INTEGRITAS CAPITAL ADVISORS - Key Persons


Christopher J. Carbone

Chris is Managing Director and Head of Asset Management for Integritas Capital Advisors, LLC. Prior to joining Integritas, Chris was Director of Asset Management for Building and Land Technology's fund platform. Prior to BLT, Chris was Director of Asset Management and Eastern U.S. Region Head for BlackRock's Retail Opportunity Fund. Prior to joining BlackRock, [...]Read more →

Evan Lehman

Job Titles:
  • Consultant With
Evan is a Consultant with Integritas Capital Advisors, LLC. Prior to joining Integritas, Evan worked in the Securitized Products Group at Morgan Stanley & Co. LLC. Evan began his career in the Collateral group, where he led a team charged with residential loan processing for securitization. He worked with Prime, Alt-A, Sub-Prime, and Scratch & Dent loan products spanning the deal lifecycle from evaluating loan packages for assistance in bid analyses through document creation and deal pricing. Evan then transitioned to the Commercial Real Estate Lending Group, where he was charged with the risk management of the Firm's principal commercial loan portfolio slated for securitization in the TOP, HQ, IQ shelves. As a member of the group's trading desk, Evan was involved in the hedging of newly originated loans through rate-locking and trading of treasury futures, interest-rate and credit-default swaps, and credit indices. In addition, he built pricing models for loan inventory leveraging discounted cash flow and expected loss analysis. His responsibilities also included daily risk reporting, inventory management, P&L tracking and analysis, and position marking-to-market. Evan's role culminated in the responsibility to reduce risk associated with the group's legacy cost center and the seamless transition to the new, core cost center prior to the implementation of CMBS 2.0. Evan attained an Executive MBA from Columbia Business School while working at Morgan Stanley. In addition, he earned a M.Ed in Organizational Leadership and a BS in Human & Organizational Development from Vanderbilt University. Evan currently holds the following securities licenses: Series 7 (General Securities Representative) and Series 63 (Securities Agent).

Jorge Rodriguez

Job Titles:
  • Senior Tax Consultant With
Jorge is a Senior Tax Consultant with Integritas Capital Advisors, LLC. Jorge has a number of years of experience working as a tax advisor at major law firms and at Big Four Accounting Firms including KPMG and PwC. Jorge's current nationwide practice focuses on tax consulting and tax advisory services at the international, federal, state and local levels. Jorge also represents taxpayers in government investigations, audits, and tax appeals and concentrates on the resolution of tax issues for individuals and multistate and multinational companies and businesses. Jorge has successfully assisted numerous clients, including Fortune 1000 companies, with significant issues. Jorge assists clients with tax compliance, tax consulting as well as with tax controversy matters. Jorge recently published a major tax law article titled "Examining the Constitutionality of State Tax Amnesty in Federal Court" in Tax Notes and has given presentations at a number of major tax conferences. Jorge is a summa cum laude graduate of the University of Rochester and received his J.D. from the Georgetown Law Center. He subsequently obtained his LL.M. in Taxation from the New York University School of Law. Jorge is a member of the Advisory Board of the NYU Institute on State and Local Taxation and is also an active member of various bar organizations including the New York State Bar Association, the District of Columbia Bar and the State and Local Tax Committee of the New York City Bar Association.

Lou Frost - President

Job Titles:
  • President
Lou is the President of Integritas Capital Advisors, LLC. Prior to joining Integritas, Lou served as the National Real Estate Advisory Leader and National Real Estate Investment Banking Leader for KPMG LLP. At KPMG, Lou covered some of the firm's most important institutional real estate clients nationwide and was responsible for the execution of [...]Read more → Lou is the President of Integritas Capital Advisors, LLC. Prior to joining Integritas, Lou served as the National Real Estate Advisory Leader and National Real Estate Investment Banking Leader for KPMG LLP. At KPMG, Lou covered some of the firm's most important institutional real estate clients nationwide and was responsible for the execution of diverse investment banking and consulting assignments. Prior to joining KPMG, Lou was a Senior Vice President with Macquarie Capital (USA) Inc. in the Real Estate Private Equity group. While at Macquarie, he led deal teams responsible for bidding on companies and assets worth approximately $5 billion. Prior to Macquarie, Lou was a Vice President in Goldman, Sachs & Co.'s Real Estate Investment Banking group. While at Goldman Sachs, Lou closed approximately $20 billion in real estate transactions including mergers and acquisition, equity offerings and debt offerings. Lou started his investment banking career as an Associate at Deutsche Bank Securities Inc. Lou began his professional career at Varner, Stephens, Humphries & White, LLP in Atlanta, GA, where he was a corporate attorney providing legal representation to a wide range of public and private companies. He then continued legal representation as General Counsel and Chief Legal Officer with VDC Communications, Inc. (formerly AMEX: VDC). Lou earned an MBA in Finance from Columbia Business School, a JD from William and Mary Law School and a BA from Princeton University. Lou currently holds the following securities licenses: Series 24 (General Securities Principal), Series 79 (Investment Banking Representative), Series 7 (General Securities Representative), and Series 63 (Securities Agent). Lou is licensed to practice law in Connecticut and Georgia.

Scott Robinson

Job Titles:
  • Managing Director With
Scott is a Managing Director with Integritas Capital Advisors, LLC. Prior to joining Integritas, Scott was a Managing Partner at Cadence Capital Group, a middle market real estate advisory firm, where he was involved in advisory and capital raising engagements, encompassing over $900m of equity requests supporting a range of investment strategies including acquisitions, [...]Read more → Scott is a Managing Director with Integritas Capital Advisors, LLC. Prior to joining Integritas, Scott was a Managing Partner at Cadence Capital Group, a middle market real estate advisory firm, where he was involved in advisory and capital raising engagements, encompassing over $900m of equity requests supporting a range of investment strategies including acquisitions, note purchases, and property development. Prior to launching Cadence, Scott was a key member of the Real Estate Investment Banking team at Citigroup, where he was instrumental in the securitization and syndication of various secured high-yield and unsecured corporate debt commitments, ranging in size from $50 million to over $5 billion. Financing packages included floating-rate securitizations, public and private mergers, and portfolio acquisitions. Prior to joining Citigroup, Scott was a senior analyst in the Real Estate Finance Group at Standard & Poor's, where his credit analysis and corporate valuation responsibilities spanned both real estate investment trusts (REITs) and commercial mortgage-backed securities (CMBS). REIT coverage included the largest names in each property sector. Scott has also held positions at Macquarie Capital (sell-side equity research), Advanced Real Estate Services (acquisitions), and BRT Realty Trust (financing). He currently serves on the Board of Directors of Monmouth Real Estate Investment Trust (NYSE: MNR), is a Clinical Professor of Capital Markets and Director of The REIT Center at New York University. Scott earned an MS in Real Estate Finance from New York University, and a BS in Economics with a minor in Accounting from the University of California, Riverside. Scott currently holds the following securities license: Series 79 (Investment Banking Representative).