US Stock MarketDetailed Quotes

OWL Blue Owl Capital

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  • 18.920
  • +0.360+1.94%
Trading Mar 11 11:57 ET
11.51BMarket Cap94.60P/E (TTM)

Blue Owl Capital Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
46.01%152.09M
46.01%152.09M
51.12%115.9M
956.97%436.75M
310.83%155.76M
53.00%104.16M
53.00%104.16M
94.00%76.7M
-15.20%41.32M
-79.61%37.91M
-Cash and cash equivalents
46.01%152.09M
46.01%152.09M
51.12%115.9M
956.97%436.75M
310.83%155.76M
53.00%104.16M
53.00%104.16M
94.00%76.7M
-15.20%41.32M
-79.61%37.91M
Receivables
50.23%575.36M
50.23%575.36M
53.32%556.26M
29.50%448.13M
26.16%395.34M
3.55%382.99M
3.55%382.99M
-1.43%362.81M
22.77%346.05M
48.11%313.37M
-Accounts receivable
68.01%26.63M
68.01%26.63M
85.93%30.74M
22.81%12.14M
-17.22%11.39M
32.83%15.85M
32.83%15.85M
--16.53M
--9.88M
--13.75M
-Related party accounts receivable
49.46%548.73M
49.46%548.73M
51.76%525.52M
29.69%435.99M
28.15%383.95M
2.57%367.14M
2.57%367.14M
-5.92%346.27M
19.27%336.17M
41.61%299.62M
Prepaid assets
146.37%17.77M
146.37%17.77M
130.50%20.49M
95.72%13.54M
20.83%9.08M
18.25%7.21M
18.25%7.21M
35.41%8.89M
-2.11%6.92M
74.22%7.51M
Total current assets
50.74%745.22M
50.74%745.22M
54.47%692.65M
127.86%898.42M
56.12%560.18M
11.33%494.36M
11.33%494.36M
8.27%448.39M
16.77%394.29M
-10.71%358.8M
Non current assets
Net PPE
23.11%512.84M
23.11%512.84M
27.39%471.19M
28.11%459.92M
36.58%430.38M
40.92%416.56M
40.92%416.56M
32.65%369.86M
199.51%359M
180.48%315.12M
-Gross PPE
26.19%544.43M
26.19%544.43M
30.35%497.82M
30.82%481.61M
39.28%448.06M
43.69%431.43M
43.69%431.43M
35.50%381.92M
200.13%368.15M
179.95%321.69M
-Accumulated depreciation
-112.43%-31.59M
-112.43%-31.59M
-120.93%-26.64M
-137.06%-21.69M
-169.23%-17.68M
-220.20%-14.87M
-220.20%-14.87M
-297.36%-12.06M
-226.94%-9.15M
-156.76%-6.57M
Goodwill and other intangible assets
20.02%7.6B
20.02%7.6B
20.12%7.68B
-0.32%6.4B
-4.00%6.28B
-4.18%6.33B
-4.18%6.33B
-4.23%6.39B
-4.71%6.42B
-2.13%6.54B
-Goodwill
11.25%4.7B
11.25%4.7B
11.35%4.7B
2.22%4.3B
0.45%4.22B
0.45%4.22B
0.45%4.22B
0.47%4.22B
0.00%4.21B
1.76%4.21B
-Other intangible assets
37.57%2.9B
37.57%2.9B
37.20%2.97B
-5.12%2.11B
-12.02%2.05B
-12.28%2.11B
-12.28%2.11B
-12.23%2.17B
-12.51%2.22B
-8.45%2.33B
Investments and advances
232.65%432.76M
232.65%432.76M
270.05%442.54M
304.62%417.09M
59.01%143.74M
106.24%130.1M
106.24%130.1M
-40.57%119.59M
129.90%103.08M
452.18%90.4M
Long-term notes receivables
-74.70%54.19M
-74.70%54.19M
-94.14%13.69M
-94.58%14.04M
-16.44%214.04M
-15.73%214.17M
-15.73%214.17M
--233.55M
--258.84M
--256.14M
Related parties assets
49.46%548.73M
49.46%548.73M
51.76%525.52M
29.69%435.99M
28.15%383.95M
2.57%367.14M
2.57%367.14M
-5.92%346.27M
19.27%336.17M
41.61%299.62M
Non current deferred assets
59.29%1.25B
59.29%1.25B
36.30%1.04B
37.86%1.05B
24.72%930.11M
3.23%781.69M
3.23%781.69M
4.30%764.84M
11.19%759.77M
14.93%745.76M
Other non current assets
-10.40%400.13M
-10.40%400.13M
-7.19%410.43M
-7.27%420.15M
-6.12%429.07M
-4.66%446.58M
-4.66%446.58M
-9.67%442.21M
-7.89%453.11M
-8.47%457.03M
Total non current assets
23.12%10.25B
23.12%10.25B
20.86%10.06B
4.84%8.76B
0.25%8.43B
-1.49%8.32B
-1.49%8.32B
-0.66%8.32B
3.42%8.36B
5.59%8.4B
Total assets
24.66%10.99B
24.66%10.99B
22.58%10.75B
10.38%9.66B
2.54%8.99B
-0.85%8.82B
-0.85%8.82B
-0.24%8.77B
3.96%8.75B
4.81%8.76B
Liabilities
Current liabilities
Current debt and capital lease obligation
-36.59%130M
-36.59%130M
-66.67%90M
----
70.00%595M
-2.38%205M
-2.38%205M
141.07%270M
--280M
--350M
-Current debt
-36.59%130M
-36.59%130M
-66.67%90M
----
70.00%595M
-2.38%205M
-2.38%205M
141.07%270M
--280M
--350M
Current liabilities
-13.91%295.95M
-13.91%295.95M
56.87%637.46M
-9.52%374.35M
78.48%903.73M
2.14%343.75M
2.14%343.75M
56.77%406.35M
357.40%413.74M
489.18%506.36M
Non current liabilities
Long term debt and capital lease obligation
58.64%2.85B
58.64%2.85B
58.12%2.81B
57.89%2.81B
8.08%1.81B
8.53%1.8B
8.53%1.8B
7.76%1.78B
18.27%1.78B
11.55%1.68B
-Long term debt
66.54%2.46B
66.54%2.46B
66.50%2.46B
66.68%2.46B
4.35%1.48B
4.34%1.48B
4.34%1.48B
4.38%1.48B
4.37%1.47B
0.21%1.42B
-Long term capital lease obligation
22.16%390.35M
22.16%390.35M
17.37%356.49M
15.05%348.24M
28.34%334.59M
33.22%319.53M
33.22%319.53M
27.88%303.72M
236.78%302.67M
189.24%260.7M
Non current deferred liabilities
7.11%36.87M
7.11%36.87M
13.01%40.63M
-6.55%33.7M
-17.02%33.17M
-17.64%34.42M
-17.64%34.42M
-13.09%35.95M
-27.66%36.06M
-9.91%39.98M
Employee benefits
14.38%424.02M
14.38%424.02M
----
----
----
19.73%370.73M
19.73%370.73M
17.84%289.64M
32.46%217.19M
56.43%144.8M
Derivative product liabilities
--0
--0
235.12%40.55M
240.80%34.25M
255.24%37.3M
164.33%22.6M
164.33%22.6M
62.42%12.1M
-66.85%10.05M
-79.43%10.5M
Other non current liabilities
62.56%1.58B
62.56%1.58B
44.22%1.34B
28.92%1.19B
12.26%1.03B
-2.08%972.42M
-2.08%972.42M
-2.38%929.34M
3.55%925.67M
9.08%915.73M
Total non current liabilities
53.02%4.89B
53.02%4.89B
39.02%4.24B
37.13%4.07B
4.41%2.91B
6.26%3.2B
6.26%3.2B
5.13%3.05B
12.32%2.97B
10.16%2.79B
Total liabilities
46.52%5.19B
46.52%5.19B
41.12%4.87B
31.42%4.44B
15.80%3.81B
5.85%3.54B
5.85%3.54B
9.37%3.45B
23.75%3.38B
25.90%3.29B
Shareholders'equity
Share capital
6.38%150K
6.38%150K
4.93%149K
3.57%145K
1.42%143K
0.71%141K
0.71%141K
1.43%142K
0.00%140K
0.71%141K
-common stock
6.38%150K
6.38%150K
4.93%149K
3.57%145K
1.42%143K
0.71%141K
0.71%141K
1.43%142K
0.00%140K
0.71%141K
Retained earnings
-29.31%-1.14B
-29.31%-1.14B
-25.93%-1.05B
-24.63%-982.74M
-24.91%-922.99M
-28.08%-882.88M
-28.08%-882.88M
-31.15%-837.13M
-33.26%-788.53M
-34.40%-738.95M
Paid-in capital
35.60%3.27B
35.60%3.27B
28.54%3.06B
15.66%2.73B
10.33%2.57B
5.10%2.41B
5.10%2.41B
3.75%2.38B
6.57%2.36B
7.49%2.33B
Total stockholders'equity
39.23%2.13B
39.23%2.13B
29.96%2B
11.16%1.75B
3.55%1.65B
-4.76%1.53B
-4.76%1.53B
-6.82%1.54B
-3.16%1.57B
-1.66%1.59B
Noncontrolling interests
-1.90%3.68B
-1.90%3.68B
2.62%3.88B
-8.65%3.47B
-9.13%3.53B
-4.93%3.75B
-4.93%3.75B
-5.12%3.78B
-6.50%3.8B
-6.02%3.88B
Total equity
10.01%5.81B
10.01%5.81B
10.54%5.88B
-2.86%5.22B
-5.44%5.17B
-4.88%5.28B
-4.88%5.28B
-5.62%5.32B
-5.55%5.37B
-4.80%5.47B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
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Unqualified Opinion
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(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 46.01%152.09M46.01%152.09M51.12%115.9M956.97%436.75M310.83%155.76M53.00%104.16M53.00%104.16M94.00%76.7M-15.20%41.32M-79.61%37.91M
-Cash and cash equivalents 46.01%152.09M46.01%152.09M51.12%115.9M956.97%436.75M310.83%155.76M53.00%104.16M53.00%104.16M94.00%76.7M-15.20%41.32M-79.61%37.91M
Receivables 50.23%575.36M50.23%575.36M53.32%556.26M29.50%448.13M26.16%395.34M3.55%382.99M3.55%382.99M-1.43%362.81M22.77%346.05M48.11%313.37M
-Accounts receivable 68.01%26.63M68.01%26.63M85.93%30.74M22.81%12.14M-17.22%11.39M32.83%15.85M32.83%15.85M--16.53M--9.88M--13.75M
-Related party accounts receivable 49.46%548.73M49.46%548.73M51.76%525.52M29.69%435.99M28.15%383.95M2.57%367.14M2.57%367.14M-5.92%346.27M19.27%336.17M41.61%299.62M
Prepaid assets 146.37%17.77M146.37%17.77M130.50%20.49M95.72%13.54M20.83%9.08M18.25%7.21M18.25%7.21M35.41%8.89M-2.11%6.92M74.22%7.51M
Total current assets 50.74%745.22M50.74%745.22M54.47%692.65M127.86%898.42M56.12%560.18M11.33%494.36M11.33%494.36M8.27%448.39M16.77%394.29M-10.71%358.8M
Non current assets
Net PPE 23.11%512.84M23.11%512.84M27.39%471.19M28.11%459.92M36.58%430.38M40.92%416.56M40.92%416.56M32.65%369.86M199.51%359M180.48%315.12M
-Gross PPE 26.19%544.43M26.19%544.43M30.35%497.82M30.82%481.61M39.28%448.06M43.69%431.43M43.69%431.43M35.50%381.92M200.13%368.15M179.95%321.69M
-Accumulated depreciation -112.43%-31.59M-112.43%-31.59M-120.93%-26.64M-137.06%-21.69M-169.23%-17.68M-220.20%-14.87M-220.20%-14.87M-297.36%-12.06M-226.94%-9.15M-156.76%-6.57M
Goodwill and other intangible assets 20.02%7.6B20.02%7.6B20.12%7.68B-0.32%6.4B-4.00%6.28B-4.18%6.33B-4.18%6.33B-4.23%6.39B-4.71%6.42B-2.13%6.54B
-Goodwill 11.25%4.7B11.25%4.7B11.35%4.7B2.22%4.3B0.45%4.22B0.45%4.22B0.45%4.22B0.47%4.22B0.00%4.21B1.76%4.21B
-Other intangible assets 37.57%2.9B37.57%2.9B37.20%2.97B-5.12%2.11B-12.02%2.05B-12.28%2.11B-12.28%2.11B-12.23%2.17B-12.51%2.22B-8.45%2.33B
Investments and advances 232.65%432.76M232.65%432.76M270.05%442.54M304.62%417.09M59.01%143.74M106.24%130.1M106.24%130.1M-40.57%119.59M129.90%103.08M452.18%90.4M
Long-term notes receivables -74.70%54.19M-74.70%54.19M-94.14%13.69M-94.58%14.04M-16.44%214.04M-15.73%214.17M-15.73%214.17M--233.55M--258.84M--256.14M
Related parties assets 49.46%548.73M49.46%548.73M51.76%525.52M29.69%435.99M28.15%383.95M2.57%367.14M2.57%367.14M-5.92%346.27M19.27%336.17M41.61%299.62M
Non current deferred assets 59.29%1.25B59.29%1.25B36.30%1.04B37.86%1.05B24.72%930.11M3.23%781.69M3.23%781.69M4.30%764.84M11.19%759.77M14.93%745.76M
Other non current assets -10.40%400.13M-10.40%400.13M-7.19%410.43M-7.27%420.15M-6.12%429.07M-4.66%446.58M-4.66%446.58M-9.67%442.21M-7.89%453.11M-8.47%457.03M
Total non current assets 23.12%10.25B23.12%10.25B20.86%10.06B4.84%8.76B0.25%8.43B-1.49%8.32B-1.49%8.32B-0.66%8.32B3.42%8.36B5.59%8.4B
Total assets 24.66%10.99B24.66%10.99B22.58%10.75B10.38%9.66B2.54%8.99B-0.85%8.82B-0.85%8.82B-0.24%8.77B3.96%8.75B4.81%8.76B
Liabilities
Current liabilities
Current debt and capital lease obligation -36.59%130M-36.59%130M-66.67%90M----70.00%595M-2.38%205M-2.38%205M141.07%270M--280M--350M
-Current debt -36.59%130M-36.59%130M-66.67%90M----70.00%595M-2.38%205M-2.38%205M141.07%270M--280M--350M
Current liabilities -13.91%295.95M-13.91%295.95M56.87%637.46M-9.52%374.35M78.48%903.73M2.14%343.75M2.14%343.75M56.77%406.35M357.40%413.74M489.18%506.36M
Non current liabilities
Long term debt and capital lease obligation 58.64%2.85B58.64%2.85B58.12%2.81B57.89%2.81B8.08%1.81B8.53%1.8B8.53%1.8B7.76%1.78B18.27%1.78B11.55%1.68B
-Long term debt 66.54%2.46B66.54%2.46B66.50%2.46B66.68%2.46B4.35%1.48B4.34%1.48B4.34%1.48B4.38%1.48B4.37%1.47B0.21%1.42B
-Long term capital lease obligation 22.16%390.35M22.16%390.35M17.37%356.49M15.05%348.24M28.34%334.59M33.22%319.53M33.22%319.53M27.88%303.72M236.78%302.67M189.24%260.7M
Non current deferred liabilities 7.11%36.87M7.11%36.87M13.01%40.63M-6.55%33.7M-17.02%33.17M-17.64%34.42M-17.64%34.42M-13.09%35.95M-27.66%36.06M-9.91%39.98M
Employee benefits 14.38%424.02M14.38%424.02M------------19.73%370.73M19.73%370.73M17.84%289.64M32.46%217.19M56.43%144.8M
Derivative product liabilities --0--0235.12%40.55M240.80%34.25M255.24%37.3M164.33%22.6M164.33%22.6M62.42%12.1M-66.85%10.05M-79.43%10.5M
Other non current liabilities 62.56%1.58B62.56%1.58B44.22%1.34B28.92%1.19B12.26%1.03B-2.08%972.42M-2.08%972.42M-2.38%929.34M3.55%925.67M9.08%915.73M
Total non current liabilities 53.02%4.89B53.02%4.89B39.02%4.24B37.13%4.07B4.41%2.91B6.26%3.2B6.26%3.2B5.13%3.05B12.32%2.97B10.16%2.79B
Total liabilities 46.52%5.19B46.52%5.19B41.12%4.87B31.42%4.44B15.80%3.81B5.85%3.54B5.85%3.54B9.37%3.45B23.75%3.38B25.90%3.29B
Shareholders'equity
Share capital 6.38%150K6.38%150K4.93%149K3.57%145K1.42%143K0.71%141K0.71%141K1.43%142K0.00%140K0.71%141K
-common stock 6.38%150K6.38%150K4.93%149K3.57%145K1.42%143K0.71%141K0.71%141K1.43%142K0.00%140K0.71%141K
Retained earnings -29.31%-1.14B-29.31%-1.14B-25.93%-1.05B-24.63%-982.74M-24.91%-922.99M-28.08%-882.88M-28.08%-882.88M-31.15%-837.13M-33.26%-788.53M-34.40%-738.95M
Paid-in capital 35.60%3.27B35.60%3.27B28.54%3.06B15.66%2.73B10.33%2.57B5.10%2.41B5.10%2.41B3.75%2.38B6.57%2.36B7.49%2.33B
Total stockholders'equity 39.23%2.13B39.23%2.13B29.96%2B11.16%1.75B3.55%1.65B-4.76%1.53B-4.76%1.53B-6.82%1.54B-3.16%1.57B-1.66%1.59B
Noncontrolling interests -1.90%3.68B-1.90%3.68B2.62%3.88B-8.65%3.47B-9.13%3.53B-4.93%3.75B-4.93%3.75B-5.12%3.78B-6.50%3.8B-6.02%3.88B
Total equity 10.01%5.81B10.01%5.81B10.54%5.88B-2.86%5.22B-5.44%5.17B-4.88%5.28B-4.88%5.28B-5.62%5.32B-5.55%5.37B-4.80%5.47B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------