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Loss Aversion and Inefficient Renegotiation

机译:损失规避和低效率的重新谈判

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We propose a theory of inefficient renegotiation that is based on loss aversion. When two parties write a long-term contract that has to be renegotiated after the realization of the state of the world, they take the initial contract as a reference point to which they compare gains and losses of the renegotiated transaction. We show that loss aversion makes the renegotiated outcome sticky and materially inefficient. The theory has important implications for the optimal design of long-term contracts. First, it explains why parties often abstain from writing a beneficial long-term contract or why some contracts specify transactions that are never ex post efficient. Secondly, it shows under what conditions parties should rely on the allocation of ownership rights to protect relationship-specific investments rather than writing a specific performance contract. Thirdly, it shows that employment contracts can be strictly optimal even if parties are free to renegotiate.
机译:我们提出了一种基于损失规避的低效重新协商理论。当两个当事方签订实现世界状况后必须重新谈判的长期合同时,他们将初始合同作为参考点,将重新谈判的交易的收益和损失进行比较。我们表明,损失规避使重新谈判的结果变得棘手,并且实质上没有效率。该理论对长期合同的优化设计具有重要意义。首先,它解释了为什么当事方通常不写有益的长期合同,或者为什么某些合同指定的交易永远不会事后有效。其次,它表明当事方应在何种条件下依靠所有权分配来保护特定于关系的投资,而不是签订特定的绩效合同。第三,它表明即使各方可以自由地重新谈判,雇佣合同也可以是严格最优的。

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