Matthew Tuttle is the Chief Executive Officer and Chief Investment Officer of Tuttle Capital Management, LLC.
Matthew is a familiar face among the financial media. He has been a frequent guest on CNBC and Fox Business and has been frequently quoted in the Wall Street Journal and Barron’s.
He is the author of How Harvard & Yale Beat the Market and Financial Secrets of my Wealthy Grandparents.
Matthew has an MBA in finance from Boston University.
Other Team Members
Head of Operations
Bio coming soon
Murray Ruggiero III
Head of Trading
Murray joined Tuttle Capital Management in 2019. He has a BA in Business Administration, with a concentration in Finance, from Central Penn College (2016), and an MA in Business Leadership, with a concentration in Small Business, from Carolina University, formerly Piedmont International University (2018).
Chief Compliance Officer
Mark has over 20 years of experience in the financial services industry. Mark was a senior compliance manager with Capital One, supporting its 401(k) Services and Digital Guidance & Advice programs. Mark also held multiple positions with Morgan Stanley including CCO for its Global Investment Solutions UIT series. During his career, Mark has served as a FINRA analyst in both the Advertising Regulation and Market Regulation divisions, in which he managed numerous regulatory investigations.
Mark earned a B.S. in political science from Towson University in Maryland. He has obtained the following FINRA licenses: Series 7, 9, 10, 24, 66 and 87.
Jack is a graduate of University of Connecticut and has worked at Deloitte, Sedulus Capital, and Bank of America. He is a CFA Level 1 candidate.