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Alexander Mürmann

Univ.Prof. Alexander Mürmann Ph.D.
Telephone:
+43 1 31336 4948
Email:
Contact information and photo taken from and editable at WU Directory.

CV

since 2007
Professor, Vienna University of Economics and Business Administration
2002-2007
Assistant Professor, The Wharton School
2002
Ph.D. in Economics, London School of Economics
2001-2002
Lecturer, The Wharton School
2000-2001
Temporary Lecturer, London School of Economics
1996
Diplom in Mathematics, University of Bonn

Researcher Identifier

    No researcher identifier found.

Awards and Honors

2014
Robert I. Mehr Award for paper published in the Journal of Risk and Insurance ten years ago that has best stood the test of time
2010
AXA-EGRIE Prize at World Risk and Insurance Economics Congress
2006-2007
PARC/Boettner/NICHD Pilot Project Competition Award
2005-2006
PARC/Boettner/NICHD Pilot Project Competition Award

Classifications

  • 5307 Business and management economics (Details)
  • 5335 Political economic theory (Details)
  • 5361 Financial management (Details)
  • 5943 Risk research (Details)
  • 5953 Game theory (Details)
  • 5959 Accident research (Details)

Expertise

  • – Asymmetric Information Problems
  • Decision theory under uncertainty
  • Insurance Economics
  • Contract theory

Activities

Position in scientific committee
  2016-2017 Risk Theory Society - Past President
  2016-2017 European Group of Risk and Insurance Economists - President
  2015-2016 Risk Theory Society - President
  2015-2016 European Group of Risk and Insurance Economists - Member of Executive Board
  2014-2015 Risk Theory Society - Secretary
  2012-2015 American Risk and Insurance Association - Member of Board of Directors
  since 2010 Vienna Graduate School of Finance - Faculty
  since 2009 WU Gutmann Center - Member of the Executive Committee
  since 2006 Wharton Risk Management and Decision Processes Center, University of Pennsylvania, USA - Research Fellow
  since 2005 Center for Financial Studies, Frankfurt - Research Fellow
Position in jury, advisory board, curatorship
  since 2015 Jury-Mitglied des Insurance Innovation Award
  since 2014 Jury-Mitglied für die Vergabe des „Junger Makler Award“
  since 2011 Jury-Mitglied zur Förderpreisvergabe der Österreichischen Gesellschaft für Versicherungsfachwissen
  since 2010 Österreichische Gesellschaft für Versicherungsfachwissen - Board Member
Position in committee for appointments
  2017 - Gutachter
  2017 - Gutachter
  2017 - Gutachter
  2013 - Gutachter
  2009 - Gutachter
  2008 - Gutachter
Position in habilitation committee
  2017 - Gutachter
Position in internal committee for appointments
  2017 Professor in Finance (Nachfolge Dockner)
  2017 Assistant Professor in Finance - Berufungsverfahren für post-doc Position
  2016 Assistant Professor in Finance - Berufungsverfahren für tenure-track position
  2015 Assistant Professor in Finance - Berufungsverfahren für tenure-track position
  2014 Professor of Health Economics
  2010 Professur in Endowment Management
Position in internal habilitation committee
  2017 Department of Finance, Accounting and Statistics, WU Wien - Peer-Evaluierung der Lehre
  2014 Habilitationskommissionsmitglied
  2008 Habilitationskommissionsmitglied
  2008 Gutachter
  2007 Habilitationskommissionsmitglied
Editor of a scientific journal
  2013-2014 Geneva Risk and Insurance Review - Editor of Special Issue
Member of the editorial board
  since 2015 Journal of Risk and Insurance
  since 2014 Review of Managerial Science
  since 2013 Geneva Risk and Insurance Review
Reviewer for a scientific journal
  since 2017 Decision Analysis
  since 2015 Annals of Actuarial Science
  since 2013 Mathematics and Financial Economics
  since 2013 Econometrica
  since 2012 RAND Journal of Economics
  since 2012 Annals of Tourism Research
  since 2011 Review of Economic Studies
  since 2011 Journal of Environmental Economics and Management
  since 2011 Economics Bulletin
  since 2011 Bulletin of Economic Research
  since 2009 Theory and Decision
  since 2009 Journal of Risk and Uncertainty
  since 2008 Journal of Economic Dynamics and Control
  since 2007 North American Actuarial Journal
  since 2007 Journal of Economic Psychology
  since 2007 Geneva Risk and Insurance Review
  since 2006 Risk Management and Insurance Review
  since 2006 Management Science
  since 2006 Journal of Banking and Finance
  since 2006 European Journal of Finance
  since 2005 Journal of Law, Economics, and Organization
  since 2005 American Economic Review
  since 2004 Journal of Risk and Insurance
  since 2003 Risk Analysis
  since 2003 Journal of Finance
  since 2002 Journal of Financial Intermediation
  since 2002 ASTIN Bulletin
  since 2000 Economica
Reviewer for an international conference
  2018 European Winter Finance Summit
  2017 WU Gutmann Center Symposium
  2017 Risk Theory Society
  2017 European Winter Finance Summit
  2017 European Finance Association
  2017 American Risk and Insurance Association
  2016 Risk Theory Society
  2016 Munich Behavioral Insurance Workshop
  2016 European Winter Finance Summit
  2016 American Risk and Insurance Association
  2015 WU Gutmann Center Symposium
  2015 World Risk and Insurance Economics Congress
  2015 Risk Theory Society
  2015 European Winter Finance Summit
  2015 European Finance Association
  2014 Western Finance Association
  2014 Munich Behavioral Insurance Workshop
  2014 European Winter Finance Summit
  2013 WU Gutmann Center Symposium
  2013 European Winter Finance Summit
  2012 Munich Behavioral Insurance Workshop
  2012 European Winter Finance Summit
  2012 European Finance Association
  2011 WU Gutmann Center Symposium
  2011 European Winter Finance Summit
  2010 Munich Behavioral Insurance Workshop
  2010 European Winter Finance Summit
  2010 European Finance Association
  2010 American Risk and Insurance Association
Organization scientific meeting (Conference etc.)
  2017 WU Gutmann Center Symposium
  2017 Risk Theory Society Meeting
  2016 Risk Theory Society Meeting
  2015 World Risk and Insurance Economics Congress
  2015 Risk Thoery Society Meeting
  2013 WU Gutmann Center Symposium
  2011 European Group of Risk and Insurance Economists (EGRIE)
Position in administration
  since 2016 PhD- und Doktoratsstudien - Bereichsdirektor für das PhD-Studium Finance
  since 2016 Institute for Financial Research - Institutsvorstand
  since 2014 Institute for Finance, Banking and Insurance - stellvertretender Institutsvorstand
  2011 WU2020 Strategiegruppe - Mitglied
  since 2010 Institute for Finance, Banking and Insurance - Doktoratsbeauftragter
  since 2007 Universitätslehrgang für Versicherungswirtschaft - Academic Director
  since 2007 Studienplankommission - stellvertretendes Mitglied

Publications

Journal article

2016 Huang, Rachel, Mürmann, Alexander, Tzeng, Larry. 2016. Hidden Regret in Insurance Markets. Journal of Risk and Insurance 83 (1), 181-216. (Details)
2015 Doherty, Neil, Laux, Christian, Mürmann, Alexander. 2015. Insuring Nonverifiable Losses. Review of Finance 19 (1): S. 283-316. (Details)
  Filipovic, Damir, Kremslehner, Robert, Mürmann, Alexander. 2015. Optimal Investment and Premium Policies under Risk Shifting and Solvency Regulation. Journal of Risk and Insurance 82 (2): S. 261-288. (Details)
2014 Mürmann, Alexander, Rothschild, Casey. 2014. Guest editorial for the Special Issue on New Developments in the Economics of Insurance Markets with Adverse Selection. Geneva Risk and Inusrance Review 39 (2): S. 131-135. (Details)
  Huang, Rachel, Mürmann, Alexander, Tzeng, Larry. 2014. Regret and Regulation. Geneva Risk and Inusrance Review 39 (1): S. 65-89. (Details)
2010 Laux, Christian, Mürmann, Alexander. 2010. Financing risk transfer under governance problems: Mutual versus stock insurers. Journal of Financial Intermediation 19 (3): S. 333-354. (Details)
  Gollier, Christian , Mürmann, Alexander. 2010. Optimal Choice and Beliefs with Ex Ante Savoring and Ex Post Disappointment. Management Science (MS) 56 (8): S. 1272-1284. (Details)
2008 Mürmann, Alexander. 2008. Market Price of Insurance Risk Implied by Catastrophe Derivatives. North American Actuarial Journal 12 (3): S. 221-227. (Details)
  Mürmann, Alexander, Kunreuther, Howard. 2008. Self-Protection and Insurance with Interdependencies. Journal of Risk and Uncertainty 36 (2): S. 103-123. (Details)
2006 Mürmann, Alexander, Mitchell, Olivia, Volkman, Jacqueline. 2006. Regret, Portfolio Choice, and Guarantees in Defined Contribution Schemes. Insurance, Mathematics and Economics 39 (2): S. 219-229. (Details)
2004 Braun, Michael, Mürmann, Alexander. 2004. The Impact of Regret on the Demand forInsurance. Journal of Risk and Insurance 71 (4): S. 737-767. (Details)
2002 Mürmann, Alexander, Oktem, Ulku. 2002. The Near-Miss Management of OperationalRisk. Journal of Risk Finance 4 (1): S. 25-36. (Details)

Chapter in edited volume

2010 Doherty, Neil, Mürmann, Alexander. 2010. On the Role of Insurance Brokers in resolving the Known, the Unknown and the Unknowable. In: The Known, the Unknown and the Unknowable in Financial Risk Management, Hrsg. F.X. Diebold, N.A. Doherty, and R. Herring, 194-209. Princeton, N.J.: Princton Univ. Press. (Details)
2004 Doherty, Neil, Mürmann, Alexander. 2004. Brokers and the Insurance for Non- Verifiable Losses. In: Brookings-Wharton Papers on Financial Services, Hrsg. Robert E. Litan and Richard Herring, 193-211. Washington, D.C.: Brookings Institution Press. (Details)
  Mürmann, Alexander. 2004. Catastrophe Derivatives. In: Encyclopaedia of Actuarial Science, Hrsg. Jozef Teugels and Bjoern Sundt, 231-236. Chichester, UK: Wiley. (Details)

Paper presented at an academic conference or symposium

2017 Laux, Christian, Mürmann, Alexander, Lenciauskaite, Giedre. 2017. Foreclosure and Catastrophe Insurance. Annual Meeting of the American Economic Association, Chicago, Vereinigte Staaten/USA, 06.01.-08.01. (Details)
  Peer, Stefanie, Mürmann, Alexander. 2017. Learning from app-based feedback on driving skills: do monetary incentives matter? . hEART, Haifa, Israel, 12.09.-14.09. (Details)
  Chaderina, Maria, Mürmann, Alexander, Scheuch, Christoph. 2017. Which Bonds to Sell in Fire Sales? Liquidity versus Commonality of Holdings. Seminarvortrag Universität Hohenheim, Hohenheim, Deutschland, 13.07. (Details)
  Mürmann, Alexander, Chaderina, Maria, Scheuch, Christoph. 2017. Which Bonds to Sell in Fire Sales? Liquidity versus Commonality of Holdings. 44th Annual Meeting of the European Group of Risk and Insurance Economists (EGRIE), London, Großbritannien, 17.09.-20.09. (Details)
2016 Mürmann, Alexander. 2016. Asymmetric Information in Automobile Insurance: Evidence from Telematic Data. Seminarvortrag EPFL, Lausanne, Schweiz, 21.06. (Details)
  Laux, Christian, Lenciauskaite, Giedre, Mürmann, Alexander. 2016. Foreclosure and Catastrophe Insurance. 43rd Annual Meeting of the European Group of Risk and Insurance Economists (EGRIE), Nicosia, Zypern, 19.09.-21.09. (Details)
2015 Mürmann, Alexander. 2015. Asymmetric Information in Automobile Insurance: Evidence from Telematic Data. Policyholder Behavior in Insurance Decision Making, ETH Zürich, Schweiz, 28.09.-29.09.. (Details)
  Mürmann, Alexander. 2015. Asymmetric Information in Automobile Insurance: Evidence from Driving Behavior. Vienna Joint Economics Seminar (Uni Wien and IHS), Wien, Österreich, 29.01.. (Details)
2014 Mürmann, Alexander. 2014. State-Dependent Preferences and Insurance Demand. American Risk and Insurance Association Meeting, Seattle, Vereinigte Staaten/USA, 03.08.-06.08.. (Details)
  Mürmann, Alexander. 2014. Asymmetric Information in Automobile Insurance: Evidence from Driving Behavior. Seminar Talk, Imperial College London, London, Großbritannien, 13.05.. (Details)
2013 Mürmann, Alexander. 2013. Asymmetrische Information in der Kfz-Versicherung: Evidenz basierend auf telematischen Daten. Fachtagung des Deutschen Vereins für Versicherungswissenschaft, Berlin, Deutschland, 26.09.. (Details)
  Mürmann, Alexander. 2013. Insuring Non-Verifiable Losses. American Risk and Insurance Association Meeting, Washington, D.C., Vereinigte Staaten/USA, 04.08.-07.08.. (Details)
  Mürmann, Alexander. 2013. Asymmetric Information in Automobile Insurance: Evidence from Driving Behavior. Seminar Talk, University of Innsbruck, Innsbruck, Österreich, 28.01.. (Details)
  Mürmann, Alexander. 2013. Asymmetric Information in Automobile Insurance: Evidence from Driving Behavior. Seminar Talk, NTNU Trondheim, Trondheim, Norwegen, 17.10.. (Details)
  Mürmann, Alexander. 2013. Asymmetric Information in Automobile Insurance: Evidence from Driving Behavior.. Seminar Talk, Wharton School, Philadelphia, Vereinigte Staaten/USA, 03.04.. (Details)
  Mürmann, Alexander. 2013. Asymmetric Information in Automobile Insurance: New Evidence from Driving Behavior. Seminar Talk, University of Illinois, Urbana-Champaign, Vereinigte Staaten/USA, 02.04.. (Details)
2012 Kremslehner, Daniela, Mürmann, Alexander. 2012. Asymmetric Information in Automobile Insurance: New Evidence from Telematic Data. European Group of Risk and Insurance Economists, Palma de Mallorca, Spanien, 17.09-19.09. (Details)
  Mürmann, Alexander. 2012. Regret and Regulation. Munich Behavioral Insurance Workshop, München, Deutschland, 10.12.-11.12.. (Details)
  Mürmann, Alexander. 2012. Asymmetric Information in Automobile Insurance: New Evidence from Driving Behavior. Seminar Talk, BI Norwegian School of Management, Oslo, Norwegen, 16.05. (Details)
  Mürmann, Alexander. 2012. Insuring Non-Verifiable Losses. Seminar Talk, ETH Zürich, Zürich, Schweiz, 05.03.. (Details)
  Mürmann, Alexander. 2012. Asymmetric Information in Automobile Insurance: New Evidence from Telematic Data. American Economic Assosiation Meeting, Chicago, Vereinigte Staaten/USA, 05.01.-08.01.. (Details)
2011 Mürmann, Alexander. 2011. Hidden Regret in Insurance Markets: Adverse and Advantageous Selection. Munich Behavioral Insurance Workshop, München, Deutschland, 12.12.-13.12.. (Details)
  Mürmann, Alexander. 2011. Asymmetric Information in Automobile Insurance: New Evidence from Telematic Data. Seminar Talk, Temple University, Philadelphia, Vereinigte Staaten/USA, 02.11.. (Details)
  Mürmann, Alexander. 2011. Asymmetric Information in Automobile Insurance: New Evidence from Telematics Data. Seminar Talk, University of Georgia, Athens, Vereinigte Staaten/USA, 03.11.. (Details)
  Mürmann, Alexander. 2011. Insuring Non-Verifiable Losses. Seminar Talk, Georgia State University, Atlanta, Vereinigte Staaten/USA, 04.11.. (Details)
  Filipovic, Damir, Kremslehner, Robert, Mürmann, Alexander. 2011. Optimal Investment and Premium Policies under Risk Shifting and Solvency Regulation. Enterprise Risk Management and Corporate Governance for Insurance Firms, EDHEC Business School, Lille, Frankreich, 17.05.. (Details)
  Mürmann, Alexander, Kremslehner, Daniela. 2011. Asymmetric Information in Automobile Insurance: New Evidence from Telematic Data. American Risk and Insurance Association Meeting, San Diego, United States/USA, 07.08.-10.08. (Details)
  Mürmann, Alexander, Kremslehner, Daniela. 2011. Asymmetric Information in Automobile Insurance: New Evidence from Telematic Data. NBER Insurance Workshop, Boston, United States/USA, 17.09. (Details)
  Mürmann, Alexander, Kremslehner, Daniela. 2011. Asymmetric Information in Automobile Insurance: New Evidence from Telematics Data. The European Winter Finance Summit 2011, Tröpolach Hermagor, Austria, 14.03-17.03. (Details)
  Mürmann, Alexander, Kremslehner, Daniela. 2011. Asymmetric Information in Automobile Insurance: New Evidence from Telematics Data. Jahrestagung 2011, Deutscher Verein für Versicherungswissenschaft, Berlin, Germany, 16.03-17.03. (Details)
  Mürmann, Alexander, Kremslehner, Daniela. 2011. Asymmetric Information in Automobile Insurance: New Evidence from Telematics Data. Risk Theory Society Meeting 2011, Little Rock, Arkansas, United States/USA, 15.04.-17.04. (Details)
2010 Filipovic, Damir, Kremslehner, Robert, Mürmann, Alexander. 2010. Optimal Investment and Premium Policies under Risk Shifting and Solvency Regulation. World Risk and Insurance Economics Congress, Singapur, Singapur, 25.07.-29.07.. (Details)
  Filipovic, Damir, Kremslehner, Robert, Mürmann, Alexander. 2010. Optimal Investment and Premium Policies under Risk Shifting and Solvency Regulation. Jahrestagung 2010, Deutscher Verein für Versicherungswissenschaft, Düsseldorf, Deutschland, 10.03.-11.03.. (Details)
  Filipovic, Damir, Kremslehner, Robert, Mürmann, Alexander. 2010. Optimal Investment and Premium Policies under Risk Shifting and Solvency Regulation. Workshop Financial Markets & Risk, Obergurgl, Österreich, 08.04.-10.04.. (Details)
2009 Kremslehner, Robert, Mürmann, Alexander. 2009. State-Dependent Preferences and Insurance Demand. Seminar of the European Group of Risk and Insurance Economists 2009, Bergen, Norwegen, 21.09.-23.09.. (Details)
  Mürmann, Alexander. 2009. Optimal Investment and Premium Policies under Risk Shifting and Solvency Regulation. Seminar Talk, VGSF, Wien, Österreich, 13.11.. (Details)
  Mürmann, Alexander. 2009. Insuring the Uninsurable: Brokers and Incomplete Insurance Contracts. International Seminar on Adaptation to Climate Change: The Role of Insurance, Universität Innsbruck, Österreich, 06.03.-07.03.. (Details)
  Mürmann, Alexander. 2009. Optimal Choice and Beliefs with Ex Ante Savoring and Ex Post Disappointment. European Winter Finance Summit 2009, Saalbach Hinterglemm, Österreich, 22.03.-25.03.. (Details)
2008 Mürmann, Alexander. 2008. Optimal Tax Deduction for Personal Losses under Regret. Seminar of the European Group of Risk and Insurance Economists 2008, Toulouse, Frankreich, 15.09.-17.09.. (Details)
  Mürmann, Alexander. 2008. Financing Risk Transfer under Governance Problems: Mutual vs. Stock Insurers. Seminar Talk, University of Mannheim, Mannheim, Deutschland, 19.05.. (Details)
  Mürmann, Alexander. 2008. Financing Risk Transfer under Governance Problems: Mutual vs. Stock Insurers. Seminar Talk, NHH Bergen, Bergen, Norwegen, 14.11.. (Details)
  Mürmann, Alexander. 2008. Hidden Regret and Advantageous Selection in Insurance Markets. Seminar Talk, University of Frankfurt, Frankfurt, Deutschland, 20.05.. (Details)
  Mürmann, Alexander. 2008. Optimal Choice and Beliefs with Ex Ante Savoring and Ex Post Disappointment. Seminar Talk, LMU München, München, Deutschland, 24.01.. (Details)
  Mürmann, Alexander. 2008. Financing Risk Transfer under Governance Problems: Mutual vs. Stock Insurers. NBER Insurance Workshop, Boston, Vereinigte Staaten/USA, 07.05.-08.05.. (Details)
  Mürmann, Alexander. 2008. Mutual versus Stock Insurers: Fair Premium, Capital and Solvency. Jahrestagung des Deutschen Vereins für Versicherungswissenschaft, Dresden, Deutschland, 05.03.-06.03.. (Details)
  Mürmann, Alexander. 2008. Hidden Regret in Insurance Markets: Adverse and Advantageous Selection. 11th Symposium on Finance, Banking, and Insurance, Karlsruhe, Deutschland, 17.12.-19.12.. (Details)
  Mürmann, Alexander. 2008. Optimal Choice and Beliefs with Ex Ante Savoring and Ex Post Disappointment. 11th Symposium on Finance, Banking, and Insurance, Karlsruhe, Deutschland, 17.12.-19.12.. (Details)
  Mürmann, Alexander. 2008. Self-protection and insurance with interdependencies. Climate Change and Financial Markets: catastrophe instruments, reinsurance, securitisation and risk transfer, Warwick Business School, Großbritannien, 11.01.-11.01.. (Details)
2007 Mürmann, Alexander. 2007. Hidden Regret and Advantageous Selection in Insurance Markets. Seminar of the European Group of Risk and Insurance Economists 2007, Köln, Deutschland, 17.09.-19.09.. (Details)
  Mürmann, Alexander. 2007. Hidden Regret and Advantageous Selection in Insurance Markets. Risk Theory Society Meeting 2007, Pennsylvania State University, Vereinigte Staaten/USA, 20.04.-22.04.. (Details)
  Mürmann, Alexander. 2007. Mutual versus Stock Insurers: Fair Premium, Capital and Solvency. Seminar of the European Group of Risk and Insurance Economists 2007, Köln, Deutschland, 17.09.-19.09.. (Details)
2006 Mürmann, Alexander. 2006. On the Role of Insurance Brokers in Resolving the Known, the Unknown and the Unknowable. Financial Risk Management in Practice: The Known, The Unknown, and the Unknowable, Boston, Vereinigte Staaten/USA, 06.01.-06.01.. (Details)
  Mürmann, Alexander. 2006. Optimal Choice and Beliefs with Ex Ante Savoring and Ex Post Disappointment. 12th International Conference on the Foundations and Applications of Utility, Risk and Decision Theory, Rom, Italien, 22.06.-26.06.. (Details)
  Mürmann, Alexander. 2006. Optimal Choice and Beliefs with Ex Ante Savoring and Ex Post Disappointment. Seminar of the European Group of Risk and Insurance Economists 2006, Barcelona, Spanien, 18.09.-20.09.. (Details)
  Mürmann, Alexander. 2006. Optimal Choice and Beliefs with Ex Ante Savoring and Ex Post Disappointment. Risk Theory Society Meeting 2006, Richmond, Virginia, Vereinigte Staaten/USA, 21.04.-23.04.. (Details)
2005 Mürmann, Alexander. 2005. Brokers and the Insurance of Non-Verifiable Losses. Risk Theory Society Meeting 2005, Oxford, Mississippi, Österreich, 06.05.-08.05.. (Details)
  Mürmann, Alexander. 2005. Insuring the Uninsurable: Brokers and Incomplete Insurance Contracts. World Risk and Insurance Economics Congress 2005, Salt Lake City, Vereinigte Staaten/USA, 07.08.-11.08.. (Details)
  Mürmann, Alexander. 2005. Insuring the Uninsurable: Brokers and Incomplete Insurance Contracts. Symposium on Finance, Banking and Insurance, Karlsruhe, Deutschland, 14.12.-16.12.. (Details)
  Mürmann, Alexander. 2005. Spot Market Power and Futures Market Trading. NBER Insurance Workshop, Boston, Vereinigte Staaten/USA, 17.02.-18.02.. (Details)

Working/discussion paper, preprint

2017 Chaderina, Maria, Mürmann, Alexander, Scheuch, Christoph. 2017. Bond Fire-sales. (Details)
2015 Mürmann, Alexander, Rauter, Thomas. 2015. Prestige and Loan Pricing. (Details)

Book or article review

2008 Mürmann, Alexander. 2008. Besprechung von Investors and Markets: Portfolio Choices, Asset Prices, and Investment Advice, von William F. Sharpe. Journal of Pension Economics and Finance 7 (2): 255-255. (Details)
  Mürmann, Alexander. 2008. Book review of Investors and Markets: Portfolio Choices, Asset Prices, and Investment Advice by William F. Sharpe. Besprechung von Investors and Markets: Portfolio Choices, Asset Prices, and Investment Advice, von William F. Sharpe. Journal of Pension Economics and Finance 7 (2): 255-255. (Details)

Unpublished lecture

2014 Mürmann, Alexander. 2014. Tarifierungsmerkmale und Versicherungsdeckung in der Kfz-Versicherung: Erkenntnisse basierend auf telematischen Daten. Fachkonferenz "Telematik in der Kraftfahrtversicherung" der Versicherungsforen Leipzig, Leipzig, 12.03. (Details)
2012 Mürmann, Alexander. 2012. University Risk Management. First Technical meeting of the International Project on Decommissioning Risk Management, Wien, 21.12. (Details)

Projects

2014
PhD Programm: Vienna Graduate School of Finance (2014-2017) (Details)
2011
PhD Programm: Vienna Graduate School of Finance (2011-2014) (Details)