Carlyle Group and Its Mixed 3Q17 Results PART 9 OF 9

What Analysts Suggest for Carlyle Group after 3Q17 Results

Ratings after 3Q17

The Carlyle Group (CG) is being tracked by 12 analysts in November 2017. Five of them have rated the stock a “hold,” and four have given it a “strong buy.” The remaining three analysts have rated the stock a “buy.”

What Analysts Suggest for Carlyle Group after 3Q17 Results

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Ratings for other asset managers

Och-Ziff Capital Management Group (OZM) is being analyzed by seven analysts in November 2017. All seven of them have rated the stock a “hold.” In October 2017, OZM was covered by seven analysts who all rated the stock a “hold.”

In November 2017, Carlyle’s competitor (XLF) PNC Financial Services Group (PNC) is being covered by 29 analysts. Eight of them have given it a “strong buy” rating, and four have given it a “buy.” The remaining 17 have recommended a “hold.” PNC was covered by 29 analysts in October 2017. Six of them rated the stock a “buy,” and 15 rated it a “hold.” The remaining eight analysts gave it a “strong buy” rating.

In November 2017, Legg Mason (LM) is being covered by 11 analysts. Two of them have given the stock a “hold” rating, and four have given it a “strong buy.” Three analysts have rated it a “strong sell,” and two have recommended a “buy.” In October 2017, LM was analyzed by 11 analysts. Two of them gave it a “buy” rating, and two recommended a “strong sell.” Three analysts gave it a “hold” rating, and four rated it a “strong buy.”

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