Professor at Wrocław University of Economics, head of Financial Management Institute and head of Department of Financial Investments and Insurance.
He specializes in financial markets and instruments, risk management, derative instruments, financial engineering, portfolio theory, econometrics, classification and data analysis.
He was a member of the Scientific Council of the National Bank of Poland and a member of the Warsaw Stock Exchange Council. He’s performed duties in numerous supervisory boards (a dozen or so in total).
Author of more than 240 publications (books, monographs, papers) in Polish and English.
He has presented more than 140 papers at domestic and international conferences. He’s cooperated with many financial institutions. He’s a member of several scientific associations.