US Stock MarketDetailed Quotes

GCM Grosvenor (GCMG)

Watchlist
  • 10.900
  • +0.080+0.74%
Close Apr 28 16:00 ET
647.66MMarket Cap25.95P/E (TTM)

GCM Grosvenor (GCMG) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
23.37%183.54M
-25.25%28.48M
15.69%79.82M
140.17%41.98M
37.43%33.26M
61.60%148.77M
42.83%38.1M
58.30%68.99M
-34.21%17.48M
608.38%24.2M
Net income from continuing operations
288.05%142.04M
91.19%58.16M
271.63%45.08M
207.78%39.89M
94.23%-1.09M
225.33%36.6M
565.33%30.42M
-31.15%12.13M
135.75%12.96M
-24.82%-18.91M
Operating gains losses
-555.14%-45.58M
-1,172.94%-13.6M
-565.31%-11.07M
-851.48%-27.06M
213.26%6.14M
64.81%-6.96M
31.93%-1.07M
156.42%2.38M
68.02%-2.84M
-6.46%-5.42M
Depreciation and amortization
33.19%4.42M
10.62%1.1M
10.72%1.16M
78.73%1.15M
59.56%1.01M
23.15%3.32M
55.45%998K
49.71%1.05M
-5.43%644K
-6.22%633K
Deferred tax
-47.46%4.08M
-15.81%1.92M
-93.79%162K
-69.27%1.09M
231.34%901K
174.63%7.76M
228,300.00%2.28M
21.23%2.61M
87.89%3.55M
43.72%-686K
Other non cash items
-29.17%66.28M
-20.34%19.05M
-51.71%9.42M
24.97%21.05M
-49.70%16.75M
-25.54%93.58M
5.67%23.92M
0.67%19.51M
-74.76%16.85M
96.83%33.31M
Change In working capital
-66.26%-28.11M
-112.43%-43.26M
5.49%29.3M
94.54%-1.4M
-1,117.72%-12.75M
-43.64%-16.9M
-1,739.66%-20.37M
773.28%27.78M
-18,841.48%-25.57M
109.14%1.25M
-Change in receivables
61.59%-12.87M
-24.82%-56.34M
145.66%1.45M
383.99%5.46M
118.45%36.55M
-90.83%-33.51M
-340.93%-45.14M
81.32%-3.18M
-121.02%-1.92M
2,959.05%16.73M
-Change in payables and accrued expense
-118.39%-2.92M
-18.21%19.28M
7.29%28.04M
74.82%-3.89M
-152.27%-46.35M
51.72%15.89M
101.24%23.57M
24.38%26.14M
-74.16%-15.45M
-37.27%-18.37M
-Change in other current assets
-114.86%-7.52M
-445.78%-4.99M
172.49%988K
72.27%-1.76M
-163.58%-1.76M
-249.32%-3.5M
214.24%1.44M
-216.40%-1.36M
-594.77%-6.34M
139.13%2.76M
-Change in other current liabilities
-213.46%-4.79M
-402.08%-1.21M
-119.01%-1.18M
34.82%-1.21M
-1,006.82%-1.2M
160.11%4.22M
81.80%-240K
412.79%6.19M
-9.23%-1.86M
106.52%132K
Cash from discontinued investing activities
Operating cash flow
23.37%183.54M
-25.25%28.48M
15.69%79.82M
140.17%41.98M
37.43%33.26M
61.60%148.77M
42.83%38.1M
58.30%68.99M
-34.21%17.48M
608.38%24.2M
Investing cash flow
Cash flow from continuing investing activities
16.73%-26.51M
-78.96%-12.04M
20.57%-6.84M
17.21%-6.49M
86.83%-1.14M
-68.97%-31.83M
-15.79%-6.73M
-141.88%-8.61M
-65.65%-7.84M
-82.71%-8.66M
Net PPE purchase and sale
49.21%-8.5M
-308.33%-4.56M
77.05%-1.55M
73.84%-1.22M
72.11%-1.17M
-344.57%-16.73M
54.37%-1.12M
-1,158.58%-6.75M
-708.30%-4.67M
-1,966.50%-4.2M
Net investment purchase and sale
-32.14%-34.68M
-21.59%-10.99M
-66.15%-8.63M
-53.84%-9.17M
2.66%-5.89M
5.04%-26.24M
-37.60%-9.04M
9.13%-5.19M
12.93%-5.96M
28.89%-6.05M
Cash from discontinued investing activities
Investing cash flow
16.73%-26.51M
-78.96%-12.04M
20.57%-6.84M
17.21%-6.49M
86.83%-1.14M
-68.97%-31.83M
-15.79%-6.73M
-141.88%-8.61M
-65.65%-7.84M
-82.71%-8.66M
Financing cash flow
Cash flow from continuing financing activities
93.09%-4.86M
211.76%43.42M
29.48%-26.23M
-75.34%5.65M
-60.61%-27.7M
38.08%-70.38M
-18.75%-38.85M
-6.83%-37.19M
170.69%22.91M
-25.72%-17.25M
Net issuance payments of debt
-109.36%-4.38M
0.00%-1.1M
0.00%-1.1M
-102.19%-1.1M
-9.50%-1.1M
1,270.25%46.81M
-9.50%-1.1M
-9.50%-1.1M
5,100.00%50M
0.00%-1M
Net common stock issuance
--19.18M
---30.66M
--0
----
----
--0
--0
--0
--0
--0
Cash dividends paid
-23.33%-25.34M
-48.94%-7.37M
-11.58%-5.91M
-25.61%-7M
-7.04%-5.07M
-1.12%-20.55M
-4.52%-4.95M
15.75%-5.3M
-17.98%-5.57M
-3.41%-4.73M
Proceeds from stock option exercised by employees
911.73%103.47M
--116.37M
91.12%-216K
-48.90%-15.14M
1,744.30%2.45M
-24.74%-12.75M
--0
62.13%-2.43M
-167.92%-10.17M
---149K
Net other financing activities
-16.56%-97.78M
-3.13%-33.84M
33.00%-19M
-84.59%-20.95M
-111.07%-23.99M
-12.39%-83.89M
-21.59%-32.81M
-34.44%-28.36M
47.82%-11.35M
-136.32%-11.37M
Cash from discontinued financing activities
Financing cash flow
93.09%-4.86M
211.76%43.42M
29.48%-26.23M
-75.34%5.65M
-60.61%-27.7M
38.08%-70.38M
-18.75%-38.85M
-6.83%-37.19M
170.69%22.91M
-25.72%-17.25M
Net cash flow
Beginning cash position
101.68%89.45M
85.63%182.75M
84.43%136.33M
125.73%94.5M
101.68%89.45M
-47.92%44.35M
77.85%98.45M
45.64%73.92M
-32.34%41.86M
-47.92%44.35M
Current changes in cash
226.81%152.17M
900.74%59.86M
101.60%46.75M
26.38%41.14M
359.75%4.42M
215.15%46.56M
36.90%-7.48M
345.17%23.19M
407.69%32.55M
92.67%-1.7M
Effect of exchange rate changes
133.65%492K
67.30%-496K
-124.98%-334K
241.58%698K
179.09%624K
-293.01%-1.46M
-278.89%-1.52M
318.82%1.34M
8.36%-493K
-1,011.27%-789K
End cash Position
170.66%242.12M
170.66%242.12M
85.63%182.75M
84.43%136.33M
125.73%94.5M
101.68%89.45M
101.68%89.45M
77.85%98.45M
45.64%73.92M
-32.34%41.86M
Free cash flow
32.56%175.04M
-35.31%23.92M
25.74%78.27M
218.25%40.76M
60.40%32.09M
49.54%132.05M
52.64%36.98M
44.60%62.25M
-50.73%12.81M
503.08%20.01M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 23.37%183.54M-25.25%28.48M15.69%79.82M140.17%41.98M37.43%33.26M61.60%148.77M42.83%38.1M58.30%68.99M-34.21%17.48M608.38%24.2M
Net income from continuing operations 288.05%142.04M91.19%58.16M271.63%45.08M207.78%39.89M94.23%-1.09M225.33%36.6M565.33%30.42M-31.15%12.13M135.75%12.96M-24.82%-18.91M
Operating gains losses -555.14%-45.58M-1,172.94%-13.6M-565.31%-11.07M-851.48%-27.06M213.26%6.14M64.81%-6.96M31.93%-1.07M156.42%2.38M68.02%-2.84M-6.46%-5.42M
Depreciation and amortization 33.19%4.42M10.62%1.1M10.72%1.16M78.73%1.15M59.56%1.01M23.15%3.32M55.45%998K49.71%1.05M-5.43%644K-6.22%633K
Deferred tax -47.46%4.08M-15.81%1.92M-93.79%162K-69.27%1.09M231.34%901K174.63%7.76M228,300.00%2.28M21.23%2.61M87.89%3.55M43.72%-686K
Other non cash items -29.17%66.28M-20.34%19.05M-51.71%9.42M24.97%21.05M-49.70%16.75M-25.54%93.58M5.67%23.92M0.67%19.51M-74.76%16.85M96.83%33.31M
Change In working capital -66.26%-28.11M-112.43%-43.26M5.49%29.3M94.54%-1.4M-1,117.72%-12.75M-43.64%-16.9M-1,739.66%-20.37M773.28%27.78M-18,841.48%-25.57M109.14%1.25M
-Change in receivables 61.59%-12.87M-24.82%-56.34M145.66%1.45M383.99%5.46M118.45%36.55M-90.83%-33.51M-340.93%-45.14M81.32%-3.18M-121.02%-1.92M2,959.05%16.73M
-Change in payables and accrued expense -118.39%-2.92M-18.21%19.28M7.29%28.04M74.82%-3.89M-152.27%-46.35M51.72%15.89M101.24%23.57M24.38%26.14M-74.16%-15.45M-37.27%-18.37M
-Change in other current assets -114.86%-7.52M-445.78%-4.99M172.49%988K72.27%-1.76M-163.58%-1.76M-249.32%-3.5M214.24%1.44M-216.40%-1.36M-594.77%-6.34M139.13%2.76M
-Change in other current liabilities -213.46%-4.79M-402.08%-1.21M-119.01%-1.18M34.82%-1.21M-1,006.82%-1.2M160.11%4.22M81.80%-240K412.79%6.19M-9.23%-1.86M106.52%132K
Cash from discontinued investing activities
Operating cash flow 23.37%183.54M-25.25%28.48M15.69%79.82M140.17%41.98M37.43%33.26M61.60%148.77M42.83%38.1M58.30%68.99M-34.21%17.48M608.38%24.2M
Investing cash flow
Cash flow from continuing investing activities 16.73%-26.51M-78.96%-12.04M20.57%-6.84M17.21%-6.49M86.83%-1.14M-68.97%-31.83M-15.79%-6.73M-141.88%-8.61M-65.65%-7.84M-82.71%-8.66M
Net PPE purchase and sale 49.21%-8.5M-308.33%-4.56M77.05%-1.55M73.84%-1.22M72.11%-1.17M-344.57%-16.73M54.37%-1.12M-1,158.58%-6.75M-708.30%-4.67M-1,966.50%-4.2M
Net investment purchase and sale -32.14%-34.68M-21.59%-10.99M-66.15%-8.63M-53.84%-9.17M2.66%-5.89M5.04%-26.24M-37.60%-9.04M9.13%-5.19M12.93%-5.96M28.89%-6.05M
Cash from discontinued investing activities
Investing cash flow 16.73%-26.51M-78.96%-12.04M20.57%-6.84M17.21%-6.49M86.83%-1.14M-68.97%-31.83M-15.79%-6.73M-141.88%-8.61M-65.65%-7.84M-82.71%-8.66M
Financing cash flow
Cash flow from continuing financing activities 93.09%-4.86M211.76%43.42M29.48%-26.23M-75.34%5.65M-60.61%-27.7M38.08%-70.38M-18.75%-38.85M-6.83%-37.19M170.69%22.91M-25.72%-17.25M
Net issuance payments of debt -109.36%-4.38M0.00%-1.1M0.00%-1.1M-102.19%-1.1M-9.50%-1.1M1,270.25%46.81M-9.50%-1.1M-9.50%-1.1M5,100.00%50M0.00%-1M
Net common stock issuance --19.18M---30.66M--0----------0--0--0--0--0
Cash dividends paid -23.33%-25.34M-48.94%-7.37M-11.58%-5.91M-25.61%-7M-7.04%-5.07M-1.12%-20.55M-4.52%-4.95M15.75%-5.3M-17.98%-5.57M-3.41%-4.73M
Proceeds from stock option exercised by employees 911.73%103.47M--116.37M91.12%-216K-48.90%-15.14M1,744.30%2.45M-24.74%-12.75M--062.13%-2.43M-167.92%-10.17M---149K
Net other financing activities -16.56%-97.78M-3.13%-33.84M33.00%-19M-84.59%-20.95M-111.07%-23.99M-12.39%-83.89M-21.59%-32.81M-34.44%-28.36M47.82%-11.35M-136.32%-11.37M
Cash from discontinued financing activities
Financing cash flow 93.09%-4.86M211.76%43.42M29.48%-26.23M-75.34%5.65M-60.61%-27.7M38.08%-70.38M-18.75%-38.85M-6.83%-37.19M170.69%22.91M-25.72%-17.25M
Net cash flow
Beginning cash position 101.68%89.45M85.63%182.75M84.43%136.33M125.73%94.5M101.68%89.45M-47.92%44.35M77.85%98.45M45.64%73.92M-32.34%41.86M-47.92%44.35M
Current changes in cash 226.81%152.17M900.74%59.86M101.60%46.75M26.38%41.14M359.75%4.42M215.15%46.56M36.90%-7.48M345.17%23.19M407.69%32.55M92.67%-1.7M
Effect of exchange rate changes 133.65%492K67.30%-496K-124.98%-334K241.58%698K179.09%624K-293.01%-1.46M-278.89%-1.52M318.82%1.34M8.36%-493K-1,011.27%-789K
End cash Position 170.66%242.12M170.66%242.12M85.63%182.75M84.43%136.33M125.73%94.5M101.68%89.45M101.68%89.45M77.85%98.45M45.64%73.92M-32.34%41.86M
Free cash flow 32.56%175.04M-35.31%23.92M25.74%78.27M218.25%40.76M60.40%32.09M49.54%132.05M52.64%36.98M44.60%62.25M-50.73%12.81M503.08%20.01M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
Market Insights
China Concept Stocks
View More
Middle East conflict spreads to the stock market! How should investors respond?
New progress emerged in Middle East peace talks on April 29, with Iran expected to submit a revised peace proposal soon. The previous three- Show More