CLOs on the Move


 
Annaly Capital Management, Inc. (“Annaly”) is a leading diversified capital manager that invests in and finances residential and commercial assets. Annaly`s principal business objective is to generate net income for distribution to its stockholders and to preserve capital through prudent selection of investments and continuous management of its portfolio. With approximately $101.8 billion in assets, our portfolio includes securities, loans and equity in both the residential and commercial markets. Annaly has elected to be taxed as a real estate investment trust, or REIT, for federal income tax purposes. Annaly is a vehicle for long-term asset ownership. We use our capital, ...
  • Number of Employees: 100-250
  • Annual Revenue: > $1 Billion
  • www.annaly.com
  • 1211 Avenue of the Americas
    New York, NY USA 10036
  • Phone: 212.696.0100

Executives

Name Title Contact Details
Elliot Schwab
Assistant General Counsel Profile
Anthony Green
Chief Legal Officer Profile

Similar Companies

Consolidated Financial Corp

Consolidated Financial Corp is a Southfield, MI-based company in the Financial Services sector.

First Chicago Trust Company

First Chicago Trust Company is a Jersey City, NJ-based company in the Financial Services sector.

Mann, R E Brokers

Mann, R E Brokers Ltd is a Simcoe, ON-based company in the Financial Services sector.

PRAGER and CO

PRAGER & CO is one of the leading companies in the Financial Services sector.

Montgomery Street Income Securities

Michael McKeen Fund seeks a high level of current income as is consistent with prudent investment risks from a diversified portfolio primarily of debt securities. Capital appreciation is a secondary objective. The fund invests in individual bonds whose yields and market values fluctuate so that your investment may be worth more or less than its original cost. Bond investments are subject to interest-rate risk such that when interest rates rise, the prices of the bonds, and thus the value of the bond investments, can decline and the investor can lose principal value. Yields and market value will fluctuate in response to changing interest rates and may be affected by the prepayment of mortgage-backed securities. The fund`s investments in foreign securities are subject to currency fluctuation, political climate and economic changes, and risk of loss of principal and interest. All of these factors may result in greater share price volatility