MondegarAI
Carlyle Group Inc. (CG, CGABL)

Q1 2025 · 13F-HR

Carlyle Group Inc. (CG, CGABL)holdings as filed

Filed 2025-05-09 · accession 0000898432-25-000328

$3.80B
Reported value
23
Positions
2025-03-31
Period end
View analyzed profile →PRO

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
85423L103SAROStandardaero Inc$3.58B94.1%134,352,830CommonSHARED
834203309SLNOSoleno Therapeutics Inc$61.4M1.62%860,980CommonSHARED
950915108WRDWeride Inc$46.5M1.22%3,423,023CommonSHARED
71722W107PHATPhathom Pharmaceuticals Inc$21.9M0.58%3,496,808CommonSHARED
732908108PONYPony Ai Inc$20.8M0.55%2,362,447CommonSHARED
46187W107INVHInvitation Homes Inc$16.6M0.44%477,500CommonSHARED
374275105GETYGetty Images Holdings Inc$10.8M0.28%6,234,252CommonSHARED
229663109CUBECubeSmart$9.4M0.25%220,500CommonSHARED
78413P101SMHISeacor Marine Hldgs Inc$6.9M0.18%1,355,761CommonSHARED
83193E102EMSmart Sh Global Ltd$4.9M0.13%4,362,929CommonSHARED
471871202JSPRJasper Therapeutics Inc$4.6M0.12%1,066,189CommonSHARED
30205M309XCURExicure Inc$3.6M0.09%281,636CommonSHARED
20460L104SPWRComplete Solaria Inc$3.1M0.08%1,984,508CommonSHARED
349853101FWRDUSDForward Air Corp$2.7M0.07%107,214CommonSHARED
43157M102Hillevax Inc$2.6M0.07%1,838,486CommonSHARED
007002108TORCEURAdicet Bio Inc$2.3M0.06%2,948,718CommonSHARED
746964105QTTBQ32 Bio Inc$1.8M0.05%1,102,741CommonSHARED
50101L106DNUTKrispy Kreme Inc$1.7M0.04%340,748CommonSHARED
68277Q105OKUROnkure Therapeutics Inc$1.2M0.03%269,895CommonSHARED
85209E109Spruce Biosciences Inc$840,2800.02%2,896,518CommonSHARED
62878D100NABLN-able Inc$664,5600.02%93,732CommonSHARED
565394103CARTMaplebear Inc$218,5570.01%5,479CommonSHARED
67022C205Nucana Plc$116,0000.00%133,333CommonSHARED

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.