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Presents the results of an empirical investigation of the behaviour of Hungarian firms during the transition process focusing in particular on the role of financial market imperfections for corporate capital structure and investment decisions
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Foundations -- Decision Theory -- Financial Markets -- Two-Period Model: Mean-Variance Approach -- Two-Period Model: State-Preference Approach -- Multiple-Periods Model -- Advanced Topics -- Theory of the Firm -- Information Asymmetries on Financial Markets -- Time-Continuous Model
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