Manuel Vasconcelos specializes in complex matters that affect large financial institutions and other participants in financial and commodity markets. He focuses on market manipulation, financial benchmarks, and market microstructure, as well as valuation and assessment of economic damages. Dr. Vasconcelos has worked in matters across a range of cash and derivatives markets, including fixed-income, equities, natural gas, and credit. He also has significant experience with Section 10b-5 and Section 11 securities matters.
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