Investor Type | Firm |
Industries | IT (& TMT) • FinTech (& Financials services) |
Investing | United States |
GCM Grosvenor is a global leader in alternative investments, managing over $80 billion in assets across a diverse range of strategies and asset classes to serve the interests of a wide spectrum of clients, including public and private pensions, sovereign entities, financial institutions, endowments, and high net worth individuals. Their investment strategies include Absolute Return Strategies, Private Equity, Credit, Infrastructure, Real Estate, and Strategic Investments. With more than 53 years in business, GCM Grosvenor is characterized by its commitment to client-centric solutions, operational excellence, and comprehensive investment research. They emphasize a 'Partner First' mentality, acknowledging the unique needs, diverse risk/reward profiles, and varying objectives of each client. Leveraging their large scale and strong industry connections, GCM Grosvenor provides preferential access to top-tier investment managers and strives to obtain favorable economic and structural terms for their clients. An advocate for responsible investing, the firm endeavors to generate positive, long-term impacts for stakeholders, while fostering diversity, equity, and inclusion within the organization and the broader investment community. Their approach to investing responsibly includes promoting strategies like the Infrastructure Advantage Strategy and initiatives that support small, emerging, and diverse managers as well as ESG considerations. Their 2023 Impact Report illustrates the company's dedication to investing with client objectives in mind and making a positive societal impact. They also host seminars and share insights through articles to highlight developments and opportunities in alternative investments. GCM Grosvenor is not associated with Grosvenor Group Limited, a UK-based company.