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Dang.D · 2022年09月18日

请问B选项在讲义哪里有具体的内容呢?

NO.PZ2021091701000037

问题如下:

Which of the following is least accurate with respect to debt–equity conflicts?

选项:

A.

Equityholders focus on potential upside and downside, while debtholders focus primarily on downside risk.

B.

Management attempts to balance the interests of equityholders and debtholders.

C.

Debt covenants can mitigate the conflict between debtholders and equityholders.

解释:

B is correct. Management is generally focused on maximizing the value of equity.

谢谢

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王琛_品职助教 · 2022年09月19日

嗨,爱思考的PZer你好:


1

B 说法不对,管理层一般都是代表股东的利益,和股东是同一战线的

因为股东为了拉拢高管,会给高管股权,所以高管相当于成了股东

所以在 debt-equity conflict 的语境下,高管并不会去平衡股东和债权人之间的利益,而是就以股东利益最大化为己任

2

请参考基础班讲义 P142

选项 B 是对正确结论的改写,这也是一种出题思路。需要我们考生首先掌握正确的结论,然后才能识别出改写的选项

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