A side-by-side comparison of Blue Owl Capital and Man Group across firm type, scale, strategy, and geography.
Blue Owl Capital manages roughly 1.3× the assets of the other firm.
Both firms are active in 1 shared asset class out of 2 tracked between them.
| Blue Owl Capital | Man Group | |
|---|---|---|
| Basics | ||
| Firm type | Asset Manager | Asset Manager |
| Country | United States | United Kingdom |
| Founded | 2021 | 1783 |
| Firm age | 5 yrs | 243 yrs |
| Roles | Gp, Lender, Public Listing | Gp |
| Scale & AUM | ||
| AUM | $319B | $253.6B |
| Market position | Giant ($100–500B) | Giant ($100–500B) |
| AUM ratio | 1.3× larger | |
| Strategy & Focus | ||
| Investment style | Multi-asset | Multi-asset |
| Diversification | Broad | Broad |
| Strategies | 34 — Direct Lending, First Lien, Senior Secured, Unitranche | 18 — Direct Lending, Senior Secured, Middle Market Lending, Distressed Debt |
| Asset classes | private credit, real estate, infrastructure, private equity, secondaries, venture capital | private credit, real estate, hedge funds, other |
| Shared strategies | 8: Direct Lending, Senior Secured, CLOs | |
| Shared asset classes | 2: private credit, real estate | |
| Geography | ||
| Geographic bias | United States | United States |
| Regions | United States, United Kingdom, Europe, Asia | United States |
| Shared geographies | United States, United States, United States | |
| Fund Portfolio | ||
| Published funds | 25 | 1 |
| Largest fund | Blue Owl GP Stakes V | Man Opportunistic Credit Fund III |
| Vintage range | 2015–2026 | — |
| Fund statuses | Closed (24), Fundraising (1) | Fundraising (1) |
| Performance | ||
| Avg. net IRR | 13.1% | — |
| Avg. TVPI | 1.52x | — |
| Team | ||
| Total contacts | 32 | 17 |
| Team-to-AUM ratio | 0.1 per $B | 0.1 per $B |
| Network & Relationships | ||
| Connectivity | 64/100 | 0/100 |
| Network strength | 36/100 | 0/100 |
| Relationships | 21 | 0 |
| Relationship density | High | Low |
| Network maturity | Emerging | Emerging |
| Similarity | ||
| Overall similarity | 25% | |
| Strategy overlap | 16% | |
| Asset class overlap | 25% | |
| Geography overlap | 9% | |
Blue Owl Capital is a asset manager based in United States, while Man Group is a asset manager based in United Kingdom. This page compares their firm type, assets under management, strategies, and geographic focus.
By reported AUM, Blue Owl Capital is larger ($319B vs $253.6B).