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Dynamic Investment with Adverse Selection and Moral Hazard

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  • Miguel Cantillo

    (Universidad de Costa Rica)

Abstract

This paper develops a dynamic model of capital structure and investment. In a world with low and high ability managers, the former mask as the latter, but to do so have to overstate both earnings and investment. Debt is a mechanism that eventually separates investors’ abilities, at the cost of intervening unlucky high productivity managers. Immediate separation is counterproductive, as it generates costs and no expected payoff. The security design that asymptotically implements optimal investment includes the use of excess non-operating cash, of proportional cash flow compensation, and of †golden parachutes†. Relative to a first best case, high ability managers will underinvest. Low ability managers will generally overinvest, except when their firm is close to bankruptcy, in which case they will loot the company by underinvesting and overstating their earnings.

Suggested Citation

  • Miguel Cantillo, 2015. "Dynamic Investment with Adverse Selection and Moral Hazard," Working Papers 201501, Universidad de Costa Rica, revised Mar 2015.
  • Handle: RePEc:fcr:wpaper:200701
    as

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    File URL: https://economia.ucr.ac.cr/sites/default/files/2021-10/EE%20UCR%20SDT%2015-01.pdf
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    References listed on IDEAS

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    More about this item

    Keywords

    Bayesian Updating; reorganizations; bankruptcy; security design;
    All these keywords.

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