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Blue Owl Capital vs Man Group

A side-by-side comparison of Blue Owl Capital and Man Group across firm type, scale, strategy, and geography.

Scale comparison

Blue Owl Capital$319B
Man Group$253.6B
Insight

Blue Owl Capital manages roughly 1.3× the assets of the other firm.

Asset-class exposure

Private Credit
Real Estate
Left bar: Blue Owl CapitalRight bar: Man Group
Insight

Both firms are active in 1 shared asset class out of 2 tracked between them.

Key observations

  • • Blue Owl Capital is the largest by AUM at $319B — 1.26× Man Group ($253.6B).
  • • Man Group is the most established (founded 1783), 238 years before Blue Owl Capital (2021).
  • • Blue Owl Capital has the broadest mandate — active across 6 asset classes vs 4 for Man Group.
  • • All 2 firms invest in Private Credit, Real Estate.
  • • Blue Owl Capital is the only one here in Infrastructure & Private Equity, +2 more.
  • • Each firm is in a different country: United States, United Kingdom.
  • • Blue Owl Capital's network is more connected (64/100 vs 0/100), indicating broader relationship diversity.
  • • Strategy overlap is 16% (Jaccard) — 8 shared: Direct Lending, Senior Secured, CLOs and 5 more.
  • • Overall similarity is 25%, driven by 7 shared strategies, 2 shared asset classes, same AUM band.
25%Similarity score7 shared strategies · 2 shared asset classes · same AUM band
Blue Owl CapitalMan Group
Basics
Firm typeAsset ManagerAsset Manager
CountryUnited StatesUnited Kingdom
Founded20211783
Firm age5 yrs243 yrs
RolesGp, Lender, Public ListingGp
Scale & AUM
AUM$319B$253.6B
Market positionGiant ($100–500B)Giant ($100–500B)
AUM ratio1.3× larger
Strategy & Focus
Investment styleMulti-assetMulti-asset
DiversificationBroadBroad
Strategies34 — Direct Lending, First Lien, Senior Secured, Unitranche18 — Direct Lending, Senior Secured, Middle Market Lending, Distressed Debt
Asset classesprivate credit, real estate, infrastructure, private equity, secondaries, venture capitalprivate credit, real estate, hedge funds, other
Shared strategies8: Direct Lending, Senior Secured, CLOs
Shared asset classes2: private credit, real estate
Geography
Geographic biasUnited StatesUnited States
RegionsUnited States, United Kingdom, Europe, AsiaUnited States
Shared geographiesUnited States, United States, United States
Fund Portfolio
Published funds251
Largest fundBlue Owl GP Stakes VMan Opportunistic Credit Fund III
Vintage range2015–2026—
Fund statusesClosed (24), Fundraising (1)Fundraising (1)
Performance
Avg. net IRR13.1%—
Avg. TVPI1.52x—
Team
Total contacts3217
Team-to-AUM ratio0.1 per $B0.1 per $B
Network & Relationships
Connectivity64/1000/100
Network strength36/1000/100
Relationships210
Relationship densityHighLow
Network maturityEmergingEmerging
Similarity
Overall similarity25%
Strategy overlap16%
Asset class overlap25%
Geography overlap9%

Frequently asked

What is the difference between Blue Owl Capital and Man Group?

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.

Which is larger, Blue Owl Capital or Man Group?

By reported AUM, Blue Owl Capital is larger ($319B vs $253.6B).

Blue Owl Capital profile →Man Group profile →

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