Dragana Cvijanovic’s research interests lie in the areas of empirical corporate finance and real estate finance.
Her current research focuses on the impact of real estate market spill overs on corporate and institutional financing and investment decision making.
Prior to joining UNC Kenan-Flagler, she served on the faculty at HEC Paris.
Dr. Cvijanovic also worked as a research analyst in the property hedge fund industry in the United Kingdom.
She received a PhD in finance from the London School of Economics, where she was also affiliated with the Financial Markets Group. She holds a master’s degree in quantitative finance from the University of Belgrade (SECCF) and a BSc in computer science from University College London.