GCM Grosvenor (NASDAQ: GCMGW) is a global alternative asset management firm that provides investment solutions across a broad range of private and public market strategies. The company specializes in customized separate accounts, co-investment and direct investments, fund of funds, and secondary market solutions. Its offerings span multiple asset classes, including private equity, infrastructure, real estate, credit, hedge funds, and multi‐manager portfolios, serving institutional investors, sovereign wealth funds, pensions, endowments, and family offices.
Founded in 1971 and headquartered in Chicago, GCM Grosvenor has built a presence in key financial centers across North America, Europe and the Asia-Pacific region. Through its global platform, the firm leverages local market expertise and research capabilities to source, evaluate and execute opportunities on behalf of its clients. Its investment approach combines quantitative analysis, due diligence and active portfolio management to navigate market cycles and deliver tailored risk-adjusted returns.
Over its history, GCM Grosvenor has focused on aligning its interests with those of its investors by typically taking meaningful co-investment positions alongside its clients. The firm’s senior leadership team is composed of investment professionals and industry specialists who oversee strategy development, portfolio construction and risk management. In September 2021, GCM Grosvenor began trading publicly on the Nasdaq under the ticker GCMGW, marking a milestone in its growth and enhancing its ability to engage with a broader base of investors.
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