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Details about David Webb
Access statistics for papers by David Webb.
Last updated 2008-03-04. Update your information in the RePEc Author Service.
Short-id: pwe47
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Working Papers
2006
- (UBS Pensions series 034) Long-Term Care Insurance, Annuities and Asymmetric Information: The Case for Bundling Contracts
FMG Discussion Papers, Financial Markets Group
- Incentive Design under Loss Aversion
FMG Discussion Papers, Financial Markets Group
2005
- (UBS Pensions Series 032) Pension Plan Funding, Risk Sharing and Technology Choice
FMG Discussion Papers, Financial Markets Group
2004
- (UBS Pensions series 23) Sponsoring Company Finance and Investment and Defined Benefit Pension Scheme Deficits
FMG Discussion Papers, Financial Markets Group
- Principal Agent Problems Under Loss Aversion: An Application to Executive Stock Options
FMG Discussion Papers, Financial Markets Group
2003
- The Near Impossibility of Credit Rationing
FMG Discussion Papers, Financial Markets Group
2001
- Saving Eliminates Credit Rationing
FMG Discussion Papers, Financial Markets Group
2000
- Advantageous Selection in Insurance Market
Discussion Papers, University of Exeter, School of Business and Economics View citations
See also Journal Article in RAND Journal of Economics (2001)
1998
- The Impact of Liquidity Constraints on Bank Lending Policy
FMG Discussion Papers, Financial Markets Group 
See also Journal Article in Economic Journal (2000)
Journal Articles
2001
- Advantageous Selection in Insurance Markets
RAND Journal of Economics, 2001, 32, (2), 249-62 View citations
See also Working Paper (2000)
2000
- Does credit rationing imply insufficient lending?
Journal of Public Economics, 2000, 78, (3), 215-234 View citations
- The Impact of Liquidity Constraints on Bank Lending Policy
Economic Journal, 2000, 110, (460), 69-91 View citations
See also Working Paper (1998)
1999
- Wealth, Enterprise and Credit Policy
Economic Journal, 1999, 109, (455), 153-63 View citations
1993
- The Trade-Off between Cash Flow and Net Present Value
Scandinavian Journal of Economics, 1993, 95, (1), 65-75
1992
- Efficient credit rationing
European Economic Review, 1992, 36, (6), 1277-1290 View citations
- Two-Period Financial Contracts with Private Information and Costly State Verification
The Quarterly Journal of Economics, 1992, 107, (3), 1113-23 View citations
1991
- An Economic Evaluation of Insolvency Procedures in the United Kingdom: Does the 1986 Insolvency Act Satisfy the Creditors' Bargain?
Oxford Economic Papers, 1991, 43, (1), 139-57 View citations
- Long-term Financial Contracts Can Mitigate the Adverse Selection Problem in Project Financing
International Economic Review, 1991, 32, (2), 305-20 View citations
1990
- Risk, Adverse Selection and Capital Market Failure
Economic Journal, 1990, 100, (399), 206-14 View citations
1989
- The role of interest rate taxes in credit markets with divisible projects and asymmetric information
Journal of Public Economics, 1989, 39, (1), 33-44
1988
- Credit market efficiency and tax policy in the presence of screening costs
Journal of Public Economics, 1988, 36, (1), 1-22 View citations
1987
- Conflict of Interest, Bond Rating and the Value Maximization Rule
Economica, 1987, 54, (216), 455-63
- The Importance of Incomplete Information in Explaining the Existence of Costly Bankruptcy
Economica, 1987, 54, (215), 279-88 View citations
- Too Much Investment: A Problem of Asymmetric Information
The Quarterly Journal of Economics, 1987, 102, (2), 281-92 View citations
1984
- Imperfect information and credit market equilibrium
European Economic Review, 1984, 26, (1-2), 247-258
1983
- Contingent Claims, Personal Loans and the Irrelevance of Corporate Financial Structure
Economic Journal, 1983, 93, (372), 832-46 View citations
1982
- Default risk in a model of corporate and government finance
Journal of Public Economics, 1982, 17, (3), 287-306
1981
- The Net Wealth Effect of Government Bonds When Credit Markets are Imperfect
Economic Journal, 1981, 91, (362), 405-14 View citations
Editor
- FMG Discussion Papers
Financial Markets Group
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