Adjunct Associate Professor
Business Department
online
Monographs
Gurov, A. (2014). Risk management sophistication and bank profitability. LAP LAMBERT Academic Publishing.
Journal Articles
Krali, M., & Gurov, A. (2019). Analysis of granularity adjustment for regulatory capital. Journal of Central Banking Theory and Practice, 8(3), 111-132. https://doi.org/10.2478/jcbtp-2019-0027
Gurov, A., Nikolova, M., Stoyanova, E. (2018). Behavioral Economics in Banking: Behavioral Factors as Determinants of the Interest Rate Spread. Eurasian Journal of Economics and Finance, 6(3), 72-82. https://eurasianpublications.com/Eurasian-Journal-of-Economics-and-Finance/Vol.-6-No.3-2018/EJEF-6.pdf
Erdinç, D., & Gurov, A. (2016). The effect of regulatory and risk management advancement on non-performing loans in European banking, 2000–2011. International Advances in Economic Research, 22(3), 249–262. https://search.proquest.com/docview/1812606108/2784A2A8181742DEPQ/1?accountid=41929
Conference Proceedings
Gurov, A., & Erdinc, D. (2014). Competition and risk management practices in the Bulgarian banking system. In International Interdisciplinary Business-Economics Advancement Conference (IIBA 2014), July 16-19, 2014, (pp. 79–80). Istanbul: Turkey.