Chief Compliance Officer

Legal & Compliance

Crow Holdings Capital

Conrad Morrison is the Chief Compliance Officer at Crow Holdings Capital. Conrad oversees all regulatory matters with respect to Crow Holdings Capital's SEC registration. He is responsible for providing regulatory guidance and support to the business and senior management, managing regulatory examinations, and, among other things, has overall responsibility for completion of CHC’s annual compliance review, which includes testing, reviewing, and updating policies and procedures to reflect best practices, the evolving regulatory environment, and changes to the business.

Conrad has over 15 years of industry experience with private equity and hedge funds. Prior to joining Crow Holdings in 2011, Conrad was the Assistant Director of Compliance at Harbert Management Corporation. He began his compliance career at Regions Financial Corporation.

Conrad received his J.D. from the University of Alabama and his B.B.A. from Hardin-Simmons University.

This overview is designed to introduce Crow Holdings and its various operating companies. Crow Holdings Capital is a U.S. SEC registered investment adviser and is the manager to the Crow Holdings Capital Funds. Crow Holdings Partners is a division within Crow Holdings Capital. Crow Holdings Capital, Trammell Crow Residential, Crow Holdings Industrial and Crow Holdings Office are operated separately and independently from one another with separate senior leadership and investment committees. SEC registration does not imply a certain level of skill or training.