haku: @journal_id 62 / yhteensä: 680
viite: 73 / 680
Tekijä: | Robe, M. A. |
Otsikko: | Optimal vs. traditional securities under moral hazard |
Lehti: | Journal of Financial and Quantitative Analysis
1999 : JUN, VOL. 34:2, p. 161-189 |
Asiasana: | Securities Stock markets Moral hazard |
Kieli: | eng |
Tiivistelmä: | This paper provides an explanation for the widespread use of traditional securities by well-established firms. It shows that issuing these securities is, nevertheless, nearly optimal: the issuer would gain very little by using non-traditional securities instead. |
SCIMA