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Forecast
The analysts' average price target is âŹ14.65 (+23.42%). The median is âŹ14.65 (+23.42%).
| Buy |
Â
5 |
| Hold |
Â
3 |
| Sell |
Â
0 |
News Go to news feed
GCM Grosvenor beats Q2 forecasts with record AUM of $97 billion
GCM Grosvenor reported adjusted earnings of $0.19 per share and revenue of $134.34 million for Q2 2026, both slightly above consensus estimates. Assets under management rose 13% to $97 billion, fee-paying AUM to $78 billion, and net inflows accelerated to $2.3 billion for the quarter. Fee-related revenues grew 21% to $50 million, with an FRE margin of 45%. Management cited large unrealized gains from the SpaceX stake, expects stronger inflows in H2 and higher management fees across several segments; the quarterly dividend remains $0.12, and $55 million is still available for buybacks. » More on de.investing.com
GCM Grosvenor strengthens business development in Frankfurt with two new hires
GCM Grosvenor has hired Philip Rotering as executive director and Lukas von Dreusche as associate in its Frankfurt office to expand business development for institutional clients in Europe. Rotering brings more than ten years of experience in alternative investments and client development, most recently at Prime Capital, and is a CFA charterholder. Von Dreusche joins from sales of private markets strategies at Universal Investment and expands the team covering private equity, infrastructure, private debt and venture capital. The hires are intended to further solidify Frankfurt as a strategic hub for European business development and to support long-term growth in Europe. » More on finanzen.net
GCM Grosvenor misses Q1 targets, but emphasizes long-term growth
GCM Grosvenor reported adjusted EPS of $0.18 for Q1 2026 (expectation $0.19) and fee-related revenues of $106.7 million (forecast $132.1 million), prompting an after-hours share decline. Assets under management rose to $91.5 billion (+12% year-over-year) and fee-paying AUM to $73.5 billion, supported by inflows into absolute-return and private markets strategies. Management and the presentation highlight a strategic shift toward higher-margin, direct-investmentâfocused businesses; unrealized carried interest increased to $510 million. The board approved a quarterly dividend of $0.12 and announced share buybacks; for Q2 management expects high single-digit percentage growth in fee-related revenues. » More on de.investing.com
Historical dividends Dividends
All dividend metrics All metricsFinancials
| (EUR) | Jun 2026 | |
|---|---|---|
| Revenue | 116.51M | 16.65% |
| Gross profit | 115.61M | 16.89% |
| Net profit | 8.38M | 36.02% |
| EBITDA | 34.73M | 8.66% |
Fundamentals
| Metric | Value |
|---|---|
Market capitalization | âŹ2.21B |
Number of shares | 186.88M |
52-week high/low | âŹ12.81 - âŹ8.01 |
Dividend yield | 3.39% |
Dividends TTM | âŹ0.40 |
Next dividend | âŹ0.10 |
Beta | 0.83 |
P/E ratio | 17.59 |
PEG ratio | 4.40 |
P/B ratio | 33.07 |
P/S ratio | 4.54 |
Company profile
Grosvenor Capital Management, L.P. ist ein globaler Anbieter alternativer Vermögensverwaltungslösungen. Das Unternehmen erbringt seine Dienstleistungen in erster Linie fĂŒr gepoolte Anlageinstrumente. DarĂŒber hinaus erbringt es seine Dienstleistungen fĂŒr Investmentgesellschaften, vermögende Privatpersonen, Pensions- und GewinnbeteiligungsplĂ€ne sowie staatliche und kommunale Einrichtungen. Das Unternehmen investiert in die AktienmĂ€rkte und die MĂ€rkte fĂŒr alternative Anlagen in den Vereinigten Staaten und international. Das Unternehmen investiert in Multi-Strategie-, Kredit-, Aktien-, Makro-, Rohstoff- und andere Spezialportfolios. Der Schwerpunkt liegt auf Hedge-Fonds-Anlageklassen, Private Equity, Immobilien und/oder Infrastruktur, Krediten und Absolute-Return-Strategien. Weitere Schwerpunkte sind PrimĂ€rfondsinvestitionen, SekundĂ€rfondsinvestitionen und Co-Investitionen mit den Schwerpunkten Buyout, Distressed Debt, Mezzanine, Venture Capital/Growth Equity. Das Unternehmen ist bestrebt, regional ausgerichtete Investitionen in mittelstĂ€ndische Buyouts zu tĂ€tigen. Das Unternehmen investiert bevorzugt in die Bereiche Luft- und Raumfahrt und Verteidigung, fortschrittliche Elektronik, Informationstechnologie, Biowissenschaften und fortschrittliche Werkstoffe. Der Schwerpunkt liegt auf Ohio und der Region des Mittleren Westens. Das Unternehmen wendet fundamentale und quantitative Analysen an. Grosvenor Capital Management, L.P. wurde 1971 gegrĂŒndet und hat seinen Sitz in Chicago, Illinois, mit weiteren BĂŒros in Nordamerika, Asien und Europa.
| Name | GCM GROSVENOR INC |
| CEO | Michael Jay Sacks |
| Headquarters | Chicago,
il USA |
| Website | |
| Sector | Financials |
| Industry | Capital Markets |
| IPO | 02/06/2019 |
| Employees | 553 |
Deep Dive
Ticker symbols
| Exchange | Symbol |
|---|---|
NASDAQ | GCMG |
Discover assets
Shareholders of GCM GROSVENOR INC also invest in the following assets





