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Non-compliance and the quota price in an ITQ fishery

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  • Hatcher, Aaron
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    Article provided by Elsevier in its journal Journal of Environmental Economics and Management.

    Volume (Year): 49 (2005)
    Issue (Month): 3 (May)
    Pages: 427-436

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    Handle: RePEc:eee:jeeman:v:49:y:2005:i:3:p:427-436

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    Web page: http://www.elsevier.com/locate/inca/622870

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    References

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    Please report citation or reference errors to , or , if you are the registered author of the cited work, log in to your RePEc Author Service profile, click on "citations" and make appropriate adjustments.:
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    1. Ing-Marie Andréasson-Gren, 1992. "Profits from violating controls on the use of a polluting input," Environmental & Resource Economics, European Association of Environmental and Resource Economists, European Association of Environmental and Resource Economists, vol. 2(5), pages 459-468, September.
    2. Keeler, Andrew G., 1991. "Noncompliant firms in transferable discharge permit markets: Some extensions," Journal of Environmental Economics and Management, Elsevier, Elsevier, vol. 21(2), pages 180-189, September.
    3. Malik, Arun S., 1990. "Markets for pollution control when firms are noncompliant," Journal of Environmental Economics and Management, Elsevier, Elsevier, vol. 18(2), pages 97-106, March.
    4. van Egteren, Henry & Weber, Marian, 1996. "Marketable Permits, Market Power, and Cheating," Journal of Environmental Economics and Management, Elsevier, Elsevier, vol. 30(2), pages 161-173, March.
    5. Malik, Arun S., 2002. "Further Results on Permit Markets with Market Power and Cheating," Journal of Environmental Economics and Management, Elsevier, Elsevier, vol. 44(3), pages 371-390, November.
    6. Batstone, C. J. & Sharp, B. M. H., 2003. "Minimum information management systems and ITQ fisheries management," Journal of Environmental Economics and Management, Elsevier, Elsevier, vol. 45(2, Supple), pages 492-504, March.
    7. Ragnar Arnason, 1990. "Minimum Information Management in Fisheries," Canadian Journal of Economics, Canadian Economics Association, Canadian Economics Association, vol. 23(3), pages 630-53, August.
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    Cited by:
    1. Jean-Christophe PEREAU (GREThA, UMR CNRS 5113) & Luc DOYEN (CNRS-MNHN, CNRS, UMR 7204) & Rich LITTLE (CSIRO Marine and Atmospheric Research) & Olivier THEBAUD (CSIRO Marine and Atmospheric Research), 2011. "The triple bottom line: Meeting ecological, economic and social goals with Individual Transferable Quotas," Cahiers du GREThA, Groupe de Recherche en Economie Théorique et Appliquée 2011-01, Groupe de Recherche en Economie Théorique et Appliquée.
    2. John K. Stranlund, 2006. "Risk Aversion and Compliance in Markets for Pollution Control," Working Papers, University of Massachusetts Amherst, Department of Resource Economics 2006-2, University of Massachusetts Amherst, Department of Resource Economics.
    3. Murphy, James J. & Stranlund, John K., 2007. "A laboratory investigation of compliance behavior under tradable emissions rights: Implications for targeted enforcement," Journal of Environmental Economics and Management, Elsevier, Elsevier, vol. 53(2), pages 196-212, March.
    4. John K. Stranlund, 2006. "The Regulatory Choice of Noncompliance in Emissions Trading Programs," Working Papers, University of Massachusetts Amherst, Department of Resource Economics 2006-7, University of Massachusetts Amherst, Department of Resource Economics.
    5. Akpalu, Wisdom, 2011. "Determinants of noncompliance with light attraction regulation among inshore fishers in Ghana," Journal of Behavioral and Experimental Economics (formerly The Journal of Socio-Economics), Elsevier, Elsevier, vol. 40(2), pages 172-177, April.
    6. Hatcher, Aaron, 2012. "Market power and compliance with output quotas," Resource and Energy Economics, Elsevier, Elsevier, vol. 34(2), pages 255-269.
    7. Pasquale Lucio Scandizzo & Odin K Knudsen, 2010. "Risk Management and Regulation Compliance with Tradable Permits under Dynamic Uncertainty," CEIS Research Paper, Tor Vergata University, CEIS 163, Tor Vergata University, CEIS, revised 28 May 2010.
    8. Nøstbakken, Linda, 2013. "Formal and informal quota enforcement," Resource and Energy Economics, Elsevier, Elsevier, vol. 35(2), pages 191-215.
    9. Murphy, James J. & Stranlund, John K., 2006. "Direct and market effects of enforcing emissions trading programs: An experimental analysis," Journal of Economic Behavior & Organization, Elsevier, Elsevier, vol. 61(2), pages 217-233, October.
    10. Aaron Hatcher, 2007. "Firm behaviour under pollution ratio standards with non-compliance," Environmental & Resource Economics, European Association of Environmental and Resource Economists, European Association of Environmental and Resource Economists, vol. 38(1), pages 89-98, September.

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