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Key topics
 The big picture
 Stock price formation
 Fundamental value analysis
International corp. governance

Incentive mechanisms
 Decision system
Performance monitoring
 Incentive based compensation
 Bankruptcy system
 Ownership structure
 Creditor structure
 Capital structure
 Market for corporate control
Labor market competition
Product market competition

Related topics
Transaction cost economics
 Positive economics



Encyclopedia references

Using references: To find the full reference of Coase [1960] click Ci-Cz below and move down alphabetically on the resulting web page. Tip: Click Ci-Cz to get the page containing Coase. Then type [Ctrl + F] to launch the find function. Type Coase and click find.

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Mikkelson, W. H. and M. M. Partch (1989). “Managers’ Voting Rights and Corporate Control,” Journal of Financial Economics, 25, 263-290.


Mikkelson, W. H. and M. M. Partch (1997). “The Decline of Takeovers and Disciplinary Turnover,” Journal of Financial Economics, 44, 205-228.


Mikkelson, W. H. and R. Ruback (1985). “An Empirical Investigation of the Interfirm Equity Investment Process,” Journal of Financial Economics, 14, 3, 523-555.


Mikkelson, W. H. and R. Ruback (1991). “Targeted Repurchases and Common Stock Returns,” Rand Journal ofl Economics, 22, 4, 544-561.


Mikkelson, Wayne H, M Megan Partch, Kshitij Shah (1997). "Ownership and operating performance of companies that go public," Journal of Financial Economics, 44, 3, 279-307.


Miles, D. (1992). “Testing for Short Termism in the UK Stock Market,” Bank of England, Working Paper No. 4.


Milgrom, P. (1981). “Good News and Bad News: Representation Theorems and Applications,” Bell Journal of Economics, 12, 380-391.


Milgrom, P., and John Roberts (1990). “The Economics of Modern Manufacturing: Technology, Strategy, and Organization,” American Economic Review, 80, 3, 511-527.


Milgrom, P., and John Roberts (1992). “Economics, Organization, and Management,” Prentice Hall.


Miller, Merton H. (1977). “Debt and Taxes,” Journal of Finance, 261-275.


Miller, Merton H. (1991). “Leverage,” Journal of Finance, 46, 2, 479-488.


Miller, Merton and Myron Scholes (1972). “Rates of Return in Relation to Risk: A Re-examination of Some Resent Findings,” in Jensen, ed., Studies in the Theory of Capital Markets. Praeger, New York. 47-78.


Millstein, Ira M, Sarah A. B. Teslik, Michael T. Jacobs, John Pound, Dale M. Hanson, Jonathan P. Charkham, Stephen B. Timbers, Martin Lipton, Steven A. Rosenblum, and Howard D. Sherman (1991). “Can Pension Funds Leed the Ownership Revolution?,” Harvard Business Review, 69, 3, 166-177.


Mintzberg, Henry (1983). “Structure in Fives: Designing Effective Organizations,” Prentice Hall, Englewood Cliffs, N.J. 07632.


Mirrlees, James A. (1974). “Notes on Welfare Economics, Information and Uncertainty,” In Essays in Economic Behavior in Uncertainty, ed. M. Balch, D. McFadden, and S. Wu. Amsterdam: North Holland.


Mirrlees, James A. (1975). “The Theory of Moral Hazard and Unobservable Behavior part I,” Mimeo, Nuffield College, Oxford. 


Mirrlees, James A. (1976). “The Optimal Structure of Incentives and Authority Within an Organization,”Bell Journal of Econmics, 7, 105-131.


Mises, Ludwig von (1949). “Human Action. A Treatise on Economics,” London, William Hodge.


Montesquieu, Charles de Secondat (1748). “L’Esprit des Lois,”


Modigliani, F., and M. Miller (1958). “The Cost of Capital, Corporation Finance, and the Theory of Investment,” Americal Economic Review, June, 261-297.


Modigliani, F., and M. Miller (1963). “Taxes, and the Cost of Capital: A Correction,” Americal Economic Review, June, 433-443.


Monks, Robert A. G., and Nell Minow (2001). “Corporate Governance,” 2nd edition, Blackwell Business.


Monsen, Joseph R., John S. Chiu, and David E. Cooley (1968). “The Effect of Separation of ownership and Control on the Performance of the Large Firm,” Quarterly Journal of Economics, June, 435-451.


Monsen, R. and Anthony Downs (1965). “A Theory of Large Managerial Firms,” Journal of Political Economy, 73, 221-236.


Mookherjee, D. (1984). “Optimal Incentive Schemes with Many Agents,” Review of Economic Studies, 51, 433-446.


Mookherjee, Dilip (1990). “Rank Order Competition and Incentives: An Organizational Perspective,” in Economic Theory and Policy: Essays in Honour of Dipak Banerjee, ed. Bhaskar Dutta et al., Bombay, Oxford University Press.


Moore, M. (1973). “Management Changes and Discretionary Accounting Decisions,” Journal of Accounting Research, 11, 100-107.


Morck, Randall, Andrei Shleifer, and Robert W. Vishny (1988a). “Characteristics of Targets of Hostile and Friendly Takeovers,” in A. Auerbach, ed., Corporate Takeover: Causes and Consequences, Chicago, University of Chicago Press, 101-129.


Morck, Randall, Andrei Shleifer, and Robert W. Vishny (1988b). “Management Ownership and Market Valuation: An Empirical Analysis,” Journal of Financial Economics, 20, 293-315.


Morck, Randall, Andrei Shleifer, and Robert W. Vishny (1989). “Alternative Mechanism of Corporate Control,” American Economic Review, 79, 842-852.


Morck, Randall, Andrei Shleifer, and Robert W. Vishny (1990). “Do Managerial Objectives Drive Bad Aquisitions?,” Journal of Finance, XLV, 1, 31-48.


Morgan, E. Victor, and W. A. Thomas (1962). "The Stock Exchange: Its History and Functions," Elek Books, Great James Street, London.


Moskowitz, J. (1988). “What’s Your Business Worth?,” Management Accounting, March, 30-34.


Moyer, R. C., R. Rao, and P.M. Sisneros (1992). "Substitutes for Voting Rights: Evidence from Dual Class Recapitalizations," Financial Management, 21, Autumn, 35-47.


Murali, Ramaswami, and Jonathan B. Welch (1989). “Agents, Owners, Control and Performance,” Journal of Business Finance and Accounting, Summer, 385-398.


Murphy, Kevin J. (1985). “Corporate Performance and Managerial Remuneration: An Empirical Analysis,” Journal of Accounting and Economics, 7, 11-42.


Murphy, Kevin J. (1986). “Incentives, Learning and Compensation: A Theoretical and Empirical Investigation of Managerial Labor Contracts,” Rand Journal of Economics, 17, 2, 59-76.


Murphy, Kevin J. (1993). “Executive Compensation in Corporate America 1993,” United Shareholders Organization.


Murphy, Kevin J. (1996). “Reporting Choice and the 1992 Proxy Disclosure Rules,” Journal of Accounting Auditing and Finance, 11, 3, 497-515.


Murphy, Kevin J. (1999). “Executive Compensation,” In Orley Ashenfelter and David Card, eds., Handbook of Labor Economics, Vol. 3, North-Holland, Chapter 38, 2485-2563.


Murphy, Kevin J. (2002). “Explaining Executive Compensation: Managerial Power versus Percieved Cost of Stock Options,” University of Chicago Law Review, 69, 3, 847-869.


Murphy, Kevin J., J. Zimmerman (1993). “Financial Performance Surrounding CEO Turnver,” Journal of Accounting and Economics, 16, 1-3, 273-315.


Myers, S. C. (1977). “Determinants of Corporate Borrowing,” Journal of Financial Economics, 5, 147-175.


Myers, S. C. (1984). “The Capital Structure Puzzle,” Journal of Finance, July, 575-592.


Myers, S. C. (1995). “Inside and Outside Equity Financing,” Manuscript, Massachussets Institute of Technology.


Myers, S. C., and N. Majluf (1984). “Corporate Financing and Investment Decisions When Firms have Information that Investors do not have,” Journal of Financial Economics, 13, 187-221.


Møller, Michael, and Niels Christian Nielsen (1988). “Aktieoptioner som aflønningsform (Stock options and management compensation),” Reviewed, ordered and paid by Baltica Holding A/S, Larsen & Nielsen Fonden, Radiometer Radiometer A/S.


Møller, Michael, and Niels Christian Nielsen (1995). “Ejerstruktur, incitamenter og ledelse (Ownership structure, incentives, and management),” In: Ledelse II (Management II), edited by Steen Hildebradt og Erik Johnsen, pages 57-78.


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