Fulton Hall聽410C
Telephone: bozidar.jovanovic@bc.edu
MFIN 1151: Investments, MFIN 8801: Investments
Portfolio Management; Optimization; Tactical Asset Allocation; Volatility Effect; Commodity Market Cycles and Market Structure; and Unusual Derivatives Pricing.
Bozidar Jovanovic is a professor of the practice in the Seidner Department of Finance at the Boston College Carroll School of Management. He has had a long career as a quantitative analyst in financial services, which has included work at hedge funds, long-only funds and various banking institutions such as FrontPoint Partners, Morgan Stanley, HS精东影业, and Bank Leumi. At Bank Leumi, he was the Chief Portfolio Strategist for the private bank, where he created investment strategies for $3 billion in assets.
Concurrently with teaching at Boston College, he owns and operates Honey Badger Advisors LLC, a financial advisory business where he is the Chief Investment Officer. He has been engaged in proprietary research throughout his career that covered investing strategies in equities, fixed income, commodities, and derivatives.
From 2009 to 2017, he taught as an adjunct professor at Manhattanville College, where he was instrumental in developing the Master of Science in Finance program. Jovanovic holds a Ph.D. in physics from Boston University, and is an active Chartered Financial Analyst. He also holds a Certificate in Quantitative Finance and FINRA Series 66 certification for securities, as well as a Life, Health and Accident License in New York and Florida.