
NASDAQFinancial ServicesAsset Management
最新資料
US$13.20
+US$0.23 · +1.77%
GCM Grosvenor Inc. is a global leader in providing alternative asset management solutions. The firm primarily caters to pooled investment vehicles, but also extends its services to various other clients, including investment companies, high net worth individuals, pension and profit sharing plans, and state or municipal government entities. The company deploys capital across both U.S. and international equity and alternative investment markets. Its investment approach encompasses a diverse range of portfolios, such as multi-strategy, credit-focused, equity-focused, macro-focused, commodity-focused, and other specialized mandates. GCM Grosvenor's strategic focus spans key alternative asset classes like hedge funds, private equity, real estate, infrastructure, credit, and absolute return strategies. Additionally, the firm actively participates in primary and secondary fund investments, as well as co-investments, with a particular emphasis on buyouts, distressed debt, mezzanine financing, and venture capital/growth equity opportunities. They are also committed to providing seed investments to small, emerging, and diverse private equity firms. Geographically, the firm targets middle-market buyout investments, specifically in Ohio and the broader Midwest region. Preferred industries for investment include aerospace and defense, advanced electronics, information technology, biosciences, and advanced materials. All investment decisions are underpinned by both fundamental and quantitative analysis. Founded in 1971, GCM Grosvenor Inc. is headquartered in Chicago, Illinois, and maintains a significant international footprint with additional offices throughout North America, Asia, Australia, and Europe.
前收盤價
US$13.20
+US$0.23 · +1.77%
盤中時間採用ET。市場資料可能有所延遲。
GCM Grosvenor Inc. is a global leader in providing alternative asset management solutions. The firm primarily caters to pooled investment vehicles, but also extends its services to various other clients, including investment companies, high net worth individuals, pension and profit sharing plans, and state or municipal government entities. The company deploys capital across both U.S. and international equity and alternative investment markets. Its investment approach encompasses a diverse range of portfolios, such as multi-strategy, credit-focused, equity-focused, macro-focused, commodity-focused, and other specialized mandates. GCM Grosvenor's strategic focus spans key alternative asset classes like hedge funds, private equity, real estate, infrastructure, credit, and absolute return strategies. Additionally, the firm actively participates in primary and secondary fund investments, as well as co-investments, with a particular emphasis on buyouts, distressed debt, mezzanine financing, and venture capital/growth equity opportunities. They are also committed to providing seed investments to small, emerging, and diverse private equity firms. Geographically, the firm targets middle-market buyout investments, specifically in Ohio and the broader Midwest region. Preferred industries for investment include aerospace and defense, advanced electronics, information technology, biosciences, and advanced materials. All investment decisions are underpinned by both fundamental and quantitative analysis. Founded in 1971, GCM Grosvenor Inc. is headquartered in Chicago, Illinois, and maintains a significant international footprint with additional offices throughout North America, Asia, Australia, and Europe.
日內區間
目前US$13.20
52週區間
目前US$13.20
盤中時間採用ET。市場資料可能有所延遲。
GCM Grosvenor Inc. is a global leader in providing alternative asset management solutions. The firm primarily caters to pooled investment vehicles, but also extends its services to various other clients, including investment companies, high net worth individuals, pension and profit sharing plans, and state or municipal government entities. The company deploys capital across both U.S. and international equity and alternative investment markets. Its investment approach encompasses a diverse range of portfolios, such as multi-strategy, credit-focused, equity-focused, macro-focused, commodity-focused, and other specialized mandates. GCM Grosvenor's strategic focus spans key alternative asset classes like hedge funds, private equity, real estate, infrastructure, credit, and absolute return strategies. Additionally, the firm actively participates in primary and secondary fund investments, as well as co-investments, with a particular emphasis on buyouts, distressed debt, mezzanine financing, and venture capital/growth equity opportunities. They are also committed to providing seed investments to small, emerging, and diverse private equity firms. Geographically, the firm targets middle-market buyout investments, specifically in Ohio and the broader Midwest region. Preferred industries for investment include aerospace and defense, advanced electronics, information technology, biosciences, and advanced materials. All investment decisions are underpinned by both fundamental and quantitative analysis. Founded in 1971, GCM Grosvenor Inc. is headquartered in Chicago, Illinois, and maintains a significant international footprint with additional offices throughout North America, Asia, Australia, and Europe.
日內區間
目前US$13.20
52週區間
目前US$13.20
獲利能力占已公布營收的百分比。
營收
營業利益
淨利
| 項目(USD) | 2025會計年度 | 2024會計年度 | 2023會計年度 | 2022會計年度 | 2021會計年度 |
|---|---|---|---|---|---|
| 營收 | 5.5億 USD | 5.04億 USD | 4.36億 USD | 4.52億 USD | 5.39億 USD |
| 銷貨成本 | 442.2萬 USD | 332萬 USD | 269.6萬 USD | 1156.8萬 USD | 402萬 USD |
| 毛利 | 5.46億 USD | 5億 USD | 4.33億 USD | 4.4億 USD | 5.35億 USD |
| 銷售、一般及管理費用 | 1.05億 USD | — | — | — | — |
| 營業費用 | 3.98億 USD | 4.53億 USD | 4.53億 USD | 3.29億 USD | 4.08億 USD |
| 利息收入 | 1625.8萬 USD | 1558.9萬 USD | 1164萬 USD | 1010.8萬 USD | 5249.5萬 USD |
| 利息支出 | 1530萬 USD | 1367.1萬 USD | 1488.5萬 USD | 2878.1萬 USD | 2708.5萬 USD |
| 折舊和攤銷 | 442.2萬 USD | 332萬 USD | 269.6萬 USD | 771.2萬 USD | 402萬 USD |
| 營業利益 | 1.48億 USD | 4691.2萬 USD | −1927.7萬 USD | 1.12億 USD | 1.26億 USD |
| 淨利 | 4537.1萬 USD | 1869.5萬 USD | 1277.4萬 USD | 1982萬 USD | 2148.2萬 USD |
公司資料更新於 2026年10月11日。
近期已公布業績
近期已公布業績
第三方分析師預期可能變動,並非 GoAI 建議。
平均目標
US$17.00
上漲空間 28.79%年度分割調整後的每股現金分配。
US$0.45
2025年(完整年度)+36.4% 自從 2021
2026年(部分年度):US$0.36
US$0.33
2,021
US$0.41
2,022
US$0.44
2,023
US$0.44
2,024
US$0.45
2,025
US$0.36
2,026*
* 在現有股息歷史記錄中,該日曆年僅包含部分期間。
| 行動 | 除息日 | 詳情 | 記錄日期 | 付款日期 |
|---|---|---|---|---|
股息 | 2026年9月1日 | US$0.12Quarterly | 2026年9月1日 | 2026年9月15日 |
股息 | 2026年6月5日 | US$0.12Quarterly | 2026年6月5日 | 2026年6月15日 |
股息 | 2026年3月2日 | US$0.12Quarterly | 2026年3月2日 | 2026年3月16日 |
股息 | 2025年12月1日 | US$0.12Quarterly | 2025年12月1日 | 2025年12月15日 |
股息 | 2025年9月2日 | US$0.11Quarterly | 2025年9月2日 | 2025年9月16日 |
股息 | 2025年6月6日 | US$0.11Quarterly | 2025年6月6日 | 2025年6月16日 |
除息 2026年9月1日
US$0.12
Quarterly
2026年9月1日登記 · 支付日 2026年9月15日
除息 2026年6月5日
US$0.12
Quarterly
2026年6月5日登記 · 支付日 2026年6月15日
除息 2026年3月2日
US$0.12
Quarterly
2026年3月2日登記 · 支付日 2026年3月16日
除息 2025年12月1日
US$0.12
Quarterly
2025年12月1日登記 · 支付日 2025年12月15日
除息 2025年9月2日
US$0.11
Quarterly
2025年9月2日登記 · 支付日 2025年9月16日
除息 2025年6月6日
US$0.11
Quarterly
2025年6月6日登記 · 支付日 2025年6月16日
報告持有此股票曝險的交易所交易基金。
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Vanguard Morningstar Small-Cap ETFVB1818.2萬0.01%1853億 USD0.03%US$289.48+0.64%
Vanguard Morningstar Small-Cap Value ETFVBR1155.91萬0.02%682億 USD0.05%US$234.43+0.22%
Vanguard Extended Market ETFVXF963.47萬0.01%954億 USD0.05%US$235+0.80%
iShares Russell 2000 Growth ETFIWO664.18萬0.05%139.17億 USD0.24%US$356.78+0.94%
Dimensional - US Small Cap ETFDFAS505.76萬0.01%338.69億 USD0.31%US$78.35+0.32%
Vanguard Russell 2000 ETFVTWO469.11萬0.03%180億 USD0.06%US$112.66+0.50%
Vanguard Morningstar Total Stock Market ETFVTI
iShares Russell 2000 ETFIWM
Vanguard Morningstar Small-Cap ETFVB
Vanguard Morningstar Small-Cap Value ETFVBR
Vanguard Extended Market ETFVXF
iShares Russell 2000 Growth ETFIWO
Dimensional - US Small Cap ETFDFAS
Vanguard Russell 2000 ETFVTWOAI 生成內容及延遲市場資料僅供資訊與教育用途,不構成投資建議。