Lehrstuhl für Versicherungswirtschaft und Risikomanagement


Prof. Dr. Nadine Gatzert

Lange Gasse 20
90403 Nürnberg

Research Fields

Weitere Forschung (Lehrstuhl für Versicherungsmanagement und Risikomanagement)
Alternative Risk Transfer
Asset Management under Solvency II
Enterprise Risk Management
Investments in Infrastructure and Renewable Energy
Life Insurance & Pensions
Measuring and Managing Reputation Risk
Value and risk oriented management

Related Project(s)

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Assessing Spillover Effects from the Insurance Industry’s Perspective
Prof. Dr. Nadine Gatzert
(01/06/2017 - 30/11/2018)

Infrastructure and Renewable Energy Investments from the Insurance Industry’s Perspective
Prof. Dr. Nadine Gatzert
(01/06/2015 - 31/05/2017)

Sustainable Business Models in Energy Markets: Perspectives for the Implementation of Smart Energy Systems
Prof. Dr. Nadine Gatzert
(01/01/2014 - 31/12/2017)

Forum V: Forum V
Prof. Dr. Nadine Gatzert; Prof. Dr. Martina Steul-Fischer
(01/06/2013 - 31/05/2018)

Implicit Constraints, Incentives, and Systemic Risk Imposed by New Insurance Regulation
Prof. Dr. Nadine Gatzert
(01/01/2013 - 31/12/2014)

Publications (Download BibTeX)

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Gatzert, N. (2008). Asset Management and Surplus Distribution Strategies in Life Insurance: An Examination with Respect to Risk Pricing and Risk Measurement. Insurance Mathematics & Economics, 42(2), 839-849. https://dx.doi.org/10.1016/j.insmatheco.2007.09.001
Eling, M., Gatzert, N., & Schmeiser, H. (2008). The Swiss Solvency Test and its Market Implications. Geneva Papers on Risk and Insurance-Issues and Practice, 33(3), 418-439. https://dx.doi.org/10.1057/gpp.2008.20
Gatzert, N., & Schmeiser, H. (2008). Combining Fair Pricing and Capital Requirements for Non-Life Insurance Companies. Journal of Banking & Finance, 32(10), 2589-2596. https://dx.doi.org/10.1016/j.jbankfin.2008.05.009
Gatzert, N., & Schmeiser, H. (2008). Risk and Capital Transfer in Insurance Groups. Zeitschrift für die gesamte Versicherungswissenschaft, 97(4), 463-477. https://dx.doi.org/10.1007/s12297-008-0033-7
Gatzert, N., & Schmeiser, H. (2008). Management von Finanzkonglomeraten: Diversifikation, Risikokonzentration und Conglomerate Discount. Versicherungswirtschaft, 63(24), 2067-2071.
Gatzert, N., Schmeiser, H., & Schuckmann, S. (2008). Enterprise Risk Management in Financial Groups: Analysis of Risk Concentration and Default Risk. Financial Markets and Portfolio Management, 22(3), 241-258. https://dx.doi.org/10.1007/s11408-008-0081-y
Gatzert, N., & Schmeiser, H. (2008). Assessing the Risk Potential of Premium Payment Options in Participating Life Insurance Contracts. Journal of Risk and Insurance, 75(3), 691-712. https://dx.doi.org/10.1111/j.1539-6975.2008.00280.x
Gatzert, N., & Schmeiser, H. (2008). The Influence of Corporate Taxes on Pricing and Capital Structure in Property-Liability Insurance. Insurance Mathematics & Economics, 42(1), 50-58. https://dx.doi.org/10.1016/j.insmatheco.2006.12.005
Gatzert, N., & Schmeiser, H. (2007). Bewertung und Risikomanagement von impliziten Optionen in Lebenspolicen. Versicherungswirtschaft, 62(10), 769-771.
Gatzert, N., & Kling, A. (2007). Analysis of Participating Life Insurance Contracts: A Unification Approach. Journal of Risk and Insurance, 74(3), 547-570. https://dx.doi.org/10.1111/j.1539-6975.2007.00224.x
Gatzert, N., & Schmeiser, H. (2006). Implicit Options in Life Insurance: Valuation and Risk Management. Zeitschrift für die gesamte Versicherungswissenschaft, 95, 111-128. https://dx.doi.org/10.1007/BF03353443

Publications in addition (Download BibTeX)

Bohnert, A., Fritzsche, A., & Gregor, S. (2019). Digital Agendas in the Insurance Industry: The Importance of Comprehensive Approaches. Geneva Papers on Risk and Insurance-Issues and Practice, 44(1), 1-19. https://dx.doi.org/10.1057/s41288-018-0109-0
Heidinger, D., & Gatzert, N. (2018). Awareness, Determinants and Value of Reputation Risk Management: Empirical Evidence from the Banking and Insurance Industry. Journal of Banking & Finance, 91, 106-118. https://dx.doi.org/10.1016/j.jbankfin.2018.04.004
Krömer, S., & Gatzert, N. (2018). Renewable Energy Investments with Storage: A Risk-Return Analysis. International Journal of Energy Sector Management.

Last updated on 2019-24-04 at 10:19