MARKET

GCMGW

GCMGW

Gcm Grosvenor
NASDAQ
1.320
+0.120
+10.00%
Closed 15:44 05/09 EDT
OPEN
1.230
PREV CLOSE
1.200
HIGH
1.398
LOW
1.210
VOLUME
49.75K
TURNOVER
--
52 WEEK HIGH
2.950
52 WEEK LOW
0.4000
MARKET CAP
--
P/E (TTM)
13.46
1D
5D
1M
3M
1Y
5Y
1D
JACMEL PARTNERS ANNOUNCES P3 INVESTMENT IN NEW YORK'S LAGUARDIA AIRPORT TERMINAL B
Reuters · 1d ago
JACMEL: ACQUIRES MINORITY EQUITY STAKE IN LGP
Reuters · 1d ago
GCM Grosvenor Inc reports results for the quarter ended March 31 - Earnings Summary
Reuters · 3d ago
GCM GROSVENOR REPORTS FIRST QUARTER 2025 EARNINGS RESULTS, WITH QUARTER-TO-DATE FUNDRAISING INCREASING 77% YEAR-OVER-YEAR, QUARTER-TO-DATE GAAP NET INCOME OF $0.5 MILLION, AND FEE-RELATED EARNINGS AND ADJUSTED NET INCOME INCREASING 22% AND 30%, RESPECTIVELY, YEAR-OVER-YEAR
Reuters · 3d ago
Weekly Report: what happened at GCMGW last week (0428-0502)?
Weekly Report · 5d ago
Weekly Report: what happened at GCMGW last week (0421-0425)?
Weekly Report · 04/28 12:29
GCM GROSVENOR ANNOUNCES $1.3 BILLION FINAL CLOSE FOR INFRASTRUCTURE ADVANTAGE FUND II, A NEARLY 50% INCREASE OVER ITS PREDECESSOR FUND
Reuters · 04/22 12:30
Weekly Report: what happened at GCMGW last week (0414-0418)?
Weekly Report · 04/21 12:28
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About GCMGW
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GCM Grosvenor Inc. is an alternative asset management solutions provider. It invests on a primary basis and through direct-oriented strategies, which it defines as secondaries, co-investments, direct investments and seed investments. It operates customized separate accounts and commingled funds. It collaborates with its clients to invest on their behalf across the private and public markets, either through portfolios customized to meet a client's specific objectives or through specialized commingled funds that are developed to meet market demands for strategies and risk-return objectives. It operates through private markets and absolute return strategies. Private markets and absolute return strategies are primarily defined by the liquidity of the underlying securities purchased, the length of the client commitment, and the form and timing of incentive fees. Its investment strategies include Infrastructure, Real Estate, Alternative Credit, Sustainable and Impact Investing, and others.
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