Dejan Zivkov
Dejan Zivkov has a PhD in economics and is a lecturer of professional studies at Business school of Novi Sad, Serbia. His fields of interest are: Economics, financial econometrics, international finance.
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Articles by Dejan Zivkov
Empirical analysis of oil risk-minimizing portfolios: the DCC–GARCH–MODWT approach
This paper strives to analyze hedging strategies between Brent oil and six other het- erogeneous assets – American ten-year bonds, US dollars, gold, natural gas futures, corn futures, and Europe, Australasia and Far East exchange-traded funds (EAFE- ETFs…