A. Douglas Logue, M.D.
President
159 Valley Road
Princeton, New Jersey 08540
Phone: 609-921-1243
David Mack
Sr. Vice President
654 Madison Avenue, Room 1009
New York, NY 10021
Phone: 212-742-7096
Dr. Douglas Logue is President and has established a reputation among his peers for
sound logic and acute analytic skills in understanding the financial markets. He has more than 3 decades of experience with stocks,
bonds, mutual funds, pension fund vehicles, commodities, and options and is a Financial and Operations Principal, as well as a General
Principal; he holds five FINRA licenses and a commodity license. His educational background includes Yale and Johns
Hopkins Medical, sources of important investment contacts. His medical background in forensic issues and his extensive experience
with ethics and quality control issues add a very unusual input to financial management. He has a long history of understanding and
profiting from the stock market, particularly growth stocks, the debt market, and the commodity market and its options. Back in the
late seventies he developed relationships with Charles Allmon, the growth stock specialist, and later with Trader Vic Sperandeo,
well known developer of the S&P DTI, and the commodity and stock expert who successfully shorted for George Soros’s Quantum Fund.
Dr. Logue oversees all of the operations and responsibilities of Douglas Financial. These duties include the supervision of the LLC
such that it always operates according to sound investment principles and that it evidences an unwavering commitment to full
compliance with the rules and regulations of the securities industry and directs its full attention toward its primary mission: the
raising of monies from entities and qualified individuals for money management and investing by professional managers - with whom the
LLC has agreements in place.
David Mack is Senior Vice President, with 40 years experience in compliance matters and financial operations. Cornell University is his alma
mater. He has had multiple experiences as a principal of firms, including his own, has been the CEO of several broker/dealers,
managed a day trading operation and
retail activities, and has supervised
operations, new account activity, a firm’s sales force, back office operations in an introducing brokerage, and an investment banking
department doing private placements.
From these activities as a General Principal and Finop he has and does maintain multiple investment and financial contacts. As the
Company’s regulatory expert, he is especially valuable with regard to FINRA and SEC issues, rules, and requirements, particularly in
the private sector and hedge fund areas. Because of his long and rich experience he has
considerably expanded Douglas Financial’s business
activities considerably.