haku: @journal_id 62 / yhteensä: 680
viite: 139 / 680
Tekijä: | Igawa, K. Kanatas, G. |
Otsikko: | Asymmetric information, collateral, and moral hazard |
Lehti: | Journal of Financial and Quantitative Analysis
1990 : DEC, VOL. 25:4, p. 469-490 |
Asiasana: | BORROWING RISK MANAGEMENT ASSETS |
Kieli: | eng |
Tiivistelmä: | An example of how moral hazard can be introduced into the contracting environment by a mechanism originally designed to address the problem of a priory asymmetrically informed agents. The model. Rental market. Equilibrium contracts. Five Figures illustrate the study. The Appendix gives proof of propositions. |
SCIMA