Profil
Mr. Mark B. Greco, CPA, is a Managing Director at CenterSquare Investment Management, Inc.
Prior to joining CenterSquare July 2013, Mr. Greco worked for CMS Companies, a Philadelphia-based investment company.
During his tenure, he was instrumental in building the asset management department.
Mr. Greco was a Senior Group Controller with the Rouse Company, a national retail company based in Columbia, Maryland, where he had primary responsibility for oversight of management, leasing and financial accounting details for a regional mall portfolio.
Mr. Greco was a Senior Accountant on the audit staff of Deloitte Haskins and Sells in the New York City and Baltimore offices.
Mr. Greco received a B.S.
degree in Accounting from Villanova University and is a licensed Certified Public Accountant.
Postes actifs de Mark B. Greco
| Sociétés | Poste | Début |
|---|---|---|
Centersquare Investment Management (Private Equity)
Centersquare Investment Management (Private Equity) Investment ManagersFinance Centersquare Investment Management (Private Equity) invests in middle market transitional real estate assets located in the US. The firm targets offices, multi-family, retail, industrial, parking and hospitality sectors with an investment size ranging from $25 - $75 million. | Private Equity Investor | - |
Anciens postes connus de Mark B. Greco
| Sociétés | Poste | Fin |
|---|---|---|
Urdang Securities Management, Inc.
Urdang Securities Management, Inc. Investment ManagersFinance Urdang Securities Management (USM) invests in and manages public, private, global and US-only real estate investment strategies. Their investment approach includes top-down market/country selection and bottom-up underwriting of properties, companies and management teams. USM invests in US and global publicly-traded real estate securities. Their US Real Estate Securities strategy invests in a diversified portfolio of real estate securities including REITs and REOCs. They seek to outperform the benchmark FTSE NAREIT Equity Index by more than 200 basis points gross on an annual basis. USM looks for securities with low-relative stock prices. Securities are valued on a variety of factors including the value of the company's property portfolio and the company's capitalization, its position within the public capital markets and the quality of its management team. Portfolios include 35 to 45 stocks that are diversified by sector, region and company. Urdang employs a proprietary optimization tool to determine stock weightings to maximize alpha while minimizing risk. The Urdang Global Real Estate Securities strategy invests in a diversified portfolio of real estate securities including REITs and REOCs. The firm seeks to outperform the benchmark FTSE EPRA/ NAREIT Global Real Estate Index (net of any withholding taxes) by more than 200 basis points (gross) annually. Their investment approach seeks to uncover low-relative price opportunities across countries and sectors at different turning points in the real estate cycle. The strategy relies on industry-specific analyses that evaluate stock prices and on operational and qualitative factors to select a portfolio of 50 to 75 stocks with the highest total return potential. Portfolios are diversified across country, sector and strategy. USM employs a proprietary optimization tool to determine stock weightings to maximize alpha while minimizing risk. The Urdang Global ex-US Real Estate Securities strategy invests in a diversified portfolio of real estate securities including REITs and REOCs. They seek to outperform the benchmark FTSE EPRA/NAREIT Global Real Estate ex-US Index (net of any withholding taxes) by more than 200 basis points(gross) annually. Their approach is the same as that of the Urdang Global Real Estate Securities strategy, but portfolios typically hold 35 to 45 stocks. USM's Private Real Estate Investment strategy focuses on opportunities in US major real estate markets. They underweight and overweight sector strategies to gain the greatest relative upside potential with the least downside risk. The firm employs proprietary quantitative analysis to systematically monitor performance. USM invests in office, industrial/flex, retail and multi-family properties. | Membre du Comité d'Investissement | 30/06/2013 |
Deloitte Haskins & Sells (US) | Corporate Officer/Principal | - |
CMS Cos.
CMS Cos. Investment ManagersFinance Alternative investment manager | Corporate Officer/Principal | - |
Formation de Mark B. Greco
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
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Sociétés liées
| Entreprise privées | 5 |
|---|---|
Urdang Securities Management, Inc.
Urdang Securities Management, Inc. Investment ManagersFinance Urdang Securities Management (USM) invests in and manages public, private, global and US-only real estate investment strategies. Their investment approach includes top-down market/country selection and bottom-up underwriting of properties, companies and management teams. USM invests in US and global publicly-traded real estate securities. Their US Real Estate Securities strategy invests in a diversified portfolio of real estate securities including REITs and REOCs. They seek to outperform the benchmark FTSE NAREIT Equity Index by more than 200 basis points gross on an annual basis. USM looks for securities with low-relative stock prices. Securities are valued on a variety of factors including the value of the company's property portfolio and the company's capitalization, its position within the public capital markets and the quality of its management team. Portfolios include 35 to 45 stocks that are diversified by sector, region and company. Urdang employs a proprietary optimization tool to determine stock weightings to maximize alpha while minimizing risk. The Urdang Global Real Estate Securities strategy invests in a diversified portfolio of real estate securities including REITs and REOCs. The firm seeks to outperform the benchmark FTSE EPRA/ NAREIT Global Real Estate Index (net of any withholding taxes) by more than 200 basis points (gross) annually. Their investment approach seeks to uncover low-relative price opportunities across countries and sectors at different turning points in the real estate cycle. The strategy relies on industry-specific analyses that evaluate stock prices and on operational and qualitative factors to select a portfolio of 50 to 75 stocks with the highest total return potential. Portfolios are diversified across country, sector and strategy. USM employs a proprietary optimization tool to determine stock weightings to maximize alpha while minimizing risk. The Urdang Global ex-US Real Estate Securities strategy invests in a diversified portfolio of real estate securities including REITs and REOCs. They seek to outperform the benchmark FTSE EPRA/NAREIT Global Real Estate ex-US Index (net of any withholding taxes) by more than 200 basis points(gross) annually. Their approach is the same as that of the Urdang Global Real Estate Securities strategy, but portfolios typically hold 35 to 45 stocks. USM's Private Real Estate Investment strategy focuses on opportunities in US major real estate markets. They underweight and overweight sector strategies to gain the greatest relative upside potential with the least downside risk. The firm employs proprietary quantitative analysis to systematically monitor performance. USM invests in office, industrial/flex, retail and multi-family properties. | Finance |
CMS Cos.
CMS Cos. Investment ManagersFinance Alternative investment manager | Finance |
Villanova University
Villanova University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Deloitte Haskins & Sells (US) | |
Centersquare Investment Management (Private Equity)
Centersquare Investment Management (Private Equity) Investment ManagersFinance Centersquare Investment Management (Private Equity) invests in middle market transitional real estate assets located in the US. The firm targets offices, multi-family, retail, industrial, parking and hospitality sectors with an investment size ranging from $25 - $75 million. | Finance |
















