Skip to Main Content
It looks like you're using Internet Explorer 11 or older. This website works best with modern browsers such as the latest versions of Chrome, Firefox, Safari, and Edge. If you continue with this browser, you may see unexpected results.

AUBG Faculty Bibliography: Gurov, Andrey

Andrey Gurov

Associate Professor (BUS)

Office: MB 233

Phone: +359 73 888 430



Gurov, A. (2014). Risk management sophistication and bank profitability. LAP LAMBERT Academic Publishing.

Journal Article

Krali, M., & Gurov, A. (2019). Analysis of granularity adjustment for regulatory capital. Journal of Central Banking Theory and Practice, 8(3), 111-132.

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.

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.

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.