Deal Pack: CBRE Global Investors
Generated Feb 2, 2026v202602020738Enterprise
AUM
$33B
Strategy
Real Estate
HQ
US
Founded
N/A
Employees
N/A
Ownership
independent
Layer 1: Proprietary Indicators
56
GP Health Score
Moderate
60
Stakeability
Moderate
45
Fund Performance
Weak
80
Talent Stability
Strong
45
Credit Exposure
Weak
100
Regulatory Breadth
Strong
40
Market Momentum
Weak
40
Growth Trajectory
Weak
Health Score Breakdown
Component Details
fund performance
45/100Weight: 25%
median irr12.8
benchmark irr14
fund count with irr16
primary strategyPrivate Equity
Source: Pension fund performance reports
talent stability
80/100Weight: 20%
current team size100
departed count0
retention ratio1
avg tenure yearsN/A
Source: LinkedIn career histories, team member records
credit health
45/100Weight: 15%
total fair value7274898
total par7886257
fair value to par pct92.2
top borrower concentration pct51.9
Source: BDC 10-K/10-Q portfolio filings (SEC)
regulatory compliance
100/100Weight: 10%
unique jurisdictions10
jurisdictionsADGM,BVI,Bermuda,Cayman,France,Germany,Guernsey,Hong Kong,UAE,UK
active registrations23
total registrations30
Source: FCA, BaFin, AMF, CSSF, ADGM, SEC, entity registrations
market presence
40/100Weight: 15%
news mentions0
conference appearances0
domain rank428724
employer ratingN/A
Source: Market intel, conference records, Tranco web rankings, Glassdoor
growth trajectory
40/100Weight: 15%
aum growth pctN/A
recent job postings0
funds currently raising0
total funds85
Source: Data changelog (AUM), hiring signals, fund filings
Layer 2: Synthesis
Executive Summary
- CBRE Global Investors shows a moderate overall health profile (score: 56/100) based on analysis of fund performance, team stability, credit exposure, regulatory breadth, market presence, and growth trajectory.
- Median net IRR across 16 tracked funds is 12.8%, compared to a Private Equity benchmark of 14.0%.
- Registered across 10 jurisdictions with 23 active registrations.
Key Risks
mediumCredit
Credit health concerns: FV/Par at 92.2%
Key Strengths
Regulatory
Diversified regulatory footprint across 10 jurisdictions
Secondary Pricing Estimate
83.6%
Avg NAV Pricing
54.0% to 101.0%
Range
7
Funds Priced
Confidence: high, low, medium
Peer ComparisonReal Estate | 20 peers in AUM range
| Firm | AUM | Stakeability |
|---|---|---|
| CBRE Global Investors (this GP) | $33B | 60 |
| Iconiq Capital | $95B | 38 |
| Lone Star Funds | $85B | 49 |
| Kyobo AXA Investment Managers | $77B | 27 |
| Sterling & Freeman Capital Management | $66B | 27 |
| Hg Capital | $65B | 59 |
| Pebblestone Asset Management | $51B | 28 |
| Investcorp | $50B | 68 |
| ICON Bridge | $49B | 27 |
| SCS Financial | $43B | 40 |
| Ashmore Investment Management | $41B | 39 |
Layer 3: Evidence
Fund Performance (30 records)
BDC Credit Exposure (7 borrowers)
| Borrower | Fair Value | Par | BDCs | BDC Names |
|---|---|---|---|---|
| EAB Global, Inc. | $3.8M | $3.9M | 2 | New Mountain Finance Corp, Saratoga Investment Corp |
| CDK GLOBAL, INC. | $3.4M | $3.9M | 1 | Saratoga Investment Corp |
| TS Investors, LLC | $27K | $27K | 1 | MidCap Financial Investment Corp |
| PRGX Global, Inc. | $26K | $26K | 1 | Oaktree Specialty Lending Corp |
| FS NU Investors, LP | $197 | N/A | 1 | Carlyle Secured Lending Inc |
| Forge Global, Inc. | N/A | N/A | 1 | SuRo Capital Corp |
| Cohesity Global, Inc. | N/A | N/A | 1 | TriplePoint Venture Growth BDC Corp |
Regulatory Registrations (30)
| Regulator | Country | Entity | Status | Reference |
|---|---|---|---|---|
| FCA | UK | Henderson Global Investors Limited | Authorised | 122286 |
| FCA | UK | Franklin Templeton Global investors Limited | No longer authorised | 1001682 |
| BaFin | Germany | ALLIANZ GLOBAL INVESTORS GMBH | Active | ESMA-7941 |
| BaFin | Germany | ALLIANZ GLOBAL INVESTORS GMBH | Active | ESMA-19170 |
| BaFin | Germany | Allianz Global Investors GmbH | Active | ESMA-5829 |
| AMF | France | COLLIERS GLOBAL INVESTORS FRANCE | Active | 19454 |
| AMF | France | EURAZEO GLOBAL INVESTOR | Active | 103 |
| AMF | France | DTZ INVESTORS REIM | Active | 24611 |
| ADGM/FSRA | UAE | Global Investments Limited | Withdrawn | 190031 |
| ADGM/FSRA | UAE | Allianz Global Investors Middle East Limited | Active | 250070 |
| ADGM-FSRA | ADGM | Pearl Co Investors LP | Active | F-0040 |
| BMA | Bermuda | Incu Global Ltd. | c/o Incu Capital Managment Ltd.Victoria Place31 Victoria StreetHamiltonHM10 | Institutional Fund |
| BMA | Bermuda | Prime Global Investment Fund Ltd. | c/o M Q Services Ltd.Victoria Place31 Victoria StreetHamiltonHM 10 | Institutional Fund |
| BMA | Bermuda | Rapture Global Investment Fund Ltd. | c/o Richmond Corporate ServicesVeritas Place, 6th Floor65 Court StreetHamiltonPembroke HM 12 | Institutional Fund |
| BMA | Bermuda | HSBC Global Investment Funds | 4, rue Peternelchen L-2370 Howald, Grand Duchy of LuxembourgHowaldL-2370 | Overseas Fund |
| SEC-EDGAR-FormD | Cayman | BlueDrive Global Investors Fund Ltd | Active | 021-291114 |
| SEC-EDGAR-FormD | Cayman | BlueDrive Global Investors Fund LP | Active | 021-291115 |
| SEC-EDGAR-FormD | Cayman | Tiger Global PIP XV Private Investors Offshore, L.P. | Active | 021-418885 |
| SEC-EDGAR-FormD | Cayman | Jain Global Private Investors Offshore Conduit, Ltd. | Active | 021-534943 |
| SEC-EDGAR-FormD | Cayman | ATLAS GLOBAL INVESTMENTS LTD | Active | 021-94108 |
| SEC-EDGAR-FormD | Cayman | StormX Global SEZC, Inc. | Active | 021-328387 |
| SEC-EDGAR-FormD | Cayman | Hain Capital Investors, Ltd. | Active | 021-325612 |
| SEC-EDGAR-FormD | BVI | Caxton Global Investments Ltd | Active | 021-473881 |
| SEC-EDGAR-FormD | Guernsey | BBOF V Investors LP | Active | 021-264382 |
| hk_sfc | Hong Kong | Allianz Global Investors Asia Pacific Limited | Active | BFE699 |
| hk_sfc | Hong Kong | Guotai Global Investments Limited | Active | BEL572 |
| hk_sfc | Hong Kong | Harvest Global Investments Limited | Active | ASE565 |
| hk_sfc | Hong Kong | IFM Investors (HK) Ltd | Active | BHP417 |
| hk_sfc | Hong Kong | Matthews Global Investors (Hong Kong) Limited | Active | AWP025 |
| hk_sfc | Hong Kong | Mufort Global Investments Limited | Active | BWK403 |
Methodology
Weighted composite of 6 dimensions
fund performance: 25% - Median IRR vs strategy benchmark
talent stability: 20% - Team retention ratio + average tenure
credit health: 15% - BDC fair value as % of par + borrower concentration
regulatory compliance: 10% - Number of active registrations, legal filing count
market presence: 15% - News mentions + conference appearances + web traffic rank
growth trajectory: 15% - AUM change + hiring signals + new fund filings
Scale: 0-100, where 70+ is strong, 50-69 is moderate, below 50 is weak
Data Sources: SEC Form ADV filings, Pension fund performance reports (CalPERS, CalSTRS, WSIB, etc.), BDC 10-K/10-Q portfolio filings, FCA, BaFin, AMF, CSSF, ADGM, MAS, SFC regulatory registers, LinkedIn career histories, Market intelligence news aggregation, Conference appearance records, Tranco web traffic rankings, Glassdoor/employer rating platforms, Entity registration databases (Delaware, Cayman, Luxembourg, etc.), Hiring signal aggregation, Lobbying disclosure reports, ESG/PRI signatory data
Deal Pack generated by GP Stakes Intelligence Platform on Feb 2, 2026. Data version 202602020738.
All scores are computed algorithmically and should be used alongside independent due diligence.