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Optimal Capital Structure, Amb...
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1
Testing the Modigliani-Miller theorem directly in the lab : a general equilibrium approach
Qiu, Jianying
;
Mahagaonkar, Prashanth
-
2009
In this paper, we directly test the Modigliani-Miller theorem in the lab. Applying a general equilibrium approach and not allowing for arbitrage among firms with different capital structures, we are able to address this issue without making any assumptions about individuals’ risk attitudes and...
Persistent link: https://www.econbiz.de/10003870995
Saved in:
2
Testing the Modigliani-Miller theorem directly in the lab : a general equilibrium approach
Qiu, Jianying
;
Mahagaonkar, Prashanth
-
2009
In this paper, we directly test the Modigliani-Miller theorem in the lab. Applying a general equilibrium approach and not allowing for arbitrage among firms with different capital structures, we are able to address this issue without making any assumptions about individuals' risk attitudes and...
Persistent link: https://www.econbiz.de/10009734687
Saved in:
3
Testing the Modigliani-Miller theorem directly in the lab : a general equilibrium approach/ Prashanth Mahagaonkar; Jianying Qiu
Mahagaonkar, Prashanth
(
contributor
); …
-
2008
In this paper, we experimentally test the Modigliani-Miller theorem. Applying a general equilibrium approach and not allowing for arbitrage among firms with different capital structure, we are able to address a question fundamental to the valuation of firms: does capital structure affect the...
Persistent link: https://www.econbiz.de/10003733757
Saved in:
4
Optimal capital structure, ambiguity aversion, and leverage puzzles
Attaoui, Sami
;
Cao, Wenbin
;
Duan, Xiaoman
;
Liu, Hening
- In:
Journal of economic dynamics & control
129
(
2021
),
pp. 1-18
Persistent link: https://www.econbiz.de/10013205460
Saved in:
5
Foreign exchange rate exposure of companies under dynamic regret
Entrop, Oliver
;
Fuchs, Fabian U.
-
2020
This paper analyzes optimal hedge ratios for foreign exchange (FX) rate risk of companies. Our contribution to the literature is twofold: (i) We present a theoretical two-period regret model that allows us to analyze the determinants of the optimal hedge ratio given the outcome of past hedging...
Persistent link: https://www.econbiz.de/10012158926
Saved in:
6
Hedging with regret
Korn, Olaf
;
Rieger, Marc Oliver
-
2016
downside price risk than standard expected utility
theory
. In the profit region of the price distribution, however, regret …
Persistent link: https://www.econbiz.de/10011539238
Saved in:
7
Dynamic Compensation Contracts and Capital Structure under Loss Aversion
Hori, Keiichi
-
2018
In this paper, we adapt a continuous-time agency model to incorporate the loss-aversion preferences of agents. To this end, by distinguishing between the gains in capital and income driven by variations in the agent's continuation payoff, we provide a theoretical model which overcomes the...
Persistent link: https://www.econbiz.de/10012938648
Saved in:
8
The firm under uncertainty : capital structure and background risk
Broll, Udo
;
Wong, Keith K.P.
-
2010
This paper examines the interplay between the real and financial decisions of the competitive firm under output price uncertainty. The firm faces additional sources of uncertainty that are aggregated into a background risk. We show that the firm always chooses its optimal debt-equity ratio to...
Persistent link: https://www.econbiz.de/10003971039
Saved in:
9
Optimal Leverage and Investment Under Uncertainty
Személy, Béla
-
2012
This paper studies the effects of changes in uncertainty on optimal leverage and investment in a dynamic firm-financing model in which firms have access to complete markets subject to collateral constraints. Entrepreneurs finance projects with their net worth and by issuing state-contingent...
Persistent link: https://www.econbiz.de/10013109171
Saved in:
10
Macroeconomic Conditions and the Puzzles of Credit Spreads and Capital Structure
Chen, Hui
-
2009
I build a dynamic capital structure model that demonstrates how business-cycle variations in expected growth rates, economic uncertainty, and risk premia influence firms' financing and default policies. Countercyclical fluctuations in risk prices, default probabilities, and default losses arise...
Persistent link: https://www.econbiz.de/10013155971
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