Scorpex, Inc. (SRPX) – OTC Market
The Scorpex Mexico corporate headquarters are located at CALLE BAHIA DE SAN LUIS GONZAGA No. 64, QUINTAS DEL MAR, ROSARITO, BAJA CALIFORNIA CP 22710.
CEO and Board Member
Joseph Caywood, 41, Chief Executive Officer, is an entrepreneur that has been successful in the recycling, waste management and disposal industries.
Mr. Caywood has successfully owned and operated many businesses since 1989, including an extremely profitable classic car business. Mr. Caywood has invested his own money into various business enterprises including Scorpex International, Inc., where he has spent the last several years developing a toxic and hazardous waste storage, recycling, and disposal site on the perimeter of Ensenada, Mexico.
Mr. Caywood is a hands-on CEO, who has invested thousands of man-hours to see Scorpex become a successful reality. His dedication to the success of Scorpex and it’s waste management facility, is evident by both the time and monetary equity he has vested thus far.
CFO and Board Member
Chene Gardner, age 46, is also the Chief Financial Officer of Alto Group Holdings, Inc., a filer of reports pursuant to requirements of the Securities Exchange Act of 1934 (the “Exchange Act”). He has served in this capacity since April 15, 2010.
Mr. Gardner is also an executive officer and director of Nano Dimensions, Inc. (“NDI”), a filer of reports with the Commission under the Exchange Act.
Mr. Gardner was appointed as CEO, CFO and as a director of NDI in July 2007, May 2004, and August 2004, respectively.
In addition, he serves as an executive officer and director of Secure Netwerks, Inc., a filer of reports with the Commission under the Exchange Act, and has served in these capacities since March 2004.
Further, Mr. Gardner has served as the Financial Controller of Fuelstream, Inc., also a filer of reports with the Commission under the Exchange Act, since March 2001.
Mr. Gardner also has five years of auditing and accounting experience with the firm of Deloitte & Touche LLP, from June 1990 to August 1995, serving clients in the banking, manufacturing, and retail industries.
Mr. Gardner holds Bachelor and Master of Accounting degrees from Weber State University
Kenneth I. Denos, age 43, has served as a member of the Board of Equus Total Return, Inc. (NYSE: EQS) and, since June 2010, has served as the Equus Secretary. From August 2007 until June 2009, he was the CEO and President of Equus.
Mr. Denos also serves as Deputy Chairman of the Board of London Pacific & Partners, Inc., an international healthcare and hospitality services company based in London and Los Angeles.
Presently, Mr. Denos serves as a director and member of the Board of Secure Netwerks, Inc., a computer hardware reseller and a filer of reports pursuant to Sections 13(a) and 15(d) of the Securities Exchange Act of 1934. From March 2000 until August 2007, he was the Chairman and CEO of SportsNuts, Inc., a sports marketing firm and a filer of reports pursuant to Sections 13(a) and 15(d) of the Securities Exchange Act of 1934.
Mr. Denos served as the Chief Executive Officer of MCC Global N.V. from May 2007 until October 2009 (FSE: IQF2), a worldwide corporate and financial services firm based in Amsterdam and London.
In addition, Mr. Denos was the Chief Executive Officer of Moore, Clayton Capital Advisors, Inc., from June 2005 until June 2009, an investment advisor registered pursuant to the Investment Advisers Act of 1940.
Further, from January 2004 until October 2005, Mr. Denos served on the board of directors of Healthcare Enterprise Group PLC (LSE:HCEG), a London-based healthcare products distribution firm.
Mr. Denos served on the board of directors of Tersus Energy PLC (LSE: TER), a London-based alternative/renewable energy company from February 2005 until February 2007 .
Mr. Denos holds a Bachelor of Science degree in Business Finance and Political Science, a Master of Business Administration Degree, and a Juris Doctor, all from the University of Utah.
John D. Thomas, age 39, practices law specializing in general corporate law, securities, mergers, and acquisitions. Since beginning his legal career in 1999, he has completed many domestic and international transactions, including public listings in the United States, United Kingdom and Germany.
Mr. Thomas has served and is currently serving several public companies as corporate counsel, director and/or officer. He is responsible for compliance and regulatory matters and files reports in accordance with Sections 13(a) and 15(d) of the Securities Exchange Act of 1934.
Mr. Thomas holds a Juris Doctor degree from Texas Tech University School of Law and is licensed to practice law in Texas and Utah.