PERSHING SQUARE CAPITAL MANAGEMENT, L.P. of NEW YORK, NY is an SEC-registered investment adviser (CRD 132982). Regulatory assets under management: $25.1B. This firm reports disciplinary history on Form ADV.
Compensation: % of AUM, Fixed, Performance, Other.
Clients served: Investment cos, Other.
| Name | Role | Location |
|---|---|---|
| Michael Gonnella | CHIEF FINANCIAL OFFICER; MANAGING MEMBER | New York, NY |
| Botta A Nicholas | CHIEF FINANCIAL OFFICER | New York, NY |
| William Albert Ackman | CHIEF EXECUTIVE OFFICER; MANAGING MEMBER; TRUSTEE | — |
| Halit Coussin | CHIEF LEGAL OFFICER/CHIEF COMPLIANCE OFFICER; MANAGING MEMBER | — |
| Anthony Ketay Asnes | HEAD OF IR; MANAGING MEMBER | — |
| Ryan Michael Israel | CHIEF INVESTMENT OFFICER; MANAGING MEMBER | — |
| Benny No Middle Name Hakim | MANAGING MEMBER; PRESIDENT | — |
| ISRAEL ADAM MICHAEL | CHIEF INVESTMENT OFFICER; MANAGING MEMBER | — |
| ASNES ANTHONY KETAY | HEAD OF IR | — |
| ACKMAN WILLIAM | CHIEF EXECUTIVE OFFICER; LIMITED PARTNER AND CHIEF EXECUTIVE OFFICER; MANAGING MEMBER | — |
| BUTLER SALLY MARCELLA | CHIEF COMPLIANCE OFFICER | — |
| BAREFIELD TIMOTHY L | CHIEF COMPLIANCE OFFICER; CHIEF OPERATING OFFICER | — |
| ACKMAN WILLIAM ALBERT | CHIEF EXECUTIVE OFFICER; CHIEF EXECUTIVE OFFICER AND LIMITED PARTNER; MANAGING MEMBER (+1 more) | — |
| BOTTA NICHOLAS ANTHONY | CHIEF FINANCIAL OFFICER; MANAGING MEMBER; PRESIDENT (+1 more) | — |
| BAREFIELD TIMOTHY LEE | CHIEF OPERATING OFFICER | — |
| COUSSIN HALIT | CHIEF LEGAL OFFICER/CHIEF COMPLIANCE OFFICER; GENERAL COUNSEL/CHIEF COMPLIANCE OFFICER; MANAGING MEMBER | — |
| KATZOVICZ ROY JACOB | CHIEF LEGAL OFFICER | — |
| KLAFTER DAVID | CHIEF COMPLIANCE OFFICER | — |
| FRAIDIN STEPHEN | VICE CHAIRMAN | — |
| Gonnella Michael | CHIEF FINANCIAL OFFICER; MANAGING MEMBER | — |
| ISRAEL RYAN | CHIEF INVESTMENT OFFICER | — |
| HAKIM BENNY NO MIDDLE NAME | MANAGING MEMBER; PRESIDENT | — |
| Benny (No Middle Name) Hakim | MANAGING MEMBER; PRESIDENT | — |
| Initiated | Type | Allegations | Status | Amount |
|---|---|---|---|---|
| 2017-01-17 | regulatory | ON JANUARY 17, 2017, THE SEC INSTITUTED ADMINISTRATIVE PROCEEDINGS AGAINST THE REGISTRANT, PURSUANT TO SECTION 203(E) AND 203(K) OF THE ADVISERS ACT, FINDING THAT THE REGISTRANT HAD VIOLATED ADVISERS ACT RULE 206(4)-5 WHEN A FORMER EMPLOYEE MADE A $500 PERSONAL POLITICAL CONTRIBUTION TO A CANDIDATE… | Final | $75K |