Integrity and Transparency
Grosvenor is a process-oriented firm with a strict culture of compliance. We adhere to — and in many cases believe that we define — best practices in the alternative investments industry. We have been registered as an investment adviser with the U.S. Securities and Exchange Commission since 1997.* The Firm has developed a strong internal control environment and compliance regime that includes a code of ethics and comprehensive compliance policies and procedures. These controls are designed to deliver quality results to our clients with a high level of integrity and transparency.
* Registration with the SEC as an investment adviser should not be construed to imply that the SEC has approved or endorsed Grosvenor's qualifications or the services it offers or that Grosvenor or its personnel possess a particular level of skill, expertise or training.
