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    Using a real option game theory and method, under a stochastic market, and assumption the target firm is both debt and equity financing, the paper analyzes the timing and terms of mergers.

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    To address this inadequacy, an optimal control problem is discussed using stochastic impulse control theory to determine the optimal policy.

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    To address this inadequacy, an optimal control problem is discussed using stochastic impulse control theory to determine the optimal policy.

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