Browsing eNauka
Browsing by Author Jelić, Ranko
Showing results 1 to 4 of 4
| Issue Date | Title | Author(s) | Type | Мp-cat. |
|---|---|---|---|---|
| 2018 | Bond Portfolio Management in a Solvency II Regulatory Environment![]() | Drenovak, Mikica M. | Conference Paper | Mp. category will be shown later |
| 1991 | Investiciono bankarstvo | Vasiljević, Branko; Živković, Boško; Jelić, Ranko | Conference Paper | Mp. category will be shown later |
| 2017 | Market risk management in a post-Basel II regulatory environment![]() | Drenovak, Mikica | Article | 21aM21a |
| 2016 | Mean-univariate GARCH VaR portfolio optimization : actual portfolio approach![]() | Ranković, Vladimir | Article | 21M21 |
