David WEBB, Canada
David Rogers Webb has deep experience with investigation and analysis within
challenging and deceptive environments, including the mergers and acquisitions boom
of the 80’s, venture investing, and the public financial markets. He managed hedge
funds through the period spanning the extremes of the dot-com bubble and bust,
producing a gross return of more than 320% while the S&P 500 and the NASDAQ
indices had losses. His clients included some of the largest international institutional
investors.
David’s book ‘The Great Taking’ is about the taking of collateral (all of it), the end game
of the current globally synchronous debt accumulation super cycle and is available at
https://thegreattaking.com/