BROWN BROTHERS HARRIMAN MUTUAL FUND ADVISORY DEPARTMENT

BROWN BROTHERS HARRIMAN MUTUAL FUND ADVISORY DEPARTMENT of NEW YORK, NY is an SEC-registered investment adviser (CRD 111231). Regulatory assets under management: $7.2B.

Registration

Business model

Compensation: % of AUM.

Clients served: Investment cos.

Officers, owners & control persons (161)

Showing 25 of 161 people.

NameRoleLocation
Bradley M LangerPARTNERNew York, NY
Paul Francis GallagherCHIEF COMPLIANCE OFFICER
Daniel Joseph GreifenkampPRESIDENT
Neil M HohmannPARTNER
Christian Michael BrunetPARTNER
Valentino Dino CarlottiPARTNER
Jeffrey Bryan MeskinPARTNER
Declan P CoyneCHIEF FINANCIAL OFFICER AND CHIEF ADMINISTRATION OFFICER
Vincent G D'AngeloCHIEF RISK OFFICER
Houda Leena KallashCHIEF LEGAL OFFICER
Andrew Paul HoferTAXABLE FIXED INCOME MANAGER
Paul Edmund KunzTAXABLE FIXED INCOME MANAGER
Chris Chia Huei LingTAXABLE FIXED INCOME MANAGER
Radford Werner KlotzPARTNER
Jeffrey Alan SchoenfeldPARTNER
Richard Howell WitmerPARTNER
Charles H SchreiberCHIEF FINANCIAL OFFICER AND CHIEF ADMINISTRATION OFFICER
Taylor Stockwell BodmanPARTNER
Douglas Aidan DonahuePARTNER
Hampton Simpson LynchPARTNER
William Carter SullivanPARTNER
Andrew James Francis TuckerPARTNER
William Brophy TyreePARTNER
William Joseph WhelanPARTNER
Charles Owen IzardPARTNER

Disclosures (2)

InitiatedTypeAllegationsStatusAmount
2014-09-10regulatoryIN SEPTEMBER 2014, THE SEC ALLEGED THAT BROWN BROTHERS HARRIMAN & CO. FAILED TO MAKE CERTAIN SECTION 13 AND SECTION 16 FILINGS OF ITS PROPRIETARY AND AFFILIATED EQUITY HOLDINGS UNDER THE SECURITIES EXCHANGE ACT OF 1934 ON A TIMELY BASIS.Final$120K
2014-02-04regulatoryIN FEBRUARY OF 2014, FINRA ALLEGED THAT THE FIRM FAILED TO ESTABLISH AND IMPLEMENT AN ADEQUATE AML PROGRAM AS REQUIRED BY NASD RULE 3011(A) AND FINRA RULES 3310(A) AND 2010; TO ADEQUATELY SUPERVISE ACTIVITY IN FOREIGN FINANCIAL INSTITUTION ACCOUNTS AS REQUIRED BY NASD RULE 3011(B) AND FINRA RULES 33…Final$8.0M

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