GCM Grosvenor is a global alternative asset management firm with over $57 billion in assets under management in absolute return strategies, private equity, infrastructure, real estate and multi-asset class solutions. It is one of the largest, most diversified independent alternative asset management firms worldwide.
Since 1971, the Firm has specialized in creating and managing portfolios of alternative investments on behalf of its clients, which include institutional and high net worth investors. The Firm is headquartered in Chicago, with offices in New York, Los Angeles, London, Tokyo, Hong Kong and Seoul.
For more information, visit gcmgrosvenor.com
Absolute Return Strategies Platform
GCM Grosvenor manages over $23 billion in absolute return strategies and has been investing in these strategies since 1971. Our scale and breadth of activity affords us a comprehensive lens on the market and a discerning view of investment opportunities. The Absolute Return Strategies team, comprised of 60 investment professionals, invests in more than 170 funds covering credit, equities, relative value, macro, commodities, and multi-strategy investments. We partner with clients to develop customized portfolios seeking to meet specific client investment objectives, we construct innovative multi-client portfolios for those who desire turn-key solutions, and provide advisory services that include full investment, operational, and infrastructure support.
Assets under management data as of June 30, 2020. Employee data as of July 1, 2020. Actively covered data as of January 1, 2020; updated semi-annually. Includes investments by longer-duration credit programs managed by the Absolute Return Strategies team.