Valuation: Blue Owl Capital Inc.

Capitalization 6.6B 5.64B 5.18B 4.89B 9.02B 619B 9.22B 60.81B 23.92B 297B 24.76B 24.25B 1,053B P/E ratio 2026 *
21.3x
P/E ratio 2027 * 14.2x
Enterprise value 9.68B 8.27B 7.6B 7.17B 13.23B 908B 13.52B 89.18B 35.08B 435B 36.31B 35.56B 1,544B EV / Sales 2026 *
3.33x
EV / Sales 2027 * 2.72x
Free-Float
38.04%
Yield 2026 *
9.17%
Yield 2027 * 9.78%
1 day-1.71%
1 week+8.18%
Current month+8.65%
1 month+8.77%
3 months-37.06%
6 months-41.82%
Current year-33.60%
1 week 9.59
Extreme 9.59
10.33
1 month 7.95
Extreme 7.95
10.33
Current year 7.95
Extreme 7.95
16.16
1 year 7.95
Extreme 7.95
21.08
3 years 7.95
Extreme 7.95
26.72
5 years 7.95
Extreme 7.95
26.72
10 years 7.95
Extreme 7.95
26.72
Manager TitleAgeSince
Chief Executive Officer 57 11/05/2023
President 59 11/05/2023
President 51 30/04/2021
Director TitleAgeSince
Chairman 63 30/04/2021
Director/Board Member 57 30/04/2021
Director/Board Member 51 30/04/2021
Change 5d. change 1-year change 3-years change Capi.($)
+0.51%+8.18%-39.88%-8.91% 6.57B
+0.96%+2.69%+7.91%+45.03% 101B
+1.41%+5.47%+8.14%+101.68% 93.12B
+1.01%+7.49%-11.69%+39.78% 27.03B
-1.56%+0.18%+47.44%+69.63% 18.81B
-0.77%-0.45%+19.31%+31.04% 18.74B
+0.92%+4.01%+58.44%+3.00% 14.19B
+0.74%+2.52%-4.02%+4.95% 13.61B
-0.99%+8.65%+24.06%+212.60% 12.79B
-1.03%-4.26%-2.30%+85.91% 7.8B
Average -0.26%+4.31%+10.74%+58.47% 31.33B
Weighted average by Cap. +0.51%+3.84%+10.51%+65.14%

Financials

2026 *2027 *
Net sales 2.9B 2.48B 2.28B 2.15B 3.97B 272B 4.06B 26.74B 10.52B 130B 10.89B 10.66B 463B 3.33B 2.84B 2.61B 2.46B 4.55B 312B 4.64B 30.63B 12.05B 149B 12.47B 12.21B 530B
Net income 692M 591M 543M 513M 946M 64.9B 967M 6.38B 2.51B 31.09B 2.6B 2.54B 110B 1.22B 1.05B 961M 907M 1.67B 115B 1.71B 11.28B 4.44B 54.99B 4.59B 4.5B 195B
Net Debt 3.08B 2.63B 2.42B 2.28B 4.21B 289B 4.3B 28.37B 11.16B 138B 11.55B 11.31B 491B 2.44B 2.09B 1.92B 1.81B 3.34B 229B 3.41B 22.48B 8.84B 110B 9.15B 8.96B 389B
Logo Blue Owl Capital Inc.
Blue Owl Capital Inc. is an alternative asset management company. It deploys private capital across Credit, GP Strategic Capital and Real Estate platforms on behalf of institutional and private wealth clients. Its product platforms include Credit, GP Strategic Capital and Real Estate. Its Credit products offer private financing solutions to middle-market companies seeking capital solutions. Its Credit products are offered through a mix of business development companies, long-dated private funds, managed accounts and collateralized loan obligations. It is focused on acquiring equity stakes in or providing debt financing to private capital firms. Its Real Estate products are focused on acquiring triple net lease real estate occupied by investment grade or creditworthy tenants. Its Real Estate products are offered through Permanent Capital vehicles, including its real estate investment trusts, and long-dated private funds. It offers asset management services to the insurance industry.
Employees
1,365
Date Price Change Volume
22/04/26 9.920 $ +0.51% 21,824,123
21/04/26 9.870 $ -0.20% 21,792,574
20/04/26 9.890 $ +0.41% 15,056,424
17/04/26 9.850 $ +2.07% 33,933,687
16/04/26 9.650 $ -2.72% 31,329,313
Trader
Investor
Global
Quality
ESG MSCI
CCC
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
15
Last Close Price
9.920USD
Average target price
13.40USD
Spread / Average Target
+35.08%

Quarterly revenue - Rate of surprise