NISA INVESTMENT ADVISORS, LLC of ST. LOUIS, MO is an SEC-registered investment adviser (CRD 107313). Regulatory assets under management: $343.9B.
Compensation: % of AUM, Fixed, Performance, Other.
Clients served: High net worth, Pooled vehicles, Investment cos, Other.
Showing 25 of 54 people.
| Name | Role | Location |
|---|---|---|
| Lester J Lloyd | CONTROLLING MANAGER; MANAGING DIRECTOR, FIXED INCOME AND DERIVATIVES & MEMBER; MANAGING DIRECTOR, PORTFOLIO MANAGEMENT (+1 more) | Orinda, CA |
| Lester John Lloyd | DIRECTOR, FIXED INCOME; DIRECTOR, FIXED INCOME TRADING; MANAGING DIRECTOR, FIXED INCOME AND DERIVATIVES (+1 more) | Orinda, CA |
| David Gordon Eichhorn | CHIEF EXECUTIVE OFFICER & HEAD OF INVESTMENT STRATEGIES; CONTROLLING MANAGER | — |
| Kenneth Lloyd Lester | CONTROLLING MANAGER; MANAGING DIRECTOR, PORTFOLIO MANAGEMENT | — |
| Bella LF Sanevich | MANAGING DIRECTOR, CORPORATE GOVERNANCE AND LEGAL | — |
| Anthony Randal Pope | CONTROLLING MANAGER; MANAGING DIRECTOR, PORTFOLIO MANAGEMENT | — |
| Cheryl Leigh Hanson | MANAGING DIRECTOR, CLIENT SERVICES | — |
| Richard Robert Ratkowski | DIRECTOR, INVESTMENT STRATEGIES | — |
| Richard Michael Dolson | CHIEF COMPLIANCE OFFICER | — |
| Matthew G Byron | CHIEF OPERATING OFFICER | — |
| Mark Alexander Folkins | CHIEF ADMINISTRATIVE OFFICER | — |
| YAWITZ JESS BARRY | CHAIRMAN; CHAIRMAN & CHIEF EXECUTIVE OFFICER; CHAIRMAN & CHIEF EXECUTIVE OFFICER & MANAGING MEMBER (+3 more) | — |
| MARSHALL WILLIAM JAY | CHIEF OPERATING OFFICER; CONTROLLING MANAGER; PRESIDENT (+3 more) | — |
| KREBS CLARENCE ROBERT | DIRECTOR, CLIENT SERVICES; DIRECTOR, CLIENT SERVICES & MEMBER; DIRECTOR, DEFINED CONTRIBUTION SOLUTIONS (+1 more) | — |
| JONES PAUL | DIRECTOR, EQUITY PORTFOLIO MANAGEMENT | — |
| DENNIS ELLEN DOUGLAS | CHIEF COMPLIANCE OFFICER; CHIEF RISK OFFICER; COMPLIANCE OFFICER | — |
| DEMPSEY MARYJO | DIRECTOR, CLIENT SERVICES; DIRECTOR, TAXABLE CLIENT SERVICES | — |
| YESS GREGORY J | DIRECTOR, BUSINESS DEVELOPMENT; DIRECTOR, CLIENT SERVICES; DIRECTOR, CLIENT SERVICES & MEMBER (+2 more) | — |
| SANEVICH BELLA LF | GENERAL COUNSEL; GENERAL COUNSEL & MEMBER; LEGAL OFFICER (+1 more) | — |
| SMITH DALE WILLIAM | DIRECTOR, CLIENT SERVICES | — |
| MURPHY DANIEL ANTHONY | DIRECTOR, FIXED INCOME AND DERIVATIVES; DIRECTOR, PORTFOLIO MANAGEMENT; DIRECTOR, PORTFOLIO MANAGEMENT & MEMBER | — |
| APPLER W CHRISTOPHER | LEGAL OFFICER | — |
| JOHNSON PETER WILLIAM | DIRECTOR, CLIENT SERVICES | — |
| KAPLAN EDWARD DAVID | CHIEF RISK OFFICER | — |
| POPE ANTHONY RANDAL | CONTROLLING MANAGER; DIRECTOR, FIXED INCOME; DIRECTOR, FIXED INCOME & MEMBER (+2 more) | — |