Browsing Radovi istraživača / Researchers’ publications by Author "Anđelić, Goran"
Now showing items 1-17 of 17
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The Comparative Analyses of the Nonparametric Methods for Investment Return Prediction
Ralević, Nebojša; Anđelić, Goran; Đaković, Vladimir; Glisović, Natasa S. (IEEE, NEW YORK, 2015) -
Dileme i izazovi - razvoj novog privatnog sektora u tranzicionim ekonomijama - primer Republike Srbije / Dilemmas and challenges: Development of new private sector in tranisitonal economies: Example Republic of Serbia
Anđelić, Goran (Univerzitet Edukons - Fakultet poslovne ekonomije, Sremska Kamenica, 2012) -
An empirical evaluation of Value-at-Risk: The case of the Belgrade Stock Exchange index - BELEX15
Anđelić, Goran; Đaković, Vladimir; Sujić, Mirjana M. (Ekonomski institut, Beograd, 2012) -
An Empirical Examination of Investment Risk Management Models for Serbia, Hungary, Croatia and Slovenia
Đaković, Vladimir; Mladenović, Igor; Anđelić, Goran (BUDAPEST TECH, BUDAPEST, 2015) -
Financial Market Co-Movement between Transition Economies: A Case Study of Serbia, Hungary, Croatia and Slovenia
Anđelić, Goran; Đaković, Vladimir (BUDAPEST TECH, BUDAPEST, 2012) -
The impact of the EU accession process to the organizational culture of the companies operating in the transition countries
Anđelić, Goran; Ivanić, Valentina; Đaković, Vladimir (UNIV RIJEKA, FAC ECOMOMICS, RIJEKA, 2012) -
The influence of holiday effect on the rate of return of emerging markets: a case study of Slovenia, Croatia and Hungary
Milosević, Marko; Anđelić, Goran; Vidaković, Slobodan; Đaković, Vladimir (ROUTLEDGE JOURNALS, TAYLOR & FRANCIS LTD, ABINGDON, 2019) -
Investment Environment Problem Analysis and Evaluation: an Ex Post Empirical Analysis and Performance Implications
Đaković, Vladimir; Anđelić, Goran; Petković, Aleksandar D. (KAUNAS UNIV TECHNOL, KAUNAS, 2019) -
Komparativna studija modela teorije ekstremnih vrednosti u investiranju / A comparative study of the extreme value theory model in investments
Đaković, Vladimir; Anđelić, Goran (Univerzitet Edukons - Fakultet poslovne ekonomije, Sremska Kamenica, 2014) -
Modelling Risk under Volatile Conditions: Tail Index Estimation and Validation
Đaković, Vladimir; Ivetić, Jelena; Anđelić, Goran (KAUNAS UNIV TECHNOL, KAUNAS, 2021) -
Parametarska i neparametarska VaR procena dnevnih prinosa / Parametric and nonparametric VaR daily returns estimation
Đaković, Vladimir; Anđelić, Goran; Ljumović, Isidora Lj. (Ekonomski institut, Beograd, 2014) -
The Performance of the Investment Return Prediction Models: Theory and Evidence
Ralević, Nebojša; Glisović, Natasa S.; Đaković, Vladimir; Anđelić, Goran (IEEE, NEW YORK, 2014) -
The Possibilities of Application of the Parametric and Nonparametric VaR Daily Returns Estimation - Regional Perspective
Đaković, Vladimir; Anđelić, Goran (KAUNAS UNIV TECHNOL, KAUNAS, 2017) -
Prediktivni hibridni sistem za berzansko tržište - slučaj tranzitornih tržišta / Hybrid system prediction for the stock market: The case of transitional markets
Ralević, Nebojša; Glišović, Nataša; Đaković, Vladimir; Anđelić, Goran (Ekonomski institut, Beograd, 2017) -
Reforma javnog sektora Republike Srbije - pravci, trendovi, izazovi / Public sector reform of the Republic of Serbia: Directions, trends, challenges
Anđelić, Goran; Đaković, Vladimir (Univerzitet Edukons - Fakultet poslovne ekonomije, Sremska Kamenica, 2013) -
Review of Competitiveness Indices that Use Knowledge as a Criterion
Katić, Andrea; Ćosić, Ilija; Anđelić, Goran; Raletić, Sasa (BUDAPEST TECH, BUDAPEST, 2012) -
Sunčeve pege i berzanska tržišta - empirijski dokazi međuzavisnosti u zemljama u tranziciji / Sunspots and stock markets: Some empirical evidence of their interdependence in transition countries
Dimitrijević, Bojan S.; Đaković, Vladimir; Anđelić, Goran; Glišović, Nataša S. (Univerzitet Edukons - Fakultet poslovne ekonomije, Sremska Kamenica, 2016)