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Citations for "The Theory of Economic Regulation"

by George J. Stigler

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  1. Francisco Candel-Sánchez & Juan Perote-Peña, 2013. "A political economy model of market intervention," Public Choice, Springer, vol. 157(1), pages 169-181, October.
  2. Hazlett, Thomas W, 1998. "Assigning Property Rights to Radio Spectrum Users: Why Did FCC License Auctions Take 67 Years?," Journal of Law and Economics, University of Chicago Press, vol. 41(2), pages 529-575, October.
  3. Simeon Djankov & Rafael La Porta & Florencio Lopez-de-Silanes & Andre Shleifer, 2000. "The Regulation of Entry," Harvard Institute of Economic Research Working Papers 1904, Harvard - Institute of Economic Research.
  4. Brennan, Timothy J., 2009. "Energy Efficiency: Efficiency or Monopsony?," Discussion Papers dp-09-20, Resources For the Future.
  5. Padovano, Fabio & Venturi, Larissa, 2001. "Wars of Attrition in Italian Government Coalitions and Fiscal Performance: 1948-1994," Public Choice, Springer, vol. 109(1-2), pages 15-54, October.
  6. Ricardo Paredes & Andrés Crisosto & Philippe Martí, 2014. "Judicial versus Private Auctions: Better without Protection?," Estudios de Economia, University of Chile, Department of Economics, vol. 41(2 Year 20), pages 171-186, December.
  7. Torsten Persson & Guido Tabellini, 1999. "Political Economics and Public Finance," NBER Working Papers 7097, National Bureau of Economic Research, Inc.
  8. Simeon Djankov & Edward L. Glaeser & Rafael La Porta & Florencio Lopez-de-Silanes & Andrei Shleifer, 2003. "The New Comparative Economics," Harvard Institute of Economic Research Working Papers 2002, Harvard - Institute of Economic Research.
  9. Joshua Hall & Shree B. Pokharel, 2016. "Barber Licensure and the Supply of Barber Shops: Evidence from US States," Working Papers 16-15, Department of Economics, West Virginia University.
  10. Helpman, Elhanan, 1995. "Politics and Trade Policy," CEPR Discussion Papers 1269, C.E.P.R. Discussion Papers.
  11. Bruce G. Carruthers & Naomi R. Lamoreaux, 2016. "Regulatory Races: The Effects of Jurisdictional Competition on Regulatory Standards," Journal of Economic Literature, American Economic Association, vol. 54(1), pages 52-97, March.
  12. Fishback, Price V. & Kantor, Shawn Everett, 1998. "The Political Economy of Workers' Compensation Benefit Levels, 1910-1930," Explorations in Economic History, Elsevier, vol. 35(2), pages 109-139, April.
  13. Beata Bielska & Katarzyna Tamborska, 2015. "Ponadnarodowe korporacje jako podmioty nieformalnego wplywu na przykladzie zaangazowania w dzialania skierowane do osób LGBT w Polsce/Transnational Corporations as Entities of Informal Inflence. Some ," Annales. Ethics in Economic Life, University of Lodz, Faculty of Economics and Sociology, vol. 18(1), pages 21-35, February.
  14. Francois, Joseph & Nelson, Douglas R., 2014. "Political support for trade policy in the European Union," European Journal of Political Economy, Elsevier, vol. 36(C), pages 243-253.
  15. repec:ebl:ecbull:v:15:y:2007:i:18:p:1-13 is not listed on IDEAS
  16. Belloc, Filippo, 2013. "Innovation in State-owned Enterprises: Reconsidering the Conventional Wisdom," MPRA Paper 54748, University Library of Munich, Germany, revised 01 Mar 2014.
  17. David Eduardo Cavazos & Matthew A. Rutherford, 2017. "Applying firm attention theory to assess the antecedents of firm participation in regulatory processes," Review of Managerial Science, Springer, vol. 11(2), pages 395-410, March.
  18. E.P. Davis, 1993. "Problems of Banking Regulation: An EC Perspective," FMG Special Papers sp59, Financial Markets Group.
  19. Gene M. Grossman & Elhanan Helpman, 1993. "Trade Wars and Trade Talks," NBER Working Papers 4280, National Bureau of Economic Research, Inc.
  20. Rafael La Porta & Florencio López-de-Silanes, 1997. "The Benefits of Privatization : Evidence from Mexico," World Bank Other Operational Studies 11583, The World Bank.
  21. Francesco Caselli & Nicola Gennaioli, 2007. "Economics and Politics of Alternative Institutional Reforms," CEP Discussion Papers dp0775, Centre for Economic Performance, LSE.
  22. Blind, Knut & Petersen, Sören S. & Riillo, Cesare A.F., 2017. "The impact of standards and regulation on innovation in uncertain markets," Research Policy, Elsevier, vol. 46(1), pages 249-264.
  23. Stephen P. Holland & Jonathan E. Hughes & Christopher R. Knittel & Nathan C. Parker, 2011. "Some Inconvenient Truths About Climate Change Policy: The Distributional Impacts of Transportation Policies," NBER Working Papers 17386, National Bureau of Economic Research, Inc.
  24. Adams, Samuel & Atsu, Francis, 2015. "Assessing the distributional effects of regulation in developing countries," Journal of Policy Modeling, Elsevier, vol. 37(5), pages 713-725.
  25. Tröger, Tobias, 2013. "The Single Supervisory Mechanism - Panacea or Quack Banking Regulation? Preliminary assessment of the evolving regime for the prudential supervision of banks with ECB involvement," IMFS Working Paper Series 73, Goethe University Frankfurt, Institute for Monetary and Financial Stability (IMFS).
  26. James Alm & Carolyn J. Bourdeaux, 2014. "Applying Behavioral Economics to the Public Sector," Working Papers 1405, Tulane University, Department of Economics.
  27. Price V. Fishback & Shawn Everett Kantor, 1996. "The Adoption of Workers' Compensation in the United States 1900-1930," NBER Working Papers 5840, National Bureau of Economic Research, Inc.
  28. Button, Kenneth & Neiva, Rui, 2013. "Single European Sky and the functional airspace blocks: Will they improve economic efficiency?," Journal of Air Transport Management, Elsevier, vol. 33(C), pages 73-80.
  29. Clougherty, J.A., 1996. "North American airline mergers : A strategic response to imperfectly competitive international markets," Other publications TiSEM 612c13ad-89d9-4814-a293-6, Tilburg University, School of Economics and Management.
  30. Patrick Warren & Tom Wilkening, 2010. "Regulatory Fog: The Informational Origins of Regulatory Persistence," Department of Economics - Working Papers Series 1113, The University of Melbourne.
  31. Gary S. Becker & Casey B. Mulligan, 1998. "Deadweight Costs and the Size of Government," University of Chicago - George G. Stigler Center for Study of Economy and State 144, Chicago - Center for Study of Economy and State.
  32. Mirucki, Jean, 1980. "Comportement de l'entreprise réglementée: étude de l'hypothèse Averch-Johnson
    [Behavior of the Regulated Firm: A Study of the Averch-Johnson Hypothesis]
    ," MPRA Paper 27669, University Library of Munich, Germany, revised 1982.
  33. Ponsatí­, Clara & Sákovics, József, 2008. "Queues, not just mediocrity: Inefficiency in decentralized markets with vertical differentiation," International Journal of Industrial Organization, Elsevier, vol. 26(4), pages 998-1014, July.
  34. Mary K. Olson, 2000. "Regulatory Reform and Bureaucratic Responsiveness to Firms: the Impact of User Fees in the FDA," Journal of Economics & Management Strategy, Wiley Blackwell, vol. 9(3), pages 363-395, 06.
  35. Rauscher, Michael, 2001. "International Trade, Foreign Investment, and the Enivronment," Thuenen-Series of Applied Economic Theory 29, University of Rostock, Institute of Economics.
  36. Abel, Jaison R, 2002. "Entry into Regulated Monopoly Markets: The Development of a Competitive Fringe in the Local Telephone Industry," Journal of Law and Economics, University of Chicago Press, vol. 45(2), pages 289-316, October.
  37. Faccio, Mara & Zingales, Luigi, 2017. "Political Determinants of Competition in the Mobile Telecommunication Industry," CEPR Discussion Papers 11794, C.E.P.R. Discussion Papers.
  38. Dashle Kelley, 2014. "The political economy of unfunded public pension liabilities," Public Choice, Springer, vol. 158(1), pages 21-38, January.
  39. Miller, Merton H., 1993. "The Regulation of Financial Markets," Hitotsubashi Journal of commerce and management, Hitotsubashi University, vol. 28(1), pages 1-14, December.
  40. Vernon W. Ruttan, 1971. "Technology and the Environment," American Journal of Agricultural Economics, Agricultural and Applied Economics Association, vol. 53(5), pages 707-717.
  41. Bilby, David B. & Wilson, Paul N., 2014. "Best Management Practices and the Mitigation of Dust Pollution: An Arizona Case Study," Working Papers 185894, University of Arizona, Department of Agricultural and Resource Economics.
  42. Poterba, James M., 1998. "Public Finance and Public Choice," National Tax Journal, National Tax Association, vol. 51(2), pages 391-396, June.
  43. Niklas Elert & Magnus Henrekson, 2016. "Evasive entrepreneurship," Small Business Economics, Springer, vol. 47(1), pages 95-113, June.
  44. Kanol Direnç, 2015. "Social influence, competition and the act of lobbying," Business and Politics, De Gruyter, vol. 17(1), pages 75-96, April.
  45. David Slattery & Joseph G. Nellis, 2011. "Rethinking the Role of Regulation in the Aftermath of the Global Financial Crisis: The Case of the UK," Panoeconomicus, Savez ekonomista Vojvodine, Novi Sad, Serbia, vol. 58(3), pages 407-423, September.
  46. David Encaoua, 1986. "Réglementation et concurrence : quelques éléments de théorie économique," Économie et Prévision, Programme National Persée, vol. 76(5), pages 7-46.
  47. Alfred Wong & Lu Wei & Dean Tjosvold, 2014. "Business and regulators partnerships: Government transformational leadership for constructive conflict management," Asia Pacific Journal of Management, Springer, vol. 31(2), pages 497-522, June.
  48. Gilberto M. Llanto, . "Regulatory Coherence: The Case of the Philippines," Chapters, Economic Research Institute for ASEAN and East Asia (ERIA).
  49. T. N. Srinivasan, 2002. "Privatisation, Regulation, and Competition in South Asia," The Pakistan Development Review, Pakistan Institute of Development Economics, vol. 41(4), pages 389-422.
  50. Chuppe, Terry M. & Atkin, Michael, 1992. "Regulation of securities markets : some recent trends and their implications for emerging markets," Policy Research Working Paper Series 829, The World Bank.
  51. Palmer, Karen & Brennan, Timothy & Martinez, Salvador, 2001. "Implementing Electricity Restructuring: Policies, Potholes, and Prospects," Discussion Papers dp-01-62-, Resources For the Future.
  52. Dyck, Alexander & Moss, David & Zingales, Luigi, 2008. "Media versus Special Interests," CEPR Discussion Papers 6994, C.E.P.R. Discussion Papers.
  53. Randall Morck & Daniel Wolfenzon & Bernard Yeung, 2004. "Corporate Governance, Economic Entrenchment and Growth," NBER Working Papers 10692, National Bureau of Economic Research, Inc.
  54. Walter Primeaux & John Filer & Robert Herren & Daniel Hollas, 1984. "Determinants of regulatory policies toward competition in the electric utility industry," Public Choice, Springer, vol. 43(2), pages 173-186, January.
  55. Bommer, Rolf & Schulze, Günther G., 1994. "Economic integration and environmental policy: Does NAFTA increase pollution?," Discussion Papers, Series II 218, University of Konstanz, Collaborative Research Centre (SFB) 178 "Internationalization of the Economy".
  56. Bickenbach, Frank, 1999. "Regulierung und Wettbewerb im Bereich der Netzinfrastrukturen: Begründung, Regeln und Institutionen," Kiel Working Papers 910, Kiel Institute for the World Economy (IfW).
  57. Botero, J. C. & Djankov, S. & Porta, R. L. & Lopez-de-Silanes, F. & Shleifer, Andrei, 2004. "The Regulation of Labor," Scholarly Articles 27867241, Harvard University Department of Economics.
  58. Bertomeu, Jeremy & Magee, Robert P., 2015. "Mandatory disclosure and asymmetry in financial reporting," Journal of Accounting and Economics, Elsevier, vol. 59(2), pages 284-299.
  59. Zhang, Daowei, 2016. "Payments for forest-based environmental services: A close look," Forest Policy and Economics, Elsevier, vol. 72(C), pages 78-84.
  60. D. Rodrik., 2015. "When Ideas Trump Interests: Preferences, Worldviews, and Policy Innovations," VOPROSY ECONOMIKI, N.P. Redaktsiya zhurnala "Voprosy Economiki", vol. 1.
  61. Michael Dorsch, 2013. "Bailout for sale? The vote to save Wall Street," Public Choice, Springer, vol. 155(3), pages 211-228, June.
  62. Peitz, Martin & Schwalbe, Ulrich, 2016. "Zwischen Sozialromantik und Neoliberalismus: Zur Ökonomie der Sharing-Economy," ZEW Discussion Papers 16-033, ZEW - Zentrum für Europäische Wirtschaftsforschung / Center for European Economic Research.
  63. repec:dau:papers:123456789/4086 is not listed on IDEAS
  64. Hartmann, Simon, 2012. "The conceptual flaws of the new EU development agenda from a political economy perspective, or why change is problematic for a donor-driven development policy," Working Papers 35, Österreichische Forschungsstiftung für Internationale Entwicklung (ÖFSE) / Austrian Foundation for Development Research.
  65. Van Long, Ngo, 2013. "The theory of contests: A unified model and review of the literature," European Journal of Political Economy, Elsevier, vol. 32(C), pages 161-181.
  66. Waters II, William G., 2007. "Evolution of Railroad Economics," Research in Transportation Economics, Elsevier, vol. 20(1), pages 11-67, January.
  67. Thomas Braendle, 2015. "Does remuneration affect the discipline and the selection of politicians? Evidence from pay harmonization in the European Parliament," Public Choice, Springer, vol. 162(1), pages 1-24, January.
  68. Eric Helland & Michael Sykuta, 2002. "Regulation and the Evolution of Corporate Boards: Monitoring, Advising or Window Dressing?," Claremont Colleges Working Papers 2002-27, Claremont Colleges.
  69. Philip Grossman, 1988. "Government and economic growth: A non-linear relationship," Public Choice, Springer, vol. 56(2), pages 193-200, February.
  70. Magnus Söderberg & Flavio Menezes & Miguel Santolino, 2013. "Regulatory behaviour under threat of court reversal," Working Papers hal-00874878, HAL.
  71. Alessandro Gambini & Salim M. Darbar & Marco Arnone, 2007. "Banking Supervision; Quality and Governance," IMF Working Papers 07/82, .
  72. Ongena, S. & Popov, A. & Udell, G.F., 2011. "Bank Risk-Taking Abroad : Does Home-Country Regulation and Supervision Matter," Discussion Paper 2011-032, Tilburg University, Center for Economic Research.
  73. Gillian Hadfield & Eric Talley, "undated". "On Public versus Private Provision of Corporate Law," American Law & Economics Association Annual Meetings 1063, American Law & Economics Association.
  74. De Geest, Gerrit, 1996. "The debate on the scientific status of law & economics," European Economic Review, Elsevier, vol. 40(3-5), pages 999-1006, April.
  75. Mario Pagliero, 2007. "The Impact of Potential Labor Supply on Licensing Exam Difficulty," Carlo Alberto Notebooks 53, Collegio Carlo Alberto, revised 2013.
  76. Timothy Besley & Stephen Coate, 2003. "Elected Versus Appointed Regulators: Theory and Evidence," Journal of the European Economic Association, MIT Press, vol. 1(5), pages 1176-1206, 09.
  77. Buckley, Jenifer A., 2015. "Food safety regulation and small processing: A case study of interactions between processors and inspectors," Food Policy, Elsevier, vol. 51(C), pages 74-82.
  78. Helge Berger & Stephan Danninger, 2006. "The Employment Effects of Labor and Product Markets Deregulation and their Implications for Structural Reform," CESifo Working Paper Series 1709, CESifo Group Munich.
  79. Voszka, Éva, 2005. "Állami tulajdonlás - elvi indokok és gyakorlati dilemmák
    [State ownership - reasons in principle and dilemmas in practice]
    ," Közgazdasági Szemle (Economic Review - monthly of the Hungarian Academy of Sciences), Közgazdasági Szemle Alapítvány (Economic Review Foundation), vol. 0(1), pages 1-23.
  80. Braunerhjelm, Pontus & Henrekson, Magnus, 2015. "An Innovation Policy Framework: Bridging the Gap between Industrial Dynamics and Growth," Working Paper Series 1054, Research Institute of Industrial Economics.
  81. Liran Einav & Chiara Farronato & Jonathan Levin, "undated". "Peer-to-Peer Markets," Discussion Papers 15-029, Stanford Institute for Economic Policy Research.
  82. Key, Kimberly Galligan, 1997. "Political cost incentives for earnings management in the cable television industry," Journal of Accounting and Economics, Elsevier, vol. 23(3), pages 309-337, November.
  83. John G. Matsusaka, 2005. "Direct Democracy Works," Journal of Economic Perspectives, American Economic Association, vol. 19(2), pages 185-206, Spring.
  84. James J. Heckman & James M. Snyder, Jr., 1996. "Linear Probability Models of the Demand for Attributes with an Empirical Application to Estimating the Preferences of Legislators," NBER Working Papers 5785, National Bureau of Economic Research, Inc.
  85. Claggett, E. Jr. & Hollas, Daniel R. & Stansell, Stanley R., 1995. "The effects of ownership form on profit maximization and cost minimization behavior within municipal and cooperative electrical distribution utilities," The Quarterly Review of Economics and Finance, Elsevier, vol. 35(35), pages 533-550.
  86. Houdet, Joël & Trommetter, Michel & Weber, Jacques, 2012. "Understanding changes in business strategies regarding biodiversity and ecosystem services," Ecological Economics, Elsevier, vol. 73(C), pages 37-46.
  87. Lekakou, Maria B., 2007. "Chapter 8 The Eternal Conundrum of Greek Coastal Shipping," Research in Transportation Economics, Elsevier, vol. 21(1), pages 257-296, January.
  88. Elisabetta Lazzaro & Nathalie Moureau, 2013. "Auctioneers vs. commissaires-priseurs: The carnival mirror of profession regulation in the international art market," European Journal of Comparative Economics, Cattaneo University (LIUC), vol. 10(2), pages 159-176, August.
  89. Hill, Matthew D. & Kubick, Thomas R. & Brandon Lockhart, G. & Wan, Huishan, 2013. "The effectiveness and valuation of political tax minimization," Journal of Banking & Finance, Elsevier, vol. 37(8), pages 2836-2849.
  90. Potters, Jan & Sloof, Randolph, 1996. "Interest groups: A survey of empirical models that try to assess their influence," European Journal of Political Economy, Elsevier, vol. 12(3), pages 403-442, November.
  91. Xiaobo Lü & Kenneth F. Scheve & Matthew J. Slaughter, 2010. "Envy, Altruism, and the International Distribution of Trade Protection," NBER Working Papers 15700, National Bureau of Economic Research, Inc.
  92. Mario Pagliero, 2007. "The Impact of Potential Labor Supply on Licensing Exam Difficulty in the US Market for Lawyers," CHILD Working Papers wp19_08, CHILD - Centre for Household, Income, Labour and Demographic economics - ITALY.
  93. repec:elg:eechap:15325_11 is not listed on IDEAS
  94. Pauline Grosjean & Frantisek Ricka & Claudia Senik, 2013. "Learning, political attitudes and crises: Lessons from transition countries," PSE - Labex "OSE-Ouvrir la Science Economique" halshs-00847352, HAL.
  95. Essi Eerola, 2004. "Forest Conservation – Too Much or Too Little? A Political Economy Model," Environmental & Resource Economics, Springer;European Association of Environmental and Resource Economists, vol. 27(4), pages 391-407, April.
  96. William Riker, 1988. "The place of political science in public choice," Public Choice, Springer, vol. 57(3), pages 247-257, June.
  97. Jenny Schuetz, 2008. "Are Mortgage Loans the New Toasters? The Roles of Housing Demand and Political Patronage in Mexican Housing Finance Author-Name: Jenny Schuetz," International Real Estate Review, Asian Real Estate Society, vol. 11(2), pages 1-31.
  98. Douhan, Robin & Henrekson, Magnus, 2007. "The Political Economy of Entrepreneurship: An Introduction," Working Paper Series 688, Research Institute of Industrial Economics.
  99. Brian Meehan & Bruce Benson, 2015. "The occupations of regulators influence occupational regulation: evidence from the US private security industry," Public Choice, Springer, vol. 162(1), pages 97-117, January.
  100. Niels Philipsen, 2011. "Professional Licensing and Self-regulation in Europe and China: A Law and Economics Perspective," Chapters, in: Competition Policy and Regulation, chapter 9 Edward Elgar Publishing.
  101. Kaufman, Allen & Tucci, Christopher L. & Brumer, Mark, 2003. "Can creative destruction be destroyed? Military IR&D and destruction along the value-added chain," Research Policy, Elsevier, vol. 32(9), pages 1537-1554, October.
  102. Thomas W. Hazlett, 2008. "Property Rights and Wireless License Values," Journal of Law and Economics, University of Chicago Press, vol. 51(3), pages 563-598, 08.
  103. J. Mark Ramseyer & Eric Rasmusen, 2013. "Lowering the Bar to Raise the Bar: Licensing Difficulty and Attorney Quality in Japan," Working Papers 2013-12, Indiana University, Kelley School of Business, Department of Business Economics and Public Policy.
  104. Peter Szopo, 1986. "Deregulierung in Österreich: Problematik und Ansätze," Wirtschaft und Gesellschaft - WuG, Kammer für Arbeiter und Angestellte für Wien, Abteilung Wirtschaftswissenschaft und Statistik, vol. 12(1), pages 43-61.
  105. Cull, Robert & Xu, Lixin Colin & Yang, Xi & Zhou, Li-An & Zhu, Tian, 2013. "Market facilitation by local government and firm efficiency : evidence from China," Policy Research Working Paper Series 6688, The World Bank.
  106. Robst, John & Turcotte, Leo, 1998. "The effect of regulatory legislation on workers' earnings," Economics Letters, Elsevier, vol. 59(2), pages 255-261, May.
  107. Strunz, Sebastian & Gawel, Erik & Lehmann, Paul, 2016. "The political economy of renewable energy policies in Germany and the EU," Utilities Policy, Elsevier, vol. 42(C), pages 33-41.
  108. Grossman, Gene M & Helpman, Elhanan, 1998. "Intergenerational Redistribution with Short-Lived Governments," Economic Journal, Royal Economic Society, vol. 108(450), pages 1299-1329, September.
  109. Sergei Guriev & Andrei Rachinsky, 2005. "The Role of Oligarchs in Russian Capitalism," Post-Print hal-01176837, HAL.
  110. Michael Davidson & Fredrich Kahrl & Valerie Karplus, 2016. "Towards a political economy framework for wind power: Does China break the mould?," WIDER Working Paper Series 032, World Institute for Development Economic Research (UNU-WIDER).
  111. Danzon, Patricia M & Harrington, Scott E, 2001. "Worker's Compensation Rate Regulation: How Price Controls Increase Costs," Journal of Law and Economics, University of Chicago Press, vol. 44(1), pages 1-36, April.
  112. Peter J. Boettke & Daniel J. Smith, 2016. "Evolving views on monetary policy in the thought of Hayek, Friedman, and Buchanan," The Review of Austrian Economics, Springer;Society for the Development of Austrian Economics, vol. 29(4), pages 351-370, December.
  113. Stefan Folster & Sam Peltzman, 1997. "The Social Costs of Regulation and Lack of Competition in Sweden: A Summary," NBER Chapters, in: The Welfare State in Transition: Reforming the Swedish Model, pages 315-352 National Bureau of Economic Research, Inc.
  114. Lauren Cohen & Karl B. Diether & Christopher Malloy, 2012. "Legislating Stock Prices," NBER Working Papers 18291, National Bureau of Economic Research, Inc.
  115. Vlachos, Jonas, 2004. "Does Regulatory Harmonization Increase Bilateral Asset Holdings?," CEPR Discussion Papers 4417, C.E.P.R. Discussion Papers.
  116. Pantuosco, Louis & Seyfried, William & Stonebraker, Robert, 2007. "The Impact of Lotteries on State Education Expenditures: Does Earmarking Matter?," The Review of Regional Studies, Southern Regional Science Association, vol. 37(2), pages 169-185.
  117. Boustanifar, Hamid & Grant, Everett & Reshef, Ariell, 2016. "Wages and human capital in finance: international evidence, 1970-2005," Globalization and Monetary Policy Institute Working Paper 266, Federal Reserve Bank of Dallas.
  118. Eromenko, Igor, 2011. "Accession to the WTO. Computable General Equilibrium Analysis: the Case of Ukraine," MPRA Paper 67535, University Library of Munich, Germany.
  119. Antonio Estache & Liam Wren-Lewis, 2011. "Anti-Corruption Policy in Theories of Sector Regulation," Chapters, in: International Handbook on the Economics of Corruption, Volume Two, chapter 9 Edward Elgar Publishing.
  120. Mariana Cunha & Paula Sarmento, 2014. "Does Vertical Integration Promote Downstream Incomplete Collusion? An Evaluation of Static and Dynamic Stability," Journal of Industry, Competition and Trade, Springer, vol. 14(1), pages 1-38, March.
  121. Heyman, Fredrik & Norbäck, Pehr-Johan & Persson, Lars, 2015. "The Turnaround of Swedish Industry: Reforms, Firm Diversity and Job and Productivity Dynamics," Working Paper Series 1079, Research Institute of Industrial Economics.
  122. Lindemann, Henrik, 2015. "Regulatory Objectives and the Intensity of Unbundling in Electricity Markets," Hannover Economic Papers (HEP) dp-544, Leibniz Universität Hannover, Wirtschaftswissenschaftliche Fakultät.
  123. Eugenio J. Miravete & Katja Seim & Jeff Thurk, 2014. "Complexity, Efficiency, and Fairness of Multi-Product Monopoly Pricing," CESifo Working Paper Series 4692, CESifo Group Munich.
  124. J.A. den Hertog, 2010. "Review of economic theories of regulation," Working Papers 10-18, Utrecht School of Economics.
  125. Donato Masciandaro, 2016. "Banking Supervision Outsourcing: Economics, Rules and Drivers," BAFFI CAREFIN Working Papers 1616, BAFFI CAREFIN, Centre for Applied Research on International Markets Banking Finance and Regulation, Universita' Bocconi, Milano, Italy.
  126. Stavins, Robert, 2005. "The Effects of Vintage-Differentiated Environmental Regulation," Discussion Papers dp-05-12, Resources For the Future.
  127. Tomaso Duso, 2002. "On the Politics of the Regulatory Reform: Econometric Evidence from the OECD Countries," CIG Working Papers FS IV 02-07, Wissenschaftszentrum Berlin (WZB), Research Unit: Competition and Innovation (CIG).
  128. David VanHoose, 2011. "Systemic Risks and Macroprudential Bank Regulation: A Critical Appraisal," NFI Policy Briefs 2011-PB-04, Indiana State University, Scott College of Business, Networks Financial Institute.
  129. Andrei Shleifer, 2010. "Efficient Regulation," NBER Working Papers 15651, National Bureau of Economic Research, Inc.
    • Andrei Shleifer, 2010. "Efficient Regulation," NBER Chapters, in: Regulation vs. Litigation: Perspectives from Economics and Law, pages 27-43 National Bureau of Economic Research, Inc.
  130. Revesz, Richard & Stavins, Robert, 2004. "Environmental Law and Policy," Working Paper Series rwp04-023, Harvard University, John F. Kennedy School of Government.
  131. Smith, Vincent H. & Glauber, Joseph & Dismukes, Robert, 2016. "Rent Dispersion in the US Agricultural Insurance Industry," IFPRI discussion papers 1532, International Food Policy Research Institute (IFPRI).
  132. Cattaneo, Mattia & Meoli, Michele & Vismara, Silvio, 2015. "Financial regulation and IPOs: Evidence from the history of the Italian stock market," Journal of Corporate Finance, Elsevier, vol. 31(C), pages 116-131.
  133. Brennan, Timothy J., 2011. "Energy efficiency and renewables policies: Promoting efficiency or facilitating monopsony?," Energy Policy, Elsevier, vol. 39(7), pages 3954-3965, July.
  134. Ahmed Tahoun & Florin P. Vasvari, 2016. "Political Lending," Working Papers Series 47, Institute for New Economic Thinking.
  135. Erdogdu, Erkan, 2011. "The political economy of electricity market liberalization: a cross-country approach," MPRA Paper 33724, University Library of Munich, Germany.
  136. Morris Fiorina, 1982. "Legislative choice of regulatory forms: Legal process or administrative process?," Public Choice, Springer, vol. 39(1), pages 33-66, January.
  137. Patrick Welch, 1991. "Shared government in employment security: A study of advisory councils," Forum for Social Economics, Springer;The Association for Social Economics, vol. 20(2), pages 8-15, March.
  138. Jean-Luc Migué, 1976. "Le marché politique et les choix collectifs," Revue Économique, Programme National Persée, vol. 27(6), pages 984-1007.
  139. Matthias Dahm & Nicolás Porteiro, 2006. "Informational Lobbying under the Shadow of Political Pressure," Working Papers 06.14, Universidad Pablo de Olavide, Department of Economics.
  140. Simon H. Kwan, 2001. "Impact of deposit rate deregulation in Hong Kong on the market value of commercial banks," Working Paper Series 2001-11, Federal Reserve Bank of San Francisco.
  141. Nadeau, Louis W., 1997. "EPA Effectiveness at Reducing the Duration of Plant-Level Noncompliance," Journal of Environmental Economics and Management, Elsevier, vol. 34(1), pages 54-78, September.
  142. John W. Dawson & John J. Seater, 2009. "Federal Regulation and Aggregate Economic Growth," Working Papers 09-02, Department of Economics, Appalachian State University.
  143. Gawande, Kishore, 1998. "Stigler-Olson lobbying behavior in protectionist industries: Evidence from the lobbying power function," Journal of Economic Behavior & Organization, Elsevier, vol. 35(4), pages 477-499, May.
  144. Peter Murrell, 1984. "An examination of the factors affecting the formation of interest groups in OECD countries," Public Choice, Springer, vol. 43(2), pages 151-171, January.
  145. Sigman, Hilary, 2001. "The Pace of Progress at Superfund Sites: Policy Goals and Interest Group Influence," Journal of Law and Economics, University of Chicago Press, vol. 44(1), pages 315-344, April.
  146. Rod Tyers, 2014. "Service Oligopolies and Australia’s Economy-Wide Performance," Economics Discussion / Working Papers 14-18, The University of Western Australia, Department of Economics.
  147. Gawande, Kishore & Hoekman, Bernard, 2006. "Lobbying and Agricultural Trade Policy in the United States," CEPR Discussion Papers 5634, C.E.P.R. Discussion Papers.
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This information is provided to you by IDEAS at the Research Division of the Federal Reserve Bank of St. Louis using RePEc data.