ICG are a global alternative asset manager with over 32 years' history, managing $59.6bn of assets (as at 30 June 2021) in structured and private equity, private debt, real assets, and credit. We develop long-term relationships with our business partners to deliver value for shareholders, clients and employees, and use our position of influence to benefit the environment and society. We operate across four strategic asset classes: corporate, capital market, real asset and secondary investments. In addition to growing existing strategies, we innovate and pioneer new strategies where the market opportunity exists. ICG is listed on the London Stock Exchange (ticker symbol: ICP).