Fisheries economics collected essays Volume I First Edition by Anderson – Ebook PDF Instant Download/Delivery:1351757318, 9781351757324
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Product details:
ISBN 10: 1351757318
ISBN 13: 9781351757324
Author: Anderson
Table of contents:
PART I THE BASICS
1 H. Scott Gordon (1954), The Economic Theory of a Common-Property Resource: The Fishery’, Journal of Political Economy, 62, pp. 124–42.
2 Anthony Scott (1955), The Fishery: The Objectives of Sole Ownership’, Journal of Political Economy, 63, pp. 116–24.
3 Milner B. Schaefer (1957), ‘Some Considerations of Population Dynamics and Economics in Relation to the Management of the Commercial Marine Fisheries’, Journal of the Fisheries Research Board of Canada, 14, pp. 669–81.
4 Colin W. Clark and Gordon R. Munro (1975), The Economics of Fishing and Modern Capital Theory: A Simplified Approach’, Journal of Environmental Economics and Management, 2, pp. 92–106.
5 Colin W. Clark, Frank H. Clarke and Gordon R. Munro (1979), The Optimal Exploitation of Renewable Resource Stocks: Problems of Irreversible Investment’, Econometrica, 47, pp. 25–47.
PART II REFINEMENTS
Demand, Supply, and Inputs
6 Ralph Turvey (1964), ‘Optimization and Suboptimization in Fishery Regulation’, The American Economic Review, 54, pp. 64–76.
7 Parzival Copes (1972), ‘Factor Rents, Sole Ownership and the Optimum Level of Fisheries Exploitation’, The Manchester School of Economics and Social Studies, 41, pp. 145–63.
8 J.R. Gould (1972), ‘Externalities, Factor Proportions and the Level of Exploitation of Free Access Resources’, Economica, 39, pp. 383–402.
Extinction
9 J.R. Gould (1972), ‘Extinction of a Fishery by Commercial Exploitation: A Note’, Journal of Political Economy, 80, pp. 1031–8.
10 Colin W. Clark (1973), The Economics of Overexploitation’, Science, 181, pp. 630–34.
Disaggregated Models
11 Vernon L. Smith (1969), ‘On Models of Commercial Fishing’, Journal of Political Economy, 77, pp. 181–98.
12 Lee G. Anderson (1976), ‘The Relationship between Firm and Fishery in Common Property Fisheries’, Land Economics, 52, pp. 179–91.
PART III REGULATION
13 Anthony Scott (1979), ‘Development of Economic Theory on Fisheries Regulation’, Journal of the Fisheries Research Board of Canada, 36, pp. 725–41.
14 J. A. Crutchfield (1979), ‘Economic and Social Implications of the Main Policy Alternatives for Controlling Fishing Effort’, Journal of the Fisheries Research Board of Canada, 36, pp. 742–52.
15 Colin W. Clark (1980), ‘Towards a Predictive Model for the Economic Regulation of Commercial Fisheries’, Canadian Journal of Fisheries and Aquatic Sciences, 37, pp. 1111–29.
16 R. Quentin Grafton (1996), ‘Individual Transferable Quotas: Theory and Practice’, Reviews in Fish Biology and Fisheries, 6, pp. 5–20.
17 Ragnar Arnason (1990), ‘Minimum Information Management in Fisheries’, Canadian Journal of Economics, 23, pp. 630–53.
18 John R. Boyce (1992), ‘Individual Transferable Quotas and Production Externalities in a Fishery’, Natural Resource Modeling, 6, pp. 385–408.
19 Parzival Copes (1986), ‘A Critical Review of the Individual Quota as a Device in Fisheries Management’, Land Economics, 62, pp. 278–91.
20 Ralph E. Townsend (1990), ‘Entry Restrictions in the Fishery: A Survey of the Evidence’, Land Economics, 66, pp. 359–78.
21 Ronald N. Johnson and Gary D. Libecap (1982), ‘Contracting Problems and Regulation: The Ca
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