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Management Team

Capital markets, real estate, and regulatory experience.

The management of USREM has a combined 200 years of experience across the commercial real estate and finance industries.

USREM Securities, LLC
Portrait of Raymond Kahn
Raymond Kahn
President

Formerly President of ICE’s global Creditex market; previously led Barclays’ OTC Client Clearing business and served as Barclays’ Global Head of Prime Services Risk during the credit crisis. Built and ran Lehman’s Loan Hedging unit.

Michigan BA, Wharton MBA
Registered Representative · FINRA CRD# 1860070
Portrait of T. Keith George
T. Keith George
Principal Financial Officer

Licensed CPA with more than 25 years in financial services. Began at Ernst & Young, served as a regulator at the Federal Reserve Bank of New York, and most recently spent ten years in financial reporting roles at Bank of America / Merrill Lynch.

University of Maryland BA, Cornell MBA
Registered Representative · FINRA CRD# 5378303
Portrait of Frank Ingraham
Frank Ingraham
Chief Compliance Officer

Over 20 years in financial compliance, including VP and CCO for Pruco Securities and Prudential Advisors, securities compliance management at NRECA, head of supervision at Guardian Life, CCO at ACA, and investigator at FINRA.

DeSales University BA, MBA
Registered Representative · FINRA CRD# 2918519
U.S. Real Estate Market Holdings, Inc.
Portrait of David S. Rose
David S. Rose
Chairman & CEO

Inc. 500 CEO. Founder & CEO of Gust. Chair of the REBNY Venture Capital Committee. Founder and Chairman Emeritus of New York Angels. Finance Chair of Singularity University. Forty-year PropTech pioneer; two-time New York Times bestselling author of Angel Investing and The Startup Checklist.

Yale BA, Columbia MBA
Portrait of Shachi Shah
Shachi Shah
Executive VP & COO

Twenty-five years building investment banking and asset management businesses at global financial institutions. Founder of an award-winning multi-asset hedge fund that grew to $28B AUM. Voted by Pensions Insight one of the 50 most influential people in pensions; named Asset Management CEO of the Year in 2012.

Middlesex University LLB
Portrait of Lauren Rose
Lauren Rose
Head of Real Estate

Co-founder of the AREA Real Estate Tech Accelerator. Former VP at Coggsville Group; project management at Plaza Construction; residential management at Rose Associates; founder of SociableNY.

Columbia BA, MUP, MBA

Advisory Board

Our framework for private commercial real estate liquidity is shaped by an elite panel of advisors who have led the institutions that govern, regulate, and operate public and private capital markets.

Real Estate
Daniel Rose

Chairman, Rose Associates · Director, 20+ Dreyfus Mutual Funds

Regulatory
Arthur Levitt

25th Chairman, US Securities & Exchange Commission

Analytics
Robert Carrigan

Former Chairman & CEO, Dun & Bradstreet · Former CEO, IDG

Economics
Benn Steil

Director, International Economics, Council on Foreign Relations

Fintech Ventures
Lucinda Duncalfe

Executive Chairman, Thrive TRM · CEO, Turntide

Venture Capital
Howard L. Morgan

Chairman, B Capital Group · Co-founder, First Round Capital

Institutions
Thomas W. Jones

Former CEO, Citigroup Global Investment Management

Markets
Lou Pastina

Former Executive VP, New York Stock Exchange

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Contact
USREM Securities, LLC
750 Lexington Avenue
New York, NY 10022
USREM — US Real Estate Market
Member FINRA · SIPC
Site
Disclosures

USREM Securities LLC is a broker–dealer registered with the SEC, a member of FINRA and the SIPC, and operates this site as an Alternative Trading System (“ATS”). Private placements on usremsecurities.com are intended for accredited investors (pursuant to US rules and regulations) and for persons residing abroad in jurisdictions where securities registration exemptions are available. Securities sold in private placements are not publicly traded, are subject to holding period requirements, and are intended for investors who do not need a liquid investment. Private placement investments are NOT bank deposits (and thus NOT insured by the FDIC or by any other federal governmental agency), are NOT guaranteed by USREM, Inc. (collectively with any affiliates, “USREM”) and MAY lose value. Neither the Securities and Exchange Commission nor any federal or state securities commission or regulatory authority has recommended or approved any investment or the accuracy or completeness of any of the information or materials provided by or through the website. This Platform is NOT a stock exchange or public securities exchange, there is no guarantee that liquidity for your investment will be obtained due to, among other possibilities, the absence of willing buyers, nor is there any guarantee that the Platform will continue to operate or remain available to investors. Information displayed on this Platform, including information regarding targeted returns and investment performance, is provided by the sponsor of the investment opportunity and is subject to change. USREM is relying on such sponsor for the information and assumes no liability therefore. Past performance is no guarantee of future results. Any historical returns, expected returns, or probability projections are not guaranteed and may not reflect actual future performance. All securities involve a high degree of risk and may result in partial or total loss of your investment. USREM is not responsible and shall not be held liable for any failures in performance of sponsors’ private placements. Forward–looking statements, hypothetical information or calculations, financial estimates and targeted returns are inherently uncertain. In addition, USREM undertakes no obligation to update such forward–looking statements in the future. Such information should not be used as a primary basis for an investor’s decision to invest. Investment opportunities on the Platform are speculative and involve substantial risk. You should not invest unless you can sustain the risk of loss of capital, including the risk of total loss of capital. All secondary trading of holdings on the platform is conducted pursuant to Section 4(a)1, Section 4(a)(2), and Section “4(a)1(1/2)” of the U.S. Securities Act of 1933, as amended, and is open thereunder to accredited investors pursuant to US rules and regulations. In addition, all trades must receive the prior approval of the issuer of the securities, in its sole discretion, who may fail to approve a specific transaction due to additional regulatory considerations and/or limitations applicable to it.

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