Our team
Executive Officers
Directory
Andy Millikin is a Principal at Blue Owl and member of the Private Wealth Team. In his role, he works closely with field executives and centers of influence at Blue Owl's largest Private Wealth partners, providing education and insights on private markets and alternative investments.
Before joining Blue Owl, Andy was a Director on the iShares team at BlackRock. Prior to that, he was a Regional Director at Dimensional Fund Advisors and a Senior Internal Sales Executive at Vanguard.
Andy received his MBA from the University of Texas and holds a BS, summa cum laude, in Finance from Arizona State University.
Brian Moore is a Managing Director at Blue Owl and member of the Alternative Credit Investment Team. In his role, he focuses on evaluating and structuring asset-based financing transactions for borrowers in the financial services sector.
Before joining Blue Owl, he was an Investment Professional at Atalaya Capital Management, the predecessor firm to Blue Owl’s Alternative Credit team. Brian began his career in investment banking at Deutsche Bank, where he worked on the Leveraged Finance team.
Brian received his BSE in Operations Research and Financial Engineering, with a minor in Environmental Studies, from Princeton University.
Alfredo Moreira is a Principal at Blue Owl and member of the Credit Finance & Capital Markets Team. In his role, he focuses on all aspects of originating, structuring and capital markets for the firm’s collateralized loan obligations (CLOs), warehouse lending facilities and investment vehicles. Additionally, he focuses on investing in structured products for the firm’s funds and managed accounts.
Prior to joining Blue Owl, Alfredo was a Director and Deal Team Lead in the CLO originations group at Bank of America in New York. Prior to BofA, Alfredo was an associate in the CLO banking group at GreensLedge Capital Markets. Alfredo began his career as an Analyst at Ernst & Young's Structured Finance practice in New York.
Alfredo received his BS in Finance and Minor in Business Law from the Smeal College of Business at The Pennsylvania State University.
Andrew Morris is a Managing Director at Blue Owl and member of the Legal Team. In his role, he focuses on supporting the Real Assets business.
Before joining Blue Owl, Andrew was Associate General Counsel and Chief Compliance Officer at First Eagle Alternative Credit in Chicago. Prior to that, he was an associate with Kirkland & Ellis LLP providing legal and regulatory advice to private fund sponsors. Andrew previously worked as an associate with Davis Polk & Wardwell LLP providing advice with respect to fund formation and capital markets offerings.
Andrew is a member of the Executive Circle of the Institute for International Economic Policy at the Elliott School of International Affairs. Andrew received his JD, cum laude, from the University of Pennsylvania Carey Law School and holds a BA in International Affairs, magna cum laude, from The George Washington University.
John Morrison is a Managing Director at Blue Owl and the Head of Institutional Capital, North America and Head of Global Insurance Client Partnerships. In his role, John is focused on leading the Institutional Capital effort in North America, which includes managing the institutional sales, product management, and servicing teams. In addition, John leads the insurance client partnership effort globally, which is responsible for strategically partnering with insurance companies and financial institutions. John also manages the Insurance Solutions Business Development team and is a member of the Blue Owl Insurance Solutions Operating Committee.
Before joining Blue Owl, John was a Managing Director at GCM Grosvenor where he was the Global Head of Insurance Solutions. Prior to that, he spent nearly nine years at Kohlberg Kravis & Roberts (KKR) where he was responsible for new business development for U.S. life, property and casualty, health and reinsurance general account investors. John began his career in asset management at Pacific Investment Management Company (PIMCO) where he helped build the firms insurance asset management business from its early days.
John earned an MBA in Finance and Accounting from The University of Chicago’s Booth School of Business and graduated from Georgetown University with a BA in Economics.
Treavor Mosbaugh is a Managing Director at Blue Owl and member of the Private Wealth Team. In his role, he focuses on supporting the firm’s investor relations and capital raising initiatives.
Prior to joining Blue Owl in 2017, Treavor was a Divisional Sales Manager at NorthStar Securities. Here, he led the external regional market teams in the Western US and played a key role in the implementation of the retail distribution strategy from 2010 onwards. Prior to his role as Divisional Sales Manager, he was a Senior Regional Vice President for the capital markets division. Before NorthStar, Treavor was a Regional Sales Director and Director of Business Development at Welton Street Investments, where he played a critical role in the creation of the broker/dealer from 2006 until 2010. Preceding Welton Street Investments, from 2003 to 2006, Treavor was a Financial Advisor at Edward Jones Investments.
Treavor received a BS in Finance from the University of Northern Colorado and maintains Series 7,24 and 63 registrations.
Michael Mosticchio is a Managing Director at Blue Owl and the Head of BDC Investor Relations. Based in New York City, he is focused on all aspects of shareholder relations for Blue Owl’s Business Development Companies (BDCs).
Before joining Blue Owl, Michael was a Senior Vice President and Head of BDC Investor Relations at Oaktree Capital Management, an alternative asset manager. Prior to that, he was an Associate at Fifth Street Asset Management, a middle market direct lender. He started his career as an Investment Analyst at Prudential Private Capital, the private credit arm of PGIM.
Michael received his BS in Finance, magna cum laude, from Rutgers University.
Jennifer Mulcrone is a Managing Director at Blue Owl and member of the Legal Team. In her role, she serves as internal legal counsel to the Real Assets business.
Before joining Blue Owl, Jennifer was Senior Counsel for Walgreens in their Commercial Law department. Prior to that, Jennifer was an associate at Altman, Kritzer & Levick focused on big box ground up development. She began her legal career as an associate at Scoggins & Goodman.
Jennifer received her JD from Chicago-Kent College of Law and holds a BA in History from University of Illinois Urbana-Champaign.
Andrew Murphy is a Senior Managing Director at Blue Owl and member of the Legal Team. In his role, he focuses on legal and regulatory matters for the firm.
Before joining Blue Owl, Andrew was a Senior Vice President at OppenheimerFunds responsible for legal matters relating to the firm’s exchange traded funds. Prior to that, he was a Vice President at Goldman Sachs Asset Management, L.P. Andrew began his career as counsel at AllianceBernstein where he also served as Director of Compliance for AllianceBernstein Investments, Inc.
Andrew received his JD from Boston College Law School and holds a BA in History from Trinity College.
Dermot Murphy is a Managing Director at Blue Owl and member of the Alternative Credit Investment Team. Before joining Blue Owl, Dermot was a Managing Director at Atalaya Capital Management, the predecessor firm to Blue Owl's Alternative Credit team. Prior to that, he was a Co-Founder and Partner of TTM Capital, LLC, an investment firm focused on acquiring and lending against portfolios of financial and other assets, where he was responsible for Asset Management and Operations. Previously, Dermot worked at Highbridge/Zwirn Capital Management as a Vice President with oversight of all asset management functions for the Assets group where he managed credit reporting and credit administration and led the workout management for “problem” assets for the Assets Group. Prior to Highbridge/Zwirn Capital Management, he was at Hudson Castle Group (formerly IBEX Capital Markets), an independent structured finance advisory company specializing in the management of asset-backed lending vehicles where he was responsible for all aspects of conduit operations, treasury and credit administration for five asset backed commercial paper conduits with commitments in excess of $8 billion.
Dermot holds a B.Comm in Accounting and an MBS, both from University College Dublin, Ireland, and is a CFA charterholder.