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Citations for "Bureaucratic Discretion or Congressional Control? Regulatory Policymaking by the Federal Trade Commission"

by Weingast, Barry R & Moran, Mark J

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  1. Jason Bell & Joel Huber & W. Kip Viscusi, 2009. "Voter-weighted environmental preferences," Journal of Policy Analysis and Management, John Wiley & Sons, Ltd., vol. 28(4), pages 655-671.
  2. Joshua C. Hall & Amanda Ross & Christopher Yencha, 2015. "The Political Economy of the Essential Air Service Program," Working Papers 15-18, Department of Economics, West Virginia University.
  3. Keffer, Philip & Stasavage, David, 2000. "Bureaucratic delegation and political institutions: when are independent central banks irrelevent?," Policy Research Working Paper Series 2356, The World Bank.
  4. Isaksson, Ann-Sofie & Bigsten, Arne, 2011. "Institution building with limited resources: Establishing a supreme audit institution in Rwanda," Working Papers in Economics 481, University of Gothenburg, Department of Economics.
  5. Gary Anderson & William Shughart & Robert Tollison, 1988. "A public choice theory of the great contraction," Public Choice, Springer, vol. 59(1), pages 3-23, October.
  6. Fiona Scott Morton, 1997. "The Objectives of the FDA's Office of Generic Drugs," NBER Working Papers 6143, National Bureau of Economic Research, Inc.
  7. Moser, Peter, 1999. "Checks and balances, and the supply of central bank independence," European Economic Review, Elsevier, vol. 43(8), pages 1569-1593, August.
  8. Marco M. Sorge, 2014. "Lobbying (Strategically Appointed) Bureaucrats," CSEF Working Papers 380, Centre for Studies in Economics and Finance (CSEF), University of Naples, Italy.
  9. Henisz, Witold J. & Zelner, Bennet A., 2006. "Interest Groups, Veto Points, and Electricity Infrastructure Deployment," International Organization, Cambridge University Press, vol. 60(01), pages 263-286, January.
  10. Ando, Amy Whritenour, 1999. "Waiting to Be Protected under the Endangered Species Act: The Political Economy of Regulatory Delay," Journal of Law and Economics, University of Chicago Press, vol. 42(1), pages 29-60, April.
  11. Wohlgemuth, Michael & Sideras, Jörn, 2004. "Globalisability of Universalisability? How to apply the Generality Principle and Constitutionalism internationally," Freiburg Discussion Papers on Constitutional Economics 04/7, Walter Eucken Institut e.V..
  12. Gasmi, Farid & Hansen, Wendy L. & Laffont, Jean Jacques, 1997. "Une analyse empirique des décisions en matière d’antidumping aux États-Unis," L'Actualité Economique, Société Canadienne de Science Economique, vol. 73(1), pages 423-456, mars-juin.
  13. Jonathan Westrup, 2007. "Regulatory Governance," Working Papers 200736, Geary Institute, University College Dublin.
  14. Knieps, Günter, 2009. "Theorie und Praxis der Price-Cap-Regulierung," Discussion Papers 127, University of Freiburg, Institute for Transport Economics and Regional Policy.
  15. Facchini, Giovanni & Testa, Cecilia, 2011. "The rhetoric of closed borders: quotas, lax enforcement and illegal migration," CEPR Discussion Papers 8245, C.E.P.R. Discussion Papers.
  16. Crombez, Christophe & Groseclose, Timothy J. & Krehbiel, Keith, 2005. "Gatekeeping," Research Papers 1861r1, Stanford University, Graduate School of Business.
  17. Olson, Mary K, 1999. "Agency Rulemaking, Political Influences, Regulation, and Industry Compliance," Journal of Law, Economics and Organization, Oxford University Press, vol. 15(3), pages 573-601, October.
  18. William F. Shughart & Robert D. Tollison, 2016. "On the extraordinary scholarly life and times of Gordon Tullock," Constitutional Political Economy, Springer, vol. 27(2), pages 227-247, June.
  19. Ando, Amy, 1998. "Delay on the Path to the Endangered Species List: Do Costs and Benefits Matter," Discussion Papers dp-97-43-rev, Resources For the Future.
  20. Brenton Peterson & Sonal Pandya & David Leblang, 2014. "Doctors with borders: occupational licensing as an implicit barrier to high skill migration," Public Choice, Springer, vol. 160(1), pages 45-63, July.
  21. Michael Makowsky & Thomas Stratmann, 2014. "Politics, unemployment, and the enforcement of immigration law," Public Choice, Springer, vol. 160(1), pages 131-153, July.
  22. Jerry Ellig & Christopher Conover, 2014. "Presidential priorities, congressional control, and the quality of regulatory analysis: an application to healthcare and homeland security," Public Choice, Springer, vol. 161(3), pages 305-320, December.
  23. Hilary Sigman, 2000. "The Pace of Progress at Superfund Sites: Policy Goals and Interest Group Influence," NBER Working Papers 7704, National Bureau of Economic Research, Inc.
  24. Maguire, Karen, 2012. "Prices or politics? The influence of markets and political party changes on oil and gas development in the United States," Energy Economics, Elsevier, vol. 34(6), pages 2013-2020.
  25. Lea Kosnik, 2010. "Balancing Environmental Protection and Energy Production in the Federal Hydropower Licensing Process," Land Economics, University of Wisconsin Press, vol. 86(3).
  26. Keefer, Philip, 2004. "A review of the political economy of governance : from property rights to voice," Policy Research Working Paper Series 3315, The World Bank.
  27. Pablo T Spiller & Rafael Gely, 2007. "Strategic Judicial Decision Making," Levine's Working Paper Archive 122247000000001409, David K. Levine.
  28. Davide Luca, 2016. "Do bureaucracies enhance or constrain policy effectiveness? Evidence from Turkey’s central management of public investment," LEQS – LSE 'Europe in Question' Discussion Paper Series 109, European Institute, LSE.
  29. Keefer, Philip & Stasavage, David, 2002. "Checks and Balances, Private Information, and the Credibility of Monetary Commitments," International Organization, Cambridge University Press, vol. 56(04), pages 751-774, September.
  30. Per Pettersson-Lidbom, 2004. "Does the Size of the Legislature Affect the Size of Government? Evidence from Two Natural Experiments," Discussion Papers 350, Government Institute for Economic Research Finland (VATT).
  31. Charles Rowley, 2012. "The intellectual legacy of Gordon Tullock," Public Choice, Springer, vol. 152(1), pages 29-46, July.
  32. Alberto Batinti, 2016. "NIH biomedical funding: evidence of executive dominance in swing-voter states during presidential elections," Public Choice, Springer, vol. 168(3), pages 239-263, September.
  33. Jin-Hyuk Kim, 2013. "Determinants of post-congressional lobbying employment," Economics of Governance, Springer, vol. 14(2), pages 107-126, May.
  34. Joskow, Paul L & Schmalensee, Richard, 1998. "The Political Economy of Market-Based Environmental Policy: The U.S. Acid Rain Program," Journal of Law and Economics, University of Chicago Press, vol. 41(1), pages 37-83, April.
  35. P. Hägg, 1997. "Theories on the Economics of Regulation: A Survey of the Literature from a European Perspective," European Journal of Law and Economics, Springer, vol. 4(4), pages 337-370, December.
  36. Yoshiharu Oritani, 2010. "Public governance of central banks: an approach from new institutional economics," BIS Working Papers 299, Bank for International Settlements.
  37. Yannis Karagiannis, 2007. "Economic Theories and the Science of Inter-Branch Relations," RSCAS Working Papers 2007/04, European University Institute.
  38. John Mayo & Mirjam Schiffer, 2006. "Antitrust Economics Meets Antitrust Psychology: A View from the Firms," International Journal of the Economics of Business, Taylor & Francis Journals, vol. 13(2), pages 281-306.
  39. Evans, Lewis & Burnell, Stephen & Yao, Shuntian, 1999. "The Optimal Network Contract Under Partial Bypass in Oligopolistic Network Industries," Working Paper Series 3922, Victoria University of Wellington, The New Zealand Institute for the Study of Competition and Regulation.
  40. Bruno S. Frey & Alois Stutzer, 2004. "The Role of Direct Democracy and Federalism in Local Power," CREMA Working Paper Series 2004-25, Center for Research in Economics, Management and the Arts (CREMA).
  41. 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.
  42. John Carter & David Schap, 1987. "Executive veto, legislative override, and structure-induced equilibrium," Public Choice, Springer, vol. 52(3), pages 227-244, January.
  43. John M. de Figueiredo & Edward H. Stiglitz, 2015. "Democratic Rulemaking," NBER Working Papers 21765, National Bureau of Economic Research, Inc.
  44. Bernknopf, Richard L. & Brookshire, David S. & McKee, Michael & Soller, David R., 1997. "Estimating the Social Value of Geologic Map Information: A Regulatory Application," Journal of Environmental Economics and Management, Elsevier, vol. 32(2), pages 204-218, February.
  45. David Schap, 1988. "In search of efficacious executive veto authority," Public Choice, Springer, vol. 58(3), pages 247-257, September.
  46. Hansen, Wendy L & Prusa, Thomas J, 1997. "The Economics and Politics of Trade Policy: An Empirical Analysis of ITC Decision Making," Review of International Economics, Wiley Blackwell, vol. 5(2), pages 230-45, May.
  47. Ahmed Tahoun & Florin P. Vasvari, 2016. "Political Lending," Working Papers Series 47, Institute for New Economic Thinking.
  48. Bonardi, Jean-Philippe & Holburn, Guy & Vanden Bergh, Rick, 2006. "Nonmarket performance: Evidence from U.S. electric utilities," MPRA Paper 14437, University Library of Munich, Germany.
  49. B. Zorina Khan, 1999. "Legal Monopoly: Patents and Antitrust Litigation in U.S. Manufacturing, 1970-1998," NBER Working Papers 7068, National Bureau of Economic Research, Inc.
  50. Juergen Jung & Michael D. Makowsky, 2012. "Regulatory Enforcement, Politics, and Institutional Distance: OSHA Inspections 1990-2010," Working Papers 2012-02, Towson University, Department of Economics, revised Apr 2013.
  51. Sutter, Daniel, 1999. "Discretionary policy implementation and reform," Journal of Economic Behavior & Organization, Elsevier, vol. 39(3), pages 249-262, July.
  52. Stuart Kasdin & Luona Lin, 2015. "Strategic behavior by federal agencies in the allocation of public resources," Public Choice, Springer, vol. 164(3), pages 309-329, September.
  53. Hellerstein, Daniel & Nickerson, Cynthia J. & Cooper, Joseph C. & Feather, Peter & Gadsby, Dwight M. & Mullarkey, Daniel J. & Tegene, Abebayehu & Barnard, Charles H., 2002. "Farmland Protection: The Role Of Public Preferences For Rural Amenities," Agricultural Economics Reports 33963, United States Department of Agriculture, Economic Research Service.
  54. Bruce Yandle, 1988. "Antitrust actions and the budgeting process," Public Choice, Springer, vol. 59(3), pages 263-275, December.
  55. John M. de Figueiredo, 2004. "The Timing, Intensity, and Composition of Interest Group Lobbying: An Analysis of Structural Policy Windows in the States," NBER Working Papers 10588, National Bureau of Economic Research, Inc.
  56. Duso, Tomaso & Seldeslachts, Jo, 2010. "The political economy of mobile telecommunications liberalization: Evidence from the OECD countries," Journal of Comparative Economics, Elsevier, vol. 38(2), pages 199-216, June.
  57. Cruz, Cesi & Keefer, Philip, 2013. "The organization of political parties and the politics of bureaucratic reform," Policy Research Working Paper Series 6686, The World Bank.
  58. Timo Goeschl & Johannes Jarke, 2013. "The warnings puzzle: an upstream explanation," Journal of Regulatory Economics, Springer, vol. 44(3), pages 339-360, December.
  59. Thomas Braendle & Alois Stutzer, 2010. "Political Selection of Public Servants and Parliamentary Oversight," Working papers 2010/08, Faculty of Business and Economics - University of Basel.
  60. Kenneth Mackenzie, 1999. "Diseño institucional y política pública: una perspectiva microeconómica," Revista de Economía Institucional, Universidad Externado de Colombia - Facultad de Economía, vol. 1(1), pages 17-58, July-dece.
  61. Jeffrey Macher & John Mayo, 2012. "The World of Regulatory Influence," Journal of Regulatory Economics, Springer, vol. 41(1), pages 59-79, February.
  62. Xosé Carlos Arias & Gonzalo Caballero, 2003. "Instituciones, costos de transacción y políticas públicas: un panorama," Revista de Economía Institucional, Universidad Externado de Colombia - Facultad de Economía, vol. 5(8), pages 117-146, January-J.
  63. Manning, Nick & Mukherjee, Ranjana & Gokcekus, Omer, 2000. "Public officials and their institutional environment - an analytical model for assessing the impact of institutional change on public sector performance," Policy Research Working Paper Series 2427, The World Bank.
  64. Karen Maguire, 2016. "Drill baby drill? Political influence on federal onshore oil and gas leasing in the Western United States," Economics of Governance, Springer, vol. 17(2), pages 131-164, May.
  65. Moser, Peter, 1999. "The impact of legislative institutions on public policy: a survey," European Journal of Political Economy, Elsevier, vol. 15(1), pages 1-33, March.
  66. Nathan Jensen & Edmund Malesky & Matthew Walsh, 2015. "Competing for global capital or local voters? The politics of business location incentives," Public Choice, Springer, vol. 164(3), pages 331-356, September.
  67. Avi Ben-Bassat, 2011. "Conflicts, Interest Groups, and Politics in Structural Reforms," Journal of Law and Economics, University of Chicago Press, vol. 54(4), pages 937 - 952.
  68. Caporale, Tony, 1998. "The impact of monetary regime changes: Some exchange rate evidence," Journal of Economic Behavior & Organization, Elsevier, vol. 35(1), pages 85-94, March.
  69. Matt Ryan, 2015. "Peter H. Schuck: Why government fails so often: and how it can do better," Public Choice, Springer, vol. 162(1), pages 211-213, January.
  70. Randall Bennett & Christine Loucks, 2011. "Financial Services Industry PAC Contributions and Senate Committee Membership," Atlantic Economic Journal, Springer;International Atlantic Economic Society, vol. 39(3), pages 203-216, September.
  71. Andrew Young & Russell Sobel, 2013. "Recovery and Reinvestment Act spending at the state level: Keynesian stimulus or distributive politics?," Public Choice, Springer, vol. 155(3), pages 449-468, June.
  72. Frey, Bruno S., 2004. "Direct Democracy for a Living Constitution," Freiburg Discussion Papers on Constitutional Economics 04/5, Walter Eucken Institut e.V..
  73. Maoz Rosenthal, 2012. "Agenda control in an unstable multiparty parliamentary democracy: evidence from the Israeli public sector," Constitutional Political Economy, Springer, vol. 23(1), pages 22-44, March.
  74. Bruno S. Frey & Alois Stutzer, . "Direct Democracy: Designing a Living Constitution," IEW - Working Papers 167, Institute for Empirical Research in Economics - University of Zurich.
  75. Israel Marques, 2014. "Firms And Social Policy In The Post-Communist Bloc: Evidence From Russia," HSE Working papers WP BRP 87/EC/2014, National Research University Higher School of Economics.
  76. John A. Hird, 1990. "Superfund expenditures and cleanup priorities: Distributive politics or the public interest?," Journal of Policy Analysis and Management, John Wiley & Sons, Ltd., vol. 9(4), pages 455-483.
  77. Stallings, David A., 1990. "Increased Protection in the 1980's: Exchange Rates and Institutions," 1990: The Environment, Government Policies, and International Trade Meeting, December 1990, San Diego, CA 50885, International Agricultural Trade Research Consortium.
  78. John de Figueiredo, 2013. "Committee jurisdiction, congressional behavior and policy outcomes," Public Choice, Springer, vol. 154(1), pages 119-137, January.
  79. Stavins, Robert, 2004. "Introduction to the Political Economy of Environmental Regulations," Discussion Papers dp-04-12, Resources For the Future.
  80. Ellen Seljan, 2014. "The limits of tax and expenditure limits: TEL implementation as a principal-agent problem," Public Choice, Springer, vol. 159(3), pages 485-501, June.
  81. Rocco Ciciretti & Simone Meraglia & Gustavo Piga, 2011. "Capture, Politics and Antitrust Effectiveness," CEIS Research Paper 208, Tor Vergata University, CEIS, revised 05 Apr 2013.
  82. John de Figueiredo, . "The Timing, Intensity, and Composition of Interest Group Lobbying: An Analysis of Structural Policy Windows in the States," American Law & Economics Association Annual Meetings 1082, American Law & Economics Association.
  83. Toma, Eugenia F., 1996. "A contractual model of the voting behavior of the supreme court: The role of the chief justice," International Review of Law and Economics, Elsevier, vol. 16(4), pages 433-447, December.
  84. Correia, Maria M., 2014. "Political connections and SEC enforcement," Journal of Accounting and Economics, Elsevier, vol. 57(2), pages 241-262.
  85. Barry Weingast, 1984. "The congressional-bureaucratic system: a principal agent perspective (with applications to the SEC)," Public Choice, Springer, vol. 44(1), pages 147-191, January.
  86. Michael R. Moore & Elizabeth B. Maclin & David W. Kershner, 2001. "Testing Theories of Agency Behavior: Evidence from Hydropower Project Relicensing Decisions of the Federal Energy Regulatory Commission," Land Economics, University of Wisconsin Press, vol. 77(3), pages 423-442.
  87. Cahan, Steven F., 1996. "Political use of income: Some experimental evidence from Capitol Hill," Journal of Behavioral and Experimental Economics (formerly The Journal of Socio-Economics), Elsevier, vol. 25(1), pages 69-87.
  88. Knieps, Günter & Weiß, Hans-Jörg, 2008. "Regulatory agencies and regulatory risk," Discussion Papers 118 [rev.], University of Freiburg, Institute for Transport Economics and Regional Policy.
  89. 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.
  90. Juergen Jung & Michael Makowsky, 2014. "The determinants of federal and state enforcement of workplace safety regulations: OSHA inspections 1990–2010," Journal of Regulatory Economics, Springer, vol. 45(1), pages 1-33, February.
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