Damjanovic Aleksandar,Drenovak Mikica,Urosevic Branko,Jelic Ranko (2025) Price vs. market-cap-weighted portfolio diversification: does it matter?, EUROPEAN JOURNAL OF FINANCE, vol. , br. , str. - (Article; Early Access) Breuer Thomas,Summer Martin,Urosevic Branko (2023) Bank solvency stress tests with fire sales?, JOURNAL OF FINANCIAL STABILITY, vol. 67, br. , str. - (Article) Drenovak Mikica,Rankovic Vladimir,Urosevic Branko,Jelic Ranko (2022) Mean-Maximum Drawdown Optimization of Buy-and-Hold Portfolios Using a Multi-objective Evolutionary Algorithm, FINANCE RESEARCH LETTERS, vol. 46, br. , str. - (Article) Drenovak Mikica,Rankovic Vladimir,Urosevic Branko,Jelic Ranko (2022) Mean-Maximum Drawdown Optimization of Buy-and-Hold Portfolios Using a Multi-objective Evolutionary Algorithm, FINANCE RESEARCH LETTERS, vol. 46, br. , str. - (Article) Urosevic Branko,Zikovic Bosko,Vasiljevic Nikola (2022) Hyperinflation and Banks, PANOECONOMICUS, vol. 69, br. 2, str. 283-297 (Article; Proceedings Paper) Drenovak Mikica,Rankovic Vladimir,Urosevic Branko,Jelic Ranko (2021) Bond portfolio management under Solvency II regulation, EUROPEAN JOURNAL OF FINANCE, vol. 27, br. 9, str. 857-879 (Article) Urosevic Branko,Rajkovic Ivana (2017) Dollarization of Deposits in the Short and Long Run: Evidence from CESE Countries, PANOECONOMICUS, vol. 64, br. 1, str. 31-44 (Article) Drenovak Mikica,Rankovic Vladimir,Ivanovic Milos R,Urosevic Branko,Jelic Ranko (2017) Market risk management in a post-Basel II regulatory environment, EUROPEAN JOURNAL OF OPERATIONAL RESEARCH, vol. 257, br. 3, str. 1030-1044 (Article) Rankovic Vladimir,Drenovak Mikica,Urosevic Branko,Jelic Ranko (2016) Mean-univariate GARCH VaR portfolio optimization: Actual portfolio approach, COMPUTERS & OPERATIONS RESEARCH, vol. 72, br. , str. 83-92 (Article) Drenovak Mikica,Urosevic Branko,Jelic Ranko (2014) European Bond ETFs: Tracking Errors and the Sovereign Debt Crisis, EUROPEAN FINANCIAL MANAGEMENT, vol. 20, br. 5, str. 958-994 (Article) Garcia Diego,Urosevic Branko (2013) Noise and aggregation of information in large markets, JOURNAL OF FINANCIAL MARKETS, vol. 16, br. 3, str. 526-549 (Article) Nedeljkovic Milan D,Urosevic Branko (2012) Determinants of the Dinar-Euro Nominal Exchange Rate, ROMANIAN JOURNAL OF ECONOMIC FORECASTING, vol. 15, br. 3, str. 121-141 (Article) Urosevic Branko,Nedeljkovic Milan D,Zildzovic Emir (2012) Jackknife Model Averaging of the Current Account Determinants, PANOECONOMICUS, vol. 59, br. 3, str. 267-281 (Article) Bozovic Milos,Urosevic Branko,Zivkovic Bosko (2011) Credit Rating Agencies and Moral Hazard, PANOECONOMICUS, vol. 58, br. 2, str. 219-227 (Article) Shao Jia,Ivanov Plamen Ch,Urosevic Branko,Eugene Stanley Harry,Podobnik Boris (2011) Zipf rank approach and cross-country convergence of incomes, EPL, vol. 94, br. 4, str. - (Article) Podobnik Boris,Horvatic Davor,Petersen Alexander M,Urosevic Branko,Stanley Eugene H (2010) Bankruptcy risk model and empirical tests, PROCEEDINGS OF THE NATIONAL ACADEMY OF SCIENCES OF THE UNITED STATES OF AMERICA, vol. 107, br. 43, str. 18325-18330 (Article) Edelstein Robert H,Sureda-Gomila Antoni,Urosevic Branko,Wonder Nicholas (2010) Ownership Dynamics with Multiple Insiders: The Case of REITs, REAL ESTATE ECONOMICS, vol. 38, br. 1, str. 57-90 (Article) Garcia Diego,Sangiorgi Francesco,Urosevic Branko (2007) Overconfidence and market efficiency with heterogeneous agents, ECONOMIC THEORY, vol. 30, br. 2, str. 313-336 (Article) DeMarzo PM,Urosevic Branko (2006) Ownership dynamics and asset pricing with a large shareholder, JOURNAL OF POLITICAL ECONOMY, vol. 114, br. 4, str. 774-815 (Article) Martellini L,Urosevic Branko (2006) Static mean-variance analysis with uncertain time horizon, MANAGEMENT SCIENCE, vol. 52, br. 6, str. 955-964 (Article) Bardhan A,Karapandza R,Urosevic Branko (2006) Valuing mortgage insurance contracts in emerging market economies, JOURNAL OF REAL ESTATE FINANCE AND ECONOMICS, vol. 32, br. 1, str. 9-20 (Article) Edelstein Robert H,Urosevic Branko,Wonder Nicholas (2005) Ownership dynamics of REITs, JOURNAL OF REAL ESTATE FINANCE AND ECONOMICS, vol. 30, br. 4, str. 447-466 (Article)