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GCM Grosvenor Inc (GCMG)

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Upturn Advisory Summary
01/09/2026: GCMG (2-star) has a low Upturn Star Rating. Not recommended to BUY.
1 Year Target Price $15.5
1 Year Target Price $15.5
| 2 | Strong Buy |
| 1 | Buy |
| 2 | Hold |
| 0 | Sell |
| 0 | Strong Sell |
Analysis of Past Performance
Type Stock | Historic Profit 57.11% | Avg. Invested days 81 | Today’s Advisory Consider higher Upturn Star rating |
Upturn Star Rating ![]() | Upturn Advisory Performance | Stock Returns Performance |
Key Highlights
Company Size Mid-Cap Stock | Market Capitalization 2.17B USD | Price to earnings Ratio 36.25 | 1Y Target Price 15.5 |
Price to earnings Ratio 36.25 | 1Y Target Price 15.5 | ||
Volume (30-day avg) 5 | Beta 0.81 | 52 Weeks Range 10.12 - 13.96 | Updated Date 01/9/2026 |
52 Weeks Range 10.12 - 13.96 | Updated Date 01/9/2026 | ||
Dividends yield (FY) 3.87% | Basic EPS (TTM) 0.32 |
Analyzing Revenue: Products, Geography and Growth
Revenue by Products
Product revenue - Year on Year
Earnings Date
Report Date - | When - | Estimate - | Actual - |
Profitability
Profit Margin 6.26% | Operating Margin (TTM) 33.26% |
Management Effectiveness
Return on Assets (TTM) 12.13% | Return on Equity (TTM) 98.96% |
Valuation
Trailing PE 36.25 | Forward PE 12.47 | Enterprise Value 1025599036 | Price to Sales(TTM) 3.99 |
Enterprise Value 1025599036 | Price to Sales(TTM) 3.99 | ||
Enterprise Value to Revenue 1.84 | Enterprise Value to EBITDA 6.62 | Shares Outstanding 186880000 | Shares Floating 45906490 |
Shares Outstanding 186880000 | Shares Floating 45906490 | ||
Percent Insiders 2.49 | Percent Institutions 106.07 |
Upturn AI SWOT
GCM Grosvenor Inc

Company Overview
History and Background
GCM Grosvenor Inc. was founded in 1971 and has evolved into a prominent alternative asset manager. It began as Grosvenor Funds, primarily managing public equities and fixed income. The firm significantly shifted its focus towards alternative investments in the late 1990s, establishing itself as a pioneer in areas like hedge fund solutions and private equity. Key milestones include its rebranding to GCM Grosvenor, its growth in assets under management, and its initial public offering (IPO) in 2021.
Core Business Areas
- Diversified Strategies: Offers a broad range of alternative investment solutions across various asset classes, including hedge funds, private equity, and real assets, tailored to institutional investors.
- Multi-Strategy Solutions: Provides diversified investment portfolios that combine multiple alternative strategies to achieve specific risk-return objectives for clients.
- Custom Solutions: Develops bespoke investment programs and solutions for clients with unique asset allocation needs and preferences.
- Liquid Strategies: Manages and offers investment solutions in more liquid alternative asset classes, providing greater flexibility and potentially shorter investment horizons.
Leadership and Structure
GCM Grosvenor is led by a management team with extensive experience in the alternative investment industry. The organizational structure is designed to support its diverse investment strategies and client relationships, with dedicated teams for investment research, portfolio management, client relations, and operations. Michael S. "Mike" Kendall is the current Chairman and Chief Executive Officer.
Top Products and Market Share
Key Offerings
- Hedge Fund Solutions: Provides access to a curated selection of hedge funds, offering diversification and alpha generation opportunities for institutional investors. The market for hedge fund solutions is highly competitive, with major players like Blackstone, Apollo Global Management, and KKR offering similar services. Specific market share data for this segment is not publicly detailed by GCM Grosvenor.
- Private Equity Solutions: Offers investment programs in private equity, including buyout, growth equity, and venture capital strategies. Competitors include firms like Carlyle Group, Warburg Pincus, and Advent International. Precise market share data is proprietary.
- Real Assets Solutions: Includes investments in infrastructure, real estate, and natural resources, aiming for long-term capital appreciation and inflation hedging. Key competitors in this space include Brookfield Asset Management and Macquarie Group.
- Emerging Manager Programs: Focuses on identifying and investing in promising emerging managers within the alternative asset space, providing them with capital and support. This is a specialized niche with a growing number of dedicated allocators and funds.
Market Dynamics
Industry Overview
The alternative asset management industry is a rapidly growing sector characterized by increasing institutional investor demand for diversification and uncorrelated returns. Key trends include the continued shift from traditional asset classes to alternatives, the rise of private markets, and the growing importance of ESG (Environmental, Social, and Governance) factors. Regulatory changes and a competitive landscape are also significant dynamics.
Positioning
GCM Grosvenor is positioned as a leading diversified alternative asset manager with a long-standing track record and deep expertise across multiple strategies. Its competitive advantages include its extensive global network, a robust due diligence process, strong client relationships, and its ability to offer customized solutions. The firm's scale and experience in navigating complex markets are also key differentiators.
Total Addressable Market (TAM)
The total addressable market for alternative investments is substantial and continues to grow, estimated to be in the trillions of dollars globally. Institutional investors, including pension funds, endowments, sovereign wealth funds, and insurance companies, are increasingly allocating capital to alternatives. GCM Grosvenor is well-positioned to capture a portion of this TAM due to its comprehensive suite of products and its established reputation among sophisticated investors.
Upturn SWOT Analysis
Strengths
- Diversified Investment Strategies
- Strong Brand Reputation and Long History
- Extensive Global Network and Relationships
- Experienced Management Team
- Significant Assets Under Management (AUM)
Weaknesses
- Dependence on Market Conditions for AUM Growth
- Potential for Fee Compression in a Competitive Market
- Complexity of Alternative Investment Products
- Reliance on Institutional Investor Flows
Opportunities
- Continued Growth in Institutional Demand for Alternatives
- Expansion into New Geographic Markets
- Development of New Investment Strategies (e.g., impact investing)
- Leveraging Technology for Enhanced Operations and Client Service
- Potential for Strategic Acquisitions
Threats
- Economic Downturns and Market Volatility
- Increased Regulatory Scrutiny and Compliance Costs
- Intensified Competition from Other Alternative Asset Managers
- Changes in Investor Preferences and Risk Appetites
- Talent Retention Challenges
Competitors and Market Share
Key Competitors
- Blackstone Inc. (BX)
- KKR & Co. Inc. (KKR)
- Apollo Global Management, Inc. (APO)
- Carlyle Group Inc. (CG)
- Brookfield Asset Management Ltd. (BAM)
Competitive Landscape
GCM Grosvenor competes in a highly competitive landscape dominated by larger, well-established alternative asset managers. While its diversified offerings and customized solutions are strengths, its relatively smaller scale compared to behemoths like Blackstone and Brookfield presents a challenge. GCM Grosvenor differentiates itself through its agility, deep expertise in specific niche strategies, and strong client-centric approach, aiming to capture market share by catering to institutional investors seeking tailored solutions.
Growth Trajectory and Initiatives
Historical Growth: GCM Grosvenor has demonstrated a consistent growth trajectory over the past decade, primarily fueled by the expansion of its Assets Under Management (AUM) across its diversified alternative investment strategies. This growth has been driven by both organic inflows and strategic initiatives. The firm's ability to attract and retain institutional capital has been a key factor.
Future Projections: Future growth projections for GCM Grosvenor are generally positive, supported by the ongoing secular trend of increasing allocations to alternative assets by institutional investors globally. Analysts anticipate continued AUM growth, driven by a broadening investor base and the introduction of new products. Expansion into new markets and evolving investor demands for ESG-integrated solutions are also expected to contribute to future growth.
Recent Initiatives: Expansion of its insurance solutions business.,Focus on developing and offering ESG-integrated investment strategies.,Continued investment in technology and data analytics to enhance operational efficiency and client service.,Strategic partnerships and potential bolt-on acquisitions to expand capabilities or market reach.
Summary
GCM Grosvenor Inc. is a well-established diversified alternative asset manager with a strong history and a broad range of solutions. Its growth is driven by the increasing demand for alternatives and its ability to attract institutional capital. While facing intense competition and market volatility, the company's strategic initiatives and experienced leadership position it favorably for continued expansion. Key areas to watch include AUM growth, fee generation, and the successful integration of new strategies.
Similar Stocks
Sources and Disclaimers
Data Sources:
- GCM Grosvenor Inc. Investor Relations
- Financial News Outlets (e.g., Bloomberg, Wall Street Journal)
- Financial Data Providers (e.g., Refinitiv, S&P Capital IQ)
- Industry Research Reports
Disclaimers:
This information is for informational purposes only and does not constitute investment advice. Financial data and market share estimates are subject to change and may be based on publicly available information that may not be fully comprehensive or up-to-date. Investors should conduct their own due diligence before making any investment decisions.
AI Summarization is directionally correct and might not be accurate.
Summarized information shown could be a few years old and not current.
Fundamental Rating based on AI could be based on old data.
AI-generated summaries may have inaccuracies (hallucinations). Please verify the information before taking action.
About GCM Grosvenor Inc
Exchange NASDAQ | Headquaters Chicago, IL, United States | ||
IPO Launch date 2020-11-18 | CEO - | ||
Sector Financial Services | Industry Asset Management | Full time employees 549 | Website https://www.gcmgrosvenor.com |
Full time employees 549 | Website https://www.gcmgrosvenor.com | ||
GCM Grosvenor Inc. is global alternative asset management solutions provider. The firm primarily provides its services to pooled investment vehicles. It also provides its services to investment companies, high net worth individuals, pension and profit sharing plans and state or municipal government entities. The firm invests in equity and alternative investment markets of the United States and internationally. The firm invests in multi-strategy, credit-focused, equity-focused, macro-focused, commodity-focused, and other specialty portfolios. It focuses in hedge fund asset classes, private equity, real estate, and/or infrastructure, credit and absolute return strategies. It also focuses in primary fund investments, secondary fund investments, and co-investments with a focus on buyout, distressed debt, mezzanine, venture capital/growth equity investments. The firm seeks to do seed investments in small, emerging, and diverse private equity firms. The firm seeks to make regionally-focused investments in middle-market buyout. It prefers to invest in aerospace and defense, advanced electronics, information technology, biosciences, and advanced materials. It focuses on Ohio and the Midwest region. The firm employs fundamental and quantitative analysis. GCM Grosvenor Inc. was founded in 1971 and is based in Chicago, Illinois with additional offices in North America, Asia, Australia and Europe. It operates as a subsidiary of Grosvenor Capital Management Holdings LLLP.

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