Browsing by Author "Pavlov, Tsvetan"
Now showing items 1-3 of 3
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APPLICATION OF BEHAVIORAL FINANCE IN MODELING BULGARIAN EQUITY RISK PREMIUM
Pavlov, Tsvetan (АИ "Ценов", 2015)The paper seeks a plausible explanation of the magnitude of equity risk premium, by modeling leading behavioral concepts in the conditions of Bulgarian capital market. Firstly, the fair equity risk premium is derived by ... -
COMPARATIVE ANALYSIS OF THE LEADING CONSUMPTIONBASED ASSET PRICING MODELS
Prodanov, Stoyan; Pavlov, Tsvetan (АИ "Ценов", 2016)The article analyzes in depth the consumption-based asset pricing models, and displays most perspective contemporary trends in the field. A conceptual framework of models has been originally presented linking macroeconomic ... -
OPPORTUNITIES TO IMPROVE THE PORTFOLIO PERFORMANCE BASED ON DIVIDEND STRATEGIES AND EQUITY HOME BIAS
Milinov, Valentin; Pavlov, Tsvetan (АИ "Ценов", 2016)The article examines the equity home bias puzzle and the "Dogs of the Dow" dividend strategy under conditions of the Bulgarian capital market. It was found out that local investors hold 74.1% of their portfolios in domestic ...