Stock MarketROI
Closed
OWL

OWL- Blue Owl Capital Inc.

Financial Services · Asset Management

Price?
$10.43-1.23%
1Y Change?
-
P/E?
86.92
Last Dividend?
$0.23
Div Yield?
6.68%

Price & Performance

Performance

Analysis & Verdict

Analyst Ratings

Buy

Wall Street consensus from 17 analysts

12-Month Price Target

$12.74

+22.1% upside
Low $9.50High $20.00
Current $10.43 Avg target $12.74

Based on analyst estimates; price targets are opinions, not guarantees.

Fair Value Estimates

Current price: $10.43

Graham Number

√(22.5 × EPS × Book Value)

$2.81

-73.1% downside

Benjamin Graham's intrinsic value formula. Assumes a fair stock trades at no more than 22.5× the product of EPS and book value per share.

Bazin Ceiling Price

Avg. Annual DPS (5Y) ÷ 6%

$8.82

-15.5% downside

Décio Bazin's dividend-based ceiling. The max price you should pay so that dividends alone deliver at least 6% annual yield on your cost basis.

These are simplified estimates. Not financial advice.

Buy & Hold Checklist

Quality criteria for long-term holding

7/10

70% score

Pays dividends

5Y hist.

5+ years of dividend history

Dividend consistency (5Y+)

5 yrs

Uninterrupted dividend payments for at least 5 years

ROE above 10%

5.7%

Return on equity - measures how efficiently capital is used

Positive profit margin

2.7%

Net profit margin must be positive - company earns more than it spends

Revenue growth (annual)

+7.1%

Annual revenue must be growing compared to the prior year

Earnings growth (annual)

-14.0%

Annual earnings must be growing compared to the prior year

Debt/Equity below 2×

77.39×

Low financial leverage reduces risk of distress

Current ratio above 1

1.98×

Short-term assets must cover short-term liabilities

Daily liquidity above $5M

$209M/day

High trading volume ensures easy entry and exit

Dividend yield above 0%

6.68%

Stock must distribute income to shareholders

Financials

Revenue & Results

Key Statistics

Market Cap$16.35B
P/E Ratio86.92
Forward P/E10.56
P/B Ratio-
PEG Ratio0.17

Earnings

Next Earnings

Oct 29, 2026

44

days

EPS (TTM)

$0.12

P/E (TTM)

86.9

Fwd P/E

10.6

SEC Filings & Reported Financials

Earnings History

SEC EDGAR · official filings

SEC filings

SEC Filings

Official EDGAR documents

All filings

Insider Transactions

SEC Form 4 · officers, directors & 10% owners

Dividends & Income

Dividends

Current DY

6.68%

5Y Avg Annual

$0.6400

Last Payment

$0.2300

Ex-Date

08/13/2026

Annual dividends paid per share

2022
2026
Ex-DatePaymentAmountEst. DY
Latest08/13/2026
08/27/2026$0.23008.82%
05/13/2026
05/27/2026$0.23008.82%
02/20/2026
03/06/2026$0.22508.63%
11/10/2025
11/24/2025$0.22508.63%
08/14/2025
08/28/2025$0.22508.63%
05/14/2025
05/28/2025$0.22508.63%
02/19/2025
03/05/2025$0.18006.90%
11/08/2024
11/22/2024$0.18006.90%

Magic Number

Shares needed to self-fund your next purchase

$10.43

Price

÷

$0.2300

Last div. (quarterly)

=

46

shares

Own 46 OWL shares ($479.78) and each quarterly dividend pays for 1 new share - the snowball runs on its own.

Investment target

$479.78

New shares / year

+4 shares

Dividend Calculator

6.81% yield

Estimate OWL dividend income at the current rate.

$

Per year

$680.73

Per month

$56.73

958.8 shares at $0.71/share a year. Estimate only - dividends can be cut or raised.

Tools & Simulators

OWL vs Peers, Indexes & Commodities

?

Click a card below to plot it on the chart

Loading history…

If you had invested
$
you would have:

Parameters

$
$
%

Final value

$426,404.61

Total invested

$130,000.00

Total interest

$296,404.61

Balance over time

Final balanceInvested
Invested - 30.5%Interest earned - 69.5%

Period breakdown

PeriodBalanceInvestedInterest
Start$10,000.00$10,000.00$0.00
Year 1$17,270.27$16,000.00$1,270.27
Year 2$25,267.56$22,000.00$3,267.56
Year 3$34,064.59$28,000.00$6,064.59
Year 4$43,741.32$34,000.00$9,741.32
Year 5$54,385.72$40,000.00$14,385.72
Year 6$66,094.55$46,000.00$20,094.55
Year 7$78,974.28$52,000.00$26,974.28
Year 8$93,141.97$58,000.00$35,141.97
Year 9$108,726.44$64,000.00$44,726.44
Year 10$125,869.35$70,000.00$55,869.35
Year 11$144,726.56$76,000.00$68,726.56
Year 12$165,469.48$82,000.00$83,469.48
Year 13$188,286.70$88,000.00$100,286.70
Year 14$213,385.63$94,000.00$119,385.63
Year 15$240,994.47$100,000.00$140,994.47
Year 16$271,364.18$106,000.00$165,364.18
Year 17$304,770.87$112,000.00$192,770.87
Year 18$341,518.22$118,000.00$223,518.22
Year 19$381,940.31$124,000.00$257,940.31
Year 20$426,404.61$130,000.00$296,404.61

What is compound interest?

Compound interest means that the interest you earn in one period is added to your principal, so in the next period you earn interest on a larger base. This creates exponential growth: the longer your time horizon, the more dramatic the effect.

Which rate should I use?

The S&P 500 has historically returned ~10%/year before inflation over long periods - use this for an all-equity US index fund scenario. A balanced growth portfolio (stocks + bonds) is closer to 7%. High-yield savings accounts (HYSA) are currently paying around 4-5% with FDIC insurance and zero market risk. Bonds historically return ~4% annualized.

Formula used

FV = PV × (1+r)^n + PMT × ((1+r)^n − 1) / rwhere r is the monthly rate, n is the number of months, PV is the initial investment, and PMT is the monthly contribution. Annual rates are converted to monthly viar = (1 + annual%)^(1/12) − 1.

For educational purposes only. Not financial advice. Past returns do not guarantee future results.

Discussion

Sign in to join the discussionSign in

Loading…

Discover

Related Assets

Financial Services

View OWLoptions chain (calls, puts & IV)

Related Articles

About Blue Owl Capital Inc.

Blue Owl Capital Inc. operates as an alternative asset manager in the United States. It offers permanent capital base solutions that enables it to offer holistic framework of capital solutions to middle market companies, large alternative asset managers, and corporate real estate owners and tenants. The company also provides private financing solutions, such as direct lending products comprising diversified, technology, first lien, and opportunistic lending to middle-market companies; alternative credit; investment grade credit; liquid credit; and other credit solutions. In addition, the company offers GP strategic capital products, which offers capital solutions, including GP minority stakes, GP debt financing, and professional sports minority stakes; and real estate products that focuses on acquiring triple net lease real estate by investment grade or creditworthy tenants, as well as real estate debt finance through net lease and real estate credit. It offers its solutions through permanent capital vehicles and long-dated private funds. Blue Owl Capital Inc. is headquartered in New York, New York.

Sector

Financial Services

Industry

Asset Management

Location

New York, United States

Employees

1,380

Listed on NYSE

Stock Market ROI Pro

All features, zero ads- web & app

Unlock every feature, ad-free, across our website and iOS app.

Go Pro →

Blue Owl Capital Inc. (OWL) stock trades at $10.43, down 1.23% on the day. With a market capitalization of $16.35 billion, OWL is a large-cap financial services stock. It trades at a price-to-earnings (P/E) ratio of 86.9, a forward P/E of 10.6 and earnings per share (EPS) of $0.12. Over the most recent period the company reported 7% year-over-year revenue growth and a net profit margin of 2.7%. Below you'll find OWL's full fundamentals, fair-value estimates, dividend history, earnings and our buy, hold or avoid verdict for 2026.

OWL - Frequently Asked Questions

Is Blue Owl Capital Inc. (OWL) a good stock to buy in 2026?

Blue Owl Capital Inc. (OWL) shows risks such as a rich P/E of 87× and high leverage (debt/equity of 77.4). Whether OWL is a good buy in 2026 depends on your time horizon and risk tolerance - review the full bull case, bear case and fair-value estimates above. This is informational analysis, not financial advice.

What is OWL's stock price today?

Blue Owl Capital Inc. (OWL) trades at $10.43, down 1.23% on the session. Prices on this page update throughout the trading day.

Does OWL pay a dividend?

Yes. Blue Owl Capital Inc. pays an annual dividend of $0.71 per share, a dividend yield of 6.68%. The most recent ex-dividend date was September 30, 2026. Its payout ratio is about 754% of earnings.

Is OWL overvalued?

With a P/E ratio of 86.9×, OWL trades at a premium valuation for the financial services sector. Its PEG ratio is 0.17 (below 1, which can signal growth at a reasonable price). See the Fair Value Estimates section above for Graham Number and dividend-based price targets.

What is OWL's market cap?

Blue Owl Capital Inc. (OWL) has a market capitalization of $16.35 billion, classifying it as a large-cap stock in the Financial Services sector.

Disclaimer: This page - including any buy/hold/avoid view, fair value or price estimate - is generated from market data for informational and educational purposes only and does not constitute financial, investment or trading advice. Data may be delayed or inaccurate. Always do your own research and consult a licensed financial advisor before making any investment decision.