Corporate Financial Theory Under Uncertainty

S-Tier
Journal: Quarterly Journal of Economics
Year: 1970
Volume: 84
Issue: 3
Pages: 451-471

Score contribution per author:

8.043 = (α=2.01 / 1 authors) × 4.0x S-tier

α: calibrated so average coauthorship-adjusted count equals average raw count

Abstract

I. Debt versus equity financing, 452: Investor portfolio choice, 454; Fundamental leverage theorem, 456; Leverage as an externality 456; Effect of no default risk: the "homemade leverage theorem," 457; Corporate management and the capital markets, 458; Corporate capital budgets as a "public good," 460. — II. The corporate investor: long-, margin-, and short-risk positions, 462. — Appendix: option financing, 467.

Technical Details

RePEc Handle
repec:oup:qjecon:v:84:y:1970:i:3:p:451-471.
Journal Field
General
Author Count
1
Added to Database
2026-01-29