Prof. Dr. Nadine Gatzert
Curriculum Vitae (academic)
- 1999-2005 Diploma studies in Mathematics and
Economics (Wirtschaftsmathematik) at the University of Ulm with focus on
Mathematical Finance and Actuarial Science (Dipl.-Math. oec.)
- 2003-2004 Ph.D.-Program in Applied Mathematics at
the University of Southern California, Los Angeles, USA; Master of
Science in Mathematical Finance (M.Sc.)
- 2005-2007 Project manager and research assistant
at the Institute of Insurance Economics, University of St. Gallen; 2007
doctoral degree (Dr. oec. (HSG)) at the University of St. Gallen; Title
of dissertation: „Implicit Options in Life Insurance: Valuation and Risk
Assessment“
- 2007-2009 Habilitation and project manager at the
Institute of Insurance Economics, University of St. Gallen, 2009
Habilitation in Business Administration and appointment to
„Privatdozentin an der Universität St. Gallen“
- 2008/2009 Qualified Actuary of the German Actuarial Association (Aktuarin (DAV))
- 2008 Offer of a Chair (W3) of Business
Administration with focus on Financial Services at the
Justus-Liebig-University of Giessen
- 2009 Offer of a Chair (W3) of Insurance Economics
(Versicherungswirtschaft) at the Friedrich-Alexander University
Erlangen-Nürnberg (FAU)
- Since 8/2009 Chair of Insurance Economics and Risk Management at the Friedrich-Alexander University Erlangen-Nürnberg
- Since 2009 Member of the Board of Directors (since
2010 Chair of the Board) of Forum V, Northern Bavarian Institute of
Insurance Science and Practice at the Friedrich-Alexander University
Erlangen-Nürnberg
- 10/2012-4/2015 Dean of Research, School of Business and Economics, FAU
- Since 3/2013 Member of the Board of Directors of the German Insurance Science Association (DVfVW)
- 4/2015-12/2016 Vice President for Research and Member of the Executive Board, FAU
- 8/2016-8/2019 Member of the Board of Directors of the American Risk and Insurance Association (ARIA)
Research Fields
- (Life) Insurance Mathematics
- Alternative Risk Transfer
- Valuation and Management of Financial Guarantees
- Enterprise Risk Management
- Measuring and Managing Reputation Risk
- Regulation and Solvency Assessment
- Asset Management under Solvency II