Federal Data HubSEC Form ADV · JSON · SEC IAPD ↗

U.S. BANCORP ASSET MANAGEMENT, INC.

dba U.S. BANCORP ASSET MANAGEMENT, INC. · CRD 111912 · Registered Investment Adviser

Criminal disclosureRegulatory disclosureCivil/Other disclosureCustody via related personManages private funds

U.S. BANCORP ASSET MANAGEMENT, INC. is a Registered Investment Adviser headquartered in MINNEAPOLIS, MN. The firm reports $427,478,051,485 in regulatory assets under management across 2,340 accounts, and manages 1 private fund(s). It reports 8 Form ADV Item 11 disciplinary disclosure(s) (Criminal, Regulatory, Civil/Other).

Regulatory assets under management

Discretionary$426,580,240,381
Non-discretionary$897,811,104
Total RAUM$427,478,051,485
Accounts2,340

Disciplinary history (Form ADV Item 11)

This adviser answered "yes" to 8 Item 11 disclosure question(s):

CategoryReported
Criminal (11A / 11B)Yes
Regulatory (11C–11F)Yes
Civil / Other (11G / 11H)Yes

Item 11 captures firm-level Y/N disclosures only. For the narrative Disciplinary Reporting Pages, see the full Form ADV PDF on SEC IAPD.

About this data

Form ADV is the uniform registration form every investment adviser files with the U.S. Securities and Exchange Commission (and state regulators). Part 1A captures the firm's identity, assets under management, client base, custody arrangements, and disciplinary disclosures. This page mirrors the SEC's monthly firm-roster export with citations to the Investment Adviser Public Disclosure (IAPD) system, where the full brochure (Part 2) and disciplinary detail are available.

References

  1. U.S. Securities and Exchange Commission. Investment Adviser Public Disclosure — CRD 111912. adviserinfo.sec.gov/firm/summary/111912.
  2. SEC Form ADV firm roster (FOIA monthly export). sec.gov Form ADV data.

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