GCM Grosvenor is a global alternative asset manager that provides customized investment solutions across private and public markets for institutional investors, serving over 700 pension funds, sovereign wealth funds, corporations, and other institutional clients alongside a growing base of individual investors. The firm operates across private equity, infrastructure, real estate, alternative credit, and absolute return hedge fund strategies, delivering capital through customized separate accounts—its core offering—as well as specialized commingled funds, with revenue generated primarily from management fees on assets under management supplemented by performance-based incentive fees. With a 54-year track record and a diversified platform spanning full liquidity spectrum investments globally, the company leverages deep manager relationships, proprietary origination capabilities, and institutional-quality operations to provide flexible, tailored portfolios and differentiated strategies across alternative asset classes.