Robert D. White had served as CEO for a former USA licensed provider and has considerable knowledge in the industry. His experience in the industry gives him a complete perspective on the vast array of different financial products and how the Fund’s investors are uniquely positioned to benefit from this unique and alternative asset class.
Mr. White began his career as a Financial Advisor and Insurance Agent with the United States Planning Association and Independent Research Agency. His civilian experience includes positions as Financial Advisor & Insurance Agent, Portfolio Strategist, Bank Officer, Compliance Officer, and National Director of Marketing. He has held investment officer positions with two US regional banks, two private investment management firms, and a securities broker dealer. , Rob is licensed with FINRA and the US Securities and Exchange Commission to offer investment advice on an array of investment instruments and products.