GCM Payout Ratio from 2010 to 2024

GCMGW Stock  USD 1.29  0.08  6.61%   
GCM Grosvenor Payout Ratio yearly trend continues to be fairly stable with very little volatility. Payout Ratio is likely to outpace its year average in 2024. During the period from 2010 to 2024, GCM Grosvenor Payout Ratio regression line of quarterly data had r-squared of  0.31 and coefficient of variation of  86.96. View All Fundamentals
 
Payout Ratio  
First Reported
2010-12-31
Previous Quarter
1.59080946
Current Value
1.67
Quarterly Volatility
1.2805578
 
Credit Downgrade
 
Yuan Drop
 
Covid
Check GCM Grosvenor financial statements over time to gain insight into future company performance. You can evaluate financial statements to find patterns among GCM Grosvenor's main balance sheet or income statement drivers, such as Tax Provision of 6 M, Interest Income of 30.9 M or Interest Expense of 22.4 M, as well as many indicators such as Price To Sales Ratio of 1.07, Dividend Yield of 0.0499 or Days Sales Outstanding of 44.14. GCM financial statements analysis is a perfect complement when working with GCM Grosvenor Valuation or Volatility modules.
  
Check out the analysis of GCM Grosvenor Correlation against competitors.
For more information on how to buy GCM Stock please use our How to Invest in GCM Grosvenor guide.

Latest GCM Grosvenor's Payout Ratio Growth Pattern

Below is the plot of the Payout Ratio of GCM Grosvenor over the last few years. Payout Ratio is the proportion of GCM Grosvenor earnings paid out as dividends to shareholders. Payout Ratio is typically expressed as a percentage but can be shown as dividends paid out as a proportion of cash flow. The payout ratio is used to determine the sustainability of GCM Grosvenor dividend payments. A lower payout ratio is generally preferable to a higher payout ratio, with a ratio greater than 100% indicating GCM Grosvenor is paying out more in dividends than it makes in net income. It is GCM Grosvenor's Payout Ratio historical data analysis aims to capture in quantitative terms the overall pattern of either growth or decline in GCM Grosvenor's overall financial position and show how it may be relating to other accounts over time.
Payout Ratio10 Years Trend
Slightly volatile
   Payout Ratio   
       Timeline  

GCM Payout Ratio Regression Statistics

Arithmetic Mean1.47
Coefficient Of Variation86.96
Mean Deviation0.91
Median2.29
Standard Deviation1.28
Sample Variance1.64
Range4.5613
R-Value(0.55)
Mean Square Error1.22
R-Squared0.31
Significance0.03
Slope(0.16)
Total Sum of Squares22.96

GCM Payout Ratio History

2024 1.67
2023 1.59
2022 0.23
2021 0.1
2020 -2.27
2019 1.16
2018 1.29

Other Fundumenentals of GCM Grosvenor

GCM Grosvenor Payout Ratio component correlations

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0.941.0-0.860.87-0.51-0.8-0.97-0.76-0.97-0.610.990.87-0.510.560.340.5-0.850.650.79-0.84-0.510.7
0.941.0-0.860.87-0.51-0.8-0.97-0.75-0.97-0.620.990.87-0.510.570.350.5-0.840.650.79-0.84-0.510.69
-0.89-0.86-0.86-0.720.690.830.80.530.850.68-0.82-0.640.69-0.59-0.46-0.410.6-0.61-0.60.580.69-0.64
0.930.870.87-0.72-0.33-0.69-0.83-0.48-0.83-0.680.850.69-0.330.750.620.8-0.690.260.59-0.66-0.330.33
-0.41-0.51-0.510.69-0.330.660.60.540.65-0.03-0.5-0.611.00.10.160.190.56-0.78-0.710.561.0-0.79
-0.76-0.8-0.80.83-0.690.660.870.410.790.54-0.76-0.630.66-0.43-0.28-0.250.6-0.65-0.580.580.66-0.68
-0.87-0.97-0.970.8-0.830.60.870.760.960.47-0.97-0.910.6-0.41-0.19-0.360.88-0.74-0.850.880.6-0.78
-0.54-0.76-0.750.53-0.480.540.410.760.830.02-0.82-0.940.540.020.25-0.050.93-0.79-0.920.950.54-0.83
-0.88-0.97-0.970.85-0.830.650.790.960.830.44-0.98-0.940.65-0.41-0.2-0.390.93-0.72-0.870.910.65-0.78
-0.8-0.61-0.620.68-0.68-0.030.540.470.020.44-0.53-0.15-0.03-0.96-0.89-0.780.140.03-0.020.11-0.030.01
0.910.990.99-0.820.85-0.5-0.76-0.97-0.82-0.98-0.530.91-0.50.490.260.46-0.90.670.83-0.9-0.50.72
0.690.870.87-0.640.69-0.61-0.63-0.91-0.94-0.94-0.150.91-0.610.13-0.090.2-0.990.780.97-1.0-0.610.83
-0.41-0.51-0.510.69-0.331.00.660.60.540.65-0.03-0.5-0.610.10.160.190.56-0.78-0.710.561.0-0.79
0.790.560.57-0.590.750.1-0.43-0.410.02-0.41-0.960.490.130.10.960.92-0.14-0.20.0-0.10.1-0.16
0.630.340.35-0.460.620.16-0.28-0.190.25-0.2-0.890.26-0.090.160.960.890.09-0.39-0.20.140.16-0.36
0.720.50.5-0.410.80.19-0.25-0.36-0.05-0.39-0.780.460.20.190.920.89-0.23-0.330.06-0.180.19-0.26
-0.67-0.85-0.840.6-0.690.560.60.880.930.930.14-0.9-0.990.56-0.140.09-0.23-0.73-0.920.990.56-0.79
0.410.650.65-0.610.26-0.78-0.65-0.74-0.79-0.720.030.670.78-0.78-0.2-0.39-0.33-0.730.84-0.76-0.781.0
0.60.790.79-0.60.59-0.71-0.58-0.85-0.92-0.87-0.020.830.97-0.710.0-0.20.06-0.920.84-0.95-0.710.87
-0.65-0.84-0.840.58-0.660.560.580.880.950.910.11-0.9-1.00.56-0.10.14-0.180.99-0.76-0.950.56-0.81
-0.41-0.51-0.510.69-0.331.00.660.60.540.65-0.03-0.5-0.611.00.10.160.190.56-0.78-0.710.56-0.79
0.460.70.69-0.640.33-0.79-0.68-0.78-0.83-0.780.010.720.83-0.79-0.16-0.36-0.26-0.791.00.87-0.81-0.79
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About GCM Grosvenor Financial Statements

GCM Grosvenor investors use historical fundamental indicators, such as GCM Grosvenor's Payout Ratio, to determine how well the company is positioned to perform in the future. Understanding over-time patterns can help investors decide on long-term investments in GCM Grosvenor. Please read more on our technical analysis and fundamental analysis pages.
Last ReportedProjected for Next Year
Payout Ratio 1.59  1.67 
Dividend Payout Ratio 1.59  1.67 

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Additional Tools for GCM Stock Analysis

When running GCM Grosvenor's price analysis, check to measure GCM Grosvenor's market volatility, profitability, liquidity, solvency, efficiency, growth potential, financial leverage, and other vital indicators. We have many different tools that can be utilized to determine how healthy GCM Grosvenor is operating at the current time. Most of GCM Grosvenor's value examination focuses on studying past and present price action to predict the probability of GCM Grosvenor's future price movements. You can analyze the entity against its peers and the financial market as a whole to determine factors that move GCM Grosvenor's price. Additionally, you may evaluate how the addition of GCM Grosvenor to your portfolios can decrease your overall portfolio volatility.