Thompson, Siegel & Walmsley LLC



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Item 1 Cover Page Thompson, Siegel & Walmsley LLC Supplemental Information Professional Biographies March 31, 2015 This brochure supplement provides information about Thompson, Siegel & Walmsley LLC s ( TS&W ) supervised persons and supplements the TS&W firm brochure. You should have received a copy of that brochure. Please contact TS&W if you did not receive a copy of TS&W s brochure or if you have any questions about the contents of this supplement. Additional information about TS&W supervised persons is available on the SEC s website at www.adviserinfo.sec.gov. P. O. Box 6883 6806 Paragon Place, Suite 300 Richmond, Virginia 23230 Telephone: (804) 353 4500 Fax: (804) 353 0925 Contact: tswinfo@tswinvest.com www.tswinvest.com SEC File Number 801 6273

Stelious Antourakis Associate Portfolio Specialist William Murray Bellamy, CFA* Director of Income Strategies; Started in Industry: Year of Birth: BS Virginia Commonwealth University Capital Advisory Group, Intern Series 6, 63 and 65 licensed. See Registered Representatives in Defined Terms section describing TS&W s relationship with broker dealer Funds Distributor, LLC. TS&W Branch Principal, and TS&W s Chief 2007 2007 1985 BS Cornell University MBA Duke University Merrill Lynch & Co., AVP; Clayton Brown & Associates, VP; First Union Corporation, VP; Trusco Capital Management, Inc., VP 1

2002 Started in Industry: 1987 Year of Birth: 1965 Stuart Preston Dillard, CAIA High Net Worth/Regional Institutional BA University of Virginia Interior Solutions, VP; Anderson & Strudwick Inc., Investment Advisor/Broker; Private Bank of Bank of America, VP, Series 7, 63 and 65 licensed. See Registered Representatives in Defined Terms section describing TS&W s relationship with broker dealer Funds Distributor, LLC. Participates in Sales Incentive Program. See Sales Incentive Programs under Defined Terms section. TS&W Branch Principal, and TS&W s Chief 2005 Started in Industry: 1999 Year of Birth: 1973 2

Paul Aaron Ferwerda, CFA BS Auburn University MBA Fuqua School of Business, Duke University AmSouth Bank Corporation, 1987 Started in Industry: 1982 Year of Birth: 1957 Gregory Gray Garland, CFA High Net Worth/Regional Institutional BA University of Virginia Sovran Bank, N.A., International Banking Officer; Riggs National Bank of Washington, D.C., AVP; Freddie Mac, Senior Financial Analyst; Alex Sheshunoff & Company Investment Banking, Associate Director; Bank of America, VP and ; SunTrust Bank, VP and Senior Series 7, 63 and 65 licensed. See Registered Representatives in Defined Terms section describing TS&W s relationship with broker dealer, Funds Distributor, LLC. 3

TS&W Branch Principal, and TS&W s Chief 2008 Started in Industry: 1983 Year of Birth: 1961 Lawrence Edward Gibson, CFA Chairman of the TS&W Board of Managers BS University of Tennessee Third National Bank of Nashville, Inc., SVP; William M. Mercer LLC, Senior Consultant & Worldwide Partner Participates in Economic Incentive Program. See Economic Incentive Programs under Defined Terms section. activities is provided by their primary supervisors (TS&W Board of Managers and Old Mutual) and 2000 Started in Industry: 1974 Year of Birth: 1951 4

Brandon Hayes Harrell, CFA* Started in Industry: Year of Birth: BA Wake Forest University MBA George Mason University Central Intelligence Agency, Washington, DC, Intelligence Officer; Growth Stock Outlook, Inc., Securities Analyst; Capitoline Investment Services, Series 7, 63 and 65 licensed. See Registered Representatives in Defined Terms section describing TS&W s relationship with broker dealer Funds Distributor, LLC. TS&W Branch Principal, and TS&W s Chief 1996 1987 1960 Brett Phelan Hawkins, CFA* Chief Investment Officer; BA University of Richmond MBA University of Virginia, Darden School Arthur Andersen LLP, Senior Associate; First Union Corporation, AVP, Equity Research 5

2001 Started in Industry: 1993 Year of Birth: 1971 John Shelton Horsley, IV, CFA Director of Institutional Client Service BA University of Virginia MBA University of Virginia Aetna Life & Casualty, Employee Benefits Representative; Bolton Offutt Donovan, Inc., Consultant 1994 Started in Industry: 1986 Year of Birth: 1962 6

Tracey Holgren Ivey, CFA Director of Consultant Relations Jerry Walton Jenkins Director of Wealth Management Started in Industry: Year of Birth: 7 BS University of Richmond MBA University of Pennsylvania, The Wharton School, Miller, Anderson & Sherrerd LLP, Head of Consultant Relations; Morgan Stanley Investment Management, Managing Director, Consultant Relations Series 6, 7, 63 and 65 licensed. See Registered Representatives in Defined Terms section describing TS&W s relationship with broker dealer, Funds Distributor, LLC. Participates in Sales Incentive Program. See Sales Incentive Programs under Defined Terms section. TS&W Branch Principal, and TS&W s Chief 2008 1983 1967 BA Hampden Sydney College National Graduate Trust School, Northwestern University The Executive Program, University of Virginia; NationsBank Corporation, Personal & institutional Trust Manager

1993 Started in Industry: 1967 Year of Birth: 1944 Tracy LaDawn Musser Institutional Client Service Manager BS Pennsylvania State University MBA St. Joseph s University PLANCO LLC, Marketing Coordinator; Pilgrim, Baxter & Associates, Ltd., VP Series 7, 63 and 65 licensed. See Registered Representatives in Defined Terms section describing TS&W s relationship with broker dealer Funds Distributor, LLC. Participates in Sales Incentive Program. See Sales Incentive Programs under Defined Terms section. 8 TS&W Branch Principal, and TS&W s Chief

2004 Started in Industry: 1996 Year of Birth: 1968 Stedman Davis Oakey, CFA Analyst; BA University of Notre Dame AIG Global Investment Group, Financial Analyst; AIG Private Equity Ltd., Zurich, Switzerland, Financial Analyst 2005 Started in Industry: 2000 Year of Birth: 1977 Roger Worthington Porter* BS University of Richmond MBA University of Richmond Branch Cabell and Company, Associate Vice President Institutional Research and Sales; Atlantic Capital Management, Managing Director 9

2008 Started in Industry: 1994 Year of Birth: 1972 Frank Hartranft Reichel, CFA, CAIA* President; AB Dartmouth College MBA University of Pennsylvania, The Wharton School Stratton Management Company, Managing Director; Stratton Small Cap Value Fund, President Participates in Economic Incentive Program. See Economic Incentive Programs under Defined Terms section. 2000 Started in Industry: 1986 Year of Birth: 1964 10

John Lawrence Reifsnider Director of Business Development BBA University of Toledo Chase Investment Counsel Corporation, Institutional Investment Management Consultant; Institutional Asset Management, Institutional Investment Management Consultant; Smith Barney Consulting Group, Institutional Investment Management Consultant; Scott & Stringfellow, Inc., Vice President of Marketing and Client Services; Atlantic Capital Management, LLC, Managing Director Series 7, 63 and 65 licensed. See Registered Representatives in Defined Terms section describing TS&W s relationship with broker dealer Funds Distributor, LLC. Participates in Sales Incentive Program. See Sales Incentive Programs under Defined Terms section. TS&W Branch Principal, and TS&W s Chief 2005 Started in Industry: 1990 Year of Birth: 1964 William Patrick Schubmehl, Jr. 11 BA University of Virginia MBA University of Virginia Spear, Leeds & Kellogg Specialists LLC, Option Specialist on the AMEX; First Union Corporation, Associate; WPS Capital Management, President

Elizabeth Schaeffer Ware Started in Industry: Year of Birth: Participates in Sales Incentive Program consisting of participation in the profitability of all WPS strategies through his participation in WPS Capital Management, LLC. See Sales Incentive Programs under Defined Terms section. activities is provided by their primary supervisors (TS&W Board of Managers) and TS&W s Chief 2006 1994 1971 BA Vanderbilt University MBA University of Richmond Genworth Financial Project Manager/Risk Analyst SunTrust Bank Treasury Trader/Assistant Vice President Wachovia Bank Federal Funds Portfolio Manager/Assistant Vice President Series 7, 63 and 65 licensed. See Registered Representatives in Defined Terms Section describing TS&W s relationship with broker dealer Funds Distributor, LLC 12 TS&W Branch Principal and TS&W s Chief

Horace Pritchard Whitworth, CFA Chief Executive Officer Started in Industry: Year of Birth 2010 1984 1962 BS University of Virginia Coopers & Lybrand, Auditor; Wachovia Corporation, activities is provided by their primary supervisors (TS&W Board of Managers and Old Mutual) and 1986 Started in Industry: 1981 Year of Birth: 1956 13

Defined Terms: Affiliations and Professional Designations * Member of TS&W s Investment Policy Committee ( IPC ): The IPC has responsibility for: oversight of all investment strategies and teams including WPS Capital Fund, LLC; setting the asset allocation for equity and balanced accounts; reviewing the research group s commission budget including soft dollars; reviewing trading operations and input from the Trade Management Oversight Committee (TMOC) on best execution; and reviewing portfolio risk and all strategies performance and attribution vs. benchmarks. Several TS&W investment professionals are Chartered Financial Analysts or Registered Representatives, and some are eligible for sales incentive or economic incentive programs. ** Chartered Financial Analyst ( CFA ): The Chartered Financial Analyst designation has become the most respected and recognized investment credential in the world. To earn a CFA charter, one must have four years of qualified investment work experience, become a member of the CFA Institute, pledge to adhere to the CFA Institute Code of Ethics and Standards of Professional Conduct on an annual basis, apply for membership to a local CFA member society, and complete the CFA Program. The CFA program is organized into three levels, each culminating in a six hour exam. Completing the program takes most candidates between two and five years. Registered Representatives: TS&W has registered representatives who are licensed with Funds Distributor, LLC which is a third party (unaffiliated with TS&W) FINRA registered broker dealer of the Foreside Financial Group. Funds Distributor is located at 3 Canal Plaza, Suite 100, Portland, ME 04101. Funds Distributor holds the securities licenses for several of TS&W's associates, serving as a limited capacity broker dealer to investment companies and LLC's. TS&W does not direct any trades through Funds Distributor. For more information on Funds Distributor/Foreside Financial Group, please visit their website at: www.foreside.com. Economic Incentive Programs: Several TS&W employees are participants in economic incentive programs. Such programs may provide for participation in the revenue stream of certain strategies within TS&W. Sales Incentive Programs: Several TS&W employees are participants in sales incentive programs. Such programs may provide for trailing incentive payments from specific account revenues which decrease each year for multiple years until exhausted. 14