LaSalle Investment Management, Inc.

LaSalle Investment Management, Inc.

LaSalle Investment Management, Inc.

Overview
Date Founded

1997

Headquarters

200 EAST RANDOLPH DRIVE, SUITE 4300, CHICAGO, IL, 60601

Type of Company

Private

Employees (Worldwide)

259

Industries

Private Equity & Venture Capital
Investment Services & Portfolio Management

Company Description

LaSalle Investment Management invests across a range of real estate capital and operating markets including private and public, debt and equity. The firm invests through a variety of investment vehicles including separate accounts, open and closed ended funds, public securities, mutual funds and entity level investments.

Contact Data
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Executives & Employees

Owner

Global Chief Executive Officer

Executive Chairman-Canada

Global Chief Financial Officer

Chief Financial Officer & Chief Operating Officer, Americas Private Equity

General Counsel

Chief Executive Officer-Asia Pacific

Chief Executive Officer-Canada

Chief Executive Officer, Americas

Chief Executive Officer-Japan

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Recent Transactions
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Jones Lang LaSalle, LaSalle Investment Management, Inc. purchase Latitude Management Real Estate Investors, Inc. from Latitude Management Real Estate Holdings LLC

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Jones Lang LaSalle, LaSalle Investment Management, Inc. purchase Aviva Investors (Private Equity) /REMM Bus from Aviva Investors (Private Equity)

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Jones Lang LaSalle, LaSalle Investment Management, Inc. purchase Chapelfield Shopping Centre from Intu Properties Plc

Transaction Advisors
Legal Advisor

Advised onLaSalle Investment Management, Inc. purchases One South Place

Legal Advisor

Advised onJones Lang LaSalle, LaSalle Investment Management, Inc. purchase Latitude Management Real Estate Investors, Inc. from Latitude Management Real Estate Holdings LLC

Legal Advisor

Advised onLaSalle Investment Management, Inc., Aviva Investors (Private Equity), El Tormes Shopping Centre /Private Group purchase El Tormes Shopping Centre from CBRE Global Investors LLC, RPFI Tormes SL

Legal Advisor

Advised onJones Lang LaSalle, LaSalle Investment Management, Inc. purchase Aviva Investors (Private Equity) /REMM Bus from Aviva Investors (Private Equity)

Legal Advisor

Advised onJones Lang LaSalle, LaSalle Investment Management, Inc. purchase Latitude Management Real Estate Investors, Inc. from Latitude Management Real Estate Holdings LLC

Associate

Advised onJones Lang LaSalle, LaSalle Investment Management, Inc. purchase Latitude Management Real Estate Investors, Inc. from Latitude Management Real Estate Holdings LLC

Advisors & Consultants
Custodian

Wells Fargo & Co. is a diversified, community-based financial services company. It is engaged in the provision of banking, insurance, investments, mortgage, and consumer and commercial finance. It firm operates through the following segments: Community Banking, Wholesale Banking, Wealth & Investment Management, and Other. The Community Banking segment offers complete line of diversified financial products and services for consumers and small businesses including checking and savings accounts, credit and debit cards, and automobile, student, and small business lending. The Wholesale Banking segment provides financial solutions to businesses across the United States and globally. The Wealth and Investment Management segment includes personalized wealth management, investment and retirement products and services to clients across U.S. based businesses. The Other segment refers to the products of WIM customers served through community banking distribution channels. The company was founded by Henry Wells and William G. Fargo on March 18, 1852 and is headquartered in San Francisco, CA.

Administrator

State Street Corp. operates as a financial holding company. It conducts business primarily through State Street Bank. The company operates through following business lines: Investment Servicing and Investment Management. The Investment Servicing business offers custody, product and participant-level accounting, daily pricing and administration, master trust and master custody, record-keeping, cash management, foreign exchange, brokerage and other trading services, securities finance, deposit and short-term investment facilities, loans and lease financing, investment manager and alternative investment manager operations outsourcing, and performance, risk and compliance analytics. The Investment Management business provides services through State Street Global Advisors, which provides a broad array of investment management, investment research and investment advisory services to corporations, public funds and other sophisticated investors. It offers strategies for managing financial assets, including passive and active, such as enhanced indexing, using quantitative and fundamental methods for both the U.S. and global equities and fixed-income securities. The company was founded in 1969 and is headquartered in Boston, MA.

Auditor

KPMG LLP engages in the provision of audit, tax, and advisory services. It serves the banking and capital markets, building, construction and real estate, consumer and retail, energy, natural resources and chemicals, financial services, government and public sector, healthcare and life sciences, industrial manufacturing, insurance, media and entertainment, private equity, technology, telecommunications, and venture capital industries. The company was founded in 1987 and is headquartered in New York, NY.

Advisor

Senior Vice President at Colliers International

Legal Advisor

Partner at Kirkland & Ellis LLP

Advisor

Executive Managing Director, Capital Markets, Institutional Markets, Pacific at CBRE Group, Inc.

Clients

NYSTRS invests the System's funds in several diverse classes of assets including domestic equities, international equities, domestic fixed-income and global fixed-income. They seek to earn the highest possible long-term rate of return within appropriate risk levels. In turn, this enables them to pay guaranteed benefits to members and their beneficiaries at the lowest possible cost to participating employers and the taxpayers that fund them. Derivatives may not be used to create leverage and may only be used to implement asset allocation changes in a cost-effective manner, prudently implement investment strategies in a risk controlled manner or reduce transaction costs or taxes. Portfolios may be internally or eternally managed. Internal investment managers/advisors may invest in the System’s internally managed domestic equity portfolios while external investment managers/advisors may invest System assets in commingled funds including bank collective investment trusts.

The Public School Teachers Retirement Fund of Chicago (CTPF) invests across a broad range of asset classes including: (1) large-cap index (2) large-cap core (3) large-cap value (4) large-cap growth (5) mid-cap index (6) mid-cap core (7) small-cap index (8) small-cap value (9) small-cap growth (10) all-cap equity (11) international equity (12) private equity (13) public REITs (14) private real estate (15) infrastructure (16) hedge funds (17) fixed-income index (18) fixed-income core investment grade (19) fixed-income opportunistic and (2) cash equivalents.CTPF's asset allocation policy targets an allocation of 62.5% of the fund's assets to investments in the public equity sector. To increase diversification benefits while maintaining a core position in equities, approximately 40% of their domestic equity investments are allocated to equity index funds, with the remaining assets allocated to active equity managers. To further improve diversification, CTPF targets a commitment of 9% of the fund's total assets to small-cap equities and 22% to international equities. They strive to invest at least 3.5% of their assets in mid-cap equities, up to 30% in the emerging markets or lesser developed countries, 3% in the private equity sector, 2% in the infrastructure sector, 2% in hedge funds, 2.5% in public REITs, 6.5% in private real estate sector and 19.5% in fixed-income securities. To increase diversification while maintaining a core position in fixed-income securities, 55% to 60% of the fund's domestic fixed-income investments are allocated to bond index funds, with the remaining portion allocated to core investment grade and opportunistic managers. CTPF allocates 2% of the fund's total assets to cash equivalents or short-term fixed-income securities to meet the fund's benefits and expense requirements.

Non-Profit Donations & Grants
$500 - $999
2018
Investments
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Bias Power, Inc. designed and manufactured low wattage switching power supplies. The company was founded by Robert T. Geras and was headquartered in Buffalo Grove, IL.

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Middlesex JV SARL engaged in the acquisition, investment, development, promotion, sale, management and lease of real estate properties. The company was incorporated on December 12, 2006 and was headquartered in Luxembourg.

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GuardeAqui Locação de Espaço Self Storage Ltda. owns and operates self-storage facilities. It provides temporary and long-term storage solutions to commercial and residential customers. The company was founded in 2005 by Mario Fernandez and is headquartered in São Paulo, Brazil.

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