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GCM Grosvenor (GCMG) Stock Fundamentals, Analysis & Risk Signals

Health score, price, valuation, risk signals, and key metrics at a glance.

GCM Grosvenor
NasdaqGM•Financial Services•Asset Management
$13.03+0.24(0.02%)Market open
Market Cap
$789.57M
P/E
17.7x
P/S
1.4x
P/B
6.5x

GCM Grosvenor Inc. is global alternative asset management solutions provider. The firm primarily provides its services to pooled investment vehicles. It also provides its services to investment companies, high net worth individuals, pension and profit sharing plans and state or municipal government entities. The firm invests in equity and alternative investment markets of the United States and internationally. The firm invests in multi-strategy, credit-focused, equity-focused, macro-focused, commodity-focused, and other specialty portfolios. It focuses on hedge fund asset classes, private equity, real estate, and/or infrastructure, credit and absolute return strategies. It also focuses on primary fund investments, secondary fund investments, and co-investments with a focus on buyout, distressed debt, early venture, mid venture, late venture, turnaround, mature, mezzanine, venture capital/growth equity investments. The firm seeks to do seed investments in small, emerging growth, and diverse private equity firms. The firm seeks to make regionally-focused investments in middle-market buyout. It prefers to invest in aerospace and defense, advanced electronics, information technology, biosciences, and advanced materials. It focuses on Europe, Michigan, North Carolina, Colorado, Idaho, Montana, Oregon and Washington. The firm employs fundamental and quantitative analysis. It prefers to have majority stakes in its portfolio companies. GCM Grosvenor Inc. was founded in 1971 and is based in Chicago, Illinois with additional offices across North America, Asia, Australia and Europe. GCM Grosvenor Inc. operates as a subsidiary of Grosvenor Capital Management Holdings, LLLP.

B

How this company scores

GoodMetricSide Score: 76/100

Strongest: Profitability (25/25); weakest: Balance Sheet & Red Flags (10/25).

Profitability25/25
Growth18/25
Balance Sheet & Red Flags10/25
Cash & Earnings Quality23/25
Strengths
Strong marginsHigh ROERising earningsCash-backed earnings

Valuation vs. 5-year range

Today's multiple positioned against its own trailing range — a visual premium/discount check.

P/E · 17.7x5y range 9.9x – 35.7x
P/E 17.7x · near its 20-quarter median

Currently near its 20-quarter median.

P/S · 1.4x5y range 0.6x – 1.4x
P/S 1.4x · above its 20-quarter median

Currently above its 20-quarter median.

P/B · 6.5x5y range 4.7x – 169.2x

Watch items

Data-driven signals worth keeping an eye on across the last 8 quarters

High Risk

Leverage Risk

Watch

D/E ratio of 3.0 is elevated. Watch for further debt accumulation.

Share Dilution

Red Flag

Shares outstanding increased 35.2% — significant dilution, likely from stock compensation or capital raises.

Price & Volume
Market Cap $789.57M

Metrics at a Glance

as of June 2026

Revenue & Profit

Revenue, EBITDA, operating income, net income, EPS, and shares

TTM Revenue
$571.18M
7%
Q. Revenue
$134.34M
12%
TTM EBITDA
$159.06M
4Q
TTM Op. Income
$154.85M
4Q
Q. Op. Income
$35.48M
84%
TTM Net Income
$44.50M
61%
Q. Net Income
$9.56M
38%
EPS
$0.16
47%
Shares Out.
$61.07M
2Q
$571.18M in TTM revenue grew 7.0% YoY, reaching $134.34M last quarter. TTM EBITDA of $159.06M and TTM operating income of $154.85M show growth is flowing through to the bottom line. TTM net income of $44.50M means revenue is converting into profit. Over the past year, TTM revenue is up 7% — an improving trend.

Margins

Gross, EBITDA, operating, and net margin trends

EBITDA Margin
27.2%
59%
Op. Margin
26.4%
64%
Net Margin
7.1%
45%
Op. margin of 26.4% is up 10.3% YoY — cost efficiency is improving. Net margin at 7.1% Over the past year, operating margin is up 64% — an improving trend.

Price Ratios

P/E, P/S, P/B, EV/EBITDA, FCF yield, and earnings yield

P/E Ratio
17.7x
17%
P/S Ratio
1.4x
25%
P/B Ratio
6.5x
2Q
At 17.7x P/E, the stock trades within typical market levels. P/S of 1.4x and P/B of 6.5x provide additional context. Use the growth and margin sections to judge whether the multiple is justified. Over the past year, P/E is down 17% — a weakening trend.

Assets & Liabilities

Total assets, cash, debt, book value, and leverage

Total Assets
$677.04M
2Q
Cash
$139.60M
2Q
Long-Term Debt
$362.00M
7Q
Book Value
$122.40M
693%
D/E Ratio
3.0
3Q
Debt/EBITDA
9.9
53%
With $677.04M in assets and $362.00M in long-term debt, D/E is 3.0and book value is $122.40M — elevated leverage, meaning significant financial risk in a downturn. Across the last 4 quarters, debt/equity has fallen for 3 consecutive quarters — an improving trend.

Cash Flow

Operating cash flow, free cash flow, FCF margin, and earnings quality

Op. Cash Flow
$38.12M
9%
TTM Free Cash Flow
$186.33M
8%
FCF Margin
32.6%
1%
FCF / Net Income
4.2
33%
TTM FCF of $186.33M on $38.12M in operating cash flow. The FCF / Net Income ratio of 4.2x means free cash flow covers net income — earnings are backed by cash. Over the past year, free cash flow is up 8% — a weakening trend.

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· near its 4-quarter median

Currently near its 4-quarter median.