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ments. Property rights theory (see, e.g., Sanford J. Grossman and Oliver D. Hart 1986; Hart and John Moore 1990) re nes this thinking by tak - ing the view that the owner of a nonhuman asset possesses residual control rights over that asset, and that there is an optimal allocation of such residual control rights. As a consequence, not

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with Robert J. Shiller: w0690. Published: Grossman, Sanford J. and Robert J. Shiller, "Consumption Correlatedness and Risk Measurement in Economies with Non-traded Assets and Heterogeneous Information." Journal of Financial Economics, Vol. 10, No. 2 (July 1982), pp. 195-210.

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Corporate Financial Structure and Managerial Incentives Sanford J. Grossman, Oliver D. Hart. Chapter in NBER book The Economics of Information and Uncertainty (1982), John J. McCall, editor (p. 107 - 140) Published in 1982 by University of Chicago Press

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How Efficient is Sufficient: Securities Litigation post Halliburton BRADFORD CORNELL “Basic’s presumption of reliance thus does not rest on a ‘binary’ view of market efficiency. Indeed, 7 Sanford J. Grossman and Joseph E. Stiglitz, 1980,

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Corporate Financial Structure and Managerial Incentives

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Sanford "Sandy" Jay Grossman (born July 21, 1953) is an American economist and hedge fund manager specializing in quantitative finance.Grossman’s research has spanned the analysis of information in securities markets, corporate structure, property rights, and optimal dynamic risk management.He has published widely in leading economic and business journals, including American …

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An Analysis of the Implications for Stock and - NBER

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Sanford J. Grossman. Department of Finance, the Wharton School, University of Pennsylvania, Philadelphia, PA. Search for more papers by this author. Zhongquan Zhou. Click on an option below to access. View Enhanced PDF Access article on Wiley Online Library (HTML view)

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Corporate Financial Structure and Managerial Incentives

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Sanford J. Grossman is professor of economics. University of Chicago. Oliver D. Hart is professor of economics. London School of Economics. The authors would like to thank David Champernowne and David Kreps for helpful suggestions. 107 108 Sanford J. Grossman/Oliver 0. Hart r -t Although both salary incentive schemes and takeover bids can reduce

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An Analysis of the Implications for Stock and Futures

Sanford J. Grossman, 1987. "An Analysis of the Implications for Stock and Futures Price Volatility of Program Trading and Dynamic Hedging Strategies," NBER Working Papers 2357, National Bureau of Economic Research, Inc.

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Sanford "Sandy" Jay Grossman (born July 21, 1953) is an American economist and hedge fund manager specializing in quantitative finance.Grossman’s research has spanned the analysis of information in securities markets, corporate structure, property rights, and optimal dynamic risk management.He has published widely in leading economic and business journals, including American …

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An Analysis of the Implications for Stock and Futures

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Sanford J. Grossman. NBER Working Paper No. 2357 (Also Reprint No. r1107) Issued in August 1987 NBER Program(s):Monetary Economics Program. Recent advances in financial theory have created an understanding of the environments in which a real security can be synthesized by a dynamic trading strategy in a risk free asset and other securities.

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