MORGAN STANLEY REAL ESTATE ADVISOR, INC. of NEW YORK, NY is an SEC-registered investment adviser (CRD 127488).
Compensation: % of AUM, Performance.
Clients served: Investment cos.
Showing 25 of 68 people.
| Name | Role | Location |
|---|---|---|
| Josephine Scesney | DIRECTOR, GLOBAL HEAD OF FINANCE AND OPERATION | New York, NY |
| Christie Park | CHIEF OPERATING OFFICER OF MORGAN STANLEY REAL ASSETS INVESTING; DIRECTOR AND CHIEF OPERATING OFFICER OF MORGAN STANLEY REAL ASSETS INVESTING | New York, NY |
| Thomas Owen | CHAIRMAN AND CHIEF EXECUTIVE OFFICER OF MORGAN STANLE REAL ESTATE INVESTING; CHAIRMAN AND CHIEF EXECUTIVE OFFICER OF MORGAN STANLEY REAL ESTATE INVESTING; CHAIRMAN OF MORGAN STANLEY REAL ESTATE INVESTING | Dallas, TX |
| Thomas V David | CHAIRMAN AND MANAGING DIRECTOR; CHAIRMAN AND PRESIDENT | Pepper Pike, OH |
| Benjamin Cordt Huneke | PRESIDENT AND MANAGING DIRECTOR OF MORGAN STANLEY INVESTMENT MANAGEMENT | New York, NY |
| Thomas Nicholas Owen | CHAIRMAN AND CHIEF EXECUTIVE OFFICER OF MORGAN STANLE REAL ESTATE INVESTING; CHAIRMAN AND CHIEF EXECUTIVE OFFICER OF MORGAN STANLEY REAL ESTATE INVESTING; CHAIRMAN OF MORGAN STANLEY REAL ESTATE INVESTING | — |
| Thomas Valentine David | CHAIRMAN AND MANAGING DIRECTOR; CHAIRMAN AND PRESIDENT | — |
| Mustufa Salehbhai | CHIEF LEGAL OFFICER | — |
| John Richard Klopp | DIRECTOR AND HEAD OF REAL ASSETS | — |
| Gauranga Pal | CHIEF COMPLIANCE OFFICER | — |
| Olivier De Poulpiquet | CHAIRMAN OF MORGAN STANLEY REAL ESTATE INVESTING | — |
| Lauren Andrea Hochfelder | CO-CHIEF EXECUTIVE OFFICER OF MORGAN STANLEY REAL ESTATE INVESTING | — |
| Brian Perry Niles | CO-CHIEF EXECUTIVE OFFICER OF MORGAN STANLEY REAL ESTATE INVESTING | — |
| Toru Bando | CHIEF INVESTMENT OFFICER OF MORGAN STANLEY REAL ESTATE INVESTING | — |
| Scott Alan Brown | PRESIDENT AND GLOBAL HEAD OF PRIME | — |
| BROWN KEITH ALAN | CO-HEAD OF PRIME PROPERTY FUND; CO-HEAD OF PRIME PROPERTY FUND AND PRESIDENT; PRESIDENT (+3 more) | — |
| FRANCO THOMAS JOSEPH | DIRECTOR; DIRECTOR OF ACQUISITIONS AND VICE PRESIDENT | — |
| BURNS WALTER FRANCIS | EXECUTIVE DIRECTOR, HEAD OF ARCH STREET FUNDS | — |
| MORRIS ANDREW TIMOTHY | CHIEF OPERATING OFFICER OF MORGAN STANLEY REAL ESTATE INVESTING | — |
| FOSTER ERIC E | DIRECTOR OF ASSET MANAGEMENT AND VICE PRESIDENT | — |
| ODELL CHRISTOPHER LEROY | CHIEF COMPLIANCE OFFICER, CHIEF LEGAL OFFICER, EXECUTIVE DIRECTOR AND SECRETARY; CHIEF COMPLIANCE OFFICER, CHIEF LEGAL OFFICER, MANAGING DIRECTOR AND SECRETARY; CHIEF LEGAL OFFICER (+3 more) | — |
| KESSLER JOHN BRIAN | CHIEF FINANCIAL OFFICER - GLOBAL; DIRECTOR, GLOBAL CHIEF FINANCIAL OFFICER OF MORGAN STANLEY REAL ESTATE INVESTING; DIRECTOR, MANAGING DIRECTOR, GLOBAL CHIEF FINANCIAL OFFICER OF MORGAN STANLEY REAL ESTATE INVESTING | — |
| SCHAEFER PAULA | CHIEF COMPLIANCE OFFICER; MANAGING DIRECTOR, CHIEF ADMINISTRATIVE OFFICER OF MORGAN STANLEY REAL ESTATE INVESTING | — |
| MANTZ JAY HOWARD | CHIEF INVESTMENT OFFICER AND VICE PRESIDENT; CHIEF INVESTMENT OFFICER OF MORGAN STANLEY REAL ESTATE INVESTING; DIRECTOR (+5 more) | — |
| KALSI KARAMJIT SINGH | DIRECTOR, GLOBAL HEAD OF MORGAN STANLEY REAL ESTATE INVESTING; DIRECTOR, MANAGING DIRECTOR, CO-HEAD OF MORGAN STANLEY REAL ESTATE INVESTING; DIRECTOR, MANAGING DIRECTOR, GLOBAL HEAD OF MORGAN STANLEY REAL ESTATE INVESTING | — |
| Initiated | Type | Allegations | Status | Amount |
|---|---|---|---|---|
| 2017-03-06 | regulatory | THE HELLENIC CAPITAL MARKET COMMISSION (HCMC) ALLEGED THAT MORGAN STANLEY COMMITTED MARKET MANIPULATION PURSUANT TO ARTICLE 7, PAR. 2(C) OF LAW 3340/2005 BY DISCLOSING THAT THE FIRM, THROUGH VARIOUS SUBSIDIARIES, HAD ACQUIRED MORE THAN 5% OF ALPHA BANK, HOWEVER 4.16% OF THE HOLDING WAS HELD BY A SUB… | Final | $53K |
| 2016-03-22 | regulatory | THE PORTUGUESE SECURITIES MARKET COMMISSION (CMVM) ALLEGED THAT THE FIRM DID NOT NOTIFY THE CMVM OR THE ISSUING COMPANY OF CHANGES TO CERTAIN QUALIFYING HOLDINGS WITHIN THE REQUIRED TIME PERIOD, IN VIOLATION OF ARTICLE 16 OF THE PORTUGUESE SECURITIES CODE | Final | — |
| 2016-02-11 | regulatory | THE ILLINOIS ATTORNEY GENERAL'S OFFICE ("ILAG") ALLEGED THAT MORGAN STANLEY VIOLATED ILLINOIS LAW IN CONNECTION WITH THE MARKETING, SALE, AND ISSUANCE OF CERTAIN RESIDENTIAL MORTGAGE-BACKED SECURITIES BETWEEN 2002 AND 2008. | Final | $22.5M |
| 2016-02-11 | regulatory | THE NEW YORK ATTORNEY GENERAL'S OFFICE ("NYAG") ALLEGED THAT MORGAN STANLEY VIOLATED NEW YORK LAW IN CONNECTION WITH THE MARKETING, SALE, AND ISSUANCE OF CERTAIN RESIDENTIAL MORTGAGE-BACKED SECURITIES BETWEEN 2006 AND 2007. | Final | $150.0M |
| 2014-08-21 | regulatory | HCMC ALLEGED THAT MS FAILED TO PROPERLY OR TIMELY REPORT WHEN MS HOLDINGS IN CERTAIN COMPANIES INCREASED OR DECREASED BY MORE THAN 3%, OR EXCEEDED OR FELL BELOW 5%, 10% AND 15% THRESHOLDS, AS REQUIRED BY GREEK PRESIDENTIAL DECREE PD 51/1992 AND LAW 3556/2007. | Final | $71K |