Vladislav Radak graduated in mathematics at the University of Belgrade where he later in 2012 completed his masters with focus in Information Theory. Since 2015 he is working on his PhD at University of Dortmund, where he gives lectures in Financial Econometrics and Investments, Portfolio and Risk Management. He is a consultant within PwC´s Financial Services division, with focus on the valuation of financial instruments and xVA topics.
A Game Theory Application on Package Asset Auctions Conference
44th International Symposium on Operational Research SYM-OP-IS, Belgrade – Zlatibor, 2017.