CCID vs CG

Carlyle Credit Income Fund 7.37 vs The Carlyle Group Inc. — Valuation Comparison 2026

By CirclFi Research Team · Updated 2026-06-03 · Data from SEC EDGAR, FRED & GDELT

Quick Summary — CG scores higher on quality with 7.5/10 vs CCID's 1.6/10. CCID trades at $25.12 while CG trades at $44.49. Both analyzed daily using SEC EDGAR data across 13 institutional models.

CCID

Asset Management
Carlyle Credit Income Fund 7.37
Quality
1.6
out of 10
Value Trap
Price
$25.12
Last close
Models
1/13
Active
VS

CG

Asset Management
The Carlyle Group Inc.
Quality
7.5
out of 10
Value Trap
50
WARN
Price
$44.49
Last close
Models
11/13
Active
CCID
1 models active
Quality 1.6/10 — below average
CG
2 models active
Value Trap 50/100 — caution

CCID vs CG — Fair Value Comparison

CCID
$0$10$20$30 Price$25.12 Markov DDM$19.39 (-23.6%)
CG
$0$17$35$52 Price$44.49 Bayesian …$4.54 (-91.0%) Earnings …$15.49 (-65.2%)
Market Price Model 1 Model 2

Model-by-Model Comparison

ModelType CCID Fair ValueCCID Upside CG Fair ValueCG Upside
Bayesian DCF Intrinsic $4.54 -91.0%
Earnings Power Value Intrinsic $15.49 -65.2%
EROIC Spread Intrinsic $•••.•• ••.•% $•••.•• ••.•%
First Chicago Scenario $•••.•• ••.•% $•••.•• ••.•%
Markov DDM Intrinsic $19.39 -23.6%
ML-RIV Intrinsic $•••.•• ••.•% $•••.•• ••.•%
PWERM Option-Based $•••.•• ••.•% $•••.•• ••.•%
Regime Cross-Sectional Relative $•••.•• ••.•% $•••.•• ••.•%
Sentiment SOTP Hybrid $•••.•• ••.•% $•••.•• ••.•%
CUCE Ensemble Ensemble $•••.•• ••.•% $•••.•• ••.•%
FTNN Topology Relative $•••.•• ••.•% $•••.•• ••.•%
RCMH-DCF Intrinsic $•••.•• ••.•% $•••.•• ••.•%

CCID vs CG — Which Stock Is More Undervalued in 2026?

CG scores higher with a 7.5/10 quality rating vs CCID's 1.6/10. Both stocks are analyzed daily using SEC EDGAR filings across 13 independent models.

How Do CCID and CG Valuations Compare?

CCID currently trades at $25.12 while CG trades at $44.49. CirclFi's engine processes SEC EDGAR 10-K and 10-Q filings, FRED macroeconomic data, and GDELT news sentiment to generate independent fair value estimates daily for both companies.

Quality of Company: CCID vs CG

CCID earns a Quality of Company score of 1.6/10 compared to CG's 7.5/10. This is a significant quality gap — the higher-scoring company demonstrates materially stronger fundamentals across profitability, growth consistency, and balance sheet health. The QOC score synthesizes 32 signals spanning profitability margins, revenue growth, free cash flow, capital allocation, and leverage.

Value Trap Risk: CCID vs CG

Review the value trap analysis for both CCID and CG to assess whether apparent undervaluation reflects genuine opportunity or hidden fundamental risk.

Both in Asset Management

Both CCID and CG operate in Asset Management, which has 448 stocks tracked by CirclFi. Same-industry comparisons provide the most direct insight into relative valuation since both companies face similar regulatory environments, market dynamics, and competitive pressures. Both companies are analyzed with models spanning intrinsic (Bayesian DCF, EPV), scenario-based (First Chicago), regime-switching (Markov DDM, RCMH-DCF), machine learning (ML-RIV, FTNN), and ensemble methods (CUCE).

2 of 13 MODELS UNLOCKED

You’re comparing 2 models. 11 more have an opinion.

11 hidden models compare CCID vs CG differently — including EROIC Spread, First Chicago, Markov DDM, PWERM, and 7 more. Some may disagree with the 2 you see above.

11 additional fair values per stock Full confidence breakdown Live terminal — 5,000+ stocks

Bloomberg Terminal: ~$2,000/mo  ·  FactSet: ~$1,000/mo  ·  CirclFi: $0.90/day

See All 13 Models — $0.90/day

We don’t predict prices. We show you what 13 independent mathematical frameworks say a stock is worth — and let you decide.

See all Asset Management stocks →