A theory of debt maturity and innovation
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Publication:6564044
DOI10.1016/J.JET.2024.105828zbMATH Open1544.91355MaRDI QIDQ6564044
Publication date: 28 June 2024
Published in: Journal of Economic Theory (Search for Journal in Brave)
Corporate finance (dividends, real options, etc.) (91G50) Contract theory (moral hazard, adverse selection) (91B41)
Cites Work
- Optimal contracts and competitive markets with costly state verification
- Measurement distortion and missing contingencies in optimal contracts
- Default and Renegotiation: A Dynamic Model of Debt
- Innovation and Communication: Signalling with Partial Disclosure
- Incomplete Contracts: Where do We Stand?
- A Theory of Debt and Equity: Diversity of Securities and Manager-Shareholder Congruence
- Short-Term versus Long-Term Interests: Capital Structure with Multiple Investors
- The Management of Innovation
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