Professor for Risk Management and Insurance at the Department for Finance, Banking and Insurance WU (Vienna University of Economics and Business)
Behavioral Decision Theory, Asymmetric Information in Insurance Markets, Financial Intermediaries, Solvency Regulation
Huang, Rachel, Mürmann, Alexander, Tzeng, Larry. 2016. Hidden Regret in Insurance Markets. Journal of Risk and Insurance 83 (1): S. 181-216.
Doherty, Neil, Laux, Christian, Mürmann, Alexander. 2015. Insuring Nonverifiable Losses. Review of Finance 19 (1): S. 283-316.
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.
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.
Huang, Rachel, Mürmann, Alexander, Tzeng, Larry. 2014. Regret and Regulation. Geneva Risk and Inusrance Review 39 (1):