University of St.Gallen
research platform alexandria
search publications
browse publications
by person
A B C D E F G H I J K L M N O P Q R S T U V W X Y Z
 
by year

publications

title  
 
journal paper
Schmeiser, H., Huber, C., & Gatzert, N. (2014). How Does Price Presentation Influence Consumer Choice? The Case of Life Insurance Products. Journal of Risk and Insurance, 2014(online 02/14 - forthcoming!), 1-40, DOI:10.1111/jori.12026.
   
Schmeiser, H., Huber, C., & Gatzert, N. (2012). Price Presentation and Consumers' Choice. Zeitschrift für die gesamte Versicherungswissenschaft, 101(1), 63-73, DOI:10.1007/s12297-011-0181-z.
   
Gatzert, N., & Schmeiser, H. (2012). Industry Loss Warranties: Contract Features, Pricing, and Central Demand Factors. Journal of Risk Finance, 13(1), 13-31, DOI:10.1108/15265941211191912.
   
Braun, A., Gatzert, N., & Schmeiser, H. (2012). Performance and Risks of Open-End Life Settlement Funds. Journal of Risk and Insurance, 79(1), 193-230, DOI:10.1111/j.1539-6975.2011.01414.x.
   
Gatzert, N., Holzmüller, I., & Schmeiser, H. (2012). Creating Customer Value In Participating Life Insurance. Journal of Risk and Insurance, 79(3), 645-670, DOI:10.1111/j.1539-6975.2011.01453.x.
   
Gatzert, N., & Schmeiser, H. (2011). On the Risk Situation of Financial Conglomerates: Does Diversification Matter?. Financial Markets and Portfolio Management, 25(1), 3-26, DOI:10.1007/s11408-010-0149-3.
   
Schmeiser, H., Huber, C., & Gatzert, N. (2011). On the Valuation of Investment Guarantees in Unit-Linked Life Insurance: A Customer Perspective. Geneva Papers on Risk and Insurance, 36(1), 3-29.
   
Eling, M., Gatzert, N., & Schmeiser, H. (2009). Minimum Standards for Investment Performance: A New Perspective on Non-Life Insurer Solvency. Insurance: Mathematics and Economics, 45(1), 113-122.
   
Gatzert, N. (2009). The Secondary Market for Life Insurance in the U.K., Germany, and the U.S.: Comparison and Overview. Risk Management & Insurance Review, 20.
   
Gatzert, N., Hoermann, G., & Schmeiser, H. (2009). The Impact of the Secondary Market on Life Insurers' Surrender Profits. Journal of Risk and Insurance, 76(4), 887-908.
   
Gatzert, N., & Schmeiser, H. (2009). Pricing and Performance of Mutual Funds: Lookback versus Interest Rate Guarantees. The Journal of Risk, 11(4), 24.
   
Gatzert, N. (2009). Implicit Options in Life Insurance: An Overview. Zeitschrift für die gesamte Versicherungswissenschaft, 20.
   
Gatzert, N., & Schmeiser, H. (2008). Risk and Capital Transfer in Insurance Groups. Zeitschrift für die gesamte Versicherungswissenschaft, 97(4), 463-477.
   
Gatzert, N. (2008). Asset Management and Surplus Distribution Strategies in Life Insurance: An Examination with Respect to Risk Pricing and Risk Measurement. Insurance: Mathematics and Economics, 42(2), 839-849.
   
Eling, M., Gatzert, N., & Schmeiser, H. (2008). The Swiss Solvency Test and its Market Implications. Geneva Papers on Risk and Insurance, 33(3), 418-439.
   
Gatzert, N., & Schmeiser, H. (2008). Combining Fair Pricing and Capital Requirements for Non-Life Insurance Companies. Journal of Banking and Finance, 32(2), 2589-2596.
   
Gatzert, N., Schmeiser, H., & Schuckmann, S. (2008). Enterprise Risk Management in Fiancial Groups: Analysis of Risk Concentration and Default Risk. Financial Markets and Portfolio Management, 22(3), 241-258.
   
Gatzert, N., & Schmeiser, H. (2008). The Influence of Corporate Taxes on Pricing and Capital Structure in Property-Liability Insurance. Insurance: Mathematics and Economics, 42(1), 50-58.
   
Gatzert, N., & Schmeiser, H. (2008). Assessing the Risk Potential of Premium Payment Options in Participating Life Insurance Contracts. The Journal of Risk and Insurance, 75(3), 691-712.
   
Gatzert, N., & Kling, A. (2007). Analysis of Participating Life Insurance Contracts: A Unification Approach. The Journal of Risk and Insurance, 74(3), 547-570.
   
Gatzert, N., & Schmeiser, H. (2006). Implicit Options in Life Insurance: Valuation and Risk Management. Zeitschrift für die gesamte Versicherungswissenschaft, 95(4), 111-128.
   
book
Schmeiser, H., Eling, M., Gatzert, N., Schuckmann, S., & Toplek, D. (2006). Volkswirtschaftliche Implikationen aus dem Swiss Solvency Test. St. Gallen: IVW.
   
book chapter
Gatzert, N., & Schmeiser, H. (2011). Segmentierungs- und Tarifierungsstrategien. In Ackermann, W., & Schmeiser, H. (Eds.), Versicherungsmanagement (pp. XX). Bern: VBV.
   
Schmeiser, H., & Gatzert, N. (2011). Das strategische Risikomanagement eines Versicherers. In Versicherungsmanagement (pp. 1): SKV.
   
conference paper
Gatzert, N., & Schmeiser, H. (2008). Diversification and Risk Situation of Financial Groups. In .
   
Eling, M., Gatzert, N., & Schmeiser, H. (2008). A New Perspective on Non-Life Insurer Solvency. In .
   
Gatzert, N., Hoermann, G., & Schmeiser, H. (2008). Secondary Market and Life Insurers' Surrender Profits. In .
   
working paper
Schmeiser, H., & Gatzert, N., Prof. Dr. Hato Schmeiser (Eds.), (2011). New Life Insurance Financial Products. Working Papers on Risk Management and Insurance. St. Gallen: Institut für Versicherungswirtschaft, Universität St. Gallen.
   
Schmeiser, H., & Gatzert, N., Prof. Dr. Hato Schmeiser (Eds.), (2011). The Merits of Pooling Claims Revisited: forthcoming in: Journal of Risk Finance. Working Paper on Risk Management and Insurance. St. Gallen: Institut für Versicherungswirtschaft.
   
Gatzert, N., Prof. Dr. Hato Schmeiser (Eds.), (2010). The Secondary Market for Life Insurance in the U.K., Germany, and the U.S.: Comparison and Overview: forthcoming in: Risk Management and Insurance Review. Working Paper on Risk Management and Insurance. St. Gallen: Institute of Insurance Economics, University of St. Gallen.
   
Gatzert, N., & Hoermann, G., Prof. Dr. Hato Schmeiser (Eds.), (2010). Understanding the Death Benefit Switch Option in Universal Life Policies: forthcoming in: Journal of Risk and Insurance. WORKING PAPERS ON RISK MANAGEMENT AND INSURANCE. St. Gallen: Institute of Insurance Economics, University of St. Gallen.
   
Huber, C., Schmeiser, H., & Gatzert, N., Professor Dr. Hato Schmeiser (Eds.), (2010). How Do Price Presentation Effects Influence Consumer Choice? The Case of Investment Guarantees in Unit-Linked Life Insurance Products. Working Papers on Risk Management and Insurance. St. Gallen: Chair for Risk Management and Insurance.
   
Gatzert, N., & Schmeiser, H., Professor Dr. Hato Schmeiser (Eds.), (2010). A Note on the Merits of Pooling Claims. Working Papers on Risk Management and Insurance. St. Gallen: Chair for Risk Management and Insurance.
   
Hoermann, G., & Gatzert, N. (2009). Optimal Rate Classification for Enhanced Annuities: forthcoming in: Zeitschrift fr die gesamte Versicherungswirtschaft: Springer.
   
Gatzert, N., Huber, C., & Schmeiser, H. (2009). On the Valuation of Investment Guarantees in Unit-Linked Life Insurance: A Behavioral Perspective: forthcoming.
   
Gatzert, N., & Schmeiser, H. (2009). What Drives the Demand for Industry Loss Warranties?: forthcoming.
   
Gatzert, N., Hoermann, G., & Schmeiser, H., I.VW, Hrsg. von Hato Schmeiser (Eds.), (2008). Optimal Risk Classification and Underwriting Risk for Substandard Annuities. Working Papers on Risk Management and Insurance. St. Gallen: I.VW.
   
Gatzert, N., & Hoermann, G. (2008). Understanding the Death Benefit Switch Option in Universal Life Policies.
   
Gatzert, N., Schmeiser, H., & Toplek, D. (2007). An Analysis of Pricing and Basis Risk for Industry Loss Warranties: IVW.
   
Gatzert, N., & Kassberger, S. (2007). Risk Assessment of Life Insurance Contracts: A Comparative Study in a Lévy Framework.
   
article
Braun, A., Gatzert, N., & Schmeiser, H. (2010). How Attractive is the Life Settlements Asset Class from an Investor's Perspective?. I.VW Management-Information, 1, 45-48.
   
Gatzert, N., Hoermann, G., & Schmeiser, H. (2009). Optimal Risk Classification. I.VW Management Information, 2, 41-47.
   
Gatzert, N., Huber, C., & Schmeiser, H. (2009). Finanzgarantien aus Kundensicht. Versicherungswirtschaft, 22(64), 1735-1740.
   
Gatzert, N., & Schmeiser, H. (2008). Management von Finanzkonglomeraten: Diversifikation, Risikokonzentration und Conglomerate Discount. Versicherungswirtschaft, 24(63), 1800-1802.
   
Gatzert, N., & Schmeiser, H. (2008). Diversification in Financial Conglomerates. I.VW Management Information - St. Galler Trendmonitor für Risiko- und Finanzmärkte, 2, 30-31.
   
Gatzert, N., & Schmeiser, H. (2007). Bewertung und Risikomanagement von impliziten Optionen in Lebenspolicen. Versicherungswirtschaft, 10(62), 769-771.
   
 
page 1 of 1
*citation format: APA 5