OWL

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Blue Owl Capital Inc. logo

Blue Owl Capital Inc.

OWL🇺🇸
0.00014011
3.53%

As of May 30, 2026 at 24:05 UTC

Chart

About Blue Owl Capital Inc.

Sector
INVESTMENT ADVICE
Headquarters
NEW YORK
Employees (FY)
1,365
Listed
2021-05-20
FIGI
BBG00XV417R8

Blue Owl Capital is one of the world's largest alternative-asset managers, $307.4 billion in total managed assets, including $187.7 billion in fee-earning AUM, at the end of 2025. The company has three core business segments: global private equity, (with $69.1 billion in total AUM and $39.5 billion in fee-earning AUM), private credit ($157.7 billion/$99.5 billion), and real estate/real assets ($80.6 billion/$48.7 billion). The firm primarily serves institutional investors (68% of AUM) and high-net-worth individuals (32%). Blue Owl operates through more than 20 offices in the Americas, and the EMEA and Asia-Pacific regions.

Market Statistics

Market Capâ‚¿ 91.47K
24h Volumeâ‚¿ 3.56K
24h Change3.53%
7d Change8.93%
1m Change1.95%

Trading Metrics

Trading Volume (BTC)â‚¿ 3.56K

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Latest News

5 articles
GlobeNewswire Inc. favicon
GlobeNewswire Inc.www.globenewswire.com

Girard Sharp LLP is investigating potential securities claims on behalf of former investors in Blue Owl Capital Corp. III and Blue Owl Technology Finance Corp. II who received shares in their respective merger counterparts. Blue Owl Capital's shares have declined over 21% since January 2025, while Blue Owl Technology's shares have fallen over 30% since their June 2025 NYSE listing. The investigation focuses on potential undisclosed issues with the funds' investment portfolios.

Related:
The Motley Fool favicon
The Motley Foolwww.fool.com

JPMorgan Chase maintains $50 billion in private credit exposure despite concerns in the sector, with competitors BlackRock and Blue Owl limiting withdrawals from private credit funds. CEO Jamie Dimon argues the exposure is manageable given JPMorgan's $821 billion market cap and diversified portfolio, noting the $1.8 trillion private credit market is smaller than mortgage and investment-grade bond markets. While BDC investors should be cautious, JPMorgan's scale and diversification make the exposure less risky.

GlobeNewswire Inc. favicon
GlobeNewswire Inc.www.globenewswire.com

Girard Sharp LLP is investigating potential securities claims on behalf of former investors of Blue Owl Capital Corp. III and Blue Owl Technology Finance Corp. II who received shares in merger transactions. Blue Owl Capital's shares have declined over 21% since January 2025, while Blue Owl Technology's shares have fallen over 30% since its June 2025 NYSE listing. The investigation focuses on potential undisclosed issues with the funds' investment portfolios.

Related:
The Motley Fool favicon
The Motley Foolwww.fool.com

BlackRock's $26 billion HPS Corporate Lending Fund has capped withdrawals at 5%, signaling investor concerns about rising private credit risks. While the move reflects growing anxiety in the sector, BlackRock's diversified $13.9 trillion asset base and continued inflows to private credit suggest the company is unlikely to face major long-term impacts, though the situation warrants monitoring.

Related:
Benzinga favicon
Benzingawww.benzinga.com

Ken Griffin, founder of Citadel, warns that wealthy investors may not fully understand the risks of private credit investments, particularly the liquidity mismatch between investor expectations and actual fund duration. With the $3.5 trillion private credit industry facing mounting redemption pressures, major firms like Blue Owl Capital and BlackRock have already limited withdrawals from flagship funds. Despite emerging stress signals, capital raising continues as firms launch new vehicles targeting wealth management clients.

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