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Branka Marasovic
Branka Marasovic
Associate Professor, University of Split unist.hr
Verified email at efst.hr - Homepage
Title
Cited by
Cited by
Year
Financijsko modeliranje
Z Aljinović, B Marasović, B Šego
572008
Two-step multi-criteria model for selecting optimal portfolio
B Marasović, Z Babić
International Journal of Production Economics 134 (1), 58-66, 2011
422011
Matematički modeli u financijskom upravljanju
N Tomić-Plazibat, Z Aljinović, B Marasović
282006
Cryptocurrency portfolio selection—A multicriteria approach
Z Aljinović, B Marasović, T Šestanović
Mathematics 9 (14), 1677, 2021
202021
Matematički modeli u analizi razvoja hrvatskog financijskog tržišta
Z Aljinović, B Marasović
Split: Sveučilište u Splitu, Ekonomski fakultet Split, 2012
202012
Financijsko modeliranje, II. izmijenjeno i dopunjeno izdanje
Z Aljinović, B Marasović, Š Boško
192011
Markowitz'model With Fundamental And Technical Analysis–Complementary Methods Or Not
B Marasović, T Poklepović, Z Aljinović
Croatian operational research review 2 (1), 122-132, 2011
142011
Comparison of optimal portfolios selected by multicriterial model using absolute and relative criteria values
B Marasovic
Investigación operacional 30 (1), 20-31, 2009
92009
The level of the usage of the human resource information system and electronic recruitment in Croatian companies
S Pivac, I Tadić, B Marasović
Croatian Operational Research Review, 291-304, 2014
82014
Comparative Analysis of the Stochastic and Parsimonious Interest Rates Models on Croatian Government Market
Z Aljinović, B Marasović, B Škrabić
International Journal of Business, Economics, Finance and Management …, 2009
82009
Interest rates in Croatia-term structure and the influence of economic events
Z Aljinović, B Marasović, B Škrabić
Proceedings of the… International Conference on Operational Research 1, 89-102, 2010
72010
Markowitzev model optimizacije portfelja
B Marasović, B Šego
Računovodstvo i financije 6, 57-61, 2006
72006
Analyze of human resource allocation in higher education applying integer linear programming
I Tadic, B Marasovic
Economic and Social Development: Book of Proceedings, 266-276, 2018
62018
Financijsko modeliranje, drugo izmijenjeno i dopunjeno izdanje
Z Aljinović, B Marasović, B Šego
Ekonomski fakultet u Splitu, Split, 2011
62011
Izbor optimalnog portfelja alternativnim mjerama rizika
B Marasović, B Šego
62006
Izbor optimalnog portfelja alternativnim mjerama rizika
B Marasović, B Šego
62006
Model za rebalans portfelja s uključenim transakcijskim troškovima i donjom poluapsolutnom devijacijom kao mjerom rizika
B Marasović
Ekonomska misao i praksa 25 (2), 515-534, 2016
52016
The impact of transaction costs on rebalancing an investment portfolio in portfolio optimization
B Marasović, S Pivac, SV Vukasović
International Journal of Economics and Management Engineering 9 (3), 844-849, 2015
52015
Fair value accounting in finance industry and yield/discount curve development–case study Croatia
Z Aljinović, R Ercegovac, B Marasović
Global Business &Economics Anthology I, 76-85, 2008
52008
The selection of the optimal portfolio on the Croatian capital market
Z Aljinović, B Marasović, N Tomić-Plazibat
Sixth International Conference on Enterprise in Transition, 299-301 (extended ab, 2005
52005
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