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Mit dem risikowirtschaftlichen Modell verfolgen die Autoren das Ziel, den gesamtwirtschaftlichen Zusammenhang zwischen Unternehmensfinanzierung, Kapitalstockbildung, Einkommensbildung und Beschäftigung herauszuarbeiten. Ausgehend von der Frage, unter welchen Bedingungen die Kapitalstruktur...
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The study reveals the influence of macroeconomic factors on decisions about the optimal capital structure formation under financial globalization, in view of ever-changing factors of the external economic and geopolitical environment. The study is aimed at empirical testing of hypotheses on how...
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The Great Recession of 2008 offers a primary example of the important role that fluctuations in credit risk play in the aggregate economy. In this paper we explore this link with a tractable general equilibrium asset pricing model with heterogeneous firms. Our model produces realistic movements...
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