Lecturer (during my PhD study) @ Universiteit Maastricht
Borislav Pavlov's Education
Maastricht University
Ph D (Financial Econometrics)
2001 - 2005
University of Amsterdam
Master of Philosophy (MPhil) (Economics)
1999 - 2000
Ruhr University Bochum
Postgraduate specialization (Economics)
1998 - 1998
Sofia University St. Kliment Ohridski
BA (Economics)
1993 - 1997
Sofia High School of Mathematics (SMG)
Borislav Pavlov's Skills
Financial Modelling
Alpha Generation Models
Long Short Equity Portfolio Strategies
Statistics
Econometrics
Hedge Funds
Matlab
C++
Portfolio Management
Equities
Borislav Pavlov's Summary
Borislav Pavlov, based in London, GB, is currently a Principal, Product R and D Specialty Indices, ESG at Qontigo, bringing experience from previous roles at GIB Asset Management, Style Analytics, FTSE Russell and Meditor Capital Management. Borislav Pavlov holds a 2001 - 2005 Ph D in Financial Econometrics @ Maastricht University. With a robust skill set that includes Financial Modelling, Alpha Generation Models, Long Short Equity Portfolio Strategies, Statistics, Econometrics and more, Borislav Pavlov contributes valuable insights to the industry. Borislav Pavlov has 2 emails on RocketReach.