Best Investors Account Sign in

Clearbridge Investments, LLC Enterprise

New York, NY

AUM $185B
Clients 1
Advisors 44
Locations 2
Owners 10
Private funds 4
Filing snapshot

From the firm’s latest Form ADV. Clients are Item 5C advisory clients.

Regulatory AUM
$185B
Clients
1
Fiscal-year advisory clients
Investors
44
Across 2 offices
Clients per advisor
0.0
Low
Uses the rounded Item 5C count
Avg AUM per client
$185B
Regulatory AUM ÷ clients
HNW AUM share
0.7%
452 high-net-worth clients
Client mix
Individuals 122,494 $47.4B AUM High-net-worth individuals 452 $1.32B AUM Banks / thrifts 33 $314M AUM Investment companies 44 $74.6B AUM Pooled vehicles 47 $11.0B AUM Pension / profit-sharing plans 469 $2.63B AUM Charitable organizations 244 $1.53B AUM Corporations / businesses 17 $276M AUM State or municipal entities 68 $42.8B AUM Other investment advisers 3 $445M AUM Other 659 $2.50B AUM
At a Glance
Firm type
Registered
Registered
Sep 30, 2005
CRD #
137028
Regulatory AUM
$184,809,812,930
Advisors
44
Locations
2
Locations 2
Location Advisors City State
43 NEW YORK NY
1 Lake Wylie SC
NEW YORK, NY • 43 advisors
Lake Wylie, SC • 1 advisor
Registered Advisors 44

Showing 40 of 44 advisors.

Owners & Control Persons 10
Name Title Ownership Schedule
MURPHY, TERRENCE, JAMES CHIEF EXECUTIVE OFFICER NA A
GLASSER, SCOTT, KEITH CHIEF INVESTMENT OFFICER NA A
HALLER, JOHN, RANDOLPH CHIEF OPERATING OFFICER NA A
JOHNSON, JENNIFER, MORROW DIRECTOR NA A
NICHOLLS, MATTHEW DIRECTOR NA A
LEGG MASON, INC. SOLE MEMBER E A
MURPHY, BRIAN, R CHIEF COMPLIANCE OFFICER NA A
DOLGOV, JASNA, BRBLIC GENERAL COUNSEL NA A
OH, SEOK, SELENE DIRECTOR NA A
EAKES, BRIAN, MATTHEW DIRECTOR NA A
MURPHY, TERRENCE, JAMES
CHIEF EXECUTIVE OFFICER • Ownership NA • Schedule A
GLASSER, SCOTT, KEITH
CHIEF INVESTMENT OFFICER • Ownership NA • Schedule A
HALLER, JOHN, RANDOLPH
CHIEF OPERATING OFFICER • Ownership NA • Schedule A
JOHNSON, JENNIFER, MORROW
DIRECTOR • Ownership NA • Schedule A
NICHOLLS, MATTHEW
DIRECTOR • Ownership NA • Schedule A
LEGG MASON, INC.
SOLE MEMBER • Ownership E • Schedule A
MURPHY, BRIAN, R
CHIEF COMPLIANCE OFFICER • Ownership NA • Schedule A
DOLGOV, JASNA, BRBLIC
GENERAL COUNSEL • Ownership NA • Schedule A
OH, SEOK, SELENE
DIRECTOR • Ownership NA • Schedule A
EAKES, BRIAN, MATTHEW
DIRECTOR • Ownership NA • Schedule A
Private Funds 4
Fund Type Gross assets
CIT - INTERNATIONAL GROWTH Hedge Fund 49538711
CLEARBRIDGE CDIP FEEDER FUND, LP 13623262
CLEARBRIDGE GLOBAL HEALTHCARE INNOVATIONS, LP 1459485
CLEARBRIDGE SELECT, LP 4449878
CIT - INTERNATIONAL GROWTH
Hedge Fund • 49538711
CLEARBRIDGE CDIP FEEDER FUND, LP
• 13623262
CLEARBRIDGE GLOBAL HEALTHCARE INNOVATIONS, LP
• 1459485
CLEARBRIDGE SELECT, LP
• 4449878
Notice Filed 53
StateStatusDate
ME FILED 2005-11-18
AL FILED 2005-11-18
AK FILED 2005-11-25
AZ FILED 2005-11-18
AR FILED 2005-11-22
CA FILED 2005-11-18
CO FILED 2005-11-18
DE FILED 2005-11-29
DC FILED 2005-11-18
GA FILED 2005-11-18
ID FILED 2005-11-18
IL FILED 2005-12-06
IN FILED 2005-11-18
IA FILED 2005-11-21
KS FILED 2005-11-18
KY FILED 2005-11-18
LA FILED 2005-11-18
MD FILED 2005-11-18
MA FILED 2005-11-18
MI FILED 2005-11-18
MN FILED 2005-12-05
MS FILED 2005-11-18
NE FILED 2005-11-18
NV FILED 2005-11-18
NJ FILED 2005-11-29
NM FILED 2005-11-18
NY FILED 2005-11-18
NC FILED 2005-11-18
ND FILED 2005-11-18
OH FILED 2005-11-18
OK FILED 2005-11-18
OR FILED 2005-11-18
PA FILED 2005-11-18
PR FILED 2008-06-20
RI FILED 2005-11-18
SC FILED 2005-11-18
TN FILED 2005-11-21
UT FILED 2005-11-18
VA FILED 2005-11-18
WV FILED 2005-11-18
WI FILED 2005-11-18
WY FILED 2018-06-28
VI FILED 2008-06-20
MO FILED 2005-11-18
WA FILED 2005-11-18
TX FILED 2005-11-18
CT FILED 2005-11-18
VT FILED 2005-11-18
SD FILED 2005-11-30
HI FILED 2005-11-18
FL FILED 2005-11-21
NH FILED 2005-11-18
MT FILED 2005-11-18
ME
2005-11-18
FILED
AL
2005-11-18
FILED
AK
2005-11-25
FILED
AZ
2005-11-18
FILED
AR
2005-11-22
FILED
CA
2005-11-18
FILED
CO
2005-11-18
FILED
DE
2005-11-29
FILED
DC
2005-11-18
FILED
GA
2005-11-18
FILED
ID
2005-11-18
FILED
IL
2005-12-06
FILED
IN
2005-11-18
FILED
IA
2005-11-21
FILED
KS
2005-11-18
FILED
KY
2005-11-18
FILED
LA
2005-11-18
FILED
MD
2005-11-18
FILED
MA
2005-11-18
FILED
MI
2005-11-18
FILED
MN
2005-12-05
FILED
MS
2005-11-18
FILED
NE
2005-11-18
FILED
NV
2005-11-18
FILED
NJ
2005-11-29
FILED
NM
2005-11-18
FILED
NY
2005-11-18
FILED
NC
2005-11-18
FILED
ND
2005-11-18
FILED
OH
2005-11-18
FILED
OK
2005-11-18
FILED
OR
2005-11-18
FILED
PA
2005-11-18
FILED
PR
2008-06-20
FILED
RI
2005-11-18
FILED
SC
2005-11-18
FILED
TN
2005-11-21
FILED
UT
2005-11-18
FILED
VA
2005-11-18
FILED
WV
2005-11-18
FILED
WI
2005-11-18
FILED
WY
2018-06-28
FILED
VI
2008-06-20
FILED
MO
2005-11-18
FILED
WA
2005-11-18
FILED
TX
2005-11-18
FILED
CT
2005-11-18
FILED
VT
2005-11-18
FILED
SD
2005-11-30
FILED
HI
2005-11-18
FILED
FL
2005-11-21
FILED
NH
2005-11-18
FILED
MT
2005-11-18
FILED
Registration
Firm Type
Registered
Status
APPROVED
Registered
Sep 30, 2005
SEC #
801-64710
CRD #
137028
SEC Region
NYRO
Umbrella
N

View on SEC IAPD

Other Firms

Other Investors

Other Offices

More in NEW YORK, NY

Reviews

Want to share your experience?

Sign in to leave a review
Loading reviews...

Filed: 2026-08-28 Form Version: 10/2021
1Identifying Information
1F(5) Total number of offices, other than your Principal Office and place of business 8
1I Do you have one or more websites Yes
1M Are you registered with a foreign financial regulatory authority No
1N Are you a public reporting company under Sections 12 or 15(d) of the Securities Exchange Act of 1934 No
1O Did you have $1 billion or more in assets on the last day of your most recent fiscal year Yes
1O If yes, approx. amount of assets $1 billion - $10 billion
1P Legal Entity Identifier 549300L5KZQRDVVXSK45
2SEC Registration / Reporting

SEC Registration Basis (Item 2A)

2A(1) Are a large advisory firm that either: (a) has regulatory assets under management of $100 million (in U.S. dollars) or more, or (b) is SEC-registered and is submitting an annual updating amendment and has regulatory assets under management of $90 million (in U.S. dollars) or more Yes
2A(2) Are a mid-sized advisory firm that has regulatory assets under management of $25 million (in U.S. dollars) or more but less than $100 million (in U.S. dollars) and you are either: (a) not required to be registered as an adviser with the state securities authority of the state where you maintain your principal office and place of business, or (b) not subject to examination by the state securities authority of the state where you maintain your principal office and place of business No
2A(4) Have your principal office and place of business outside the United States No
2A(5) Are an investment adviser (or sub-adviser) to an investment company registered under the Investment Company Act of 1940 No
2A(6) Are an investment adviser to a company which has elected to be a business development company pursuant to section 54 of the Investment Company Act of 1940 and has not withdrawn the election, and you have at least $25 million of regulatory assets under management No
2A(7) Are a pension consultant with respect to assets of plans having an aggregate value of at least $200,000,000 that qualifies for the exemption in rule 203A-2 No
2A(8) Are a related adviser under rule 203A-2(b) that controls, is controlled by, or is under common control with, an investment adviser that is registered with the SEC, and your principal office and place of business is the same as the registered adviser No
2A(9) Are a newly formed adviser relying on rule 203A-2(c) because you expect to be eligible for SEC registration within 120 days No
2A(10) Are a multi-state adviser that is required to register in 15 or more states and is relying on rule 203A-2(d) No
2A(11) Are an Internet adviser relying on rule 203A-2(e) No
2A(12) Have received an SEC order exempting you from the prohibition against registration with the SEC No
2A(13) Are no longer eligible to remain registered with the SEC No
3Form of Organization

Organization Type

Limited Liability Company

Fiscal Year End

SEPTEMBER

Organized Under Laws Of

DE, United States

5AEmployees
Total Employees: 210
5B(1) Approximately how many of the employees reported in 5.A. perform investment advisory functions (including research) 71
5B(2) Approximately how many of the employees reported in 5.A. are registered representatives of a broker-dealer 68
5B(3) Approximately how many of the employees reported in 5.A. are registered with one or more state securities authorities as investment adviser representatives 14
5B(4) Approximately how many of the employees reported in 5.A. are registered with one or more state securities authorities as investment adviser representatives for an investment adviser other than you 0
5B(5) Approximately how many of the employees reported in 5.A. are licensed agents of an insurance company or agency 0
5B(6) Approximately how many firms or other persons solicit advisory clients on your behalf 0
5CClients
5C(1) To approximately how many clients did you provide investment advisory services during your most recently completed fiscal year 1
5C(2) Approximately what percentage of your clients are non-United States persons 1
5DClient Types & Assets Under Management
Client Type # Clients Regulatory AUM
(a) Individuals (other than high net worth) 122,494 $47,400,706,326.00
(b) High net worth individuals 452 $1,315,287,880.00
(c) Banking or thrift institutions 33 $313,927,095.00
(d) Investment companies 44 $74,573,109,468.00
(e) Business development companies 0
(f) Pooled investment vehicles 47 $11,012,705,365.00
(g) Pension and profit sharing plans 469 $2,633,923,657.00
(h) Charitable organizations 244 $1,534,944,648.00
(i) State or municipal government entities 17 $276,255,643.00
(j) Other investment advisers 68 $42,802,647,874.00
(k) Insurance companies 3 $445,393,178.00
(l) Sovereign wealth funds 0
(m) Corporations or other businesses 659 $2,500,911,796.00
5ECompensation Arrangements
5E(1) A percentage of assets under your management Yes
5E(2) Hourly charges No
5E(3) Subscription fees (for a newsletter or periodical) No
5E(4) Fixed fees (other than subscription fees) No
5E(5) Commissions No
5E(6) Performance-based fees Yes
5E(7) Other No
5FRegulatory Assets Under Management
5F(1) Do you provide continuous and regular supervisory or management services to securities portfolios Yes
U.S. Dollar Amount Total Accounts
Discretionary $141,544,336,360.00 12,459
Non-Discretionary $43,265,476,570.00 71
Total 5F(2)(c) $184,809,812,930.00 12,530

AUM attributable to non-U.S. persons: $11,191,772,020.00

5GAdvisory Services Provided
5G(1) Financial planning services No
5G(2) Portfolio management for individuals and/or small businesses Yes
5G(3) Portfolio management for investment companies Yes
5G(4) Portfolio management for pooled investment vehicles (other than investment companies) Yes
5G(5) Portfolio management for businesses (other than small businesses) or institutional clients (other than registered investment companies and other pooled investment vehicles and) Yes
5G(6) Pension consulting services No
5G(7) Selection of other advisers No
5G(8) Publication of periodicals or newsletters No
5G(9) Security ratings or pricing services No
5G(10) Market timing services No
5G(11) Educational seminars/workshops No
5G(12) Other No
5IWrap Fee Programs
5I(1) Sponsor the wrap fee program Yes
5I(2a)AUM as sponsor
5I(2b)AUM as portfolio manager $87,760,102,278.00
5I(2c)AUM as sponsor and portfolio manager
5J-KInvestment Types & Separately Managed Accounts
5J In response to Item 4.B. of Part 2A of Form ADV, do you indicate that you provide investment advice only with respect to limited types of investments No
5J(2) Do you report client assets in Item 4.E. of Part 2A that are computed using a different method than the method used to compute your regulatory assets under management? No
5K(1) Do you have regulatory assets under management attributable to clients other than those listed in Item 5.D.(3)(d)-(f) (separately managed account clients) Yes
5K(2) Do you engage in borrowing transactions on behalf of any of the separately managed account clients that you advise No
5K(3) Do you engage in derivative transactions on behalf of any of the separately managed account clients that you advise No
5K(4) After subtracting the amounts in Item 5.D.(3)(d)-(f) above from your total regulatory assets under management, does any custodian hold ten percent or more of this remaining amount of regulatory assets under management Yes
5LMarketing & Advertising
5L(1)(a) Do any of your advertisements include performance results Yes
5L(1)(b) Do any of your advertisements include a reference to specific investment advice provided by you (as that phrase is used in rule 206(4)-1(a)(5)) Yes
5L(1)(c) Do any of your advertisements include testimonials (other than those that satisfy rule 206(4)-1(b)(4)(ii)) No
5L(1)(d) Do any of your advertisements include endorsements (other than those that satisfy rule 206(4)-1(b)(4)(ii)) No
5L(1)(e) Do any of your advertisements include third-party ratings No
5L(3) Do any of your advertisements include hypothetical performance No
5L(4) Do any of your advertisements include predecessor performance Yes
6Other Business Activities

You or any related person are registered as or qualified as any of the following (Item 6A)

6A(1) Broker-dealer (registered or unregistered) No
6A(2) Registered representative of a broker-dealer No
6A(3) Commodity pool operator or commodity trading advisor (whether registered or exempt from registration) Yes
6A(4) Futures commission merchant No
6A(5) Real estate broker, dealer, or agent No
6A(6) Insurance broker or agent No
6A(7) Bank (including a separately identifiable department or division of a bank) No
6A(8) Trust company No
6A(9) Registered municipal advisor No
6A(10) Registered security-based swap dealer No
6A(11) Major security-based swap participant No
6A(12) Accountant or accounting firm No
6A(13) Lawyer or law firm No
6A(14) Other financial product salesperson No
6B(1) Are you actively engaged in any other business not listed in Item 6.A. (other than giving investment advice) No
6B(3) Do you sell products or provide services other than investment advice to your advisory clients No
7Financial Industry Affiliations

Related persons that are (Item 7A)

7A(1) Broker-dealer, municipal securities dealer, or government securities broker or dealer (registered or unregistered) Yes
7A(2) Other investment adviser (including financial planners) Yes
7A(3) Registered municipal advisor No
7A(4) Registered security-based swap dealer No
7A(5) Major security-based swap participant No
7A(6) Commodity pool operator or commodity trading advisor (whether registered or exempt from registration) Yes
7A(7) Futures commission merchant No
7A(8) Banking or thrift institution No
7A(9) Trust company Yes
7A(10) Accountant or accounting firm No
7A(11) Lawyer or law firm No
7A(12) Insurance company or agency No
7A(13) Pension consultant No
7A(14) Real estate broker or dealer No
7A(15) Sponsor or syndicator of limited partnerships (or equivalent), excluding pooled investment vehicles No
7A(16) Sponsor, general partner, managing member (or equivalent) of pooled investment vehicles Yes
7B Are you an adviser to any private fund Yes
8Participation or Interest in Client Transactions
8A(1) Buy securities for yourself from advisory clients, or sell securities you own to advisory clients (principal transactions) No
8A(2) Buy or sell for yourself securities (other than shares of mutual funds) that you also recommend to advisory clients Yes
8A(3) Recommend securities (or other investment products) to advisory clients in which you or any related person has some other proprietary (ownership) interest (other than those mentioned in Items 8.A(1) or (2)) Yes
8B(1) As a broker-dealer or registered representative of a broker-dealer, execute securities trades for brokerage customers in which advisory client securities are sold to or bought from the brokerage customer (agency cross transactions) No
8B(2) Recommend purchase of securities to advisory clients for which you or any related person serves as underwriter, general or managing partner, or purchaser representative Yes
8B(3) Recommend purchase or sale of securities to advisory clients for which you or any related person has any other sales interest (other than the receipt of sales commissions as a broker or registered representative of a broker-dealer) No
8C(1) Securities to be bought or sold for a client's account Yes
8C(2) Amount of securities to be bought or sold for a client's account Yes
8C(3) Broker or dealer to be used for a purchase or sale of securities for a client's account Yes
8C(4) Commission rates to be paid to a broker or dealer for a client's securities transactions Yes
8D If you answer "yes" to 8C.(3), are any of the brokers or dealers related persons No
8E Do you or any related person recommend brokers or dealers to clients No
8G(1) Do you or any related person receive research or other products or services other than execution from a broker-dealer or a third party ("soft dollar benefits") in connection with client securities transactions Yes
8G(2) If "yes" to G.(1), are all the "soft dollar benefits" you or any related persons receive eligible "research or brokerage services" under section 28(e) of the Securities Exchange Act of 1934 Yes
8H(1) Do you or any related person, directly or indirectly, compensate any person that is not an employee for client referrals No
8H(2) Do you or any related person, directly or indirectly, provide any employee compensation that is specifically related to obtaining clients No
8I Do you or any related person, directly or indirectly, receive compensation from any person for client referrals No
9Custody
9A(1)(a) Cash or bank accounts Yes
9A(1)(b) Securities Yes
9A(2a) Dollar amount in custody $65,336,813.00
9A(2b) Number of clients 4
9B(1)(a) Cash or bank accounts Yes
9B(1)(b) Securities Yes
9C(1) A qualified custodian(s) sends account statements at least quarterly to the investors in the pooled investment vehicle(s) you manage Yes
9C(2) An independent public accountant audits annually the pooled investment vehicle(s) that you manage and the audited financial statements are distributed to the investors in the pools Yes
9C(3) An independent public accountant conducts an annual surprise examination of client funds and securities Yes
9C(4) An independent public accountant prepares an internal control report with respect to custodial services when you or your related persons are qualified custodians for client funds and securities Yes
9D(1) You act as a qualified custodian No
9D(2) Do you or your related persons act as qualified custodians for your clients in connection with advisory services you provide to clients your related persons act as qualified custodians Yes
9E Surprise examination date 2025-06
9F If you or your related persons have custody of client funds or securities, how many persons, including, but not limited to, you and your related persons, act as qualified custodians for your clients in connection with advisory services you provide to clients 90
10Control Persons
10A Does any person not named in Item 1.A. or Schedules A, B, or C, directly or indirectly, control your management or policies No
11Disclosure Information
This firm has one or more disciplinary disclosures on record.
11 Do any of the events below involve you or any of your supervised persons No
11A(1) Been convicted of or plead guilty or nolo contendere ("no contest") in a domestic, foreign, or military court to any felony No
11A(2) Been charged with any felony No
11B(1) Been convicted of or plead guilty or nolo contendere ("no contest") in a domestic, foreign, or military court to a misdemeanor involving: investments or an investment-related business, or any fraud, false statements, or omissions, wrongful taking of property, bribery, perjury, forgery, counterfeiting, extortion, or a conspiracy to commit any of these offenses No
11B(2) Been charged with a misdemeanor listed in 11.B(1) No
11C(1) Found you or any advisory affiliate to have made a false statement or omission No
11C(2) Found you or any advisory affiliate to have been involved in a violation of SEC or CFTC regulations or statutes Yes
11C(3) Found you or any advisory affiliate to have been a cause of an investment-related business having its authorization to do business denied, suspended, revoked, or restricted No
11C(4) Entered an order against you or any advisory affiliate in connection with investment-related activity Yes
11C(5) Imposed a civil money penalty on you or any advisory affiliate, or ordered you or any advisory affiliate to cease and desist from any activity Yes
11D(1) Ever found you or any advisory affiliate to have made a false statement or omission, or been dishonest, unfair, or unethical No
11D(2) Ever found you or any advisory affiliate to have been involved in a violation of investment-related regulations or statutes No
11D(3) Ever found you or any advisory affiliate to have been a cause of an investment-related business having its authorization to do business denied, suspended, revoked, or restricted No
11D(4) In the past ten years, entered an order against you or any advisory affiliate in connection with an investment-related activity No
11D(5) Ever denied, suspended, or revoked your or any advisory affiliate's registration or license, or otherwise prevented you or any advisory affiliate, by order, from associating with an investment-related business or restricted your or any advisory affiliate's activity No
11E(1) Found you or any advisory affiliate to have made a false statement or omission No
11E(2) Found you or any advisory affiliate to have been involved in a violation of its rules (other than a violation designated as a "minor rule violation" under a plan approved by the SEC) No
11E(3) Found you or any advisory affiliate to have been the cause of an investment-related business having its authorization to do business denied, suspended, revoked, or restricted No
11E(4) Disciplined you or any advisory affiliate by expelling or suspending you or the advisory affiliate from membership, barring or suspending you or the advisory affiliate from association with other members, or otherwise restricting your or the advisory affiliate's activities No
11F Has an authorization to act as an attorney, accountant, or federal contractor granted to you or any advisory affiliate ever been revoked or suspended No
11G Are you or any advisory affiliate now the subject of any regulatory proceeding that could result in a "yes" answer to any part of Item 11.C., 11.D., or 11.E No
11H(1)(a) The past ten years, enjoined you or any advisory affiliate in connection with any investment-related activity No
11H(1)(b) Ever found that you or any advisory affiliate were involved in a violation of investment-related statutes or regulations No
11H(1)(c) Ever dismissed, pursuant to a settlement agreement, an investment-related civil action brought against you or any advisory affiliate by a state or foreign financial regulatory authority No
11H(2) Are you or any advisory affiliate now the subject of any civil proceeding that could result in a "yes" answer to any part of Item 11.H(1) No

Ask this firm about working together