McFarland, H. B.
“The Union Pacific – Southern Pacific Merger: What Can Be Learned?” The Transportation Antitrust Update, (Spring 1999).
Waehrer, K.
“The Ratchet Effect and Bargaining Power in a Two-Stage Model of Competitive Bidding,” Economic Theory 13:171-181, 1999.
Waehrer, K.
“Asymmetric Auctions With Application to Joint Bidding and Mergers,” International Journal of Industrial Organization 17:437-452, 1999.
Bajaj, M., B. Becker and J. A. Neuberger
“Transfer Pricing and Foreign Exchange Risk,” Transfer Pricing, Tax Management, Inc., Vol. 8, No. 6, July 14, 1999.
McFarland, H. B.
“Can a Product Pre-Announcement Be a Predatory Act?” Computer Industry, (Winter 1998).
Davis, J. L. and Lois Lightfoot
“Fragmentation vs. Consolidation of Securities Trading: Evidence from the Operation of Rule 19c-3,” Journal of Law & Economics, April 1998.
Simpson, J., R. Shin
“Do Nonprofit Hospitals Exercise Market Power?” International Journal of the Economics of Business, 5(2): 141-58, 1998.
Owen, B. M.
“The Evolution of Clayton §7 Enforcement and the Beginnings of U.S. Industrial Policy,” 31 Antitrust Bulletin 409, Summer 1986. (Reprinted in D. Audretsch, ed., Industrial Policy and Competitive Advantage, Edward Elgar, 1997).
Frankena, M. and J. R. Morris
“Why Applicants Should Use Computer Simulation Models to Comply with the FERC’s New Merger Policy,” Public Utilities Fortnightly, (February 1, 1997): 22-26.
Davis, J.L.
“About Those Decimals,” Business Law Today, (Letter to the Editor), November/December 1997.
Owen, B. M.
Book Review of G. W. Brock, Telecommunications Policy for the Information Age, 34 Journal of Economic Literature 797, 1996.
Nelson, P. B.
“Comments on Greene, Marvel, and Owen papers at WEA Meetings,” The Antitrust Bulletin, 1996.
Fenton, K.M. and B.C. Harris
“Congress and Antitrust Exemptions: Is Statutory Antitrust Relief Necessary for Health Care Reform,” The Antitrust Bulletin, Fall 1996.
Davis, J. L.
“The Battle Over Preferencing,” Traders Magazine, September 1996.
Davis, J. L.
“SEC’s Regional Exchange Bias,” Traders Magazine, September 1996.
Davis, J. L.
“SEC Approves NYSE Fee Changes-Good or Bad?” Traders Magazine, August 1996.
Davis, J. L.
“Materiality and SEC Disclosure Filings,” Securities Regulation Law Journal, Summer 1996.
Davis, J. L.
“Let Nasdaq be Nasdaq,” Traders Magazine, February 1996.
Davis, J. L.
“A New Look at SEC Rule 12b-1,” Securities Regulation Law Journal, Summer 1995.
Baumann, M. G. and P. E. Godek
“Could and Would Understood: Critical Elasticities and the Merger Guidelines,” The Antitrust Bulletin, Vol. 40, No. 4 (Winter 1995), pp. 885-899.
Owen, B. M.
Book Review of F.M. Scherer, Competition Policies for an Integrated World Economy, 33 Journal of Economic Literature 1993 (1995).
Stoner, R. D.
“A Market-Based Approach to CRA,” FRBSF Weekly Letter, May 27, 1994.
Neuberger, J. A.
“Industry Effects in the Stock Returns of Banks and Nonfinancial Firms,” FRBSF Weekly Letter, March 24, 1994.
Neuberger, J. A.
“Conditional Risk and Return in Bank Holding Company Stocks: A Factor-GARCH Approach,” in Conference on Bank Structure and Competition, Federal Reserve Bank of Chicago, 1994.
Nelson, P. B.
“Clinton Administration Brings Changes to Economics and Economists at the Antitrust Division,” Antitrust, 1994.
Hall, W.P. and B.C. Harris
“Balancing Efficiencies and Competition in Evaluating Hospital Mergers,” Antitrust Health Care Chronicle, American Bar Association, Summer 1994.
Fenton, K.M. and B.C. Harris
“Vertical Integration and Antitrust in Health Care Markets,” Presented at the Sixty-Eighth Annual Western Economic Association Conference, June 23, 1993. Reprinted in The Antitrust Bulletin, Summer 1994.
Dale, B., Davis, J. L. and Jim Overdahl
“Using Finance Theory to Measure Damages in Cases Involving Fraudulent Trade Allocation Schemes,” Business Lawyer, February 1994.
Davis, J. L.
“Disgorgement in Insider Trading Cases – A Proposed Rule,” Securities Regulation Law Journal, Fall 1994.
Shin, R.T. and J.S. Ying
“On Estimating the Box-Tidwell Flexible Functional Form,” Journal of Business and Economic Stratistics, 12(2), 261-65, 1994.
Siwek, S. E. and S. S. Wildman
“Shirking and Political Support in the U.S. Senate, 1964-1984,” Public Choice, 76 (1993), 103-123.
Neuberger, J. A.
“On the Changing Composition of Bank Portfolios,” FRBSF Weekly Letter, March 19, 1993.
Neuberger, J. A.
“Interest Rate Risk at U.S. Commercial Banks,” FRBSF Weekly Letter, July 23, 1993.
Nelson, P. B. and J. H. Preston
“An Antitrust Analysis of the Alliant Decision and Defense Industry Mergers,” International Merger Law, April 1993.
Morris, J. R.
“International Trade and Antitrust: Comments,” University of Cincinnati Law Review, 61(3) (1993): 945-953.
McFarland, H. B.
“Book Review: The Transition to Deregulation by William B. Tye,” Review of Industrial Organization, (June 1993).
Hilke, J. and Nelson, P. B.
“The Economics of Entry Lags: A Theoretical and Empirical Overview,” Antitrust Law Journal, 1993.
Frankena, M. W. and B. M. Owen
“Antitrust Analysis of Electric Utility Mergers after the Energy Policy Act,” International Merger Law, No. 30, February 1993.
Frankena, M. W. and B. M. Owen
“Flawed Reasoning,” Public Utilities Fortnightly, July 15, 1993.
Shin, R.T. and J.S. Ying
“Costly Gains to Breaking Up: LECs and the Baby Bells,” Review of Economics and Statistics, Vol. 75, 357-61, May 1993.
Smith, D. D. and Randal T. Hughes
“The Canadian Merger Enforcement Guidelines: Lessons from Recent Litigation,” International Merger Law, June 1992.
Owen, B. M.
“Merger Control in Argentina,” International Merger Law, No. 27, November 1992.
Neuberger, J. A. and K. J. Trenholme
“First Quarter Bank Results: Good News, Bad News,” FRBSF Weekly Letter, July 24, 1992.
Neuberger, J. A.
“Risk-Based Capital Standards and Bank Portfolios,” FRBSF Weekly Letter, January 10, 1992.
Neuberger, J. A.
“Is A Bad Bank Always Bad?” FRBSF Weekly Letter, May 1, 1992.
Neuberger, J. A.
“Bank Holding Company Stock Risk and the Composition of Bank Asset Portfolios,” Federal Reserve Bank of San Francisco Economic Review, No. 3, 1992.
Mosteller, G. R.
“Comparability in the U.S. Steel Transfer Pricing Case,” Tax Notes, June 1, 1992, 55(9): 1251-1258.
Morris, J. R. and G. R. Mosteller
“Should the U.S. Department of Justice Deviate from the 5% Price Test for Market Definition on a Case-By-Case Basis?” International Merger Law, April 1992, 20: 20-23.
Morris, J. R.
“Upstream Vertical Integration with Automatic Price Adjustments,” Journal of Regulatory Economics 4 (1992): 279-287.
McAnneny, J. W. and H. B. McFarland
“Foreign Competition and Efficiencies in a Recent U.S. Steel Merger,” International Merger Law, (June 1992).
Howell, J., P. B. Nelson and J. Siegfried
“A Simultaneous Equations Model of Coffee Brand Pricing and Advertising,” Review of Economics and Statistics, 1992.
Harris, B. C.
“The Importance of Factors Other than Concentration in Antitrust Merger Analysis,” International Merger Law, March 1992.
Harris, B. C.
“An Economic Perspective on Recent Hospital Merger Decisions,” International Merger Law, February 1992.
Furchtgott-Roth, H. W. and S. E. Siwek
“Competing with Pirates: Economic Implications for the Entertainment Strategist,” The Ernst & Young Entertainment Business Journal, Volume 3, 1992, P. 18.
Frankena, M. W. and B. M. Owen
“Competitive Issues in Electric Utility Mergers,” International Merger Law, No. 26, October 1992.
Frankena, M. and B.C. Harris
“FERC’s Acceptance of Market-based Pricing: An Antitrust Analysis,” The Electricity Journal, June 1992.
Davis, J. L. and Ken Lehn
“Information Asymmetries, Rule 13e-3 and Premiums in Going-Private Transactions,” Washington University Law Quarterly, 1992.
Balto, D., B. R. Snapp and J. L. Walker
“Recent Developments in Bank Merger Competition Policy,” Banking Law Review, Spring 1992.
Siwek, S. E.
EC 1992 and Beyond: Prospects for US Film and Television Employment, Volume XII, Number 6 of the US Department of Labor/Center for Strategic and International Studies’ Significant Issues Series.
Shin R.T. and J.S. Ying
“Unnatural Monopolies in Local Telephone,” Rand Journal of Economics, 23(2), 171-83, Summer 1992.
Snapp, B. R., and J. L. Walker
“U.S. Bank Merger Competition Policy,” International Merger Law 16, December 1991.
Neuberger, J. A.
“Risk and Return in Banking: Evidence from Bank Stock Returns,” Federal Reserve Bank of San Francisco Economic Review, No. 4, 1991.
Neuberger, J. A.
“Depositor Discipline and Bank Runs,” FRBSF Weekly Letter, April 12, 1991.
Neuberger, J. A.
“Bank Stock Risk and Return,” FRBSF Weekly Letter,November 1, 1991.
Nelson, P. B.
“The Antitrust Authorities’ Treatment of Imports in Merger Analysis,” International Merger Law, 1991.
Nelson, P. B.
“Reading Their Lips: Changes In Antitrust Policy under the Bush Administration,” Antitrust Bulletin, 1991.
Morris, J. R. and G. R. Mosteller
“Defining Markets for Merger Analysis,” Antitrust Bulletin, Fall 1991, 36(3): 599-640.
Morris, J. R.
“In Defense of Antitrust,” with Jim Langenfeld, Regulation 14(2) (Spring 1991): (Letters) 2-4.
Morris, J. R.
“Analyzing Agreements among Competitors: What Does the Future Hold?” with Jim Langenfeld, Antitrust Bulletin 36 (Fall 1991): 651-679.
McFarland, H. B.
“Railroad Abandonment Policy in the 1990s,” Transportation Practitioners Journal, (Summer 1991).
McAnneny, J. W.
“The Justice Department’s Crusade Against Price-fixing: Initiative or Reaction?” The Antitrust Bulletin, Fall 1991.
Hurdle, G. J.
“Price Discrimination and Economies of Scale in Merger Analysis.” Defining narrow markets in merger cases with price discrimination is sound as a matter of economic theory as well as legal precedent. The ability to price discriminate reduces the likelihood of narrow market entry when firms are subject to economies of scale that are large, relative to the volume of sales to a narrow group of buyers. Cases involving airlines, milk, and printing are discussed. Antitrust, Vol. 5, Spring 1991. [Shorter version also appears in International Merger Law, June, 1991].
Hilke, J. and Nelson, P. B.
“Retail Featuring as a Strategic Entry or Mobility Barrier,” International Journal of Industrial Organization, 1991.
Harris, B. C. and J.J. Simons
“The Often-forgotten Role of Price-cost Margins in Antitrust Merger Analysis,” International Merger Law, February 1991.
Harris, B. C. and J.J. Simons
“Focusing Market Definition: How Much Substitution is Necessary?” Journal of Research in Law and Economics, Fall, 1989. Reprinted in The Journal of Reprints for Antitrust Law and Economics, 1991.
Harris, B. C.
“The Importance of Factors Other than Concentration in Antitrust Merger Analysis,” Remarks before the Antitrust Section of the New York State Bar Association, January, 1991.
Cameron, T. and M. B. Wright
“Energy Audit Programs vs. Market Incentives as Inducements to Undertake Energy Conservation Retrofits,” Natural Resource Modeling, 5 (1991), 19-53.
Argue, D. A.
“Dividing Cartel Profits: The Southern Railway and Steamship Association,” Essays in Economic and Business History, Edwin J. Perkins, ed., vol. IX, 1991.
Owen, B.M.
“The Electronic Media,” Proceedings of the 1990 Stanford Symposium on Democracy, Diversity, and News Media Ownership, 1990.
Neuberger, J. A. and R. H. Schmidt
“Costly Information and the CRA,” FRBSF Weekly Letter, September 21, 1990.
Neuberger, J. A. and G. C. Zimmerman
“Interest Rate Competition,” FRBSF Weekly Letter, July 27, 1990.
Neuberger, J. A. and G. C. Zimmerman
“Bank Pricing of Retail Deposit Accounts and ‘The California Rate Mystery’,” Federal Reserve Bank of San Francisco Economic Review, No. 2, 1990.
Neuberger, J. A.
“How to Close Troubled Banks,” FRBSF Weekly Letter, December 7, 1990.
McFarland, H. B.
“Alternative Measures of Depreciation and the Reliability of Accounting Measures of Economic Profits,” Review of Economics and Statistics, (August 1990).
Gruben, W. C., J. A. Neuberger and R. H. Schmidt
“Imperfect Information and the Community Reinvestment Act,” Federal Reserve Bank of San Francisco Economic Review, No. 3, 1990.
Cameron, T. and M. B. Wright
“Determinants of Household Water Conservation Retrofit Activity: A Discrete Choice Model Using Survey Data,” Water Resources Research, 26 (1990), 179-188.