Branko Urošević
Union University(US)Union University(RS)
Publications by Year
Research Areas
Financial Markets and Investment Strategies, Global Financial Crisis and Policies, Credit Risk and Financial Regulations, Banking stability, regulation, efficiency, Regional Development and Policy
Most-Cited Works
- → Ownership Dynamics and Asset Pricing with a Large Shareholder(2006)134 cited
- → Overconfidence and Market Efficiency with Heterogeneous Agents(2006)107 cited
- → Bankruptcy risk model and empirical tests(2010)78 cited
- → Static Mean-Variance Analysis with Uncertain Time Horizon(2006)67 cited
- → European Bond ETFs: Tracking Errors and the Sovereign Debt Crisis(2012)48 cited
- → Valuing Mortgage Insurance Contracts in Emerging Market Economies(2006)44 cited
- → Mean-univariate GARCH VaR portfolio optimization: Actual portfolio approach(2016)37 cited