International Masters in Quantitative Finance, Faculty of Economics, University of Belgrade
Master of Science (MSc) ( Quantitative Finance)
2011 - 2013
Psychology, Faculty of Philosophy, University of Belgrade
MSc ( Psychology, Research and Experimental Psychology)
2011 - 2012
Psychology, Faculty of Philosophy, University of Belgrade
Master's degree ( Research and Experimental Psychology)
2007 - 2011
Mathematical Grammar school
2003 - 2007
Ivana Jovanovic's Skills
Financial Economics
Financial Analysis
Risk Management
Derivatives
Statistics
SPSS
Psychometrics
Human Resources
Psychology
Econometrics
Ivana Jovanovic's Summary
Ivana Jovanovic, based in Serbia, is currently a Senior Analyst, Market Risk Analysis at Goldman Sachs, bringing experience from previous roles at Goldman Sachs, Kvantum Capital Partners, Center for Youth Integration and Aiesec. Ivana Jovanovic holds a 2011 - 2013 Master of Science (MSc) in Quantitative Finance @ International Masters in Quantitative Finance, Faculty of Economics, University of Belgrade. With a robust skill set that includes Financial Economics, Financial Analysis, Risk Management, Derivatives, Statistics and more, Ivana Jovanovic contributes valuable insights to the industry. Ivana Jovanovic has 1 email on RocketReach.