GCM Grosvenor is a global alternative asset management firm that specializes in providing customized and scalable investment solutions to institutional investors, family offices and high-net-worth individuals. The firm offers a comprehensive suite of strategies across private equity, infrastructure, real estate, hedge funds and credit, combining direct and co-investment approaches with multi-manager and fund-of-funds vehicles. Through its multi-manager platform, GCM Grosvenor leverages deep industry relationships and rigorous due diligence to identify and allocate capital to top-tier managers around the world.
In addition to its traditional fund-of-funds products, the company operates a direct investments business focused on co-investments alongside leading private equity sponsors. Its infrastructure and real assets team targets energy, transportation and sustainable resources, while its credit strategies span private debt, opportunistic credit and structured credit investments. Across all offerings, GCM Grosvenor emphasizes risk-adjusted returns, portfolio diversification and long-term capital preservation.
Founded in 1971 as Grosvenor Capital Management, the firm has built over five decades of experience in alternative asset allocation and manager research. In mid-2022, GCM Grosvenor completed a business combination with a special purpose acquisition company and began trading on the Nasdaq. Headquartered in Chicago, the firm maintains offices in North America, Europe, Asia and Latin America, serving clients across more than 30 countries.
GCM Grosvenor’s leadership team comprises seasoned investment professionals and industry veterans with extensive backgrounds in alternative investments, portfolio management and client service. The firm’s governance and risk-management frameworks support its mission to deliver high-quality investment opportunities, transparency and alignment of interests for its global investor base.
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