FORMING THE OPTIMAL PORTFOLIO BASED ON THE MARKOWITZ MODEL WITH DIVERSIFICATION OF COMPANIES BY SECTORS (str. 583 - 606) Marko Jerončić, Zdravka Aljinović Stručni rad pdf
THE CIR MODEL AND ITS APPLICATION TO GOVERNMENT SECURITIES OF THE REPUBLIC OF CROATIA (str. 249 - 287) Zdravka Aljinović, Snježana Pivac, Boško Šego Izvorni znanstveni članak pdf