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    Please use this identifier to cite or link to this item: https://nccur.lib.nccu.edu.tw/handle/140.119/91084


    Title: 廠商聯合與結合行為之研究
    Authors: 姚惠忠
    Contributors: 李文福
    姚惠忠
    Date: 1987
    Issue Date: 2016-05-04 17:27:28 (UTC+8)
    Reference: 參考書目及資料
    一、中文部份:
    1.王永慶,「台灣企業合併問題之研究」,(國立政治大學企業管理研究所碩士論文,民國58年5月)。
    2.黃寶泰,「台灣企業合併研究」,(國立交通大學管理研究所碩士論文,民國66年6月)。
    3.羅美宏,「台灣製造業的市場結構與利潤率之關係」,(國立政治大學國貿研究所碩士論文,民國70年6月)。
    4.蕭?雄,「我國產業集中率之測定與分析」,台北市銀月刊,13卷5期,(台北:民國71年5月),43-56頁。
    5.林惠玲,「台灣地區大規模企業之訂價行為」,企銀季刊,5卷4期,(台北:71年4月),113-131頁。
    6.陳正倉,「台灣地區產業集中度之研究」,企銀季刊,8卷2期,(台北73年6月),35-57頁。
    7.湯明達,「產業利潤表現與產業結構」,(國立中興大學經濟研究所碩士論文,民國74年6月)。
    8.廖義男、顏吉利,「公平交易法草案之評析」,行政院經濟革新委員會報告書,產業組研究報告,(台北:民國74年11月),124-135頁。
    9.廖義男、林永頌,「我國獨佔、聯合行為、不公平競爭之實證研究」,行政院經濟革新委員會報告書,產業組研究報告,(台北;民國74年11月),136-156頁。
    10.「74年主要工業產品廠商生產統計表」,經濟部工業局提供。
    11. 73年及74年公司合併資料,經濟部商業司提供。
    12. 73及74年度「受理各發行公司申請發行新股或募集公司債案彙總表」,財政部證管會提供。
    13.林騰鷂,「評公平交易法草案立法政策與技術」,聯合報,(台北:民國75年1月19日)。
    14.張自強,「我國公平交易法的內容與特色」,工商時報,(台北:民國75年5月29日)。
    15.方鳴濤,「獨佔、結合與聯合」,工商時報,(台北:民國75年5月30日)。
    16.曾巨威,「公平交易法的再檢討」,台灣經濟研究月刊,9卷6期,(台北75年6月)。
    17.王仁宏、廖義男、顏吉利,「公平交易法立法的探討」,經濟日報鼎談會,(台北:民國75年6月2日)。
    18.周添城,「公平交易法草案之分析」,台北市銀月刊,18卷3期,(台北:76年3月)。
    19.李文福、賴源河、徐偉初、汪渡村、李新仁、姚惠忠,「公平交易法草案之經濟分析」,行政院研考會,(民國76年3月)。
    20.王克敬,「制度公正合理的公平交易法」,工商時報,(台北:民國76年5月7日)。

    二、英文期刊縮寫之全稱:
    AER: American Economic Review
    BJE: Bell Journal of Economics
    EJ: Economic Journal
    EM: Economica
    IJIO: International Journal of Industrial Organization
    JB: Journal of Business
    JEL: Journal of Economic Issues
    JIE: Journal of Industrial Economics
    JLE: Journal of Law and Economics
    JLS: Journal of Legal Studies
    JPE: Journal of Political Economy
    QJE: Quarterly Journal of Economics
    QJEB: Quarterly Journal of Economics and Business
    RES: Review of Economic Studies
    RESt: Review of Economics and Statistics
    SEJ: Southern Economic Journal

    三、 英文部分:
    1. F.G. Admas and L.R. Klein, Industrial Policies for Growth and Competiveness, Lexington, Mass: D.C. Heath and Company, 1983.
    2. Y. Amihud and B. Lev, “Risk Reduction as a Managerial Motive for Conglomerate Mergers,” BJE, 12, 1981, pp.605-17.
    3. K.J. Arrow, “Economic Welfare and the Allocation of Resources for Invention”, in National Bureau of Economic Research, The Rate and Direction of Inventive Activity: Economic and Social Factors, Princeton: Princeton University Press, 1962.
    4. P. Asch and J.J. Seneca, “Characteristics of Collusive Firms”, JIE, 23, 1975, pp.223-37.
    5. P. Asch and J.J. Seneca, “Is Collusion Profitable?”, RESt, 58, 1976, pp.1-12.
    6. J.S. Bain, Barriers to New Competition, Cambridge Mass.: Harvard University Press, 1956.
    7. R.D. Blair and D.L. Kaserman, “Vertical Integration, Tying and Anti-trust Policy”, AER, 68, pp.397-402.
    8. R.D. Blair and D.L. Kaserman, Law and Economics of Vertical Integration and Control, New York: Academic press Inc., 1983.
    9. W. Breit and K.G. Elzinga, “Antitrust Enforcement and Economic Efficiency: The Uneasy Case for Trible Damages”, JLE, 17, 1974.
    10. Y. Brozen, “Competition, Efficiency and Antitrust”, in Y. Brozen (ed.) The Competitive Economy: Selected Readings, Marristown, N.J.: General Learning, 1975.
    11. M. Burstein, “A Theroy of Full-Line Forcing”, Northwestern University Law Review, 55, 1960, pp.62-95.
    12. T.C. Chou, “Concentration, Profitability and Trade in a Simultaneous Equation Analysis: The Case of Taiwan”, JIE, 34, 1986, pp. 429-43.
    13. R. Clark, Industrial Economics, New York: Basic Blackwell, 1985.
    14. W.S. Comanor, “Market Structure, Product Differentiation and Industrial Research”, QJE, 81, 1967, pp.639-57.
    15. W.S. Comanor and H. Leibenstein, “Allocative Efficiency, X-Effficiency and the Measurement of Welfare Losses”, EM, 36, 1969, pp.304-9.
    16. K, Cowling et al., Mergers and Economic Performance, Cambridge: Cambridge University Press, 1980.
    17. J.A. Dalton, “Administered Inflation and Business Pricing: Another Look”, RESt, 55, 1973, pp.516-9.
    18. P. Dasgupta and J. Stiglitz, “Industrial Structure and the Nature of Innovative Activity”, EJ, 90, 1980, pp.266-93.
    19. C. Davidson and R. Deneckere, “Horizontal Mergers and Collusive Behavior”, IJIO, 2, 1984, pp.117-32.
    20. S.W. Davies, The Diffusion of Process Innovation, Cambridge: Cambridge University Press, 1979.
    21. H. Demsetz, “Information and Efficiency: Another Viewpoint”, JLE, 12, 1969, pp. 1-22.
    22. H. Demsetz, “Industry Structure, Market Rivalry and Public Policy”, JLE, 16, 1973, pp.1-9.
    23. H. Demsetz, “Berriers to Entry”, AER, 72, 1982, pp.47-57.
    24. M.E.De Prano and J.R. Nugent, “Economies as an Antitrust Defense: A Comment”, AER, 59, 1969, pp. 47-53.
    25. F.Y. Dolbear, L.B. Lave, G. Bowman, A. Lieberman, E. Prescott, F. Rueter and R. Scherman, “Collusion in Oligopoly: An Experiment on the Effect of Numbers and Information”, QJE, 82, 1968, pp.240-59.
    26. B.E. Dollery, “Market Structure and Inflation in South Africa: A Test of the Administrated Price Hypothesis”, SAJE, 52, 1984, pp.345-58.
    27. S. Domberger,” Price Adjustment and Market Structure”, EJ, 39, 1979, pp.96-108.
    28. S. Domberger, Industrial Structure, Pricing and Inflation, Oxford: Martin Roberston, 1983.
    29. K. Elzinga and W. Breit, The Antitrust Penalties: A Study in Law and Economics, New Haven: Yale University press, 1976.
    30. M. Firth, “The Profitability of Takeovers and Mergers”, EJ, 89, 1979, pp. 316-28.
    31. B. Fog, “How Are Cartel Prices Determined?”, JIE, 5, 1956, pp.16-23.
    32. L.E. Fouraker and S.Siegel, Bargaining Behavior, New York: McGraw-Hill Inc., 1963.
    33. A.G. Fraas and D.F. Greer, “Market Structure and Price Collusion: An Empirical Analysis”, JIE, 26, 1977, pp.21-44.
    34. P. Geroski, “Specification and Testing the Profit-Concentration Relationship: Some Experiments for the UK”, EM, 48, 1981, pp.279-88.
    35. P.K. Gorecki, “An Inter-industry Analysis of Diversification in the UK Manufacturing Sector”, JIE, 24, 1975, pp. 131-46.
    36. P.J. Halpern, “Empirical Estimates of the Amount and Distribution of Gains to Companies in Mergers”, JB, 46, 1973, pp.554-75.
    37. G.A. Hay and D. Kelley, “AN Empirical Survey of Price Fixing Conspiracies”, JLE, 17, 1974, pp. 13-38.
    38. M. Kalecki, “Trend and Business Cycles Reconsidered”, EJ, 78, 1968, pp.263-76.
    39. A Koutsoyiannis, Modern Microeconomics, 1982.
    40. D.F. Lean, J.D. Ogur and R.P. Rogers, “Does Collusion Pay….. Does Antitrust Work?”, SEJ, 51, 1985, pp. 828-41.
    41. H. Leibenstein, “Allocative Efficiency vs. X-Efficiency”, AER, 56, 1966, pp.392-415.
    42. J. Markham, “Public Policy and Monopoly: A Dilemma in Remedial Action”, SEJ, 21, 1955.
    43. I.M. McDonald, “Market Power and Unemployment”, IJIO, 3, 1985, pp.21-35.
    44. G.C. Means, Industrial Prices and Their Relative Inflexibility, U.S. Senate Document 13, 74th Congress, 1st Session, Washington, D.C., 1935.
    45. G.C. Means, Administrative Inflation and Public Policy, Washington, D.C.: Anderson Kramer Associates, 1959.
    46. R.A. Miller, “Market Structure and Industrial Performance: Relation of Profit Rate to Concentration, Advertising Intensity, and Diversity”, JIE, 17, 1969, pp. 104-18.
    47. P.J. Mohr, Notes on the Caues of and Possible Remedies for the Current Inflation, Pretoria, South Africa: Office of the Prime Minister, Branch of Economic Planning, 1980.
    48. J.C. Narver, Conglomerate Mergers and Market Competition, California: University of California Press, 1969.
    49. D. Needham, The Economics and Politics of Regulation, Boston Tornto: Little, Brown and Company, 1983.
    50. M. Nuti, “The Degree of Monopoly in the Koldar-Mirrles Growth Modle”, RES, 36, 1969, pp.257-60.
    51. OECD, Mergers and Competition Policy, Report of the Committee of Exports on Restrictive Business Practice, Paris: OECD, 1974.
    52. D. Orr and P.W. Macavoy, “Price Stragies to Cartel Stability”, EM, 32, 1965, pp. 186-97.
    53. D.K. Osborne, “Cartel Problem”, AER, 66, 1976, pp.835-44.
    54. J. Palmer, “Some Economic Conditions Conducive to Collusion”, JEI, 29, 1972, pp. 29-38.
    55. S. Peltzman,: The Gains and Losses from Industrial Concentration”, JLE, 20, 1977, pp. 229-63.
    56. M.K. Perry, “Vertial Integration by Competitive Firms: Uncertainty and Diversification”, SEJ, 49, 1982, pp. 201-8.
    57. R.A. Posner, “The Social Costs of Monopoly and Regulation”, JPE, 83, 1975, pp.807-27.
    58. S.J. Prais, The Evolution of Giant Firms in Britain, Cambridge: Cambridge University Press, 1976.
    59. P.D. Qualls, “Price Stability in Concentrated Industries”, SEJ, 42, 1965, pp.294-8.
    60. P.D. Qualls, “Market Share and Price Behavior in U.S. Manufacturing”, QJEB, 18, 1978, pp. 35-7.
    61. S.A. Rhoades, “The Effect of Diversification on Industrial Profit Performance in 241 Manufacturing Industries: 1963”, RESt, 55, 1973, pp. 146-55.
    62. B. Rowthorn, “Demand, Real Wages and Economic Growth”, Thams Papers in Political Economy, 1981.
    63. F.M. Scherer, “Market Structure and the Employment of Scientists and Engineer”, AER, 57, 1967, pp.524-31.
    64. F.M. Scherer, Industrial Market Structure and Economic Performance, Chicago: Rand McNally, 1970.
    65. R. Schmaleness, “A Note on the Theory of Vertical Integration”, JPE, 81, 1973, pp.442-9.
    66. J.A. Schumpeter, Capitalism, Socialism and Democracy, London: George Allen and Unwin, 1965.
    67. W.G. Shepherd, The Economics of Industrial Organization, Englewood Cliffs, N.J.: Prentice Hall, 1979.
    68. K. Shinjo, “Business Pricing Policies and Inflation: The Japenese Case”, RESt, 59, 1977, pp. 447-55.
    69. R.E. Shrieves, “Market Structure and Innovation: A New Perspective”, JIE, 26, 1978, pp. 329-47.
    70. A. Singh, Takeovers, Cambridge: Cambridge University Press, 1971.
    71. G.J. Stigler, “Administered Prices and Oligopolistic Inflation”, JB, 25, 1962, pp.1-13.
    72. G.J. Stigler, “A Theory of Oligopoly”, JPE, 72, 1964, pp. 44-61.
    73. J. Vernon and D. Graham, “Profitability of Monopolization by Vertial Ingration”, JPE, 79, 1971, pp. 924-5.
    74. D.E. Waldman, Antitust Action and Market Structure, Lexington Mass: D.C. Heath and Company, 1978.
    75. L.W. Weiss, “Business Pricing Policy and Inflation, Reconsidered”, JPE, 74, 1966, pp. 177-87.
    76. J.T. Wenders, “Entry and Nonopoly Pricing”, JPE, 75, 1967, pp.77-760.
    77. L.J. White, “Searching for the Critical Concentration Ratio: An Application of the Switching Regimes Technique”, in S.M. Goldfeld and R.E. Quandt (eds.), Studies in Nonlinear Estimation, Mass: Ballinger, 1976.
    78. A.P. White, “The Dominant Firm: A Study of Market Power, Ann Arbor, Michigon: UMI Research Press, 1983.
    79. O.E. Williamson, “Economies as an Antitust Defense: The Welfare Trade-offs”, AER, 58, 1968, pp.18-36.
    80. O.E. Williamson, Economies as an Antitust Defense Revisited, University of Pennsylvania, 1976.
    Description: 碩士
    國立政治大學
    經濟學系
    Source URI: http://thesis.lib.nccu.edu.tw/record/#B2002006290
    Data Type: thesis
    Appears in Collections:[經濟學系] 學位論文

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