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His research focuses on the valuation of real and financial assets, corporate finance, and financial aspects of government regulation of business. He introduced both the tradeoff and pecking order theories of capital structure, and was the first to recognize the importance of real options in corporate finance.
Current Research Focus: Myers's current research focuses on three areas: (1) Theoretical models of the long-run dynamics of capital investment, payout and borrowing decisions by mature public corporations. The models have important implications for corporate governance as well as corporate finance generally, (2) Efficient allocation of risk capital by banks and other financial firms, and (3) Valuation of real options, accounting for option leverage, taxes and implications for capital structure.
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Journal of Applied Corporate Financeno. 1 (2022): 67-80
Stewart C. Myers, James A. Read
RISK AND RETURN FOR REGULATED INDUSTRIES (2017)
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