Richard MacDonald Photo

Richard MacDonald

Senior Vice President/Investments

Contact Me

E-Mail Address

[email protected]

Phone Number

(541) 345-6003

About Me

You deserve a wealth management plan that addresses your unique financial challenges and helps you plan for your future. Richard’s mission is to provide just that.  With more than 20 years of investment industry experience, he has helped clients with a broad spectrum of backgrounds manage their wealth and pursue their investment objectives through ever-changing markets and economic conditions.

Richard began his investment industry career in 2001 with Smith Barney and joined Stifel in 2007. He earned a B.B.A. in Management from the Isenberg School of Management at the University of Massachusetts Amherst and holds Series 7, 63, and 65 securities licenses, as well as life, health, and variable insurance licenses (including annuities).

Outside the office, he serves as a member of the Springfield Chamber of Commerce and South Eugene Rotary Club. He lives in Eugene with his wife, Sonia, and their two children, Richie and Maureen.

Joseph Destromp

Joseph R. Destromp

Registered Client Service Associate

Contact Me

E-Mail Address

[email protected]

Phone Number

(541) 345-6003

About Me

Joe leverages Stifel’s broad resources and intellectual capital to provide personalized strategies suited to his clients’ vast needs, including investment planning, estate planning strategies, risk mitigation, and charitable giving.  He facilitates every aspect of his clients’ wealth management, offering tactical asset allocation strategies across all asset classes, including cash, fixed income securities, equities, and alternative investments.

Joe joined Stifel in 2011 and holds Series 7 and 66 securities licenses.  He earned a B.B.A. in Finance & Operations from Isenberg School of Management at the University of Massachusetts.  He resides in Eugene, Oregon.

Dottie Silvestri

Registered Operations Coordinator

Contact Me

E-Mail Address

[email protected]

Phone Number

(541) 345-6003

About Me

Dottie began her diverse financial services industry career in 1982.  An invaluable member of the MacDonald Advisory Group, she is instrumental in serving operational and administrative needs, focusing on the client onboarding process, account-related issues, and cash flow needs. She is well-versed in supporting financial advisors’ operational needs and assisting with client accounts, all while delivering top-tier service.  She holds Series 7, 9 & 10, and 63 securities licenses.

Outside the office, you can find Dottie taking leisurely walks or enjoying a good book. She also enjoys crocheting and baking cookies.