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ETF
Annual · values20252024202320222021202020192018
Operating Cash Flow183.54 M USD148.77 M USD92.06 M USD216.51 M USD178.80 M USD68.17 M USD96.19 M USD117.03 M USD
Depreciation & Amortization4.42 M USD3.32 M USD2.70 M USD3.86 M USD4.02 M USD9.82 M USD10.34 M USD11.66 M USD
Stock-Based Compensation
Capital Expenditures8.50 M USD16.73 M USD3.76 M USD782000 USD577000 USD1.31 M USD4.00 M USD868000 USD
Cash Flow from Investing-26.51 M USD-31.83 M USD-18.84 M USD-10.07 M USD-28.11 M USD-5.53 M USD6.13 M USD7.96 M USD
Cash Flow from Financing-4.86 M USD-70.38 M USD-113.66 M USD-215.07 M USD-251.27 M USD54.76 M USD-90.87 M USD-153.77 M USD
Dividends Paid
Stock Buybacks30.66 M USD0 USD4.48 M USD26.39 M USD887000 USD0 USD0 USD
Free Cash Flow175.04 M USD132.04 M USD88.30 M USD215.73 M USD178.23 M USD66.86 M USD92.20 M USD116.16 M USD

GCM Grosvenor Inc. is a globally recognized alternative asset management firm that specializes in providing a diverse array of investment strategies across private equity, infrastructure, real estate, credit, and hedge fund solutions. The primary function of GCM Grosvenor is to manage customized investment portfolios for a wide range of clientele, including institutional investors such as pension funds, sovereign wealth funds, and financial institutions. Noteworthy for its expertise in alternative investments, the company has built a robust platform that leverages strategic partnerships and innovative solutions to maximize financial performance and mitigate risks for its clients. Headquartered in Chicago, with offices in key financial hubs worldwide, GCM Grosvenor plays a pivotal role in the financial markets by enabling capital allocation into sectors that foster long-term growth and diversification. The firm's extensive experience and global reach make it a significant player in enhancing the accessibility and efficiency of alternative investment opportunities.