Share class: GCM Grosvenor Inc.

VoteQuantityFree-FloatCompany-owned sharesTotal Float
Stock A 0 144,235,246 0 0 23.03 %
Stock B 1 44,899,246 43,550,984 ( 97 %) 0

Major shareholders: GCM Grosvenor Inc.

NameEquities%Valuation
Columbia Wanger Asset Management LLC
18.08 %
11,328,125 18.08 % 131 M $
Cantor Fitzgerald LP /Subfiler/
10.3 %
6,451,535 10.3 % 75 M $
Vanguard Fiduciary Trust Co.
7.408 %
4,641,554 7.408 % 54 M $
Ariel Investments LLC
7.195 %
4,508,199 7.195 % 52 M $
BlackRock Advisors LLC
6.021 %
3,772,488 6.021 % 44 M $
5.99 %
3,752,965 5.99 % 43 M $
BAMCO, Inc.
3.512 %
2,200,349 3.512 % 25 M $
Royce & Associates LP
2.912 %
1,824,529 2.912 % 21 M $
2.633 %
1,649,438 2.633 % 19 M $
MFS Heritage Trust Co.
2.456 %
1,538,762 2.456 % 18 M $
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NameEquities%Valuation
98.22 %
141,672,819 98.22 % 1 641 M $

Breakdown by shareholder type

Individuals229.1%
Institutional76.85%
Other13.89%
Sumitomo Mitsui Trust Group, Inc.5.99%
State Street Corp.2.63%
Manulife Financial Corp.0.38%
Governments0.06%
SEI Investments Co.0.05%

Based on 1000 largest holdings

Geographical origin of shareholders

Individuals
229.08%
United States
87.15%
Japan
5.99%
United Kingdom
2.73%
France
1.64%
Australia
1.08%
Canada
0.43%
Puerto Rico
0.34%
Hong Kong
0.3%
Cayman Islands
0.13%
Ireland
0.04%
Netherlands
0.02%

Based on 1000 largest holdings

Logo GCM Grosvenor Inc.
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.
Employees
553
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