We have approximately $37 billion of assets under management, including Onex shareholder capital.
Our Platform Onex invests and manages capital on behalf of shareholders, institutional investors and high net worth clients from around the world. This capital is committed to or invested in Onex’ various platforms. Our private equity platforms, Onex Partners and ONCAP, seek to acquire and build high-quality businesses in partnership with talented management teams and focus on execution theses rather than macro-economic or industry trends.
Onex Credit invests primarily in non-investment grade debt. We practice value-oriented investing, employing a bottom-up, fundamental and structural analysis of the underlying borrowers.
Gluskin Sheff, one of Canada’s pre-eminent wealth management firms, offers actively managed public equity and public credit funds together with the highest level of personalized service to high net worth clients.
Founded in 1984
Our Team We are led by firm’s founder and CEO, Gerry Schwartz, and experienced leadership teams at each of our platforms.
Our 175 investment and wealth management professionals are each dedicated to a separate investment platform: Onex Partners, ONCAP, Onex Credit and Gluskin Sheff. These investment teams are supported by approximately 160 professionals dedicated to our corporate functions and investment platforms.
Onex’ private equity investing has generated an average gross multiple of capital invested of 2.5 times and a 27% gross IRR on realized, substantially realized and publicly traded investments.
Our Track Record We invest and manage shareholder capital and that of investors from around the world, including public and private pension funds, sovereign wealth funds, insurance companies and family offices. We have generated an average gross multiple of capital invested of 2.5 times and a 27% gross IRR from our private equity activities since inception on realized, substantially realized and publicly traded investments. Onex Credit and Gluskin Sheff are focused on generating strong risk-adjusted returns across market cycles.