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Side-by-side facts across Blue Owl Capital, IFM Investors. For pairwise similarity scoring and overlap analysis, open any two firms on a head-to-head page.
| Blue Owl Capital | IFM Investors | |
|---|---|---|
| Firm type | Asset Manager | Asset Manager |
| Country | United States | Australia |
| Founded | 2021 | 1994 |
| Roles | Gp, Lender, Public Listing | Gp |
| AUM | $319B | $204.8B |
| Asset classes | 6 | 4 |
| Strategies | 34 — Direct Lending, First Lien, Senior Secured | 23 — Core, Evergreen / Open-ended Fund, Renewables |
| Geographies | United States, Canada, Europe, United States | North America, Europe, United Kingdom, Australia |
| Funds tracked | 25 | 8 |
| Vintage range | 2015–2026 | 1995–2022 |
| Avg net IRR | 13.1% | — |
| Avg TVPI | 1.52x | — |
| Key contacts | 32 | 43 |
Two firms selected — the head-to-head page has similarity scoring and overlap analysis for this pair.