
Ivica Terzić
Univerzitet Singidunum
E-mail
Biografija
Nema dostupnog biografskog teksta.
Obrazovanje
Srednja škola
1996 – 2000
Gimnazija Tanasije Pejatović, Pljevlja, Crna Gora
Opšti
Osnovne studije
2000 – 2004
Fakultet za finansijski menadžment i osiguranje, Beograd
Finansije i bankarstvo
Magistarske studije
2004 – 2008
Univerzitet Singidunum
Finansije i bankarstvo
Doktorska disertacija
Univerzitet Singidunum
Bibliografija
Knjige
- Finansijska tržišta i portfolio menadžment2025Z. Jeremić, I. Terzić, Finansijska tržišta i portfolio menadžment, Univerzitet Singidunum, 2025
- Finansijska tržišta i portfolio menadžment2019Z. Jeremić, I. Terzić, Finansijska tržišta i portfolio menadžment, Univerzitet Singidunum, 2019
- Pojmovnik finansija i bankarstva2006S. Barać, M. Hadžić, B. Stakić, M. Ivaniš, Z. Jeremić, I. Terzić, Pojmovnik finansija i bankarstva, Univerzitet Singidunum, 2006
Radovi u časopisima
- Modelling and Forecasting Volatility on Electric Power Exchange SEEPEX2023I. Terzić, Z. Jeremić, T. Latas, Modelling and Forecasting Volatility on Electric Power Exchange SEEPEX, Management: Journal of Sustainable Business and Management Solutions in Emerging Economies , Vol. 28, No. 2, pp. 67 - 78, Sep, 2023Otvori
- Measures of concentration level in the banking sector: Empirical evidence from Serbia, Croatia and Montenegro2023T. Kaličanin, I. Terzić, Measures of concentration level in the banking sector: Empirical evidence from Serbia, Croatia and Montenegro, The European Journal of Applied Economics, Vol. 20, No. 1, pp. 107 - 121, Apr, 2023Otvori
- Households’ Energy Autonomy: Risks or Benefits for a State?2021M. Milojević, P. Nowodziński, I. Terzić, S. Danshina, Households’ Energy Autonomy: Risks or Benefits for a State?, Energies, Vol. 14, No. 7, 2026, pp. 1 - 16, Apr, 2021Otvori
- Impact of Non-Financial Factors on the Effectiveness of Audits in Energy Companies2020M. Milojević, M. Urbański, I. Terzić, V. Prasolov, Impact of Non-Financial Factors on the Effectiveness of Audits in Energy Companies, Energies, Vol. 13, No. 23, 6212, pp. 1 - 17, Dec, 2020Otvori
- BUSINESS PERFORMANCE OF 15 LARGEST EXPORTERS IN FOOD-PROCESSING INDUSTRY IN THE PERIOD 2008-20142016Z. Jeremić, М. Milojević, I. Terzić, BUSINESS PERFORMANCE OF 15 LARGEST EXPORTERS IN FOOD-PROCESSING INDUSTRY IN THE PERIOD 2008-2014, Економика пољопривреде, Vol. LXIII, No. 3, pp. 943 - 957, Sep, 2016
- Value at Risk estimation and validation in the Serbian capital market in the period 2005-20152016Z. Jeremić, I. Terzić, M. Milojević, Value at Risk estimation and validation in the Serbian capital market in the period 2005-2015, Bankarstvo, Vol. 45, No. 1, pp. 15 - 42, Apr, 2016
- Risk model backtesting2016I. Terzić, М. Milojević, Risk model backtesting, Ekonomika, Vol. 62, No. 1, pp. 151 - 162, Mar, 2016
- Business performance of the largest exporters in Serbia during the period 2008-20142015Z. Jeremić, M. Milojević, I. Terzić, Business performance of the largest exporters in Serbia during the period 2008-2014, Ekonomika preduzeća, Vol. LXIII, No. 5-6, pp. 293 - 305, Oct, 2015
- Liquidity of large companies in the Republic of Serbia2015М. Milojević, I. Terzić, Liquidity of large companies in the Republic of Serbia, Ekonomika, Vol. 61, No. 3, pp. 173 - 183, 2015
- Testing Applicability of Value at Risk Models in Stocks Markets2014L. Barjaktarović, I. Terzić, M. Milojević, Testing Applicability of Value at Risk Models in Stocks Markets, Mediterranean Journal of Social Sciences, Vol. 5, No. 9, pp. 297 - 306 (SCOPUS), May, 2014
- ECONOMIC GLOBALIZATION AND GLOBAL IMPACTS ON CHANGES IN CONTEMPORARY ORGANIZATIONS – THEORETICAL APPROACH2014I. Terzić, М. Милојевић, ECONOMIC GLOBALIZATION AND GLOBAL IMPACTS ON CHANGES IN CONTEMPORARY ORGANIZATIONS – THEORETICAL APPROACH, International Journal of Economics, Commerce and Management, pp. 1 - 9, 2014
- VALUE AT RISK PERFORMANCE IN DEVELOPED AND EMERGING STOCK MARKETS2013I. Terzić, М. Милојевић, VALUE AT RISK PERFORMANCE IN DEVELOPED AND EMERGING STOCK MARKETS, International Journal of Information Technology & Business Management, pp. 129 - 136, 2013
- Mogućnosti primene modernih portfolio teorija na kreiranje optimalnog portfolija akcija sa Beogradske berze2008Z. Jeremić, I. Terzić, Mogućnosti primene modernih portfolio teorija na kreiranje optimalnog portfolija akcija sa Beogradske berze, Singidunum revija, Vol. 5, No. 1, pp. 17 - 26, Jan, 2008
- Proces upravljanja portfoliom2007Ivica Terzić, Proces upravljanja portfoliom, Časopis za teoriju i praksu finansija, bankarstva, revizije i osiguranja, No. 4, pp. 52 - 57, Dec, 2007
- Merenje performansi portfolija hartija od vrednosti2007Ivica Terzić, Merenje performansi portfolija hartija od vrednosti, Časopis za teoriju i praksu finansija, bankarstva, revizije i osiguranja, No. 2, pp. 48 - 55, Jun, 2007
- Revizija portfolija2007I. Terzić, Revizija portfolija, Časopis za teoriju i praksu finansija, bankarstva, revizije i osiguranja, pp. na - na, 2007
- Tehnička i fundamentalna analiza kretanja cena akcija2006Ivica Terzić, Tehnička i fundamentalna analiza kretanja cena akcija, Časopis za teoriju i praksu finansija, bankarstva, revizije i osiguranja, pp. 53 - 62, Jan, 2006
- Značaj korporativnog upravljanja za razvoj finansijskog tržišta2005Ivica Terzić, Značaj korporativnog upravljanja za razvoj finansijskog tržišta, Časopis za teoriju i praksu finansija, bankarstva, revizije i osiguranja, pp. 64 - 71, Sep, 2005
- Indeksi na tržištima kapitala-komparativna analiza zemalja bivše SFRJ2005Ivica Terzić, Indeksi na tržištima kapitala-komparativna analiza zemalja bivše SFRJ, Časopis za teoriju i praksu finansija, bankarstva, revizije i osiguranja, No. 2, pp. 40 - 48, Apr, 2005
- Mobilno bankarstvo (M-banking)2005I. Terzić, Mobilno bankarstvo (M-banking), Časopis za teoriju i praksu finansija, bankarstva, revizije i osiguranja, pp. 1 - 15, 2005
- Pravilnik o trgovanju akcijama2004Ivica Terzić, Pravilnik o trgovanju akcijama, Časopis za teoriju i praksu finansija, bankarstva, revizije i osiguranja, pp. 44 - 53, Dec, 2004
- Prevare sa instrumentima prvoklasnih banaka2004I. Terzić, Prevare sa instrumentima prvoklasnih banaka, Spoljnotrgovinski savetnik, pp. 48 - 56, Sep, 2004
Radovi na konferencijama
- EFFICIENCY ANALYSIS OF THE FINANCIAL LEASING SECTOR IN SERBIA: A DATA ENVELOPMENT APPROACH2025FINIZ 2025, Univerzitet SingidunumI. Terzić, Т. Kaličanin, P. Luty, EFFICIENCY ANALYSIS OF THE FINANCIAL LEASING SECTOR IN SERBIA: A DATA ENVELOPMENT APPROACH, Book of Proceedings, Singidunum University International Scientific Conference FINIZ 2025, THE IMPORTANCE OF BUSINESS AGILITY IN THE MODERN BUSINESS ENVIRONMENT, pp. 68 - 77, 2025
- Serbian banking sector: Current trends and perspectives2024FINIZ 2024Т. Kaličanin, I. Terzić, B. Barjaktarović, Serbian banking sector: Current trends and perspectives, FINIZ 2024 - Social Media and Contemporary Business, pp. 56 - 61, Dec, 2024Otvori
- Concentration level in the banking industry: Serbia, Croatia and Montenegro2022FINIZ 2022T. Kaličanin, I. Terzić, P. Luty, B. Barjaktarović, Concentration level in the banking industry: Serbia, Croatia and Montenegro, Book of Proceedings: Business resilience in a change world, pp. 9 - 14, Dec, 2022
- Using Benford's Law to Detect Tax Evasion in Micro-Enterprises in Serbia2020FINIZ 2020 - People in the center of process automationM. Milojević, I. Terzić, S. Stanišić, Using Benford's Law to Detect Tax Evasion in Micro-Enterprises in Serbia, FINIZ 2020 - People in the center of process automation, pp. 32 - 38, 2020
- THE ROLE OF ERP SOLUTIONS IN MANAGING CORPORATIONS FROM THE ACCOUNTING PERSPECTIVE2016Sinteza 2016M. Milojević, I. Terzić, D. Miletić, S. Stamenković, THE ROLE OF ERP SOLUTIONS IN MANAGING CORPORATIONS FROM THE ACCOUNTING PERSPECTIVE, International Scientific Conference on ICT and E-Business Related Research, Belgrade, University Singidunum, pp. 352 - 358, Apr, 2016Otvori
- Izloženost rizicima i trendovi osiguranja u poljoprivredi Srbije2016FINIZ 2016D. Miletić, M. Milojević, I. Terzić, Izloženost rizicima i trendovi osiguranja u poljoprivredi Srbije, FINIZ 2016 - Risks in Contemporary Business, pp. 149 - 153, 2016
- Evaluacija Korniš-Fišerovog VaR modela na tržištu kapitala u Hrvatskoj u periodu od 2005. do 2015. godine2016Singidunum University International Scientific Conference FINIZ 2016I. Terzić, М. Milojević, D. Miletić, Evaluacija Korniš-Fišerovog VaR modela na tržištu kapitala u Hrvatskoj u periodu od 2005. do 2015. godine, FINIZ 2016 - Risks in Contemporary Business, pp. 135 - 140, 2016
- Metode validacije modela za merenje tržišnog rizika - Backtesting2015FINIZ 2015I. Terzić, Z. Jeremić, М. Milojević, Metode validacije modela za merenje tržišnog rizika - Backtesting, Dec, 2015
- Verodostojnost prihoda i neto novčanih priliva kompanija u Republici Srbiji2015XVI međunarodni naučni skup Univerziteta Sinergija 2015М. Milojević, I. Terzić, D. Miletić, Verodostojnost prihoda i neto novčanih priliva kompanija u Republici Srbiji, Nov, 2015
- Modelovanje rizika na Banjalučkoj berzi2015Sinergija University International Scientific Conference 2015I. Terzić, Z. Jeremić, M. Milojević, Modelovanje rizika na Banjalučkoj berzi, Nov, 2015
- Uticaj amortizacije na poslovanje privrednih društava u Republici Srbiji2015Sinergija University International Scientific Conference 2015М. Мilojević, I. Terzić, Uticaj amortizacije na poslovanje privrednih društava u Republici Srbiji, Nov, 2015
- Uticaj likvidnosti na poslovanje preduzeća koja su u skladu sa zakonom o računovodstvu Republike Srbije razvrstana kao velika pravna lica2015Sinteza 2015З. Јеремић, М. Милојевић, I. Terzić, Uticaj likvidnosti na poslovanje preduzeća koja su u skladu sa zakonom o računovodstvu Republike Srbije razvrstana kao velika pravna lica, Apr, 2015
- METHODS OF VALIDATING THE MODELS FOR MEASURING MARKET RISK - BACKTESTING2015Singidunum University International Scientific Conference FINIZ 2015I. Terzić, Z. Jeremić, М. Мilojević, METHODS OF VALIDATING THE MODELS FOR MEASURING MARKET RISK - BACKTESTING, pp. 161 - 166, 2015
- FINANCIAL REPORTING OF LISTED COMPANIES ON THE STOCK EXCHANGES IN EUROPEAN UNION AND SOUTHEAST EUROPE2014FINIZ 2014Z. Jeremić, I. Terzić, FINANCIAL REPORTING OF LISTED COMPANIES ON THE STOCK EXCHANGES IN EUROPEAN UNION AND SOUTHEAST EUROPE, Book Of Proceedings, pp. 64 - 66, Dec, 2014Otvori
- Results of Applience of Benfords Law on Serbian Companies2014XIV International Symposium, SymorgL. Barjaktarović, M. Milojević, I. Terzić, Results of Applience of Benfords Law on Serbian Companies, The book of proceedings-XIV International Symposium, Symorg, pp. 696 - 702, Jun, 2014
- Application of Benford Analisys in detecting anomalies in the financial statements – case of Serbian large companies2014Sinteza 2014M. Milojević, I. Terzić, V. Marjanović, Application of Benford Analisys in detecting anomalies in the financial statements – case of Serbian large companies, Apr, 2014
- Empirical estimation and comparison of normal and Student-t linear VaR on the Belgrade Stock Exchange2014Sinteza 2014Z. Jeremić, I. Terzić, Empirical estimation and comparison of normal and Student-t linear VaR on the Belgrade Stock Exchange, Apr, 2014
- Finansijsko izveštavanje kompanija listiranih na berzama u Evropskoj uniji i jugoistočnoj Evropi2014FINIZ 2014Z. Jeremić, I. Terzić, Finansijsko izveštavanje kompanija listiranih na berzama u Evropskoj uniji i jugoistočnoj Evropi, 2014
- Evaluation of FHS and EWMA VaR in frontier markets: A case of Croatia and Serbia20143rd World Conference on Business, Economics and Management, Sapienza University, Faculty of Economics, Rome - ItalyI. Terzić, M. Milojević, Evaluation of FHS and EWMA VaR in frontier markets: A case of Croatia and Serbia, 2014
- ANALIZA VALIDACIJE MERA RIZIKA NA PRIMERU GLOBALNOG BANKARSKOG TRŽIŠTA201314. Međunarodni naučni skup Sinergija 2013.Ivica Terzić, Marko Milojević, ANALIZA VALIDACIJE MERA RIZIKA NA PRIMERU GLOBALNOG BANKARSKOG TRŽIŠTA, 2013
- UTICAJ MEĐUNARODNE REGULATIVE NA FINANSIJSKO IZVEŠTAVANJE KOMPANIJA POSMATRANO SA ASPEKTA STALNE IMOVINE201314. Međunarodni naučni skup Sinergija 2013.Marko Milojević, Ivica Terzić, UTICAJ MEĐUNARODNE REGULATIVE NA FINANSIJSKO IZVEŠTAVANJE KOMPANIJA POSMATRANO SA ASPEKTA STALNE IMOVINE, 2013
- KVALITET METODA MERENJA TRŽIŠNOG RIZIKA NA TRŽIŠTU KAPITALA SRBIJE I NEMAČKE – TESTIRANJE PRIMENJIVOSTI ISTORIJSKE SIMULACIJE KAO METODE ZA PROCENU RIZIČNE VREDNOSTI201312. Međunarodni naučni skup Sinergija 2013.Ivica Terzić, Marko Milojević, KVALITET METODA MERENJA TRŽIŠNOG RIZIKA NA TRŽIŠTU KAPITALA SRBIJE I NEMAČKE – TESTIRANJE PRIMENJIVOSTI ISTORIJSKE SIMULACIJE KAO METODE ZA PROCENU RIZIČNE VREDNOSTI, pp. 505 - 511, 2013
- ODNOS TRŽIŠNE CENE AKCIJE I ZARADE KAO BITAN INTERNI FAKTOR U FUNDAMENTALNOJ ANALIZI CENA AKCIJA201312. Međunarodni naučni skup Sinergija 2013.Marko Milojević, Vojislav Marjanović, Ivica Terzić, ODNOS TRŽIŠNE CENE AKCIJE I ZARADE KAO BITAN INTERNI FAKTOR U FUNDAMENTALNOJ ANALIZI CENA AKCIJA, pp. 497 - 504, 2013
Ostali radovi
- Households’ Energy Autonomy: Risks or Benefits for a State?2023M. Milojević, P. Nowodziński, I. Terzić, S. Danshina, Households’ Energy Autonomy: Risks or Benefits for a State?, In Tvaronavičienė M. (Eds.), Innovation in Energy Security and Long-Term Energy Efficiency Ⅱ, pp. 113 - 128, MDPI, Basel, Switzerland, Feb, 2023Otvori
- Savremene metode merenja rizika na tržištu kapitala u Srbiji2014I. Terzić, Savremene metode merenja rizika na tržištu kapitala u Srbiji, Univerzitet Singidunum, Beograd, Feb, 2014
- MODELING MARKET RISK IN FRONTIER EQUITY MARKETS—EVIDENCE FROM SERBIA2014M. Milojević, I. Terzić, MODELING MARKET RISK IN FRONTIER EQUITY MARKETS—EVIDENCE FROM SERBIA, Innovation, Technology transfer and Education, CBU, Prague, 2014
- EVALUATING MEASURES OF MARKET RISK IN CIRCUMSTANCES OF GLOBAL FINANCIAL CRISIS – EMPIRICAL EVIDENCE FROM FIVE COUNTRIES2013Ivica Terzić, Marko Milojević, EVALUATING MEASURES OF MARKET RISK IN CIRCUMSTANCES OF GLOBAL FINANCIAL CRISIS – EMPIRICAL EVIDENCE FROM FIVE COUNTRIES, Integration and Innovation in Research and Education, CBU, Prague, 2013
- Porfolio menadžment i investiciona analiza2008Ivica Terzić, Porfolio menadžment i investiciona analiza, Univerzitet Singidunum, Beograd, 2008











