The CalPERS Emerging Manager funds are managed by Grosvenor Capital Management (CFIG) and focused on domestic emerging managers.

Jessica Holsey, Principal
CalPERSReferrals@gcmlp.com
GCM Grosvenor
767 Fifth Avenue, 14th Floor
New York, NY  10153
(646) 362-3656

The table shows fund performance information for GCM Grosvenor Private Markets as of June 30, 2024.

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Fund Vintage Year Capital Committed Cash In Cash Out Cash Out & Remaining Value Net IRR Investment Multiple
Fund Vintage Year            
Aldrich Capital Partners Fund, LP 2018 $8,663,366 $8,499,500 $0 $15,930,050 15.7% 1.9x
Arcadius (SW) Energy Capital, LP 2018 $14,851,485 $13,026,038 $0 $9,608,064 -5.2% 0.7x
Argand Partners Fund, LP 2017 $14,851,485 $13,467,596 $462,721 $18,074,272 5.3% 1.3x
Avance Investment Partners, L.P. 2021 $34,684,685 $15,203,061 $465,384 $18,987,042 11.4%1 1.2x
Avante Mezzanine Partners SBIC II, LP 2015 $14,563,107 $12,334,951 $15,226,602 $22,931,688 15.9% 1.9x
Cornell Capital Partners II LP 2022 $34,684,685 $21,157,658 $0 $18,110,611 N/M1 N/M
Crayhill Capital Management LP Master Co-Investment 2018 $3,300,330 $3,292,481 $3,935,609 $3,937,021 12.5% 1.2x
Crayhill Principal Strategies Fund LP 2017 $6,600,660 $4,137,136 $5,357,538 $5,357,538 12.1% 1.3x
CRG Partners III (Holdings 2) L.P. 2016 $11,165,049 $2,444,227 $3,006,491 $6,938,188 9.3% 2.8x
EIV Capital Fund II, LP 2014 $14,851,485 $13,295,962 $10,071,577 $19,335,622 9.4% 1.5x
Excolere Equity Partners Fund I, LP 2023 $74,257,426 $14,606,399 $0 $13,133,756 N/M1 N/M
Gemspring Capital Fund I, LP 2017 $14,851,485 $12,510,404 $35,645,968 $46,322,059 67.7% 3.7x
Gemspring Capital Fund II, LP 2020 $19,819,820 $14,267,829 $1,290,246 $16,701,021 7.6%1 1.2x
Grain Communications Opportunity Fund II, L.P. 2018 $19,801,980 $18,340,230 $8,135 $26,795,746 9.8% 1.5x
HPH II FF, LP 2019 $34,684,685 $34,545,719 $9,035,798 $55,007,176 15.5% 1.6x
Juggernaut Capital Partners III, L.P. 2015 $8,663,366 $6,397,281 $10,646,274 $17,050,857 17.2% 2.7x
Kingswood Capital Opportunities Fund I, L.P. 2019 $34,684,685 $18,461,174 $41,764,385 $115,348,963 240.6% 6.2x
Kingswood Capital Opportunities Fund II, L.P. 2022 $9,909,910 $5,398,108 $188 $7,878,773 N/M1 N/M
Maranon Mezzanine Fund II, L.P. 2014 $9,223,301 $7,774,395 $12,457,111 $14,487,456 14.7% 1.9x
Mill Point Capital Partners II, L.P. 2021 $19,819,820 $10,294,493 $4,881,745 $19,749,819 37.8%1 1.9x
Mill Point Capital Partners, L.P. 2017 $14,851,485 $14,497,483 $16,825,660 $33,879,603 23.4% 2.3x
New Heritage Capital Fund 2014 $9,320,388 $8,908,731 $15,296,141 $19,765,881 18.4% 2.2x
New Heritage Capital Fund III, L.P. 2019 $9,900,990 $7,927,569 $9,765,627 $16,057,182 27.6% 2.0x
NHC III GCM Co-Investors, L.P. 2019 $4,950,495 $3,799,648 $4,827,080 $8,948,677 29.1% 2.4x
NovaQuest Pharma Opportunities Fund IV, L.P. 2015 $9,320,388 $9,263,163 $2,147,851 $4,007,423 -15.2% 0.4x
ParkerGale Capital, LP 2015 $14,851,485 $14,851,485 $17,099,019 $22,595,427 9% 1.5x
Peak Rock Capital Credit Fund II, L.P. 2017 $2,970,297 $2,533,353 $2,402,209 $3,060,920 16.1% 1.2x
Peak Rock Capital Fund II, LP 2017 $11,881,188 $8,697,370 $14,018,965 $17,603,334 35.7% 2.0x
Peak Rock Capital Fund III LP 2021 $14,864,865 $7,757,652 $2,215,503 $11,183,737 23.8%1 1.4x
Peak Rock Capital Fund LP 2013 $9,223,301 $8,504,593 $9,121,739 $13,281,731 15.9% 1.6x
Recognize Partners I, L.P. 2021 $19,819,820 $10,765,738 $8,574 $11,612,403 4.7%1 1.1x
Resolve Growth Partners Fund I (Side Car), L.P. 2019 $5,662,806 $5,022,769 $0 $6,125,790 7.8% 1.2x
Resolve Growth Partners Fund I, L.P. 2019 $14,157,014 $13,183,196 $133,994 $15,880,589 6.4% 1.2x
Resurgens Technology Partners, L.P. 2018 $8,663,366 $8,386,674 $8,842,878 $22,029,972 33.3% 2.6x
Revelstoke Capital Partners Fund I, L.P. 2015 $14,851,485 $14,715,238 $26,413,397 $39,339,718 18.8% 2.7x
Reverence Capital Partners Opportunities Fund II, L.P. 2018 $14,851,485 $11,958,760 $3,692,214 $25,778,086 22.2% 2.2x
Siris Partners II, L.P. 2012 $9,320,388 $8,086,717 $7,950,949 $8,008,813 -0.3% 1.0x
SkyKnight Capital Fund III, L.P. 2021 $9,909,910 $8,670,056 $3,148,613 $13,992,545 31.1%1 1.6x
Stellex Capital Partners II LP 2021 $84,234,234 $58,055,194 $2,670,256 $72,470,085 11.6%1 1.2x
Stellex Capital Partners LP 2015 $14,563,107 $12,402,858 $14,813,418 $22,777,942 18.4% 1.8x
The Central Valley Fund III (SBIC), LP 2017 $9,900,990 $8,415,842 $0 $11,261,188 6.4% 1.3x
Tritium I, L.P. 2015 $8,663,366 $7,961,994 $12,496,669 $20,251,855 23.5% 2.5x
Valor Equity Partners III L.P. 2013 $9,320,388 $9,376,740 $13,925,242 $19,657,979 12.2% 2.1x
Vistria Fund II, LP 2017 $14,851,485 $13,712,682 $17,011,135 $33,295,125 27.2% 2.4x
Vistria Fund III, LP 2020 $34,684,685 $32,667,108 $0 $41,369,440 7.8%1 1.3x

1Not Meaningful: Funds with a vintage year of 2020 or later are in the initial stages of their investment life cycle. Any performance analysis done on these funds would not generate meaningful results as private equity funds are understood to be long-term investments.

2Partnership investment is using a cash adjusted market value.