| Name | Title | Contact Details |
|---|---|---|
Craig Sweetra |
Chief Compliance Officer | Profile |
Cornerstone Capital Management is the marketing name for the asset management activities of Cornerstone Capital Management LLC and Cornerstone Capital Management Holdings LLC, registered investment advisers based in Minneapolis and New York. Cornerstone Capital Management is affiliated with the Investments Group of New York Life Insurance Company, a Fortune 100 company and one of the largest life insurers in the world*. Cornerstone manages $16.8 billion in assets as of December 31, 2015.
Franklin Square is a leading manager of alternative investment funds designed to enhance investors` portfolios by providing access to asset classes, strategies and asset managers that typically have been available to only the largest institutional investors. The firm`s funds offer “endowment-style” investment strategies that help construct diversified portfolios and manage risk. Franklin Square strives not only to maximize investment returns but also to set the industry standard for best practices by focusing on transparency, investor protection and education for investment professionals and their clients. Founded in Philadelphia in 2007, Franklin Square quickly established itself as a leader in the world of alternative investments by introducing innovative credit-based income funds, including the industry`s first non-traded BDC. The firm managed approximately $13.6 billion in assets as of September 30, 2014.
GLG Partners, Inc. (GLG) is an independent alternative asset manager. The Company offers a diverse range of investment products and account management services. GLG manages global investment funds and accounts. GLG derives its revenues from management
Muddy Waters Research LLC is an American privately held due diligence based investment firm that conducts investigative research on public companies while also taking investment positions that reflect their research.
Investment products and services provided by Arvest Investments, Inc., doing business as Arvest Wealth Management, member FINRA/SIPC, an SEC registered investment adviser and a subsidiary of Arvest Bank. Insurance products made available through Arvest Insurance, Inc., which is registered as an insurance agency. Insurance products are marketed through Arvest Insurance, Inc., but are underwritten by unaffiliated insurance companies. Trust services provided by Arvest Bank.