OWL Blue Owl Capital PE ratio, current and historical analysis

?
Relative Growth: Rel. Growth: 61
Relative Strength: Rel. Strength: 12
Relative Valuation: Rel. Valuation: 32
Relative Profitability: Rel. Profitability: 53

As of Jul 2, 2026, the Blue Owl Capital stock's PE ratio is 69.54. This takes into account the latest EPS of $0.13 and stock price of $9.04. The PE ratio marks a decrease of 51% from its last 4 quarters average of 141.6.

OWL PE ratio history

How has OWL's PE ratio performed in the past

The PE ratio of Blue Owl Capital has averaged 157.14 over the last four years. The current P/E ratio of 69.54 is 56% lower than the historical average. Looking back at the last four years, OWL's PE ratio peaked in the Mar 2023 quarter at 369.33, when the price was $11.08 and the EPS was $0.03. The lowest point was in the Mar 2026 quarter, when it reached 70.23 with a price of $9.13 and an EPS of $0.13.

Today
69.54
Average
157.14
Median
129.67
Minimum
70.23
Maximum
369.33

Blue Owl Capital PE ratio by year

Maximum annual increase: 7.05% in 2025

Maximum annual decrease: -6.34% in 2024

Year PE ratio PE change Price EPS
2025 124.5 7.05% $14.94 $0.12
2024 116.3 -6.34% $23.26 $0.2
2023 124.17 N/A $14.9 $0.12
2022 N/A N/A $10.6 -$0.02
2021 N/A N/A $14.91 -$1.27
2020 N/A N/A $11.38 -$0.82
2019 N/A N/A N/A N/A
2018 N/A N/A N/A N/A

Blue Owl Capital PE ratio by quarter (TTM)

Year PE ratio PE change Price EPS
Mar 2026 70.23 -43.59% $9.13 $0.13
Dec 2025 124.5 -41.17% $14.94 $0.12
Sep 2025 211.63 32.2% $16.93 $0.08
Jun 2025 160.08 19.82% $19.21 $0.12
Mar 2025 133.6 14.88% $20.04 $0.15
Dec 2024 116.3 20.14% $23.26 $0.2
Sep 2024 96.8 -1.84% $19.36 $0.2
Jun 2024 98.61 -21.57% $17.75 $0.18
Mar 2024 125.73 1.26% $18.86 $0.15
Dec 2023 124.17 -13.77% $14.9 $0.12
Sep 2023 144 -25.84% $12.96 $0.09
Jun 2023 194.17 -47.43% $11.65 $0.06
Mar 2023 369.33 N/A $11.08 $0.03
Dec 2022 N/A N/A $10.6 -$0.02
Sep 2022 230.75 N/A $9.23 $0.04

OWL Price vs fair value

How does OWL's price compare to its estimated fair value based on its growth

OWL average PE ratio chart

What is the average PE ratio of OWL for the past years

Currently, OWL's PE ratio is lower than its 3 and 5-year averages.

3-year avg
127.79
5-year avg
157.14
10-year avg
N/A
15-year avg
N/A

PE comparison

Blue Owl Capital's price to earnings (P/E) of 69.54 is higher than the Financial Services sector and the industry average. In comparison with the Financial Services sector average of 13.27, Blue Owl Capital's price to earnings (P/E) is 424% higher.

OWL PE vs peers

What is OWL's PE ratio compared to its peers

In comparison to its peer stock PAX, OWL's PE ratio is higher.

Stock name PE ratio Market cap
PAX Patria Investments Ltd 20.56 $1.77B
OWL Blue Owl Capital Inc 69.54 $14.09B

Frequently asked questions

What is Blue Owl Capital's PE ratio?

The price to earnings ratio for OWL stock is 69.54 as of Jul 2, 2026.

What is the 3-year average PE ratio for Blue Owl Capital (OWL)?

The 3-year average price to earnings ratio for OWL stock is 127.79.

What is the 5-year average PE ratio for Blue Owl Capital (OWL)?

The 5-year average price to earnings ratio for OWL stock is 157.14.

What is the highest PE ratio for OWL?

The highest quarterly PE ratio in the last four years has been 369.33 and it was in the Mar 2023 quarter.

How does the current PE ratio for OWL compare to its historical average?

OWL's price to earnings ratio is currently 56% below its 4-year historical average.

How is OWL's PE ratio calculated (Blue Owl Capital PE ratio formula)?

To determine the P/E ratio, divide the latest stock price by the TTM earnings per share (EPS). As of today (Jul 2, 2026), Blue Owl Capital's share price is $9.04. The company's earnings per share for the trailing twelve months (TTM) ending Mar 2026 is $0.13. Therefore, Blue Owl Capital's PE ratio for today is 69.54. PE RATIO(69.54) = STOCK PRICE($9.04) / TTM EPS($0.13)

All PE ratio stats are based on quarterly TTM periods, unless otherwise specified.