Loading...

Optimal Balance of Financial Instruments: Long-Term Management, Market Volatility & Proposed Changes

/ | Leave a Comment

An optimal mix of financial instrument can be structured to incentivize the management to focus on the long-term management. However there is not a single unique optimal mix available for all firms. It will vary on firm, industrial characteristics and market. The choice of securities issued depends on few broad factors:  (1) The existing mix […]

Read more »
Cookies help us deliver our services. By using our services, you agree to our use of cookies. More Information