Normative properties of stock market equilibrium with moral hazard
Year of publication: |
2008
|
---|---|
Authors: | Magill, Michael ; Quinzii, Martine |
Published in: |
Journal of mathematical economics. - Amsterdam [u.a.] : Elsevier, ISSN 0304-4068, ZDB-ID 217625-7. - Vol. 44.2008, 7/8, p. 785-806
|
Subject: | Aktienmarkt | Stock market | Allgemeines Gleichgewicht | General equilibrium | Pareto-Optimum | Pareto efficiency | Moral Hazard | Moral hazard | Theorie | Theory |
-
The theory of unconventional monetary policy
Farmer, Roger E. A., (2016)
-
The theory of unconventional monetary policy
Farmer, Roger E. A., (2016)
-
The theory of unconventional monetary policy
Farmer, Roger E. A., (2016)
- More ...
-
Which Improves Welfare More: Nominal Or Indexed Bond?
Quinzii, Martine, (1995)
-
Incentives and Risk Sharing in a Stock Market Equilibrium
Quinzii, Martine, (1996)
-
Equity, Bonds, Growth and Inflation in a Quadratic Infinite Horizon Economy
Quinzii, Martine, (1998)
- More ...