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Expertise

Mortgage and Mortgage-backed securities valuation, Real estate valuation, Impact of aggressive mortgage lending, immigration, and densification on housing markets and affordability

Biography

A CIRANO Researcher and Fellow since 1999, Andrey D. Pavlov is professor of finance at the Beedie School of Business at Simon Fraser University. He specializes in risk management for financial securities and real estate assets. He has also worked on the modelling of aggressive lending practices, risk management for publicly traded real estate companies, mortgage and equity securitization, and mortgage default risk.
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CIRANO Publications by Andrey Pavlov

1 to 4 of 4 results
RB

Création de valeur, gestion de risque et options réelles

Marcel Boyer, Peter Christoffersen, Pierre Lasserre and Andrey Pavlov

Risk Management, Human Resources and Financial risks
RB

Value creation, risk management, and real options

Marcel Boyer, Peter Christoffersen, Pierre Lasserre and Andrey Pavlov

Risk Management and Financial risks
CS

Company Flexibility, the Value of Management and Managerial Compensation

Peter Christoffersen and Andrey Pavlov

RP

Value Creation through Real Options Management

Marcel Boyer, Peter Christoffersen, Pierre Lasserre and Andrey Pavlov

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