Blue Owl Capital (OWL) Asset Utilization Ratio (2021 - 2025)
Historic Asset Utilization Ratio for Blue Owl Capital (OWL) over the last 5 years, with Q3 2025 value amounting to 0.22.
- Blue Owl Capital's Asset Utilization Ratio rose 494.69% to 0.22 in Q3 2025 from the same period last year, while for Sep 2025 it was 0.22, marking a year-over-year increase of 494.69%. This contributed to the annual value of 0.23 for FY2024, which is 1851.22% up from last year.
- Latest data reveals that Blue Owl Capital reported Asset Utilization Ratio of 0.22 as of Q3 2025, which was up 494.69% from 0.21 recorded in Q2 2025.
- In the past 5 years, Blue Owl Capital's Asset Utilization Ratio registered a high of 1.55 during Q1 2021, and its lowest value of 0.09 during Q3 2021.
- Over the past 5 years, Blue Owl Capital's median Asset Utilization Ratio value was 0.19 (recorded in 2023), while the average stood at 0.24.
- The largest annual percentage gain for Blue Owl Capital's Asset Utilization Ratio in the last 5 years was 6383.83% (2022), contrasted with its biggest fall of 9231.75% (2022).
- Over the past 5 years, Blue Owl Capital's Asset Utilization Ratio (Quarter) stood at 0.1 in 2021, then surged by 47.75% to 0.15 in 2022, then grew by 27.11% to 0.2 in 2023, then grew by 7.23% to 0.21 in 2024, then grew by 5.11% to 0.22 in 2025.
- Its last three reported values are 0.22 in Q3 2025, 0.21 for Q2 2025, and 0.21 during Q1 2025.