FIRST EAGLE INVESTMENT MANAGEMENT, LLC

FIRST EAGLE INVESTMENT MANAGEMENT, LLC of NEW YORK, NY is an SEC-registered investment adviser (CRD 108260). Regulatory assets under management: $136.5B.

Registration

Business model

Compensation: % of AUM, Performance.

Clients served: Pooled vehicles, Charities, Investment cos.

Officers, owners & control persons (45)

Showing 25 of 45 people.

NameRoleLocation
Michael ConstantinoCHIEF FINANCIAL OFFICERNew York, NY
Melanie DowCHIEF ADMINISTRATIVE OFFICERNew York, NY
Miller J RobertSR. VICE PRESIDENT & DIRECTOR; VP, SECRETARY & TREASURERNew York, NY
J. Ryan ClarkTRUSTEE
Dharma Teja Ignacio JayantiMEMBER; SOLE MEMBER
Mehdi Asif MahmudPRESIDENT, CHIEF EXECUTIVE OFFICER
David Paul O'ConnorGENERAL COUNSEL
Seth Adam GelmanCHIEF COMPLIANCE OFFICER
Brian Michael MarguliesCHIEF FINANCIAL OFFICER; CHIEF INFRASTRUCTURE OFFICER
Matthew B MclennanMEMBER
FUHRMAN GARY LEEDIRECTOR
GREEN MICHAELCHIEF FINANCIAL OFFICER
PERKINS KATHERINE LYNNCHIEF FINANCIAL OFFICER
BALDAUF ANDREW JOHNCHIEF COMPLIANCE OFFICER
GOLDSTEIN MARK DAVIDCHIEF COMPLIANCE OFFICER, SVP, GC; GENERAL COUNSEL, SENIOR VICE PRESIDENT; SVP, CCO, GC
MACASKILL BRIDGET ANNDIRECTOR; PRESIDENT, CHIEF EXECUTIVE OFFICER, DIRECTOR; PRESIDENT, CHIEF OPERATING OFFICER, DIRECTOR
ARNHOLD JOHN PETERCEO, CHAIRMAN & DIRECTOR; CHAIRMAN, CHIEF INVESTMENT OFFICER & DIRECTOR; CHIEF INVESTMENT OFFICER AND DIRECTOR (+2 more)
ARNHOLD HENRY HELMUTDIRECTOR; STOCKHOLDER OF PARENT COMPANY
KELLEN MICHAEL MAXDIRECTOR; SHAREHOLDER; STOCKHOLDER OF PARENT COMPANY (+2 more)
KELLEN ANNA MARIESTOCKHOLDER; STOCKHOLDER OF PARENT COMPANY
BRUNO ROBERTCHIEF COMPLIANCE OFFICER; SENIOR VICE PRESIDENT; SR. VICE PRESIDENT, CHIEF COMPLIANCE OFFICER (+2 more)
JORDAN JR JAMES EDWARDMANAGING DIRECTOR
KEENAN PATRICK ANTHONYCHIEF FINANCIAL OFFICER
O'CONNOR EDWARD PAULGENERAL COUNSEL
MAHMUD MEHDI ASIFPRESIDENT, CHIEF EXECUTIVE OFFICER

Disclosures (8)

InitiatedTypeAllegationsStatusAmount
2015-09-21regulatoryTHE SEC ALLEGED THAT FIRST EAGLE AND FEF DISTRIBUTORS IMPROPERLY CAUSED THE FIRST EAGLE MUTUAL FUNDS TO MAKE PAYMENTS TO TWO FINANCIAL INTERMEDIARIES FOR DISTRIBUTION RELATED SERVICES OUTSIDE OF A WRITTEN, APPROVED RULE 12B-1 PLAN, AND THAT WERE NOT PAID BY FIRST EAGLE OUT OF ITS OWN RESOURCES. IN A…Final$39.7M
regulatory

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