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Condensed Consolidated Statements of Operations - USD ($)
3 Months Ended
Mar. 31, 2023
Mar. 31, 2022
Revenues    
Investment income $ 172,500,000 $ 1,029,800,000
Interest and other income 44,000,000.0 25,800,000
Interest and other income of Consolidated Funds 121,900,000 61,700,000
Total revenues 859,000,000.0 1,581,800,000
Compensation and benefits    
Cash-based compensation and benefits 260,200,000 254,300,000
Equity-based compensation 54,400,000 39,700,000
Performance allocations and incentive fee related compensation 105,700,000 370,700,000
Total compensation and benefits 420,300,000 664,700,000
General, administrative and other expenses 159,200,000 106,300,000
Interest 29,700,000 27,800,000
Interest and other expenses of Consolidated Funds 93,700,000 42,800,000
Other non-operating expenses 100,000 300,000
Total expenses 703,000,000.0 841,900,000
Other income    
Net investment income of Consolidated Funds 3,600,000 2,800,000
Income before provision for income taxes 159,600,000 742,700,000
Provision for income taxes 34,300,000 147,900,000
Net income 125,300,000 594,800,000
Net income attributable to non-controlling interests in consolidated entities 24,600,000 23,200,000
Net income attributable to common shares $ 100,700,000 $ 571,600,000
Net income attributable to The Carlyle Group Inc. per common share (see Note 12)    
Basic (in dollars per share) $ 0.28 $ 1.60
Diluted (in dollars per share) $ 0.28 $ 1.57
Weighted-average common shares    
Basic (in shares) 362,944,260 357,574,838
Diluted (in shares) 365,357,833 363,010,282
Fund management fees    
Revenues    
Fund management fees and incentive fees $ 500,800,000 $ 450,500,000
Incentive fees    
Revenues    
Fund management fees and incentive fees 19,800,000 14,000,000.0
Performance allocations    
Revenues    
Investment income 160,800,000 710,200,000
Principal investment income    
Revenues    
Investment income $ 11,700,000 $ 319,600,000