M.B.A., finance, London Business School; B.S., mathematics and economics, Dickinson College
Summary of Experience
Mr. Stoyanov specializes in the application of economic and financial theory to complex problems arising in securities and finance, accounting, and antitrust matters. His advisory experience includes analyses of underwriting and due diligence practices in the mortgage industry, valuation of mortgage-backed securities, evaluation of bid premiums and deal terms in mergers and acquisitions, and anticompetitive behavior and pricing in the pharmaceutical industry. Prior to joining Analysis Group, Mr. Stoyanov was a vice president with Citigroup Global Markets in London, where he held various roles, including funding and liquidity management, valuation of highly illiquid assets, and structuring trades in accordance with the Dodd–Frank Wall Street Reform and Consumer Protection Act. Mr. Stoyanov also worked as an associate in the securities and financial markets practice at a litigation and business management consulting firm, providing litigation support to clients in the United States and Europe.