BNY vs CG
As of Sep 20, 2026, Bank of New York Mellon (BNY) scores 8.1/10 and Carlyle Group (CG) 3.0/10 on AlphaStocks' five-model composite, so BNY scores higher. BNY trades 3% above its model fair value; CG trades 4% below its model fair value.
BNY
Bank of New York Mellon Corp
8.1
Strong Buy
$153.81
CG
Carlyle Group Inc.
3.0
Weak
$40.10
BNY vs CG: Which is the Better Investment?
Bank of New York Mellon Corp (BNY) scores 8.1/10 while Carlyle Group Inc. (CG) scores 3.0/10 on AlphaStocks' composite model. Bank of New York Mellon Corp has the higher composite rating of Strong Buy. On a P/E basis, Carlyle Group Inc. trades at 18.4x, making it the more attractively priced of the two. Carlyle Group Inc. trades further below its estimated fair value.
This comparison is algorithmically generated and is not financial advice.
| Metric | BNY | CG |
|---|---|---|
| Scores & Fundamentals | ||
| Composite Score | 8.1/10▲ | 3.0/10 |
| Rating | Strong Buy▲ | Weak |
| Price | $153.81 | $40.10 |
| P/E Ratio | 19.9 | 18.4▲ |
| ROE | 12.6%▲ | 11.6% |
| Market Cap | $107B | $14B |
| Fair Value | $148.97 | $41.90 |
| Dividend Yield | 1.5% | 3.0%▲ |
| Sector Rank | #4 of 265▲ | #244 of 265 |
| Model Verdicts | ||
| Piotroski | Strong▲ | Neutral |
| Buffett | Strong▲ | Neutral |
| Graham | Neutral▲ | Caution |
| Lynch | Neutral | Neutral |
| Greenblatt | Caution | Caution |
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BNY vs CG: Which Stock Scores Higher?
Bank of New York Mellon Corp (BNY) and Carlyle Group Inc. (CG) are both in the Financials sector. BNY currently leads with a composite score of 8.1/10 (Strong Buy) compared to CG's 3.0/10 (Weak).
The AlphaStocks composite score evaluates each stock across four dimensions: Quality (business strength measured by Piotroski F-Score and Buffett quality criteria), Value (discount to intrinsic worth using Graham, Lynch, and Greenblatt models), Momentum (6-month price trend), and Timing (a confirmation signal that requires both value and momentum to align). A higher composite score indicates stronger overall fundamentals combined with favorable market conditions.
This comparison uses the same scoring framework for both companies, ensuring an apples-to-apples evaluation. Scores are recalculated daily after market close using data from SEC filings and market prices. Read the full methodology to understand how each model contributes to the composite score.
Scores are algorithm-generated research tools, not investment recommendations. Past performance does not guarantee future results. Always do your own due diligence. Full disclaimer