SEGALL BRYANT & HAMILL
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SEGALL BRYANT & HAMILL
(CRD# 106505)
is an SEC-Registered Investment Advisor (RIA), headquartered in
Chicago, IL.
The SEC approved the firm to operate as an RIA in
Aug 1994.
In
Mar 2019,
the firm reported total Regulatory Assets Under Management (RAUM) of
$18.2 Billion,
with discretion over
99%
of those assets.
 
Pooled investment vehicles (Private Funds) account for
6%
of RAUM.
 
Non-US investors represent
0%
.  
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SEGALL BRYANT & HAMILL
also reported in
Mar 2019
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127
employees,
with
73
performing advisory functions.
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A total of 5 office locations.
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No registrations with foreign financial regulatory authorities.
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Operation as a Commodity Pool Operator (CPO) or Commodity Trading Advisor (CTA).
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SEGALL BRYANT & HAMILL has no disclosure events reported to the SEC at this time.
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SEGALL BRYANT & HAMILL has Notice Filings with the following State Securities Authorities: AK-Oct 1996, AL-Mar 2005, AR-Dec 2001, AZ-Sep 1994, CA-Oct 19
, CO-Mar 2004, CT-Aug 1997, DC-Dec 2001, DE-Apr 2005, FL-Oct 1
, GA-May 1996, HI-Mar 2005, IA-Jan 1999, ID-Dec 2001, IL-Nov 1
, IN-Jul 2001, KS-Mar 2005, KY-Oct 1996, LA-Oct 2001, MA-Oct 1
, MD-Dec 2001, ME-Mar 2005, MI-Dec 2001, MN-Oct 1994, MO-Nov 1
, MS-Oct 1997, MT-Dec 2001, NC-Feb 2001, ND-Dec 2001, NE-Dec 2
, NH-Oct 1994, NJ-Jun 2000, NM-Mar 2005, NV-Dec 2001, NY-Sep 1
, OH-Oct 1999, OK-Jan 1998, OR-Dec 2001, PA-Dec 2001, PR-Mar 2
, RI-Mar 2005, SC-Dec 2001, SD-Apr 2004, TN-Dec 2001, TX-Oct 1
, UT-Dec 2001, VA-Sep 1994, VT-Mar 2005, WA-Oct 1994, WI-Oct 1
, WV-Mar 2005, WY-Mar 2018
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The information presented above was gleaned
from the SEC website and is believed to be
accurate. FindingFraud.org is
presenting this data for informational
purposes only and assumes no responsibility
for errors or omissions. Please note
that we are aware of many instances where
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