jovovicm

MARIJA JOVOVIC PhD

Cabinet:242

Phone:+381 11 3021 166

Consultation:

Email:marijajovovic@ekof.bg.ac.rs

Education

PhD – 2015, Faculty of Economics, University of Belgrade

Маster’s degree – 2009, Faculty of Economics, University of Belgrade

Diploma – 2007, Faculty of Economics, University of Belgrade

Awards, grants, certificates, memberships, corporate / public service

I-VI Course for continual education of actuaries and other experts in the field of insurance certificates

Serbian Actuarial Association – member

International Actuarial Association – member

Fields of teaching and research

Insurance, Financial Mathematics, Actuarial Mathematics

Courses taught

Insurance, Insurance tariffs, Pension and health insurance, Financial and actuarial mathematics

Key references (publications and projects)

Kocovic, J., Rakonjac Antic, T., Jovovic, M. (2011). „The Impact of the Global Financial Crisis on the Structure of Investment Portfolios of Insurance Companies“, Economic Annals, Vol. LVI, No.191, DOI:10.2298/EKA119 1143K, Faculty of Economics, Belgrade, ISSN: 0013-3264, pp. 143-162.

Mitrasevic, M., Jovovic, M. (2012) „Measuring non-life insurance risks in the Solvency II concept“, Achieved Results and Prospects of Insurance Market Development in Modern World, editors: Kocovic, J., Jovanovic Gavrilovic, B., Jakovcevic, D., ISBN: 978-86-403-1222-6, Faculty of Economics, University of Belgrade, Chapter 20, pp. 321-340.

Kocovic, J., Rakonjac Antic, T., Jovovic, M. (2012) „Effects of privatization model of insurance market in transition economies“, From Global Crisis to Economic Growth Which Way to Take? Volume I, Economics, editors: Jakšić, M., Cerović, B., Praščević, A., ISBN: 978-86-403-1278-3, Faculty of Economics, University of Belgrade, pp. 483-506.

Kocovic, J., Kocovic, M., Jovovic, M. (2012) „Impact of global financial crisis on insurance industry in selected Western Balkan countries“, European integration process in Western Balkan countries, editors: Teixeira, P., Duarte Portugal, P., Redžepagić, S., Erić, D., Andrejević, S., ISBN: 978-972-9344-05-3, 2012, Faculty of Economics, University of Coimbra, Portugal, Chapter 36, pp. 708-725.

Jovovic, M., Mitrasevic, M., Kocovic, M. (2013). „Assessment of financial strenght of insurance companies in Serbia“, Product specifics on the markets of insurance and reinsurance, Kočović, J., Jovanović Gavrilović, B., Radović Marković, M. (eds.), ISBN: 978-86-403-1309-4, Belgrade: Faculty of Economics, Publishing Centre, Ch. 23, str. 335-351.

Jovović, M. (2014). „The problem of determining the discount rate in loss reserve estimation“, Risk measurement and control in insurance, Kočović, J., Jovanović Gavrilović, B., Rajić, V. (eds.), ISBN: 978-86-403-1362-9, Belgrade: Faculty of Economics, Publishing Centre, Ch. 7, pp. 123-146.

Кочович, Е., Митрашевич, М., Йовович, М. (2014). „Методологические основы метода цепной лестницы и проблемы его практического применения“. Актуарий, Но. 5, Международная актуарная компания, Москва, Россия, стр. 40-43.

Kočović, J., Paunović, B., Jovović, M. (2014). „Determinants of business performance of non-life insurance companies in Serbia“, Ekonomika preduzeća, No. 7-8, YU ISSN: 0353-433 X, UDK: 005.216.1:005.412]:368.1(497.11),  pp. 229-243.

Jovović, M. (2014). „Značaj merenja rizika adekvatnosti premije pri utvrđivanju solventnosti neživotnih osiguravača“, Teme, Vol. XXXVIII, No. 4, okt.-dec. 2014, ISSN: 0353-7919, UDK: 368.025.1, University in Niš, pp. 1489-1506.

Jovović, M., Mitrašević, M., Stanojević, J. (2015). „Catastrophe risk measurement in the Solvency II concept“, Catastrophic risks and sustainable development, Kočović, J., Jovanović Gavrilović, B., Đukić, V. (eds.), ISBN: 978-86-403-1418-3, Belgrade: Faculty of Economics, Publishing Centre, Ch. 20, pp. 345-369.

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