Executive Stock Options (ESO) is introduced into manager's moral hazard model to analyze its effects on manager's moral hazard.
本文将经理期权作为变量引入经理道德风险模模型,分析了它对经理道德风险程度的影响。
It mainly discusses the main function of deposit insurance system. deposit run theory. Moral hazard and adverse selection. reasonability and theory model of deposit insurance system.
主要论述了存款保险制度的主要功能、挤兑问题理论、存款保险的道德风险与逆向选择、存款保险制度的合理性问题及存款保险制度的理论模式。
Using a dynamic game model of incomplete information, this paper discusses the relations among financial crisis, regulators soft budget constraints and bankers moral hazard.
本文利用不完全信息动态博弈模型,探讨了金融危机、监管者的软预算约束与银行道德风险之间的关系。
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