Reputation acquisition in imperfect financial markets
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Publication:1668038
DOI10.1016/J.ECONLET.2016.01.001zbMATH Open1398.91702OpenAlexW2225637290MaRDI QIDQ1668038FDOQ1668038
Authors: Koji Asano
Publication date: 31 August 2018
Published in: Economics Letters (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1016/j.econlet.2016.01.001
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Interest rates, asset pricing, etc. (stochastic models) (91G30) Actuarial science and mathematical finance (91G99)
Cites Work
Cited In (8)
- Losing funds or losing face? Reputation and accountability in the credit rating industry
- The Fragmentation of Reputation
- Fragility of reputation and clustering of risk-taking
- Collateral and reputation in a model of strategic defaults
- Lenders' reputation and the soft budget constraint
- Managerial reputation, risk-taking, and imperfect capital markets
- A note on reputation: more on the chain-store paradox
- Optimal Regulation in the Presence of Reputation Concerns *
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