Blue Owl Capital Inc. (OWL) — Dilution Risk Analysis

Current Snapshot

Blue Owl Capital Inc. (OWL) has a DilutionWatch score of 20/10 and is classified as LOW risk. The score date in the source data is 2026-10-03T03:45:52.527348.

This page is assembled from sourced share-structure, market-data, SEC-filing, and DilutionWatch fields. Missing values are left blank rather than estimated.

Share Structure

Shares Outstanding
6,875,000 Source
Public Float
640,512,011 Source
Float as % of Outstanding
9316.5%

Dilution Risk Score

Score: 20/10 Source (as of 2026-10-03T03:45:52.527348)

Recent SEC Filings

Recent filing forms in the source payload: 4 10.

FormFiledAccession
4 2026-03-19 0001193125-26-116062
4 2026-03-02 0001193125-26-086185
4 2026-02-18 0001193125-26-057512
4 2026-02-18 0001193125-26-057514
4 2026-02-18 0001193125-26-057519
4 2026-02-13 0001193125-26-051516
4 2026-02-13 0001193125-26-051519
4 2026-02-13 0001193125-26-051540
4 2026-02-13 0001193125-26-051543
4 2026-02-13 0001193125-26-051565

Dilution Risk Drivers

DriverStored ValueSource
Cash runway 999 months Source
Three-year share count growth -49.48% Source

DilutionWatch Analysis

Risk Level
LOW (Score: 20/10) Source
Cash Runway
999 months Source
Share Count Growth (3-Year)
-49.48% Source

What This Page Does Not Estimate

DilutionWatch does not infer missing cash runway, authorized share count, ATM capacity, shelf capacity, or share-growth values on this page. A blank field means the current source payload did not provide a usable value with provenance.

Scores and classifications are shown only when supplied by the DilutionWatch data layer. SEC filing rows link to their source accession when a filing URL is available.