Filip Mrowiec provides economic and financial analysis in matters involving market manipulation claims, financial institutions, securities litigation, and corporate valuation. In market manipulation matters, Dr. Mrowiec analyzes spoofing allegations across various jurisdictions, drawing on high-frequency data from futures and derivatives markets to evaluate trading patterns. He has experience leading teams to conduct econometric analyses for securities matters, where he has analyzed market efficiency, price impact, loss causation, and damages.
In his valuation work, Dr. Mrowiec applies Discounted Cash Flow (DCF), comparable public companies, and comparable transactions, among other methodologies.
Selected industry experience
- Cryptocurrency, energy, financial institutions, hedge funds, and manufacturing.
Previous experience
- Toulouse School of Economics
- Commerzbank, Germany