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) have been chosen to build the optimal portfolio. Cash funds were selected because they represent a form of risk …
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compensation. We argue that excessive risk taking in the financial sector originates from the shareholder moral hazard created by … shareholder risk-shifting incentives. The decisive advantage of this approach compared to existing regulation is that the … regulator does not need to be able to properly measure the bank investment risk, which has been shown to be a difficult task …
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argue that the risk-free rate should be used for discounting when assessing and comparing the cost of energy across …
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