CLEARBRIDGE INVESTMENTS, LLC

CLEARBRIDGE INVESTMENTS, LLC of NEW YORK, NY is an SEC-registered investment adviser (CRD 137028). Regulatory assets under management: $184.8B.

Registration

Business model

Compensation: % of AUM, Performance.

Clients served: High net worth, Pooled vehicles, Investment cos.

Officers, owners & control persons (50)

Showing 25 of 50 people.

NameRoleLocation
Brian Matthew EakesDIRECTOR
Terrence James MurphyCHIEF EXECUTIVE OFFICER; DIRECTOR; PRESIDENT
Scott Keith GlasserCHIEF INVESTMENT OFFICER; DIRECTOR
John Randolph HallerCHIEF OPERATING OFFICER; DIRECTOR
Jennifer Morrow JohnsonDIRECTOR
Matthew NichollsDIRECTOR
Brian R MurphyCHIEF COMPLIANCE OFFICER
Jasna Brblic DolgovGENERAL COUNSEL
Seok Selene OhDIRECTOR
Gwen Louise ShaneyfeltDIRECTOR
Nicole Lorraine TaralloDIRECTOR
Cohen DavidCHIEF INVESTMENT OFFICER; CHIEF INVESTMENT OFFICER - U.S. RETAIL AND HIGH NET WORTH; CO-CHIEF INVESTMENT OFFICER
EVEN MICHAEL NMNGLOBAL CHIEF INVESTMENT OFFICER; MANAGING DIRECTOR
HOPKINS STEPHEN HENRYCHIEF EXECUTIVE OFFICER AND PRESIDENT; MANAGING DIRECTOR
ROSENBAUM MICHAEL FREDGENERAL COUNSEL
CIESZKO ANTHONY PETERBUSINESS HEAD, U.S. DISTRIBUTION; HEAD OF U.S. RETAIL AND HIGH NET WORTH
MURPHY TERRENCE JAMESCHIEF ADMINISTRATIVE OFFICER; CHIEF EXECUTIVE OFFICER; CHIEF FINANCIAL OFFICER (+3 more)
SCHEVE TIMOTHY CHARLESDIRECTOR
FETTING MARK RAYMONDDIRECTOR
POSNER BRIAN SCOTTCHIEF EXECUTIVE OFFICER; PRESIDENT, CHIEF EXECUTIVE OFFICER, CO-CHIEF INVESTMENT OFFICER
BAIN PETER LANNINGDIRECTOR; INTERIM CHAIRMAN; INTERIM CHAIRMAN AND DIRECTOR
MANNING BARBARA BROOKECHIEF COMPLIANCE OFFICER; GENERAL COUNSEL; GENERAL COUNSEL AND CHIEF COMPLIANCE OFFICER
MURPHY TERRENCECHIEF FINANCIAL OFFICER
SULLIVAN JOSEPH ANDREWDIRECTOR
PLAFKER JED ANDREWDIRECTOR

Disclosures (2)

InitiatedTypeAllegationsStatusAmount
2018-08-27regulatoryON AUGUST 27, 2018, THE SEC ISSUED AN ORDER THAT FOUND THAT LEGG MASON HAD VIOLATED SECTION 13(B)(2)(B) OF THE SECURITIES EXCHANGE ACT OF 1934 BY FAILING TO DEVISE AND MAINTAIN A SYSTEM OF APPROPRIATE INTERNAL ACCOUNTING CONTROLS WITH RESPECT TO THE USE OF INTRODUCING BROKERS AND OTHER INTERMEDIARIE…Final

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