Summary
Paweł Fiedor is a financial stability expert and financial economist with a decade of experience translating research-grade analysis into actionable macroprudential policy across European institutions. Based in Frankfurt, he has led research and policy work on central clearing, market-based finance and systemic risk at the ESRB and the Central Bank of Ireland, and now contributes to the ESRB’s risk surveillance full-time. His work blends network theory, simulation and transaction-level analysis to quantify interconnectedness and stress propagation in derivatives and investment fund markets. He has a PhD in financial economics and a track record of building scientific software and risk-monitoring frameworks used in policy settings. Colleagues value his ability to brief senior management and steer international cooperation (FSB, ESRB, EIOPA) while mentoring junior economists. Less obvious: he combines hands-on post-trade operations experience from the asset servicing industry with formal modelling, giving him uncommon insight into both market plumbing and systemic dynamics.
10 years of coding experience
4 years of employment as a software developer
Doctor of Philosophy - PhD Financial economics, Doctor of Philosophy - PhD Financial economics at Krakow University of Economics
English, Polish, German, French, Chinese, Hindi