This volume contains contributions on a range of important issues
in current research in finance and economics. Topics include the
design of a country's financial safety nets, the effective policies
of acquiring failed banks in reducing moral hazard problems, the
voluntary disclosure of real options by corporate managers, and the
interrelationship between the housing and general economic
activities. Some important topics such as the choice between stock
and options as compensation vehicles in the presence of bankruptcy
risk, the NUA tax benefits in asset allocation in the retirement
accounts, the heuristic approach of using ri/stdi to select
securities in forming efficient portfolio, and the arbitrage
opportunity in index options at the initial stage are also included
in this volume. Finally, the contributions to this volume also
address some problems that include the explanations of risk
premiums on futures contracts, the optimal hedging decision in
futures markets, and the pricing of Asian options subject to credit
risk.
General
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