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Lawrence Park Asset Management

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uuid002q7ho

Namestring
Lawrence Park Asset Management
Legal namestring
CI Investments Inc.
Company typeenum
Private
Founded yearint
2011
Descriptiontext

CI Global Asset Management is a Toronto-based asset manager and wholly-owned subsidiary of CI Financial (TSX: CIX), a diversified financial services company that oversees approximately $500 billion in combined assets. CI GAM distributes private-market investment products through fund-of-fund structures targeting accredited investors across Canada and the United States, with the legal entity being CI Investments Inc., registered in Ontario. Its core offering comprises two flagship fund-of-fund vehicles launched in 2023 — the CI Private Markets Growth Fund and the CI Private Markets Income Fund — which provide diversified exposure to private equity, venture capital, private credit, private infrastructure, private real estate and royalty funds through 13 and 9 underlying managers respectively (as of June 2024). The platform also includes the CI Global Private Real Estate Fund and two white-label products co-developed with Adams Street Partners and HarbourVest.

The business model is subscription-based recurring management-fee revenue applied to assets under management, with capped all-in management fees of 1.63% (Growth Fund) and 1.53% (Income Fund) for Series F units, no performance fees, and a low $25,000 USD/CAD minimum investment. Distribution is dual-channel: a sales-led motion through financial advisors led by SVP Roberto Katigbak, paired with a self-serve digital channel allowing accredited investors to request offering documents directly. The firm emphasizes registered-plan eligibility (RRSP, RRIF, TFSA, FHSA, RESP, RDSP) as a differentiator against traditional private-market access barriers.

Operationally, CI GAM runs a 20+ person dedicated alternatives team across Canada and the U.S., led by President and CIO Marc-André Lewis, PhD (joined 2021 from Abu Dhabi Investment Authority) and supported by an ecosystem of strategic partnerships with managers including Invesco, Forge First, Auspice, Galaxy Digital, Marret (now integrated), Black Creek, PICTON, Altrinsic, Munro and DoubleLine. No revenue, AUM, or funding figures for CI GAM itself are disclosed in the source material.

Short descriptiontext

CI Global Asset Management, a CI Financial subsidiary, distributes private-market fund-of-fund products (Growth Fund, Income Fund, Real Estate, Adams Street, HarbourVest) to accredited investors across Canada and the U.S. through advisor and self-serve channels, with low $25K minimums and capped all-in fees.

Operating statusenum
Operating
Ownership categoryenum
Headcount rangeband
1–10
akta.pro rankint
HeadquartersToronto, Canada
HQ citystring
Toronto
HQ countrystring
Canada
HQ regionstring
North America
Markets served

Serves global market

Offices1 record

Each record includes

City, Country, Type, Description, Source

Keyword5 values
private equity funds, alternative investments, asset management, fund of funds, private credit investing
Industry3 codes
1Sustainable Private Markets (Impact PE/VC, Private Credit, Infrastructure)
CodeFSAAALAGPrimaryYes
2Co-Investment / Direct Allocation Platforms (alongside FoF)
CodeFSANAGAKPrimaryNo
3Real Assets — Real Asset Fund Platforms / Multi-Asset Real Assets (Diversified Real Assets Funds)
CodeFSAHAIAMPrimaryNo
NAICS code3 codes
  • Portfolio Management and Investment Advice523940
  • Other Investment Pools and Funds5259
  • Other Financial Vehicles52599
SIC code2 codes
  • Investment Advice6282
  • Investors, Nec6799
Product category
Alternative Asset Management
GTM motion2 records

Each record includes

Type, Description, Source

Revenue model2 records
1Management Fees - Growth Fund
TypeSubscription Recurring
Description

CI Private Markets Growth Fund Series F charges a top fund management fee of 0.80% with a capped all-in-management fee of 1.63% covering both top fund and underlying bottom fund management fees.

cifinancial.com
2Management Fees - Income Fund
TypeSubscription Recurring
Description

CI Private Markets Income Fund Series F charges a top fund management fee of 0.65% with a capped all-in-management fee of 1.53% covering both top fund and underlying bottom fund management fees.

cifinancial.com
Marketing channels5 records

Each record includes

Title, Type, Stage, Description, Source

Distribution channels2 records

Each record includes

Title, Type, Scope, Target buyer, Description, Source

Cost components5 values
Personnel, Operations, Technology or R&D, Marketing or Sales, Others
Pricing details2 tiers
1CI Private Markets Growth Fund Series F
ModelSubscriptionBilling cadenceAnnual
Notes

Top fund management fee: 0.80%. Capped all-in-management fee: 1.63% (top fund + bottom funds). Minimum investment: $25,000 USD or CAD.

cifinancial.com
2CI Private Markets Income Fund Series F
ModelSubscriptionBilling cadenceAnnual
Notes

Top fund management fee: 0.65%. Capped all-in-management fee: 1.53% (top fund + bottom funds). Minimum investment: $25,000 USD or CAD.

cifinancial.com
GTM typeB2C
B2C
Offering typeServices
Services
Brand1 of 5 records shown
1CI Private Markets Growth Fund
Description

Fund of funds designed to provide long-term capital growth through diversified exposure to private equity, venture capital, private credit, private infrastructure, private real estate and other private market funds.

cifinancial.com
+4 more records
Core offering1 text field

Lawrence Park Asset Management, operating through CI Global Asset Management (CI GAM), offers single-ticket fund-of-fund solutions that give accredited investors diversified exposure to private market strategies, including private equity, venture capital, private credit, private infrastructure, private real estate, and royalty funds. Products carry a $25,000 minimum investment, no lock-up periods, and no performance fees, and are supported by a dedicated alternatives team of more than 20 investment professionals across Canada and the U.S.

Differentiator
Functional benefit
Problem solved
Quantifiable outcome1 of 2 values shown
  • Enhanced diversification potential with lower portfolio volatility compared to traditional markets
+1 more record
Product overview1 text field

CI Global Asset Management offers a suite of private market investment solutions comprising multiple fund products. The core offerings include two fund-of-fund solutions launched in 2023: the CI Private Markets Growth Fund (focused on capital growth) and the CI Private Markets Income Fund (focused on income generation). These are supplemented by the CI Global Private Real Estate Fund, CI Adams Street Global Private Markets Fund, and CI HarbourVest Private Infrastructure Income Fund. All products are single-ticket, fund-of-fund solutions providing access to private markets with low investment minimums ($25,000 USD or CAD), no lock-up periods, and no performance fees. The funds are backed by a dedicated alternatives team of over 20 investment professionals.

Product and service5 records
1CI Private Markets Growth Fund
CategoryPrivate Markets Fund
Description

Fund-of-funds product providing diversified exposure to growth-oriented private market strategies including private equity, venture capital, private credit, private infrastructure, and private real estate, designed for long-term capital growth. Series F capped all-in management fee of 1.63%, minimum investment $25,000 USD or CAD.

2CI Private Markets Income Fund
CategoryPrivate Markets Fund
Description

Fund-of-funds investing in income-producing assets such as private credit, private equity, private real estate, private infrastructure, and royalty funds, targeting returns similar to public markets with less volatility. Series F capped all-in management fee of 1.53%, minimum investment $25,000 USD or CAD.

3CI Global Private Real Estate Fund
CategoryPrivate Markets Fund
Description

Provides stable dividend income and capital appreciation through direct and indirect investments in real estate and real estate-related assets across Europe, the Americas, and the Asia Pacific region.

4CI Adams Street Global Private Markets Fund
CategoryPrivate Markets Fund
Description

Seeks attractive long-term capital appreciation through a diversified portfolio of private equity and credit instruments from around the world selected for best-in-class private growth opportunities, managed by Adams Street Partners.

5CI HarbourVest Private Infrastructure Income Fund
CategoryPrivate Markets Fund
Description

Provides exposure to a portfolio of mature, high-quality stable infrastructure assets for long-term capital appreciation, managed by HarbourVest. Available to Canadian accredited investors who are also qualified purchasers; U.S. persons are restricted.

Scale indicator4 records

Each record includes

Type, Value, Description, Source

Partnership12 partners
Strategic tierCoreTypeStrategic or Co-development Partner
Description

Adams Street Partners manages the CI Adams Street Global Private Markets Fund, which seeks attractive long-term capital appreciation through a diversified portfolio of private equity and credit instruments from around the world selected for best-in-class private growth opportunities.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

HarbourVest manages the CI HarbourVest Private Infrastructure Income Fund, which seeks attractive long-term capital appreciation by providing exposure to a portfolio of mature, high-quality stable infrastructure assets. Only offered to Canadian accredited investors who are also qualified purchasers.

Strategic tierKeyTypeStrategic or Co-development Partner
Description

Strategic partnership within CI GAM's Investment Capabilities section, providing additional investment options and capabilities in the alternatives space.

Strategic tierKeyTypeStrategic or Co-development Partner
Description

Strategic partnership providing alternative investment capabilities and strategies within CI GAM's portfolio management offerings.

Strategic tierKeyTypeStrategic or Co-development Partner
Description

Strategic partnership for alternative investment strategies within CI GAM's investment capabilities.

Strategic tierKeyTypeStrategic or Co-development Partner
Description

Strategic partnership providing exposure to digital asset investment strategies within CI GAM's alternatives capabilities.

Strategic tierCoreTypeStrategic or Co-development Partner
Description

Now part of CI GAM, Marret specializes in hedge funds and alternative credit. Roberto Katigbak, former CEO of Marret, leads Alternative Investments Distribution at CI GAM, indicating integration into the firm's alternatives platform.

Strategic tierKeyTypeStrategic or Co-development Partner
Description

Strategic partnership within CI GAM's Investment Capabilities providing additional investment management expertise.

Strategic tierKeyTypeStrategic or Co-development Partner
Description

Strategic partnership contributing to CI GAM's alternative investment capabilities and portfolio management offerings.

Strategic tierKeyTypeStrategic or Co-development Partner
Description

Strategic partnership providing global investment capabilities within CI GAM's portfolio management offerings.

Strategic tierKeyTypeStrategic or Co-development Partner
Description

Strategic partnership contributing specialized investment strategies to CI GAM's alternatives and international investment capabilities.

Strategic tierKeyTypeStrategic or Co-development Partner
Description

Strategic partnership providing fixed income investment capabilities and expertise within CI GAM's portfolio management offerings.

Recent move5 records

Each record includes

Date, Type, Title, Description, Source

Expansion highlight6 records

Each record includes

Type, Description

Peers10 records
TypeBroad incumbent
Description

Global alternatives giant with deep private equity, private credit, real estate, and infrastructure franchises that increasingly offers wealth-channel products—an incumbent peer whose FoF-equivalent wealth offerings compete for advisor allocation.

TypeDirect peer
Description

Leading private markets platform providing wealth advisors and their HNW clients access to private equity, private credit, and other alternatives via feeder fund structures—closely mirroring CI GAM's model of democratized access for accredited investors through advisor distribution.

TypeBroad incumbent
Description

World's largest asset manager with growing private markets capabilities across PE, credit, and infrastructure—a broad incumbent that increasingly targets wealth-channel private market access at scale, comparable to CI GAM's institutional distribution advantage.

TypeBroad incumbent
Description

Global alternative asset manager with extensive private equity, credit, real estate, and infrastructure offerings—a broad incumbent that competes for allocator capital and competes for private markets manager access.

TypeDirect peer
Description

Alternative investment platform providing financial advisors and HNW investors access to hedge funds, private credit, private real estate, and managed futures via diversified fund structures—a FoF peer with similar advisor-distribution orientation.

TypeDirect peer
Description

Specialized private markets investment manager offering fund-of-funds and customized solutions across PE, credit, and infrastructure—directly comparable to CI GAM's diversified private markets FoF approach with similar institutional manager sourcing and due diligence capabilities.

TypeDirect peer
Description

Global private markets investment firm focused on fund-of-funds, co-investments, and customized portfolios across PE, VC, real estate, infrastructure, and private credit—a direct FoF peer with comparable multi-manager diversified strategy.

TypeDirect peer
Description

Independent alternative investment platform serving financial advisors with curated private market fund access—closely aligned with CI GAM's advisor-led distribution model targeting accredited investors with diversified alternative exposures.

TypeEmerging player
Description

Online platform democratizing access to alternative investments including private credit, real estate, and structured products for individual accredited investors—overlapping with CI GAM's low-minimum, multi-alternative wealth-channel thesis.

TypeEmerging player
Description

Digital private markets platform enabling individual investors to access top-tier PE and VC funds via feeder structures with lower minimums—directly comparable to CI GAM's democratized-access thesis, though Moonfare is European-focused.

Market position
Strengths5 records

Each record includes

Headline, Details, Source

Weaknesses5 records

Each record includes

Headline, Details, Source

Competitive moat6 records

Each record includes

Type, Details

Key risks7 records

Each record includes

Headline, Details, Source

Key highlights7 records

Each record includes

Headline, Details, Source

Customer concentration

Classification, Details

Segment3 records

Each record includes

Title, Type, Primary, Description, Pain point addressed, Use case, Source

Ideal customer profile3 records

Each record includes

Profile, Firmographic size, Sales motion, Sales cycle length, Buying structure, Purchase trigger, Buyer persona, Geography, Industry vertical, Primary use case, Description, Pain points, Evidence proof points, Target buyer

API detail
Has APIbool
No

Docs URL, Description

AI maturity
App detail

Has app

Feature4 records

Each record includes

Title, Differentiator, Description, Source

Core technology
Revenue estimate
Valuation estimate
Number of profiles
Profiles4 records

Each record includes

Name, Designation, Designation category, Overview, Profile commentary, Source

No data
No data
Funding overview

Funding stage, Last funding date, Total funding USD

Funding rounds

Each record includes

Round, Amount USD, Date, Pre money valuation, Total investors, Investors, News

Investors

Each record includes

Name, Type, Date of entry, Rounds participated, Website

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

M&A

Each record includes

Name, Acquisition type, Announced date, Completed date, Status, Website, News

Investment

Each record includes

Name, Round, Announced date, Lead investor, Website, News

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Lawrence Park Asset Management

Alternative Asset Managementlawrenceparkam.com

CI Global Asset Management, a CI Financial subsidiary, distributes private-market fund-of-fund products (Growth Fund, Income Fund, Real Estate, Adams Street, HarbourVest) to accredited investors across Canada and the U.S. through advisor and self-serve channels, with low $25K minimums and capped all-in fees.

What Lawrence Park Asset Management does

CI Global Asset Management is a Toronto-based asset manager and wholly-owned subsidiary of CI Financial (TSX: CIX), a diversified financial services company that oversees approximately $500 billion in combined assets. CI GAM distributes private-market investment products through fund-of-fund structures targeting accredited investors across Canada and the United States, with the legal entity being CI Investments Inc., registered in Ontario. Its core offering comprises two flagship fund-of-fund vehicles launched in 2023 — the CI Private Markets Growth Fund and the CI Private Markets Income Fund — which provide diversified exposure to private equity, venture capital, private credit, private infrastructure, private real estate and royalty funds through 13 and 9 underlying managers respectively (as of June 2024). The platform also includes the CI Global Private Real Estate Fund and two white-label products co-developed with Adams Street Partners and HarbourVest.

The business model is subscription-based recurring management-fee revenue applied to assets under management, with capped all-in management fees of 1.63% (Growth Fund) and 1.53% (Income Fund) for Series F units, no performance fees, and a low $25,000 USD/CAD minimum investment. Distribution is dual-channel: a sales-led motion through financial advisors led by SVP Roberto Katigbak, paired with a self-serve digital channel allowing accredited investors to request offering documents directly. The firm emphasizes registered-plan eligibility (RRSP, RRIF, TFSA, FHSA, RESP, RDSP) as a differentiator against traditional private-market access barriers.

Operationally, CI GAM runs a 20+ person dedicated alternatives team across Canada and the U.S., led by President and CIO Marc-André Lewis, PhD (joined 2021 from Abu Dhabi Investment Authority) and supported by an ecosystem of strategic partnerships with managers including Invesco, Forge First, Auspice, Galaxy Digital, Marret (now integrated), Black Creek, PICTON, Altrinsic, Munro and DoubleLine. No revenue, AUM, or funding figures for CI GAM itself are disclosed in the source material.

Lawrence Park Asset Management firmographics

Firmographics
Name
Lawrence Park Asset Management
Legal name
CI Investments Inc.
Website
https://lawrenceparkam.com
Company type
Private
Founded year
2011
Operating status
Operating
Headcount range
1–10 employees
Short description
CI Global Asset Management, a CI Financial subsidiary, distributes private-market fund-of-fund products (Growth Fund, Income Fund, Real Estate, Adams Street, HarbourVest) to accredited investors across Canada and the U.S. through advisor and self-serve channels, with low $25K minimums and capped all-in fees.
Ownership category
akta.pro rank

Lawrence Park Asset Management industry classification

Industry
Product category
Alternative Asset Management
NAICS
Portfolio Management and Investment Advice (523940), Other Investment Pools and Funds (5259), Other Financial Vehicles (52599)
SIC
Investment Advice (6282), Investors, Nec (6799)
akta.pro primary industry
Sustainable Private Markets (Impact PE/VC, Private Credit, Infrastructure) (FSAAALAG)
akta.pro secondary industries
Co-Investment / Direct Allocation Platforms (alongside FoF) (FSANAGAK), Real Assets — Real Asset Fund Platforms / Multi-Asset Real Assets (Diversified Real Assets Funds) (FSAHAIAM)

Keywords

  • Private equity funds
  • Alternative investments
  • Asset management
  • Fund of funds
  • Private credit investing

Where Lawrence Park Asset Management is headquartered

Location

Headquarters

HQ city
Toronto
HQ country
Canada
HQ region
North America

Offices1 record

Markets served

Lawrence Park Asset Management business model

Business model
GTM type
B2C
Offering type
Services
Cost components
Personnel, Operations, Technology or R&D, Marketing or Sales, Others

Revenue model

  1. Management Fees - Growth Fund: CI Private Markets Growth Fund Series F charges a top fund management fee of 0.80% with a capped all-in-management fee of 1.63% covering both top fund and underlying bottom fund management fees.
  2. Management Fees - Income Fund: CI Private Markets Income Fund Series F charges a top fund management fee of 0.65% with a capped all-in-management fee of 1.53% covering both top fund and underlying bottom fund management fees.

Pricing tiers

ModelBillingPrice
SubscriptionAnnualCI Private Markets Growth Fund Series F
SubscriptionAnnualCI Private Markets Income Fund Series F

Go-to-market motion2 records

Distribution channels2 records

Marketing channels5 records

Lawrence Park Asset Management product offering

Product offering

Core offering

Lawrence Park Asset Management, operating through CI Global Asset Management (CI GAM), offers single-ticket fund-of-fund solutions that give accredited investors diversified exposure to private market strategies, including private equity, venture capital, private credit, private infrastructure, private real estate, and royalty funds. Products carry a $25,000 minimum investment, no lock-up periods, and no performance fees, and are supported by a dedicated alternatives team of more than 20 investment professionals across Canada and the U.S.

Product overview

CI Global Asset Management offers a suite of private market investment solutions comprising multiple fund products. The core offerings include two fund-of-fund solutions launched in 2023: the CI Private Markets Growth Fund (focused on capital growth) and the CI Private Markets Income Fund (focused on income generation). These are supplemented by the CI Global Private Real Estate Fund, CI Adams Street Global Private Markets Fund, and CI HarbourVest Private Infrastructure Income Fund. All products are single-ticket, fund-of-fund solutions providing access to private markets with low investment minimums ($25,000 USD or CAD), no lock-up periods, and no performance fees. The funds are backed by a dedicated alternatives team of over 20 investment professionals.

Differentiator

Problem solved

Functional benefit

Brands

  • CI Private Markets Growth Fund: Fund of funds designed to provide long-term capital growth through diversified exposure to private equity, venture capital, private credit, private infrastructure, private real estate and other private market funds.
  • CI Private Markets Income Fund
  • CI Global Private Real Estate Fund
  • CI Adams Street Global Private Markets Fund
  • CI HarbourVest Private Infrastructure Income Fund

Products and services

  • CI Private Markets Growth Fund Fund-of-funds product providing diversified exposure to growth-oriented private market strategies including private equity, venture capital, private credit, private infrastructure, and private real estate, designed for long-term capital growth. Series F capped all-in management fee of 1.63%, minimum investment $25,000 USD or CAD.
  • CI Private Markets Income Fund Fund-of-funds investing in income-producing assets such as private credit, private equity, private real estate, private infrastructure, and royalty funds, targeting returns similar to public markets with less volatility. Series F capped all-in management fee of 1.53%, minimum investment $25,000 USD or CAD.
  • CI Global Private Real Estate Fund Provides stable dividend income and capital appreciation through direct and indirect investments in real estate and real estate-related assets across Europe, the Americas, and the Asia Pacific region.
  • CI Adams Street Global Private Markets Fund Seeks attractive long-term capital appreciation through a diversified portfolio of private equity and credit instruments from around the world selected for best-in-class private growth opportunities, managed by Adams Street Partners.
  • CI HarbourVest Private Infrastructure Income Fund Provides exposure to a portfolio of mature, high-quality stable infrastructure assets for long-term capital appreciation, managed by HarbourVest. Available to Canadian accredited investors who are also qualified purchasers; U.S. persons are restricted.

Quantifiable outcome

  • Enhanced diversification potential with lower portfolio volatility compared to traditional markets
  • +1 more outcomes

Companies that use Lawrence Park Asset Management

Customer profile

Segments3 records

Ideal customer profiles3 records

Lawrence Park Asset Management technology and API

Technology

API detail

Has API
No
API docs
API detail

Core technology

AI maturity

App detail

Feature4 records

Lawrence Park Asset Management partnerships and signals

Strategic signal

Partnerships

Twelve partnerships are on record, tiered core and key.

  • Adams Street PartnerscoreStrategic or Co-development PartnerAdams Street Partners manages the CI Adams Street Global Private Markets Fund, which seeks attractive long-term capital appreciation through a diversified portfolio of private equity and credit instruments from around the world selected for best-in-class private growth opportunities.
  • HarbourVestcoreStrategic or Co-development PartnerHarbourVest manages the CI HarbourVest Private Infrastructure Income Fund, which seeks attractive long-term capital appreciation by providing exposure to a portfolio of mature, high-quality stable infrastructure assets. Only offered to Canadian accredited investors who are also qualified purchasers.
  • InvescokeyStrategic or Co-development PartnerStrategic partnership within CI GAM's Investment Capabilities section, providing additional investment options and capabilities in the alternatives space.
  • Forge FirstkeyStrategic or Co-development PartnerStrategic partnership providing alternative investment capabilities and strategies within CI GAM's portfolio management offerings.
  • Auspice Capital AdvisorskeyStrategic or Co-development PartnerStrategic partnership for alternative investment strategies within CI GAM's investment capabilities.
  • Galaxy Digital Capital Management LPkeyStrategic or Co-development PartnerStrategic partnership providing exposure to digital asset investment strategies within CI GAM's alternatives capabilities.
  • Marret Asset Management Inc.coreStrategic or Co-development PartnerNow part of CI GAM, Marret specializes in hedge funds and alternative credit. Roberto Katigbak, former CEO of Marret, leads Alternative Investments Distribution at CI GAM, indicating integration into the firm's alternatives platform.
  • Black Creek Investment Management Inc.keyStrategic or Co-development PartnerStrategic partnership within CI GAM's Investment Capabilities providing additional investment management expertise.
  • PICTON InvestmentskeyStrategic or Co-development PartnerStrategic partnership contributing to CI GAM's alternative investment capabilities and portfolio management offerings.
  • Altrinsic Global AdvisorskeyStrategic or Co-development PartnerStrategic partnership providing global investment capabilities within CI GAM's portfolio management offerings.
  • Munro PartnerskeyStrategic or Co-development PartnerStrategic partnership contributing specialized investment strategies to CI GAM's alternatives and international investment capabilities.
  • DoubleLinekeyStrategic or Co-development PartnerStrategic partnership providing fixed income investment capabilities and expertise within CI GAM's portfolio management offerings.

Scale indicators4 records

Recent moves5 records

Expansion highlights6 records

Lawrence Park Asset Management competitors and assessment

Company assessment

Broad incumbents

  • KKR: Global alternatives giant with deep private equity, private credit, real estate, and infrastructure franchises that increasingly offers wealth-channel products—an incumbent peer whose FoF-equivalent wealth offerings compete for advisor allocation.
  • BlackRock: World's largest asset manager with growing private markets capabilities across PE, credit, and infrastructure—a broad incumbent that increasingly targets wealth-channel private market access at scale, comparable to CI GAM's institutional distribution advantage.
  • Brookfield Asset Management: Global alternative asset manager with extensive private equity, credit, real estate, and infrastructure offerings—a broad incumbent that competes for allocator capital and competes for private markets manager access.

Direct peers

  • iCapital Network: Leading private markets platform providing wealth advisors and their HNW clients access to private equity, private credit, and other alternatives via feeder fund structures—closely mirroring CI GAM's model of democratized access for accredited investors through advisor distribution.
  • Altegris: Alternative investment platform providing financial advisors and HNW investors access to hedge funds, private credit, private real estate, and managed futures via diversified fund structures—a FoF peer with similar advisor-distribution orientation.
  • Hamilton Lane: Specialized private markets investment manager offering fund-of-funds and customized solutions across PE, credit, and infrastructure—directly comparable to CI GAM's diversified private markets FoF approach with similar institutional manager sourcing and due diligence capabilities.
  • StepStone Group: Global private markets investment firm focused on fund-of-funds, co-investments, and customized portfolios across PE, VC, real estate, infrastructure, and private credit—a direct FoF peer with comparable multi-manager diversified strategy.
  • CAIS: Independent alternative investment platform serving financial advisors with curated private market fund access—closely aligned with CI GAM's advisor-led distribution model targeting accredited investors with diversified alternative exposures.

Emerging players

  • Yieldstreet: Online platform democratizing access to alternative investments including private credit, real estate, and structured products for individual accredited investors—overlapping with CI GAM's low-minimum, multi-alternative wealth-channel thesis.
  • Moonfare: Digital private markets platform enabling individual investors to access top-tier PE and VC funds via feeder structures with lower minimums—directly comparable to CI GAM's democratized-access thesis, though Moonfare is European-focused.

Market position

Strengths5 records

Weaknesses5 records

Competitive moat6 records

Key risks7 records

Key highlights7 records

Customer concentration

Lawrence Park Asset Management social profiles

Digital presence

Lawrence Park Asset Management financial estimates

Financial estimate

Revenue estimate

Valuation estimate

Lawrence Park Asset Management leadership team

Management profile

Number of profiles

Profiles4 records

Lawrence Park Asset Management funding detail

Funding detail

Funding overview

Funding rounds

Investors

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

Lawrence Park Asset Management M&A and investment

M&A and investment

M&A

Investments

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Frequently asked questions about Lawrence Park Asset Management

What does Lawrence Park Asset Management do?

Lawrence Park Asset Management, operating through CI Global Asset Management (CI GAM), offers single-ticket fund-of-fund solutions that give accredited investors diversified exposure to private market strategies, including private equity, venture capital, private credit, private infrastructure, private real estate, and royalty funds. Products carry a $25,000 minimum investment, no lock-up periods, and no performance fees, and are supported by a dedicated alternatives team of more than 20 investment professionals across Canada and the U.S.

Is Lawrence Park Asset Management a public or private company?

Lawrence Park Asset Management is a private company. It is classified as corporate owned and is currently operating.

When was Lawrence Park Asset Management founded?

Lawrence Park Asset Management was founded in 2011. It employs 1 to 10 people.

Where is Lawrence Park Asset Management based?

Lawrence Park Asset Management is headquartered in Toronto, Canada, in the North America region.

How does Lawrence Park Asset Management make money?

Two revenue lines are on record. Management Fees - Growth Fund is the primary driver. The others are management Fees - Income Fund.

Who are Lawrence Park Asset Management's main competitors?

Broad incumbents on record are KKR, BlackRock and Brookfield Asset Management. Direct peers are iCapital Network, Altegris, Hamilton Lane, StepStone Group and CAIS. Emerging players are Yieldstreet and Moonfare.

Does Lawrence Park Asset Management have an API?

No public API is recorded for Lawrence Park Asset Management.

What industry is Lawrence Park Asset Management in?

Lawrence Park Asset Management's product category is Alternative Asset Management. Its primary akta.pro industry code is FSAAALAG, Sustainable Private Markets (Impact PE/VC, Private Credit, Infrastructure), with a secondary code of FSANAGAK, Co-Investment / Direct Allocation Platforms (alongside FoF). Its NAICS code is 523940 and its SIC code is 6282.

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