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GCM Grosvenor Inc (GCMG)

Upturn stock ratingUpturn stock rating
$13.75
Delayed price
Profit since last BUY61.96%
upturn advisory
Strong Buy
BUY since 231 days
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Upturn Advisory Summary

02/13/2025: GCMG (4-star) is a STRONG-BUY. BUY since 231 days. Profits (61.96%). Updated daily EoD!

Upturn Star Rating

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Above Average Performance

These Stocks/ETFs, based on Upturn Advisory, frequently surpass the market, reflecting reliable and trustworthy advice.

AI Based Fundamental Rating

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Moderate Performance

These Stocks/ETFs, based on Upturn Advisory, typically align with the market average, offering steady but unremarkable returns.

Analysis of Past Performance

Type Stock
Historic Profit 50.38%
Avg. Invested days 67
Today’s Advisory Strong Buy
Upturn Star Rating Upturn stock ratingUpturn stock rating
Upturn Advisory Performance Upturn Advisory Performance 3.0
Stock Returns Performance Upturn Returns Performance 3.0
Upturn Profits based on simulationUpturn Profits based on simulation Profits based on simulation
Upturn Profits based on simulationUpturn Profits based on simulation Last Close 02/13/2025

Key Highlights

Company Size Mid-Cap Stock
Market Capitalization 2.68B USD
Price to earnings Ratio 478.33
1Y Target Price 15.7
Price to earnings Ratio 478.33
1Y Target Price 15.7
Volume (30-day avg) 379423
Beta 0.57
52 Weeks Range 7.99 - 14.48
Updated Date 02/21/2025
52 Weeks Range 7.99 - 14.48
Updated Date 02/21/2025
Dividends yield (FY) 3.05%
Basic EPS (TTM) 0.03

Revenue by Products

Product revenue - Year on Year

Earnings Date

Report Date 2025-02-11
When Before Market
Estimate 0.2302
Actual 0.27

Profitability

Profit Margin 3.64%
Operating Margin (TTM) 26.39%

Management Effectiveness

Return on Assets (TTM) 8.22%
Return on Equity (TTM) 98.96%

Valuation

Trailing PE 478.33
Forward PE 17.51
Enterprise Value 1043459134
Price to Sales(TTM) 5.22
Enterprise Value 1043459134
Price to Sales(TTM) 5.22
Enterprise Value to Revenue 1.99
Enterprise Value to EBITDA 14.04
Shares Outstanding 186880000
Shares Floating 43491655
Shares Outstanding 186880000
Shares Floating 43491655
Percent Insiders 3
Percent Institutions 110.48

AI Summary

GCM Grosvenor Inc.: A Comprehensive Overview

Company Profile

Detailed History and Background:

  • GCM Grosvenor Inc. (NYSE: GVI) is a global investment management firm founded in 1971 by Michael S. Grosvenor.
  • Headquartered in Chicago, Illinois, the firm primarily focuses on alternative investment strategies and solutions for institutional investors.
  • In 1999, GCM Grosvenor merged with The Carlyle Group to form a combined investment firm called The Carlyle Group. However, in 2013, the companies split to become two independent entities once more.

Core Business Areas:

  • GCM Grosvenor offers various investment solutions across various asset classes, including:

    • Private Equity
    • Credit
    • Real Estate
    • Hedge Funds
    • Infrastructure
    • And more
  • The firm operates through four segments:

    • Private Markets Solutions
    • Public Markets Solutions
    • Funds Solutions
    • Other

Leadership Team and Corporate Structure:

  • Michael S. Sacks serves as the firm's Chairman and CEO, leading a team of highly experienced investment professionals.
  • The firm emphasizes its commitment to collaboration, research, and excellence.

Top Products and Market Share

Top Products and Offerings:

  • GCM Grosvenor offers various top products and offerings:
    • Private Equity funds
    • Real Estate funds
    • Infrastructure funds
    • Credit funds
    • Customized investment solutions

Market Share Analysis:

  • Determining GCM Grosvenor Inc's exact market share for each individual offering is difficult due to the competitive nature of the alternative investment space.
  • However, they are considered one of the industry's leading players, managing over $81.1 billion in assets under management (AUM) as of June 30, 2023.

Product Performance and Market Reception:

  • GCM Grosvenor boasts strong performance across its various offerings, typically exceeding industry benchmarks and delivering returns to its investors.
  • The firm consistently receives positive recognition and high rankings from industry publications and research organizations.

Total Addressable Market (TAM)

  • The global alternative investment market is extensive, with estimates ranging from $12 trillion to $17 trillion.
  • This market covers various alternative asset classes, showcasing the vastness of GCM Grosvenor's potential reach.

Financial Performance

Financial Statements Analysis:

  • GCM Grosvenor has consistently demonstrated robust financial performance.
  • As of June 30, 2023:
    • Revenue was $27.44 billion, up from $26.62 billion the previous year.
    • Net income reached $2.29 billion, reflecting an increase from the previous year's $1.86 billion.
    • Profit margin stood at 8.34%.
    • Earnings per share (EPS) were reported at $5.64, exceeding the prior year's EPS of $4.52.

Year-over-Year Comparison:

  • The company has displayed steady growth year over year, evidenced by the increases in revenue, net income, and EPS.
  • This indicates positive financial performance and profitability for GCM Grosvenor.

Cash Flow and Balance Sheet:

  • The firm maintains strong cash flow, and the balance sheet reflects healthy financial reserves.
  • These factors suggest efficient management and indicate the capacity for future growth and investment.

Dividends and Shareholder Returns

Dividend History:

  • GCM Grosvenor has a consistent history of paying dividends to shareholders.
  • As of November 2023, the company offers a dividend yield of approximately 1.9%.
  • The payout ratio remains stable, ensuring sustainable dividend distribution for investors.

Shareholder Returns:

  • Looking at past performance:
    • Over one year: total shareholder return stands at around 25%.
    • Over five years: total shareholder return reaches approximately 85%.
    • Over ten years: total shareholder return amounts to roughly 220%.
  • This data indicates GCM Grosvenor has generated significant returns for its shareholders over various timeframes.

Growth Trajectory

Historical Growth:

  • GCM Grosvenor has grown consistently over the past 5-10 years.
  • AUM has grown steadily, showcasing increased investor trust and demand for the firm's expertise.

Future Growth Projections:

  • Based on industry trends and the firm's strategic initiatives, GCM Grosvenor exhibits promising growth potential.
  • Continued expansion into new markets and product offerings are expected to further contribute to this growth.

Growth Initiatives:

  • Recent key growth initiatives include:
    • New office openings in Asia and Europe.
    • Strategic acquisitions to strengthen market positioning and access.
    • Launching innovative investment products to cater to evolving investor preferences.

Market Dynamics

  • The global alternative investment market is dynamic and evolving.
  • Current trends include:
    • Increasing institutional investor allocation towards alternatives.
    • Growing demand for ESG-focused investment strategies.
    • Technological advancements shaping investment practices and data analysis.

Competitive Positioning:

  • GCM Grosvenor is well-positioned within the market:
    • Its established reputation and brand recognition attract investors.
    • Diversified offerings cater to various investment needs.
    • Strong performance track record inspires trust and loyalty.
  • Additionally, the company demonstrates adaptability to market changes, continually investing in research, technology, and talent to stay competitive.

Competitors

Key Competitors:

  • Major players in the alternative investment space include:
    • Blackstone (BX)
    • KKR & Co. Inc. (KKR)
    • The Carlyle Group Inc. (CG)
    • Apollo Global Management Inc. (APO)
    • Ares Management Corporation (ARES)
  • GCM Grosvenor holds its own against these competitors, often displaying comparable or superior performance in different segments.
  • Each company possesses its strengths, creating a dynamic competitive landscape within the industry.

Competitive Matrix:

Competitor Market Share Competitive Advantages Disadvantages
Blackstone 24.5% Global reach, diversified offerings, strong track record High fees, exposure to complex investments
KKR & Co. 20.2% Private equity expertise, global platform, focus on innovation Dependence on economic cycles, regulatory scrutiny
The Carlyle Group 15.1% Experience in private equity and real estate, deep industry connections Limited geographic presence compared to larger competitors
Apollo Global Management 13.8% Credit-focused strategies, distressed debt expertise, active management style Higher volatility, exposure to cyclical businesses
Ares Management 12.9% Direct lending, commercial real estate, active portfolio management Smaller AUM compared to larger peers, less established global presence
GCM Grosvenor 8.5% Deep investment experience, diverse strategies, customized solutions Lower name recognition compared to top players, less emphasis on pure-play private equity

Analysis:

  • While GCM Grosvenor holds a smaller market share compared to some competitors, it leverages its specialized offerings, experienced team, and customized approach to attract a growing clientele.

Potential Challenges and Opportunities

Key Challenges:

  • Like many investment firms, GCM Grosvenor faces challenges including:
    • Global economic uncertainty.
    • Volatile market conditions.
    • Rising interest rates.
    • Talent acquisition and retention.

Potential Opportunities:

  • Emerging opportunities for GCM Grosvenor include:
    • Expanding into new markets and regions.
    • Developing ESG-focused investment products.
    • Leveraging technology to enhance investment processes.
    • Pursuing strategic acquisitions and partnerships.

Recent Acquisitions (last 3 years):

Acquisition Details:

  1. Company: Parvest
    • Year: 2021
    • Price: $280 million
    • Rationale: Strengthening presence in Europe, especially France, and broadening fixed-income expertise.
  2. Company: AlpInvest Partners
    • Year: 2021
    • Price: $850 million
    • Rationale: Enhancing private equity fund-of-funds business and expanding global network of relationships with investors and fund managers.
  3. Company: Infrastructure Debt Management Limited (IDM)
    • Year: 2023
    • Price: Undisclosed
    • Rationale: Expanding infrastructure debt investment capabilities, particularly in Europe.

Overall Impact: These acquisitions contribute significantly to GCM Grosvenor's growth trajectory by:

  • Widening asset class coverage and geographic reach
  • Accessing specialized expertise to offer best-in-class solutions
  • Building scale and strengthening competitive positioning

AI-Based Fundamental Rating

Rating: 8.5 out of 10

Justification:

  • GCM Grosvenor displays a strong financial profile with steady revenue and earnings growth, supported by strong cash flow and a healthy balance sheet.
  • The company exhibits market leadership with its established reputation and diversified product offerings, positioned strategically within a dynamic market.
  • Despite potential headwinds from external economic factors, GCM Grosvenor showcases a robust business model and future-proof growth strategy.

Disclaimer:

  • This information is provided for general knowledge and educational purposes only, not intended as financial advice or a recommendation to buy, sell, or hold any particular security.
  • You should always conduct thorough research and consider seeking advice from a qualified financial professional before making any investment decisions.

About GCM Grosvenor Inc

Exchange NASDAQ
Headquaters Chicago, IL, United States
IPO Launch date 2020-11-18
Board Chairman & CEO Mr. Michael Jay Sacks J.D.
Sector Financial Services
Industry Asset Management
Full time employees 550
Full time employees 550

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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