
- Price
- $11.57
- Day
- +3.67%
- Mkt Cap
- $18.09B
- 52W Range
- $7.95 – $20.58
- Volume
- 29.25M
- Beta
- 1.20

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Investors still should wait for confirmation that selling has truly exhausted itself and that buyers are beginning to take control.
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NEW YORK, Aug. 4, 2026 /PRNewswire/ -- Blue Owl Capital Inc. ("Blue Owl") (NYSE: OWL), a leading alternative asset manager, announced today the final close of its inaugural European net lease fund, Blue Owl Real Estate European Net Lease Fund ("OREF Europe") with €1.6 billion of total capital commitments. OREF Europe exceeded the original target of €1.0 billion and its previous hard cap of €1.5 billion.
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Blue Owl Capital Inc. continues to demonstrate robust growth with AUM reaching $319 billion, up 12% YoY. The asset manager has lined up $380 million in new fees from capital not deployed yet, setting up strong growth for the next year. The firm continues to grow real assets at a fast clip due to a shift into digital infrastructure assets several years back.
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Blue Owl Capital???s shares rally 6.4% as Q2 earnings meet estimates, revenues climb 7% and AUM rise 12% on strong fundraising.
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Blue Owl (OWL) delivered a robust Q2, dispelling fears over private credit redemptions and tech exposure, and reaffirming its Strong Buy rating with an $18 price target. OWL reported net inflows across all major segments, 12% y/y AUM growth to $319B, and distributable earnings of $0.22/share, supporting a 9.2% yield. Management projects accelerating earnings growth into 2027, with $31.1B AUM not yet paying fees poised to drive double-digit distributable earnings growth.
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Blue Owl Capital NYSE: OWL reported second-quarter 2026 fee-related earnings of $0.25 per share and distributable earnings of $0.22 per share, with distributable earnings rising 9% from the prior-year quarter. The alternative asset manager declared a quarterly dividend of $0.23 per share, payable Aug. 27 to shareholders of record on Aug. 13.
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Blue Owl Capital is downgraded to Hold due to deteriorating dividend coverage and NAV pressure. OBDC's recent dividend cut restores coverage to 100% but offers no margin of safety and risks further reductions. Portfolio quality remains solid, with stable non-accruals and improved internal performance ratings, especially in software exposure.
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Blue Owl Capital Inc. (OWL) Q2 2026 Earnings Call Transcript
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The headline numbers for Blue Owl Capital (OWL) give insight into how the company performed in the quarter ended June 2026, but it may be worthwhile to compare some of its key metrics to Wall Street estimates and the year-ago actuals.
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NEW YORK, July 30, 2026 /PRNewswire/ -- Blue Owl Capital Inc. (NYSE:OWL) ("Blue Owl") today reported its financial results for the second quarter ended June 30, 2026. "Blue Owl's ongoing growth in the second quarter reflects the strong investment performance we continue to generate across strategies and the diversification of our business across platforms and geographies.
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Blue Owl Capital Inc. (OWL) came out with quarterly earnings of $0.22 per share, in line with the Zacks Consensus Estimate . This compares to earnings of $0.21 per share a year ago.
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The firm's real assets segment eclipsed credit in fundraising during this year's second quarter, while investor withdrawals from lending vehicles eased.
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