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[SCHEDULE 13G/A] GCM Grosvenor Inc. SEC Filing

Filing Impact
(Low)
Filing Sentiment
(Neutral)
Form Type
SCHEDULE 13G/A
Rhea-AI Filing Summary

Royce & Associates LP filed Amendment No. 8 to Schedule 13G on 16 Jul 2025 disclosing its ownership of 2,194,359 Class A shares of GCM Grosvenor Inc. (GCMG) as of 30 Jun 2025.

The position represents 4.39 % of the outstanding class, giving the investment adviser sole voting and dispositive power over the entire stake; no shared power is reported. Because the holding has fallen below the 5 % threshold, the filer checks Item 5 (“Ownership of 5 Percent or Less of a Class”), signalling a reduction in relative ownership versus prior filings. All shares are held in the ordinary course for discretionary client accounts; the firm affirms the investment is not intended to influence control of the issuer.

  • Reporting Person: Royce & Associates LP, a New York–based SEC-registered investment adviser and Franklin Resources subsidiary.
  • CUSIP: 36831E108
  • Issuer address: 900 N Michigan Ave, Suite 1100, Chicago IL 60611.

No other entities have voting or dispositive rights, and the filer disclaims beneficial ownership beyond its advisory role.

Royce & Associates LP ha presentato l'Emendamento n. 8 al Modulo 13G il 16 luglio 2025, rivelando il possesso di 2.194.359 azioni di Classe A di GCM Grosvenor Inc. (GCMG) al 30 giugno 2025.

La posizione rappresenta il 4,39% della classe in circolazione, conferendo al consulente d'investimento il pieno potere di voto e di disposizione sull'intera quota; non sono riportati poteri condivisi. Poiché la partecipazione è scesa al di sotto della soglia del 5%, il dichiarante seleziona la voce 5 (“Proprietà del 5% o meno di una classe”), segnalando una riduzione della quota relativa rispetto alle precedenti comunicazioni. Tutte le azioni sono detenute nell'ordinario esercizio per conti discrezionali di clienti; la società conferma che l'investimento non è finalizzato a influenzare il controllo dell'emittente.

  • Persona che effettua la segnalazione: Royce & Associates LP, consulente d'investimento registrato presso la SEC con sede a New York e controllata di Franklin Resources.
  • CUSIP: 36831E108
  • Indirizzo dell'emittente: 900 N Michigan Ave, Suite 1100, Chicago IL 60611.

Nessun'altra entità detiene diritti di voto o di disposizione, e il dichiarante esclude la proprietà beneficiaria oltre il proprio ruolo di consulenza.

Royce & Associates LP presentó la Enmienda N° 8 al Formulario 13G el 16 de julio de 2025, revelando su propiedad de 2,194,359 acciones Clase A de GCM Grosvenor Inc. (GCMG) al 30 de junio de 2025.

La posición representa el 4.39% de la clase en circulación, otorgando al asesor de inversiones el poder exclusivo de voto y disposición sobre toda la participación; no se reportan poderes compartidos. Debido a que la participación ha caído por debajo del umbral del 5%, el declarante marca el Ítem 5 (“Propiedad del 5 por ciento o menos de una clase”), señalando una reducción en la propiedad relativa respecto a presentaciones anteriores. Todas las acciones se mantienen en el curso ordinario para cuentas discrecionales de clientes; la firma afirma que la inversión no está destinada a influir en el control del emisor.

  • Persona que reporta: Royce & Associates LP, asesor de inversiones registrado en la SEC con sede en Nueva York y subsidiaria de Franklin Resources.
  • CUSIP: 36831E108
  • Dirección del emisor: 900 N Michigan Ave, Suite 1100, Chicago IL 60611.

Ninguna otra entidad tiene derechos de voto o disposición, y el declarante renuncia a la propiedad beneficiaria más allá de su rol asesor.

Royce & Associates LP는 2025년 7월 16일 Schedule 13G 수정서 8호를 제출하여 2025년 6월 30일 기준으로 GCM Grosvenor Inc. (GCMG)2,194,359 클래스 A 주식 보유를 공개했습니다.

이 지분은 발행 주식의 4.39%에 해당하며, 투자 자문사는 전체 지분에 대한 단독 의결권 및 처분권을 보유하고 있습니다; 공동 권한은 보고되지 않았습니다. 보유 지분이 5% 기준선 아래로 떨어졌기 때문에, 신고인은 항목 5(“5% 이하의 클래스 소유”)를 선택하여 이전 제출 대비 상대적 소유권 감소를 나타냅니다. 모든 주식은 고객의 재량 계좌를 위한 정상적인 거래 과정에서 보유되며, 회사는 이 투자가 발행인의 지배권에 영향을 미치려는 목적이 아님을 확인합니다.

  • 신고인: 뉴욕에 본사를 둔 SEC 등록 투자 자문사이자 Franklin Resources의 자회사인 Royce & Associates LP.
  • CUSIP: 36831E108
  • 발행인 주소: 900 N Michigan Ave, Suite 1100, Chicago IL 60611.

다른 어떤 기관도 의결권이나 처분권을 보유하지 않으며, 신고인은 자문 역할을 넘어선 실질 소유권을 부인합니다.

Royce & Associates LP a déposé l'Amendement n° 8 au Schedule 13G le 16 juillet 2025, divulguant sa détention de 2 194 359 actions de Classe A de GCM Grosvenor Inc. (GCMG) au 30 juin 2025.

Cette position représente 4,39 % de la classe en circulation, conférant au conseiller en investissement le pouvoir exclusif de vote et de disposition sur l'ensemble de la participation ; aucun pouvoir partagé n'est déclaré. Étant donné que la participation est tombée en dessous du seuil de 5 %, le déclarant coche l'Item 5 (« Détention de 5 % ou moins d'une classe »), signalant une réduction de la participation relative par rapport aux déclarations précédentes. Toutes les actions sont détenues dans le cours normal des affaires pour des comptes clients discrétionnaires ; la société affirme que l'investissement n'est pas destiné à influencer le contrôle de l'émetteur.

  • Personne déclarante : Royce & Associates LP, un conseiller en investissement enregistré auprès de la SEC basé à New York et filiale de Franklin Resources.
  • CUSIP : 36831E108
  • Adresse de l'émetteur : 900 N Michigan Ave, Suite 1100, Chicago IL 60611.

Aucune autre entité ne détient de droits de vote ou de disposition, et le déclarant décline toute propriété bénéficiaire au-delà de son rôle consultatif.

Royce & Associates LP reichte am 16. Juli 2025 die Änderung Nr. 8 zum Schedule 13G ein und gab den Besitz von 2.194.359 Class A Aktien von GCM Grosvenor Inc. (GCMG) zum 30. Juni 2025 bekannt.

Die Position entspricht 4,39 % der ausstehenden Klasse und verleiht dem Investmentberater alleinige Stimm- und Verfügungsgewalt über die gesamte Beteiligung; keine geteilte Macht wird gemeldet. Da der Anteil unter die 5 %-Schwelle gefallen ist, wählt der Melder Punkt 5 („Eigentum von 5 Prozent oder weniger einer Klasse“) und signalisiert damit eine Verringerung der relativen Beteiligung im Vergleich zu früheren Meldungen. Alle Aktien werden im gewöhnlichen Geschäft für diskretionäre Kundenkonten gehalten; das Unternehmen bestätigt, dass die Investition nicht dazu bestimmt ist, die Kontrolle über den Emittenten zu beeinflussen.

  • Melder: Royce & Associates LP, ein in New York ansässiger, bei der SEC registrierter Investmentberater und Tochtergesellschaft von Franklin Resources.
  • CUSIP: 36831E108
  • Adresse des Emittenten: 900 N Michigan Ave, Suite 1100, Chicago IL 60611.

Keine anderen Einheiten besitzen Stimm- oder Verfügungsrechte, und der Melder lehnt eine wirtschaftliche Eigentümerschaft über seine beratende Rolle hinaus ab.

Positive
  • Institutional support remains significant with Royce controlling 4.39 % of GCMG’s Class A shares.
Negative
  • Ownership slipped below the 5 % threshold, indicating possible share sales and reduced potential influence.

Insights

TL;DR: Royce cut its GCMG stake below 5 %, reducing influence but still holds a meaningful 4.4 % position.

The amendment shows a sub-5 % ownership for the first time since prior filings, suggesting either share sales or issuer dilution. While a 4.39 % holding remains sizeable, crossing under the regulatory threshold eliminates certain reporting and potential activist leverage. Because the filing states the stake is passive and held for clients, the change appears driven by portfolio rebalancing rather than a strategic shift. Impact on GCMG’s float is modest, yet multiple large holders trimming positions can pressure sentiment. Investors should watch subsequent 13F data for confirmation of direction.

Royce & Associates LP ha presentato l'Emendamento n. 8 al Modulo 13G il 16 luglio 2025, rivelando il possesso di 2.194.359 azioni di Classe A di GCM Grosvenor Inc. (GCMG) al 30 giugno 2025.

La posizione rappresenta il 4,39% della classe in circolazione, conferendo al consulente d'investimento il pieno potere di voto e di disposizione sull'intera quota; non sono riportati poteri condivisi. Poiché la partecipazione è scesa al di sotto della soglia del 5%, il dichiarante seleziona la voce 5 (“Proprietà del 5% o meno di una classe”), segnalando una riduzione della quota relativa rispetto alle precedenti comunicazioni. Tutte le azioni sono detenute nell'ordinario esercizio per conti discrezionali di clienti; la società conferma che l'investimento non è finalizzato a influenzare il controllo dell'emittente.

  • Persona che effettua la segnalazione: Royce & Associates LP, consulente d'investimento registrato presso la SEC con sede a New York e controllata di Franklin Resources.
  • CUSIP: 36831E108
  • Indirizzo dell'emittente: 900 N Michigan Ave, Suite 1100, Chicago IL 60611.

Nessun'altra entità detiene diritti di voto o di disposizione, e il dichiarante esclude la proprietà beneficiaria oltre il proprio ruolo di consulenza.

Royce & Associates LP presentó la Enmienda N° 8 al Formulario 13G el 16 de julio de 2025, revelando su propiedad de 2,194,359 acciones Clase A de GCM Grosvenor Inc. (GCMG) al 30 de junio de 2025.

La posición representa el 4.39% de la clase en circulación, otorgando al asesor de inversiones el poder exclusivo de voto y disposición sobre toda la participación; no se reportan poderes compartidos. Debido a que la participación ha caído por debajo del umbral del 5%, el declarante marca el Ítem 5 (“Propiedad del 5 por ciento o menos de una clase”), señalando una reducción en la propiedad relativa respecto a presentaciones anteriores. Todas las acciones se mantienen en el curso ordinario para cuentas discrecionales de clientes; la firma afirma que la inversión no está destinada a influir en el control del emisor.

  • Persona que reporta: Royce & Associates LP, asesor de inversiones registrado en la SEC con sede en Nueva York y subsidiaria de Franklin Resources.
  • CUSIP: 36831E108
  • Dirección del emisor: 900 N Michigan Ave, Suite 1100, Chicago IL 60611.

Ninguna otra entidad tiene derechos de voto o disposición, y el declarante renuncia a la propiedad beneficiaria más allá de su rol asesor.

Royce & Associates LP는 2025년 7월 16일 Schedule 13G 수정서 8호를 제출하여 2025년 6월 30일 기준으로 GCM Grosvenor Inc. (GCMG)2,194,359 클래스 A 주식 보유를 공개했습니다.

이 지분은 발행 주식의 4.39%에 해당하며, 투자 자문사는 전체 지분에 대한 단독 의결권 및 처분권을 보유하고 있습니다; 공동 권한은 보고되지 않았습니다. 보유 지분이 5% 기준선 아래로 떨어졌기 때문에, 신고인은 항목 5(“5% 이하의 클래스 소유”)를 선택하여 이전 제출 대비 상대적 소유권 감소를 나타냅니다. 모든 주식은 고객의 재량 계좌를 위한 정상적인 거래 과정에서 보유되며, 회사는 이 투자가 발행인의 지배권에 영향을 미치려는 목적이 아님을 확인합니다.

  • 신고인: 뉴욕에 본사를 둔 SEC 등록 투자 자문사이자 Franklin Resources의 자회사인 Royce & Associates LP.
  • CUSIP: 36831E108
  • 발행인 주소: 900 N Michigan Ave, Suite 1100, Chicago IL 60611.

다른 어떤 기관도 의결권이나 처분권을 보유하지 않으며, 신고인은 자문 역할을 넘어선 실질 소유권을 부인합니다.

Royce & Associates LP a déposé l'Amendement n° 8 au Schedule 13G le 16 juillet 2025, divulguant sa détention de 2 194 359 actions de Classe A de GCM Grosvenor Inc. (GCMG) au 30 juin 2025.

Cette position représente 4,39 % de la classe en circulation, conférant au conseiller en investissement le pouvoir exclusif de vote et de disposition sur l'ensemble de la participation ; aucun pouvoir partagé n'est déclaré. Étant donné que la participation est tombée en dessous du seuil de 5 %, le déclarant coche l'Item 5 (« Détention de 5 % ou moins d'une classe »), signalant une réduction de la participation relative par rapport aux déclarations précédentes. Toutes les actions sont détenues dans le cours normal des affaires pour des comptes clients discrétionnaires ; la société affirme que l'investissement n'est pas destiné à influencer le contrôle de l'émetteur.

  • Personne déclarante : Royce & Associates LP, un conseiller en investissement enregistré auprès de la SEC basé à New York et filiale de Franklin Resources.
  • CUSIP : 36831E108
  • Adresse de l'émetteur : 900 N Michigan Ave, Suite 1100, Chicago IL 60611.

Aucune autre entité ne détient de droits de vote ou de disposition, et le déclarant décline toute propriété bénéficiaire au-delà de son rôle consultatif.

Royce & Associates LP reichte am 16. Juli 2025 die Änderung Nr. 8 zum Schedule 13G ein und gab den Besitz von 2.194.359 Class A Aktien von GCM Grosvenor Inc. (GCMG) zum 30. Juni 2025 bekannt.

Die Position entspricht 4,39 % der ausstehenden Klasse und verleiht dem Investmentberater alleinige Stimm- und Verfügungsgewalt über die gesamte Beteiligung; keine geteilte Macht wird gemeldet. Da der Anteil unter die 5 %-Schwelle gefallen ist, wählt der Melder Punkt 5 („Eigentum von 5 Prozent oder weniger einer Klasse“) und signalisiert damit eine Verringerung der relativen Beteiligung im Vergleich zu früheren Meldungen. Alle Aktien werden im gewöhnlichen Geschäft für diskretionäre Kundenkonten gehalten; das Unternehmen bestätigt, dass die Investition nicht dazu bestimmt ist, die Kontrolle über den Emittenten zu beeinflussen.

  • Melder: Royce & Associates LP, ein in New York ansässiger, bei der SEC registrierter Investmentberater und Tochtergesellschaft von Franklin Resources.
  • CUSIP: 36831E108
  • Adresse des Emittenten: 900 N Michigan Ave, Suite 1100, Chicago IL 60611.

Keine anderen Einheiten besitzen Stimm- oder Verfügungsrechte, und der Melder lehnt eine wirtschaftliche Eigentümerschaft über seine beratende Rolle hinaus ab.






Check the appropriate box to designate the rule pursuant to which this Schedule is filed:
Rule 13d-1(b)
Rule 13d-1(c)
Rule 13d-1(d)






SCHEDULE 13G





SCHEDULE 13G



ROYCE & ASSOCIATES LP
Signature:Daniel A. O'Byrne
Name/Title:Vice President
Date:07/16/2025
Exhibit Information

The securities reported herein are beneficially owned by one or more registered investment companies or other managed accounts that are investment management clients of Royce & Associates, LP ("RALP"), an indirect majority owned subsidiary of Franklin Resources, Inc.("FRI"). When an investment management contract (including a sub advisory agreement) delegates to RALP investment discretion or voting power over the securities held in the investment advisory accounts that are subject to that agreement, FRI treats RALP as having sole investment discretion or voting authority, as the case may be, unless the agreement specifies otherwise. Accordingly, RALP reports on Schedule 13G that it has sole investment discretion and voting authority over the securities covered by any such investment managementagreement, unless otherwise noted in this Item 4. As a result, for purposes of Rule 13d 3 under the Act, RALP may be deemed to be the beneficial owner of the securities reported in this Schedule 13G. Beneficial ownership by investment management subsidiaries and other affiliates of FRI is being reported in conformity with the guidelines articulated by the SEC staff in Release No. 3439538 (January 12, 1998) relating to organizations, such as FRI, where related entities exercise voting and investment powers over the securities being reported independently from eachother. The voting and investment powers held by RALP are exercised independently from FRI(RALP's parent holding company) and from all other investment management subsidiaries of FRI (FRI, its affiliates and investment management subsidiaries other than RALP are, collectively, "FRI affiliates"). Furthermore, internal policies and procedures of RALP and FRI affiliates establish informational barriers that prevent the flow between RALP and the FRI affiliates of information that relates to the voting and investment powers over the securities owned by their respective investment management clients. Consequently, RALP and the FRI affiliates report the securities over which they hold investment and voting power separately from each other for purposes of Section 13 of the Act. Charles B. Johnson and Rupert H. Johnson, Jr. (the "Principal Shareholders") may each own in excess of 10% of the outstanding common stock of FRI and are the principal stockholders of FRI (see FRI's Proxy Statement-Stock Ownership of Certain Beneficial Owners). However, because RALP exercises voting and investment powers on behalf of its investment management clients independently of FRI affiliates, beneficial ownership of the securities reported by RALP is not attributed to the Principal Shareholders. RALP disclaims any pecuniary interest in any of the securities reported in this Schedule 13G. In addition, the filing of this Schedule 13G on behalf of RALP should not be construed as an admission that it is, and it disclaims that it is, the beneficial owner, as defined in Rule 13d 3, of any of such securities. Furthermore, RALP believes that it is not a "group" with FRI affiliates, the Principal Shareholders, or their respective affiliates within the meaning of Rule 13d 5 under the Act and that none of them is otherwise required to attribute to any other the beneficial ownership of the securities held by such person or by any persons or entities for whom or for which RALP or the FRI affiliates provide investment management services.

FAQ

How many GCMG shares does Royce & Associates LP own?

Royce reports ownership of 2,194,359 Class A shares.

What percentage of GCMG’s Class A stock is held by Royce?

The stake represents 4.39 % of outstanding shares.

Did Royce gain or lose influence over GCM Grosvenor?

Crossing below 5 % reduces regulatory reporting and may lessen influence, though it still owns a meaningful position.

Is the holding considered passive or activist?

Royce certifies the shares are held in the ordinary course of business with no intent to influence control.

When was the ownership level measured?

The ownership data is as of 30 June 2025, with the filing dated 16 July 2025.
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