Academic literature on the topic 'Antitrust immunity'

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Journal articles on the topic "Antitrust immunity"

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Bienstock, Robert Eisig. "Municipal Antitrust Liability: Beyond Immunity." California Law Review 73, no. 6 (1985): 1829. http://dx.doi.org/10.2307/3480374.

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Bilotkach, V., and K. Huschelrath. "ANTITRUST IMMUNITY FOR AIRLINE ALLIANCES." Journal of Competition Law and Economics 7, no. 2 (2011): 335–80. http://dx.doi.org/10.1093/joclec/nhq029.

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Elhauge, Einer. "Making Sense of Antitrust Petitioning Immunity." California Law Review 80, no. 5 (1992): 1177. http://dx.doi.org/10.2307/3480739.

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Brueckner, Jan K., and Stef Proost. "Carve-outs under airline antitrust immunity." International Journal of Industrial Organization 28, no. 6 (2010): 657–68. http://dx.doi.org/10.1016/j.ijindorg.2010.03.006.

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Roberts, Gary R. "The Case for Baseball's Special Antitrust Immunity." Journal of Sports Economics 4, no. 4 (2003): 302–17. http://dx.doi.org/10.1177/1527002503257326.

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Perry, Mark A. "Municipal Supervision and State Action Antitrust Immunity." University of Chicago Law Review 57, no. 4 (1990): 1413. http://dx.doi.org/10.2307/1599898.

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Bilotkach, Volodymyr, and Kai Hüschelrath. "Airline Alliances, Antitrust Immunity, and Market Foreclosure." Review of Economics and Statistics 95, no. 4 (2013): 1368–85. http://dx.doi.org/10.1162/rest_a_00308.

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Blair, Roger D., and Wenche Wang. "Rethinking Major League Baseball’s Antitrust Exemption." Journal of Legal Aspects of Sport 30, no. 1 (2020): 18–40. http://dx.doi.org/10.18060/23893.

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For nearly a century, Major League Baseball (MLB) has enjoyed antitrust immunity. No other sports league or organization is similarly exempt. Shielded by precedent from antitrust prosecution, MLB clubs are free to exploit both monopolistic and monopsonistic power. In this paper, we call for a repeal of MLB’s antitrust exemption. In doing so, we examine some recent antitrust challenges to MLB conduct, the current interest of the Department of Justice and the Federal Trade Commission in labor market issues, the welfare consequences of the exemption, and a policy recommendation for legislative ac
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Panarin, R. S. "Features of Actions Qualification of Economic Entities Belonging to the Same Group of Entities under Article 11 of the Law on Competition Protection." Russian competition law and economy, no. 3 (August 20, 2021): 88–92. http://dx.doi.org/10.47361/2542-0259-2020-3-23-88-92.

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The article deals with certain features of legal qualification of anti-competitive agreements concluded by participants of one group of entities. The author considers the possibility of applying antitrust immunity to anti-competitive agreements concluded between economic entities, including the problem of establishing control between the parties of the agreement on the example of specific antitrust cases.It is concluded that, despite the existence in law enforcement practice of cases of application of immunity to agreements restricting competition between economic entities belonging to the sam
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Kamita, Rene Y. "Analyzing the Effects of Temporary Antitrust Immunity: The Aloha‐Hawaiian Immunity Agreement." Journal of Law and Economics 53, no. 2 (2010): 239–61. http://dx.doi.org/10.1086/600081.

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Dissertations / Theses on the topic "Antitrust immunity"

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Thomas, Tyson. "Essays on alliances, antitrust immunity, and carve-out policy in international air travel markets." Diss., Kansas State University, 2015. http://hdl.handle.net/2097/18958.

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Doctor of Philosophy<br>Department of Economics<br>Philip G. Gayle<br>This dissertation seeks to answer questions regarding changes in the competitive environment in international air travel markets which has undergone rapid changes since the early 1990s. Specifically, the research in this dissertation examines policies regarding cooperation among airlines in international air travel markets as well as how cooperation affects an airline's product quality. These issues are explored in two essays which comprise my dissertation. The first essay explores the efficacy of a policy known as a carve-
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Jinadasa, Malini S. "The role of the leniency programme in the enforcement of competition law in the UK : a complementary enforcement procedure or an admission of the failure of enforcement authorities to tackle anticompetitive behaviour head on?" Thesis, Brunel University, 2018. http://bura.brunel.ac.uk/handle/2438/16583.

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Leniency Programmes have been introduced as a complementary measure in the enforcement of competition law in detecting cartels, on the basis that hard to find evidence will be provided by undertakings coming forward to confess, in exchange for immunity or reduction in fines. The advantages of leniency are deemed to be twofold, since evidence is thereby expected to be given voluntarily, and in turn it would save up the limited resources available to enforcement authorities, by reducing lengthy investigations in search of evidence. Therefore, the widely accepted view by regulators, economists, a
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Pothier, Ann Frédérique. "Leading international aviation towards globalization : the new relationship among carrier alliances, open skies treaties and antitrust immunity." Thesis, National Library of Canada = Bibliothèque nationale du Canada, 1997. http://www.collectionscanada.ca/obj/s4/f2/dsk2/ftp01/MQ44073.pdf.

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Xie, Xin. "Essays on economics of airline alliances." Diss., Kansas State University, 2014. http://hdl.handle.net/2097/17398.

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Doctor of Philosophy<br>Department of Economics<br>Philip G. Gayle<br>This dissertation constitutes two essays in the field of industrial organization. Specifically, the research focuses on empirically assessing the market effects of airline alliances. The first essay examines how codesharing, a form of strategic alliances, by airlines affects market entry decisions of potential competitors. Researchers have written extensively on the impact that strategic alliances between airlines have on airfare, but little is known of the market entry deterrent impact of strategic alliances. Using a str
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Kan, Kuo-Hsiu, and 甘國秀. "The contrast of result of Antitrust Immunity granted to airlines industry in the aspect of Law and Economic Analysis." Thesis, 2012. http://ndltd.ncl.edu.tw/handle/56565978139078594355.

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碩士<br>東吳大學<br>法律學系<br>100<br>German Legal Scholar Rudolf von Jhering (1818-1892) once described the purpose of law in the book as 「Law as a means to an end」,its essence is to say the law has no meaning without a purpose ordeparted from what it meant to be. German Legal Scholar Gustav Radbruch (1878-1949) further established the foundation for his theory in his 1932 work, Rechtsphilosophie. He finds that law, as a cultural concept, “is the reality the meaning of which is to serve the legal value, the idea of law. “Radbruch argues that the idea of law may only be Justice. Radbruch finds that alt
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Books on the topic "Antitrust immunity"

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Clyde, Paul S. The effectiveness of collusion under antitrust immunity: The case of liner shipping conferences. Federal Trade Commission, 1995.

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Clyde, Paul S. The effectiveness of collusion under antitrust immunity: The case of liner shipping conferences. Federal Trade Commission, 1995.

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Clyde, Paul S. The effectiveness of collusion under antitrust immunity: The case of liner shipping conferences. Federal Trade Commission, 1995.

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Bureau, Canada Competition. Immunity program under the Competition Act. Competition Bureau, 2000.

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United States. Congress. Senate. Committee on the Judiciary. The McCarran-Ferguson Act and antitrust immunity: Good for consumers? : hearing before the Committee on the Judiciary, United States Senate, One Hundred Tenth Congress, first session, March 7, 2007. U.S. G.P.O., 2007.

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United States. Congress. Senate. Committee on the Judiciary. Subcommittee on Antitrust, Monopolies, and Business Rights. The Clayton Act Amendments of 1987 (railroad antitrust immunity): Hearing before the Subcommittee on Antitrust, Monopolies, and Business Rights of the Committee on the Judiciary, United States Senate, One hundredth Congress, first session on S. 443 ... May 13, 1987. U.S. G.P.O., 1987.

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United, States Congress Senate Committee on the Judiciary Subcommittee on Antitrust Monopolies and Business Rights. Baseball's antitrust immunity: Hearing before the Subcommittee on Antitrust, Monopolies, and Business Rights of the Committee on the Judiciary, United States Senate, One Hundred Second Congress, second session ... December 10, 1992. U.S. G.P.O., 1993.

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Judiciary, United States Congress House Committee on the. Free Market Antitrust Immunity Reform (FAIR) Act of 2001: Hearing before the Committee on the Judiciary, House of Representatives, One Hundred Seventh Congress, second session, on H.R. 1253, June 5, 2002. U.S. G.P.O., 2002.

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Bureau, Canada Competition. Immunity program under the Competition Act =: Programme d'immunité en vertu de la Loi sur la concurrence. Industry Canada = Industrie Canada, 2000.

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United, States Congress Senate Committee on the Judiciary Subcommittee on Antitrust Business Rights and Competition. International aviation agreements and antitrust immunity: Hearing before the Subcommittee on Antitrust, Business Rights, and Competition of the Committee on the Judiciary, United States Senate, One Hundred Fifth Congress, second session ... March 19, 1998. U.S. G.P.O., 1998.

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Book chapters on the topic "Antitrust immunity"

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Sari, Suurnäkki, and Tomassi Paolo. "Part II Antitrust Investigations, 5 Leniency and Whistle-Blowers." In EU Antitrust Procedure. Oxford University Press, 2020. http://dx.doi.org/10.1093/law-ocl/9780198839866.003.0005.

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This chapter focuses on leniency, which is an important investigative tool designed to serve the enforcement of cartel law, particularly the detection and investigation of cartel activity. In essence, leniency policy offers undertakings involved in a cartel—which self-report and hand over evidence—either total immunity from fines or a reduction of fines, which the European Commission would have otherwise imposed on them. It encourages cartel members to confess and provide first-hand, direct ‘insider’ evidence of conduct that is otherwise concealed. The leniency reward is thus essentially a cooperation incentive for undertakings that ensures detection and punishment of secret cartels. Moreover, leniency programs can help competition authorities to obtain evidence faster and at a lower direct cost, compared to other methods of investigation, and can lead to a more efficient resolution of cases. While the leniency program of the Commission is addressed to undertakings participating in a cartel, individuals can also help the Commission in the fight against cartels and other anti-competitive practices. In 2017, the Commission introduced a specially designed tool for ‘whistle-blowers’ willing to report cartel behaviour anonymously. The chapter then describes the Commission leniency and whistle-blower procedures.
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Peter, Whelan. "Part III Practical Challenges, 9 European Antitrust Criminalization and the Second Challenge of Design: Understanding the Complexities of Leniency/Immunity." In The Criminalization of European Cartel Enforcement. Oxford University Press, 2014. http://dx.doi.org/10.1093/law-ocl/9780199670062.003.0009.

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This chapter focuses on the second challenge of design for European antitrust criminalization: articulating and overcoming the unique challenges of criminal immunity for cartelists and responding to the challenge of ensuring peaceful co-existence of both administrative leniency/immunity and criminal cartel sanctions. It identifies three mechanisms that can be useful in resolving any conflict between administrative leniency programmes and criminal sanctions. The first mechanism identified was the creation of a criminal immunity programme for cartel activity. The second mechanism which is designed to resolve any conflict between administrative leniency programmes and criminal sanctions is the linking of the criminal immunity policy with the administrative leniency policy. The third mechanism identified involves dealing with the issue of criminal disclosure.
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Barry, Rodger, Ferro Miguel Sousa, and Marcos Francisco. "Part III Comparative Analysis of the Transposition Processes and Outcomes, 20 Transposition: Key Issues and Controversies." In The EU Antitrust Damages Directive. Oxford University Press, 2018. http://dx.doi.org/10.1093/law-ocl/9780198812760.003.0020.

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This chapter examines how the Member States have addressed most of the key issues and controversies arising from the transposition of the Antitrust Damages Directive within their respective legal systems. It first considers the substantive grounds and conditions for liability, highlighting several legal debates that are likely to arise in the context of liability, such as those relating to fault, the characterization of the type of liability in question and the consequences thereof, and the liability of the parent company. It then discusses joint liability, particularly the liability of immunity recipients and of small to medium-size enterprises, and issues concerning access to evidence, specialized courts that would hear antitrust damages actions, limitation periods, the binding force of public enforcement decisions, the right to full compensation, quantification of harm, passing-on, consensual dispute resolution (settlements and alternative dispute resolution), and collective redress.
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Christian, Kersting. "Part II The Member State Reports on Transposition of the Directive, 6 Germany." In The EU Antitrust Damages Directive. Oxford University Press, 2018. http://dx.doi.org/10.1093/law-ocl/9780198812760.003.0006.

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This chapter focuses on the transposition of the Antitrust Damages Directive in Germany. It first provides an overview of the transposition procedure, focusing on the role of the Federal Ministry for Economic Affairs and Energy in drafting the legislation to transpose directive 2014/104/EU into German law. It then considers the scope of the German regime regarding cartel damages and how it was incorporated into the German Act against Restraints of Competition (Gesetz gegen Wettbewerbsbeschränkungen, GWB) for exclusive application to competition law infringements. It also examines specific issues that arose during the transposition, including those relating to the directive’s definitions, the binding force of decisions of other Member States, parent company liability for fines, group liability for damages, the presumption and quantification of damages, joint and several liability and recovery of contribution from co-infringers, the liability of immunity recipients, the liability of small and medium-sized enterprises, disclosure of evidence, and settlements.
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Ahdar, Rex. "Granting Immunity: Authorisation and “Public Benefit”." In The Evolution of Competition Law in New Zealand. Oxford University Press, 2020. http://dx.doi.org/10.1093/oso/9780198855606.003.0008.

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This chapter analyses the authorisation mechanism—a demanding cost-benefit test for those applicants who seek advance approval of their potentially contravening conduct. The “public benefits” and detriments the Commission can assess under this test are very broad. The potentially relevant matters go well beyond economic efficiencies to intangible and unquantified gains or harms. A thorny issue has been the distributional question. Does the Act have an implicit bias in favour of consumers when it comes to weighing benefits and detriments? Must benefits be passed on to consumers? The Chicagoan thinking came to dominate and the Commission pronounced it was “neutral” regarding wealth transfers from consumers to producers. The 2001 Amendment, which altered the purpose of the Act to clarify that competition operated for the long-term benefit of New Zealand consumers, did not initially alter the Chicagoan stance. Over time, however, the purely neutral stance towards wealth transfers has been eroded. The Court of Appeal decided that private gains, redounding solely to the companies alone, were not sufficient. “Modified total welfare” arrived as a new term in the New Zealand antitrust lexicon. The chapter also analyses the non-neutral stance where the benefits go to foreign owners of local companies.
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