Salvatore Ruscitti joined MRB in 2011. He has extensive experience in both top-down and bottom-up equity research. Mr. Ruscitti is responsible for MRB’s global and regional equity sector views. He draws together the firm’s macroeconomic and policy outlook, cyclical relative performance drivers, valuations and industry forces to form integrated and consistent sector strategy.
Prior to joining MRB, Mr. Ruscitti worked in global wealth management, where his responsibilities included analyzing and recommending U.S. and Canadian equities for inclusion into client portfolios. In addition, he provided macro level insights through regular written commentaries and participated in marketing efforts. Previously, Mr. Ruscitti worked as an analyst for a tactical asset allocation hedge fund, utilizing derivatives-based strategies. He has also worked for a merchant bank where he screened and analyzed investment opportunities.
Mr. Ruscitti has M.B.A. and Bachelor of Commerce degrees from McGill University.