|
|
| # |
|
| |
16 U.S.C. §1801-1883. Magnuson-Stevens Fishery Conservation and Management Act as amended through October 11, 1996. 
|
|
| A |
|
| |
Abbott, J.K. and J.E. Wilen. 2009. Regulation of Fisheries Bycatch with Common Pool Output Quotas. J. Environ. Econ. Mgmt. 57:195-204.
Ackroyd, P., R.P. Hide, and B.M.H. Sharp. 1990. New Zealand’s ITQ System: Prospects for the Evolution of Sole Ownership Corporations. Report to MAF Fisheries. Minister of Fisheries, Wellington, New Zealand.
Adasiak, A. 1979. Alaska’s experience with limited entry. Journal of the Fisheries Research Board of Canada. 36:770-782.
Adelaja, A., B.J. McCay, and J. Menzo. 1998a. Market power, industrial organization, and tradable quotas. Review of Industrial Organization. 13:589-601.
Adelaja, A., B. McCay, and J. Menzo. 1998b. Market share, capacity utilization, resource conservation, and tradable quotas. Marine Resource Economics. 13:115-134.
Agnello, R.J. and L.P. Donnelley. 1975. Property rights and efficiency in the oyster industry. Land Economics. 18:521-533.
Anderson, C.M. and J.G. Sutinen. 2005. A laboratory assessment of tradable fishing allowances. Marine Resource Economics. 20(1):1-23.
Anderson, C.M. and D.S. Holland. 2006. Auctions for initial sale of annual catch entitlement. Land Economics. 82(3):333-352.
Anderson, J.E. 1987. Quotas as options: Optimality and quota license pricing under uncertainty. Journal of International Economics. 23:21-39.
Anderson, L.G. 1989a. Conceptual constructs for practical ITQ management policies. Pp. 191-209 in P.A. Neher, R. Arnason, and N. Mollett (eds.), Rights Based Fishing. Kluwer Academic Publishers, Boston, Massachusetts.
Anderson, L.G. 1989b. Property Rights in Fisheries: Lessons from the New Zealand Experience. Working Paper 89-22. Political Economy Research Center, Bozeman, Montana.
Anderson, L.G. 1991a. Efficient policies to maintain total allowable catches in ITQ fisheries with at-sea processing. Land Economics. 67(2):141-157.
Anderson, L.G. 1991b. A note on market power in ITQ fisheries. Journal of Environmental Economics and Management. 21(3):291-296.
Anderson, L.G. 1992. Consideration of the Potential Use of Individual Transferable Quotas in U.S. Fisheries. Vol. 1. Contractor paper prepared for the National Ocean and Atmospheric Administration.
Anderson, L.G. 1994a. A note on the economics of discards in fisheries utilization. Marine Resource Economics. 9(2):183-186.
Anderson, L.G. 1994b. An economic analysis of highgrading in ITQ fisheries regulation programs. Marine Resource Economics. 9(3):209-226.
Anderson, L.G. 1995. A commentary on the views of environmental groups on access control in fisheries. Ocean and Coastal Management. 28:165-188.
Anderson, L.G. 2000. The effects of ITQ implementation: A dynamic approach. Natural Resource Modeling. 13:435-470.
Anderson, L.G. 2002. A microeconomic analysis of the formation and potential reorganization of AFA coops. Marine Resource Economics. 17:207-224.
Anderson L.G. 2008. The control of market power in ITQ fisheries. Marine Resource Economics. 23(1):25-35.
Anderson, T.L. and P.J. Hill. 1990. The race for property rights. Journal of Law and Economics. 33:177-197.
Annala, J.H. 1993. Fishing assessment approaches in New Zealand’s ITQ system. Pp. 791-805 in G. Kruse, D.M. Eggers, R.J. Marasco, C. Pautzke, and T.J. Quinn II (eds.), Proceedings of the International Symposium on Management Strategies for Exploited Fish Populations. Alaska Sea Grant College Program Report No. 93-02, University of Alaska, Fairbanks.
Annala, J.H. 1996. New Zealand’s IFQ system: Have the first eight years been a success or a failure? Reviews in Fish Biology and Fisheries. 6:43-62.
Annala, J.H., K.J. Sullivan, and A. Hore. 1991. Management of multispecies fisheries in New Zealand by individual transferable quotas. Pp. 321-330 in N. Daan and M.P. Sissenwine (eds.), Proceedings of the ICES Marine Science Symposium: Multispecies Models for Management of Living Resources.
Apostle, R., B.J. McCay, and K.H. Mikalsen. 1997. The political construction of an IQ management system: The mobile gear ITQ experiment in the Scotia Fundy region of Canada. Pp. 27-49 in G. Pálsson and G. Pétursdóttir (eds.), Social Implications of Quota Systems in Fisheries. Nordic Council of Ministers, Copenhagen.
Arnason, R. 1993. The Icelandic individual transferable quota system: A descriptive account. Marine Resource Economics. 8(3):201-218.
Arnason, R. 1996. On the individual transferable quota fisheries management system in Iceland. Reviews in Fish Biology and Fisheries. 6(1):63-90.
Arnason, R. 1998. Ecological fisheries management using individual transferable share quotas. Ecological Applications. 8(1):151-159.
Arnason, R. 2007. Fisheries self-management under ITQs. Marine Resource Management. 22(4):373-390.
Arnason, R. 2009. Conflicting uses of marine resources: can ITQs promote an efficient solution? Australian Journal of Agricultural and Resource Economics. 53(1):145-174.
Ausubel, L.M. 2002. Implications of Auction Theory for New Issues Markets. Brookings- Wharton Papers on Financial Services. 
Ausubel, L.M. 2004. An efficient ascending-bid auction for multiple objects. American Economic Review. 94(5):1452-1475. 
Ausubel, L.M. and P. Crampton. 2004. Auctioning many divisible goods. Journal of the European Economic Association. 2(2-3):480-493. 
Ausubel, L.M. and P.R. Milgrom. 2002. Ascending auctions with package bidding. Frontiers of Theoretical Economics. 1(1). 
Ausubel, L.M. and P.R. Milgrom. 2006. The lovely but lonely vickrey auction. In P. Cramton, R. Steinberg, and Y. Shoham (eds.), Combinatorial Auctions. MIT Press. 
Ausubel, L.M., P. Cramton, and P. Milgrom. 2006. The clock-proxy auction: A practical combinatorial auction design. In P. Cramton, R. Steinberg, and Y. Shoham (eds.), Combinatorial Auctions. MIT Press.|Web link|
|
|
| B |
|
| |
Batstone, C.J. and B.M.H. Sharp. 1999. New Zealand’s quota management system: The first ten years. Marine Policy. 23:177-190.
Berck, P. and G. Johns. 1985. Policy consequences of better stock estimates in Pacific halibut fisheries. Pp. 139-145 in Proceedings of the American Statistical Association Business and Economics Statistics Section.
Bess, R. 2005. Expanding New Zealand’s quota management system. Marine Policy. 29(4):339-347.
Bess, R. and R. Rallapudi. 2007. Spatial conflicts in New Zealand fisheries: The rights of fishers and protection of the marine environment. Marine Policy 31:719-729.
Bishop, R.C. 1973. Limitation of entry in the United States fishing industry: An economic appraisal of a proposed policy. Land Economics. 49:381-390.
Bishop, R.C. and K.C. Samples. 1980. Sport and commercial fishing conflicts: Theoretical analysis. Journal of Environmental Economics and Management. 7:220-233
Bjorndal, T. and G. Munro. 1998. The economics of fisheries management: A survey. Pp. 153-188 in T. Tietenberg and H. Folmer (eds.), The International Yearbook of Environmental and Resource Economics: 1998/9. Edward Elgar, Cheltenham, UK.
Bose, S., H.F. Campbell, and A. McIldorm. 2000. A model of the market for ITQ in Australia’s multi-species South East fishery. In Proceedings of the Institute for International Fisheries Economics and Trade. Corvallis, Oregon.
Boyce, J.R. 1992. Individual transferable quotas and production externalities in a fishery. Natural Resource Modeling. 6:385-408.
Boyd, R.O. and C.M. Dewees. 1992. Putting theory into practice: Individual transferable quotas in New Zealand's fisheries. Society and Natural Resources. 5:179-198.
Branch, T. 2009. How do individual transferable quotas affect marine ecosystems? Fish and Fisheries. 10: 39-57.
Brander, L. and D.L. Burke. 1995. Rights-based vs. competitive fishing of sea scallops Placopecten magellanicus in Nova Scotia. Aquatic Living Resources. 8:279-288.
Brandt, S.J. 1994-1995. Effects of limited access management on substitutable resources: A case study of the surf clam and ocean quahog fishery. Journal of Environmental Systems. 23(1):21-49.
Brandt, S. and N. Ding. 2008. Impact of property rights on labor contracts in commercial fisheries. Ocean and Coastal Management. 51(11):740-748.
Bromley, D.W. 2009. Abdicating responsibility: the deceits of fisheries policy. Fisheries. 34(6):280-302.
Brubaker, E. 1996. The ecological implications of establishing property rights in Atlantic fisheries. Pp. 221-251 in B.L. Crowley (ed.), Taking Ownership: Property Rights and Fishery Management on the Atlantic Coast. Atlantic Institute for Market Studies, Halifax, Nova Scotia.
|
|
| C |
|
| |
Carrier, J.G. 1987. Marine tenure and conservation in Papua New Guinea: Problems in interpretation. Pp. 142-167 in B.J. McCay and J.M. Acheson (eds.), The Question of the Commons. University of Arizona Press, Tucson.
Casey, K.E., C.M. Dewees, B.R. Turris, and J.E. Wilen. 1995. Effects of individual vessel quotas in the British Columbia halibut fishery. Marine Resource Economics. 10:211-230.
Charles Rivers Associates Inc. and Market Design Inc. 1998a. Report 1A: Auction Design Enhancements for Non-Combinatorial Auctions. Charles River and Associates Report No. 1351-00. Charles River and Associates, Cambridge, Massachusetts.
Charles Rivers Associates Inc. and Market Design Inc. 1998b. Report 1B: Package Bidding for Spectrum Licenses. Charles River and Associates Report No. 1351-00. Charles River and Associates, Cambridge, Massachusetts.
Charles Rivers Associates Inc. and Market Design Inc. 1998c. Report 2: Simultaneous Ascending Auctions with Package Bidding. Charles River and Associates Report No. 1351-00. Charles River and Associates, Cambridge, Massachusetts.
Christy, F.T., Jr. 1969. Session summary: Fisheries goals and the rights of property. Transactions of the American Fisheries Society. 2:369-378.
Christy, F.T., Jr. 1973. Fishermen’s Quotas: A Tentative Suggestion for Domestic Management. University of Rhode Island, Law of the Sea Institute, Occasional Paper No. 19, Kingston, Rhode Island.
Christy, F.T., Jr. 1977. The Fishery Conservation and Management Act of 1976: Management objectives and the distribution of benefits and costs. Washington Law Review. 52:657-680.
Christy, F.T., Jr. 1982. Territorial Use Rights in Marine Fisheries: Definitions and Conditions. FAO Fisheries Technical Paper 227: FIPP/T227. Food and Agriculture Organization, Rome.
Christy, F.T., Jr. 1996. The death rattle of open access and the advent of property rights regimes in fisheries. Marine Resource Economics. 11(4):287-304.
Chu, C. 2009. Thirty years later: the global growth of ITQs and their influence on stock status in marine fisheries. Fish and Fisheries. 10: 217-230.
Clark, CW. 1980. Towards a predictive model for the economic regulation of commercial fisheries. Canadian Journal of Fisheries and Aquatic Science. 37:1111-1129.
Clark, CW. 1985. The effect of fishermen’s quotas on expected catch rates. Marine Resource Economics. 1:419-427.
Clark, I.N. 1993. Individual transferable quotas: The New Zealand experience. Marine Policy. 17:340-342.
Clark, I.N. and A.J. Duncan. 1986. New Zealand’s Fisheries Management Policies-Past, Present and Future: The implementation of an ITQ–based management system. Pp. 107- 140 in N. Mollett (ed.), Fishery Access Control Programs Worldwide: Proceedings of the Workshop on Management Options for the North Pacific Longline Fisheries. Alaska Sea Grant College Program Report No. 86-4, University of Alaska, Fairbanks.
Clark, I.N., P.J. Major, and N. Mollett. 1988. Development and implementation of New Zealand’s ITQ management system. Marine Resource Economics. 5:325-349.
Code of Federal Regulations § 679.45. IFQ Cost Recovery Program.
Collons, KA. 1996. ITQs as collateral rightly understood: Preserving commerce and conserving fisheries. UCLA Journal of Environmental Law and Policy. 14:285-326.
Connor, R. and D. Alden. 2001. Indicators of the effectiveness of quota markets: The southeast trawl fishery of Australia. Marine and Freshwater Research. 52:387-397.
Cook B.A. and P. Copes. 1987. Optimal levels for Canada’s Pacific halibut catch. Marine Resource Economics. 4:45-61.
Copes, P. 1986. A critical review of the individual quota as a device in fisheries management. Land Economics. 62(3):278-291.
Copes, P. 1997. Social impacts of fisheries management regimes based on individual quotas. Pp. 61-90 in G. Pálsson and G. Pétursdóttir (eds.), Social Implications of Quota Systems in Fisheries. Nordic Council of Ministers, Copenhagen.
Cordell, J.C. and M.A. McKean. 1992. Sea tenure in Bahia, Brazil. Pp. 183-205 in D.W. Bromley (ed.), Making the Commons Work: Theory, Practice, and Policy. Institute for Contemporary Studies, San Francisco, California.
Costello, C., S.D. Gaines and J. Lynham. 2008. Can Catch Shares Prevent Fisheries Collapse? Science 321: 1678.
Cramton, P. 1998. Ascending auctions. European Economic Review. 42(3-5):745-756. 
Cramton, P. 2000. Lessons from the United States Spectrum Auctions. Prepared Testimony before the U.S. Senate Budget Committee, February 10. 
Cramton, P. 2006. Simultaneous ascending auctions. Pp. 99-114 in P. Cramton, R. Steinberg, and Y. Shoham (eds.), Combinatorial Auctions. MIT Press. 
Cramton, P. and S. Kerr. 1998. Tradable Carbon Permit Auctions: How and Why to Auction Not Grandfather. Resources for the Future Discussion Paper 98-34. 
Cramton, P. and J.A. Schwartz. 2000. Collusive bidding: Lessons from the FCC spectrum auctions. Journal of Regulatory Economics. 17: 229-252. 
Cramton, P., Y. Shoham, and R. Steinberg. 2006. Introduction to combinatorial auctions. In P. Cramton, R. Steinberg, and Y. Shoham (eds.), Combinatorial Auctions. MIT Press. 
Creed, C.F. and B.J. McCay. 1996. Property rights, conservation, and institutional authority: Policy implications of the Magnuson Act reauthorization for the Mid-Atlantic region. Tulane University Environmental Law Journal. 9(2):245-256.
Criddle, K.R. 1994. Economics of resource use: A bioeconomic analysis of the Pacific halibut fishery. Pp. 37-52 in Proceedings of the Fourth International Symposium of the Conference of Asian and Pan-Pacific University Presidents. Alaska Sea Grant, Anchorage, Alaska.
Criddle, K.R. 2004a. Economic principles of sustainable multi-use fisheries management, with a case history economic model for Pacific halibut. Pp. 143-171 in D.D. MacDonald and E.E. Knudson (eds.), Sustainable Management of North American Fisheries. American Fisheries Society, Bethesda, Maryland.
Criddle, K.R. 2004b. Property rights and the management of multiple use fisheries. Pp. 85-110 in D.R. Leal (ed.), Evolving Property Rights in Marine Fisheries. Rowman and Littlefield Publishers, Lanham, Maryland.
Criddle, K.R. and S. Macinko. 2000. A requiem for the IFQ in US fisheries? Marine Policy. 24:461-469.
Criddle, K.R., M. Herrmann, and J.A. Greenberg. 2001. Territorial use rights: A rights based approach to spatial management. Pp. 573-590 in M. Dorn, S. Hills, G. Kruse, and D. Witherell (eds.), Spatial Processes and the Management of Fish Populations. Alaska Sea Grant, Anchorage, Alaska.
Crothers, S. 1988. Individual transferable quotas: The New Zealand experience. Fisheries. 13(1):10-12.
Crowley, R.W. and H. Palsson. 1991. Rights Based Fisheries Management in Canada. Department of Fisheries and Oceans, Ottawa, Canada.
Crutchfield, J.A. 1961. An economic evaluation of alternative methods of fishery regulation. Journal of Law and Economics. 4:131-143.
Crutchfield, J.A. 1979. Economic and social implications of the main policy alternatives for controlling fishing effort. Journal of the Fisheries Research Board of Canada. 36:742-752.
Crutchfield, J.A. and A. Zellner. 1962. Economic aspects of the Pacific halibut fishery. Fishery Industrial Research. 1:1-73.
Crutchfield, J.A. and A. Zellner. 2003. The Economics of Marine Resources and Conservation Policy: The Pacific Halibut Case with Commentary. University of Chicago Press, Chicago.
|
|
| D |
|
| |
Danielsson, A. 2000. Efficiency of ITQs in the presence of production externalities. Marine Resource Economics. 15:37-43.
Dewees, C.M. 1989. Assessment of the implementation of individual transferable quotas in New Zealand's inshore fishery. North American Journal of Fisheries Management. 9(2):131-139.
Dewees, C.M. 1996. Industry and government negotiation: Communication and change in New Zealand’s individual transferable quota system. Pp. 333-341 in R.M. Meyer, C. Zhang, M.L. Windsor, B.J. McKay, L.J. Hushak, R.M. Muth, and R.J. Wolotira (eds.), Fisheries Resources Utilization and Policy: Proceedings of the World Fisheries Congress, Theme 2. Oxford and IBH Publishing Co., New Delhi
Dewees, C.M. 1998. Effects of individual quota systems on New Zealand and British Columbia fisheries. Ecological Applications. 8(1):S133-S138.
Dinneford, E., K. Iverson, B. Muse, and K. Schelle. 1999. Changes under Alaska’s IFQ Program 1995 to 1998. Commercial Fisheries Entry Commission, Juneau, Alaska.
Doyle, M., R. Singh, and Q. Weninger. 2004. Optimal Fisheries Management with Stock Uncertainty and Costly Capital Adjustment. Working Paper. Department of Economics, Iowa State University.
Dupont, D.P. and R.Q. Grafton. 2001. Multi-species individual transferable quotas: The Scotia-Fundy mobile gear ground fishery. Marine Resource Economics. 15(3):205-220.
Dupont, D.P. and S.A. Phipps. 1991. Distributional consequences of fisheries regulations. Canadian Journal of Economics. 24:206-220.
|
|
| E |
|
| |
Easley, J.E., Jr. 1992. Selected issues in modeling allocation of fishery harvests. Marine Resource Economics. 7:41-56.
Edwards, S.F. 1990. An Economics Guide to Allocation of Fish stocks between Commercial and Recreational Fisheries. NOAA Technical Report. Northeast Fisheries Center, Woods Hole, Massachusetts.
Edwards, S.F. 1994. Ownership of renewable ocean resources. Marine Resource Economics. 9(3):253-273.
Edwards, S.F. 2002. Rent-seeking and property rights formation in the US Atlantic sea scallop fishery. Marine Resource Economics. 16:263-275.
Environmental Defense. 2007. Sustaining America’s Fisheries and Fishing Communities: An Evaluation of Incentive Based Management. 
Eythorsson, E. 1996a. Theory and practice of ITQs in Iceland. Marine Policy. 20(3):269– 281.
Eythorsson, E. 1996b. Coastal communities and ITQ management: The case of Iceland. Sociologica Ruralis. 36(2):212-223.
Exel, M. and B. Kaufmann. 1997. Allocation of fishing rights: Implementation issues in Australia. Pp. 246-255 in E.K. Pikitch, D.D. Huppert, and M.P. Sissenwine (eds.), Global Trends: Fisheries Management Proceedings Symposium, June 14-16, 1994. American Fisheries Society Symposium, Seattle, Washington.
|
|
| F |
|
| |
Felthoven, R. 2002. Effects of the American Fisheries Act on capacity, utilization, and technical efficiency. Marine Resource Economics. 17:181-205.
Flaaten, O. and K. Heen. 1995. The invisible resource rent in limited entry and quota managed fisheries: The case of Norwegian purse seine fisheries. Marine Resource Economics. 10:341-356.
Food and Agriculture Organization (FAO). 2001. Use of Property Rights in Fisheries Management. FAO Fisheries Technical Paper 404/2. Food and Agricultural Organization, Rome.
Fraser, C. and J. Jones. 1989. Enterprise allocations: The Atlantic Canadian experience. Pp. 267-288 in P. Neher, R. Arnason, and N. Mollett (eds.), Rights Based Fishing. Kluwer Academic Publishers, Boston, Massachusetts.
Fraser, G.A. 1979. Limited entry: Experience of the British Columbia salmon fishery. Journal of the Fisheries Research Board of Canada. 36:754-763.
Fujita, R., K. Bonzon. 2005. Rights-based fisheries management: an environmentalist perspective. Reviews in Fish Biology and Fisheries. 15(3):309-312.
|
|
| G |
|
| |
Gardner, M. 1988. Enterprise allocation system in the offshore groundfish sector in Atlantic Canada. Marine Resource Economics. 5(4):389-414.
Gardner Pinfold Consulting Economists Limited. 2005. A Review of Options for Tendering Crown-held Quota. July 2005.
Government Accountability Office (GAO). 2002. Individual Fishing Quotas: Better Information Could Improve Program Management. GAO-03-159. 
Government Accountability Office (GAO). 2004. Individual Fishing Quotas: Economic Effects on Processors and Methods Available to Protect Communities. GAO-04-487T. 
Government Accountability Office (GAO). 2004. Individual Fishing Quotas: Methods for Community Protection and New Entry Require Periodic Evaluation. GAO-04-277. 
Government Accountability Office (GAO). 2005. Individual Fishing Quotas: Management Costs Varied and Were Not Recovered as Required. GAO 05-241. 
Government Accountability Office (GAO). 2006. Fisheries Management: Core Principles and a Strategic Approach Would Enhance Stakeholder Participation in Developing Quota-Based Programs. GAO-06-289. 
Gauvin, J.R., J.M. Ward, and E.E. Burgess. 1994. Description and preliminary evaluation of the wreckfish (Polyprion americanus) fishery under individual transferable quotas. Marine Resource Economics. 9(2):99-118.
Geen, G. and M. Nayar. 1988. Individual transferable quotas in the southern bluefin tuna fishery: An economic appraisal. Marine Resource Economics. 5(4):365-388.
Geen, G., W. Nielander, and T.F. Meany. 1993. Australian Experience with Individual Transferable Quota Systems. Pp. 73-94 in The Use of Individual Quotas in Fisheries Management. OECD, Paris.
Ginter, J.J.C. 1995. The Alaska community development quota fisheries management program. Ocean and Coastal Management. 28(1-3):147-163.
Gonzalez, E. 1996. Territorial use rights in Chilean fisheries. Martine Resource Economics. 11:211-218.
Gordon, H.S. 1953. An economic approach to the optimum utilization of fisher resources. Journal of the Fisheries Research Board of Canada. 10:442-457.
Gordon, H.S. 1954. The economic theory of a common property resource: The fishery. Journal of Political Economy. 62:124-142.
Grafton, R.Q. 1995. Rent capture in a rights-based fishery. Journal of Environmental Economics and Management. 28(1):48-67.
Grafton R.Q. and H.W. Nelson. 1997. Fishers’ individual salmon harvesting rights: An option for Canada’s Pacific fisheries. Canadian Journal of Fisheries and Aquatic Science. 54:474-482.
Grafton R.Q., R. Arnason, T. Bjørndal, D. Campbell, H.F. Campbell, C.W. Clark, R.D. Connor, D.P. Dupont, R. Hannesson, R. Hilborn, J.E. Kirkley, T. Kompas, D.E. Lane, G.R. Munro, S. Pascoe, D. Squires, S.I. Steinshamn, B.R. Turris, and Q. Weninger. 2006. Incentive-based approaches to sustainable fisheries. Canadian Journal of Fisheries and Aquatic Science. 63(3):699-710.
Griffin, W.L., K. Roberts, A.B. Lamberte, J.M. Ward, and H.M. Hendrickson. 1992. Considerations for the Potential Use of Individual Transferable Quotas in the Gulf of Mexico Shrimp Trawl Fishery. Volume 3. National Marine Fisheries Service, Silver Spring, Maryland.
Griffith, D.R. 2008. The ecological implications of individual fishing quotas and harvest cooperatives. Frontiers in Ecology and the Environment. 6(4): 191-198.
|
|
| H |
|
| |
Hackett, S.C., M.J. Krachey, S. Brown, and D. Hankin. 2005. Derby fisheries, individual quotas, and transition in the fish processing industry. Marine Resource Economics. 20:47-60.
Hanna, S.S. 1997. The new frontier of American fisheries governance. Ecological Economics. 20:221-233.
Hanna, S. and M. Munasinghe. 1995a. Property Rights in a Social and Ecological Context: Social and Ecological Issues. The World Bank, Washington, D.C.
Hanna, S. and M. Munasinghe. 1995b. Property Rights in a Social and Ecological Context: Case Studies and Design Applications. The World Bank, Washington, D.C.
Hannesson, R. 1993. Bioeconomic Analysis of Fisheries. Halstead Press, New York.
Hannesson, R. 1996. On ITQs. Reviews in Fish Biology and Fisheries. 6:91-96.
Hannesson, R. 2007. Taxes, ITQs, investments, and revenue sharing. Marine Resource Economics. 22(4):363-371.
Haraldsson, G. 2008. Impact of the Icelandic ITQ system on outsiders. Aquatic Living Resources. 21(3):239-245.
Hardin, G. 1968. The tragedy of the commons. Science. 162:1243-1248.
Hatcher, A. 2005. Non-compliance and the quota price in an ITQ fishery. Journal of Environmental Economics and Management. 49:427-436.
Hausker, K. 1990. Coping with the cap: How auctions can help the allowance market work? Public Utilities Fortnightly. 125:28-34.
Hausaker, K. 1992. The politics and economics of auction design in the market for sulfur dioxide pollution. Journal of Policy Analysis and Management. 11(4):553-572.
Heal, G. and W. Schlenker. 2008. Sustainable Fisheries. Nature. 455(23):1044. Herrmann, M. 1996. Estimating the induced price increase for Canadian Pacific halibut with the introduction of the individual vessel quota program. Canadian Journal of Agricultural Economics. 44:151-164.
Herrmann, M. 2000. The individual vessel quota price induced effects for Canadian Pacific halibut: Before and after Alaska IFQs. Canadian Journal of Agricultural Economics. 48:195-210.
Herrmann, M. and K.R. Criddle. 2006. An econometric market model for the Pacific halibut fishery. Marine Resource Economics. 21:129-158.
Hilborn, R., T. Branch, B. Ernst, A. Magnusson, C.V. Minte-Vera, M.D. Scheurell and J.L. Valero. 2003. State of the World’s Fisheries. Annu. Rev. Environ. Resour. 28:359-99.
Hilborn, R., J. Parish, K. Litle. 2005. Fishing rights or fishing wrongs? Reviews in Fish Biology and Fisheries. 15: 191-199.
Hilborn, R. 2007. Moving to sustainability by learning from successful fisheries. Ambio. 36(4):296-303.
Holland, D.S. 2000. Fencing the fisheries commons: Regulatory barbed wire in the Alaskan groundfish fisheries. Marine Resource Economics. 15:141-149. Holland, D.S. and G.E. Herrera. 2006. Flexible catch-balancing policies for multispecies individual fishery quotas. Canadian Journal of Fisheries and Aquatic Sciences. 63:1669- 1685.
Holland, D. and K.E. Schnier. 2006. Individual habitat quotas for fisheries. Journal of Environmental Economics and Management. 51:72-92.
F.R. Homans, “Modeling Regulated Open Access Resource Use” (Ph.D. Diss., University of California – Davis, 1993).
Homans, F.R. and J.E. Wilen. 1997. A model of regulated open access resource use. Journal of Environmental Economics and Management. 32:1-21.
Homans, F.R. and J.E. Wilen. 2005. Markets and rent dissipation in regulated open access fisheries. Journal of Environmental Economics and Management. 49:381-404.
Huppert, D.D. 1991. Managing the groundfish fisheries of Alaska: History and prospects. Reviews in Aquatic Sciences. 4(4):339-373.
Huppert, D., L. Anderson, and R. Harding. 1992. Considerations for the Potential Use of Individual Transferable Quotas in the North Pacific Groundfish Trawl Fishery. National Marine Fisheries Service, Silver Spring, Maryland.
Huppert, D.D., G.M. Ellis, and B. Noble. 1996. Do permit prices reflect the discounted value of fishing? Evidence from Alaska’s commercial salmon fisheries. Canadian Journal of Fisheries and Aquatic Science. 53:761-768.
Huppert, D.D. 2005. An overview of fishing rights. Reviews in Fish Biology and Fisheries. 15: 201-215.
|
|
| J |
|
| |
Jentoft, S. 1989. Fisheries co-management: delegating government responsibilities to fishermen's organizations. Marine Policy. 13(2):137-154.
Johannes, R.E. 1978. Reef and lagoon tenure systems in the Pacific Islands. South Pacific Bulletin. 4:31-34.
Johnson, R.N. 1995. Implications of taxing quota value in an individual transferable quota fishery. Marine Resource Economics. 10:327-340.
Johnson, R.N. and G.D. Libecap. 1982. Contracting problems and regulation: The case of the fishery. American Economic Review. 72:1005-1022.
|
|
| K |
|
| |
Karpoff, J. 1984. Low interest loans and the markets for limited entry permits in the Alaska salmon fisheries. Land Economics. 60:69-80.
Karpoff, J.M. 1987. Suboptimal controls in common resource management: The case of the fishery. Journal of Political Economy. 95:179-194.
Karpoff J.M. 1989. Characteristics of limited entry fisheries and the option component of entry licenses. Land Economics. 65:386-393.
Kaufmann, B. and G. Geen. 1997. Cost-recovery as a fisheries management tool. Marine Resource Economics. 12(1):57-66.
Kaufmann, B. and G. Geen. 1998. Quota allocation and litigation: And economic perspective. Marine Resource Economics. 13:143-157.
Klemperer, P. 1999. Auction theory: A guide to the literature. Journal of Economic Surveys. 13(3):227-286. 
Klemperer, P. 2002. What really matters in auction design. Journal of Economic Perspectives. 16(1):169-189. 
Klemperer, P. 2003. Using and abusing economic theory. Journal of the European Economic Association. 1(2-3)272-300. 
Knapp, G. 1996. Alaska halibut captains’ attitudes towards IFQs. Marine Resource Economics. 11:43-55.
Knapp, G. 1997. Initial effects of the Alaska halibut IFQ program: Survey comments of Alaska fishermen. Marine Resource Economics. 12:239-248.
Kompas, T. and T. Nhu Che. 2003. Efficiency Gains and Cost Reductions from Individual Transferable Quotas: A Stochastic Cost Frontier for the Australian South East Fishery. International and Development Economics Working Paper 03-6. Australian National University, Canberra.
Koslow, J.A. 1982. Limited entry policy and the Bristol Bay, Alaska salmon fishermen. Canadian Journal of Fisheries and Aquatic Science. 39:415-425.
Kristofersson, D. and K. Rickertsen. 2009. Highgrading in quota-regulated fisheries: evidence from the Icelandic cod fishery. Amer. J. Agr. Econ. 91(2):335-346.
|
|
| L |
|
| |
Laffont, J.J. 1997. Game theory and empirical economics: The case of auction data. European Economic Review. 41:135.
Liew, D.S.K. 2001. Initial allocation of quota rights in the Scotia-Fundy mobile-gear groundfish fishery. In R. Shotton (ed.), Case Studies on the Allocation of Transferable Quota Rights in Fisheries. FAO Fisheries Technical Paper 411, Rome.
Lin, B.H, H.S. Richards, and J.M. Terry. 1988. An analysis of the exvessel demand for Pacific halibut. Marine Resource Economics. 4:305-314.
Linder, R.K., H.F. Campbell, and G.G. Bevin. 1992. Rent generation during the transition to a managed fishery: The case of the New Zealand ITQ system. Marine Resource Economics. 7:229-248.
Love, A.H., D.M. Burton, G. Sylvia, and S. Lei. 1995. Regulatory controls and market power exertion: A study of the Pacific halibut industry. Natural Resource Modeling. 9:229-254.
|
|
| M |
|
| |
Mansfield, B. 2004. Neoliberalism in the oceans: “Rationalization,” property rights, and the commons question.Geoforum 35: 313-326.
Marvin, K.A. 1992. Protecting common property resources through the marketplace: Individual transferable quotas for surf clams and ocean quahogs. Vermont Law Review. 16:1127-1168.
Matthews, D. 1997. Beyond IFQ Implementation: A Study of Enforcement Issues in the Alaska Individual Fishing Quota Program. National Marine Fisheries Service, Silver Spring, Maryland.
Matthiasson, T. 1997. Consequences of local government involvement in the Icelandic ITQ market. Marine Resource Economics. 12:107-126.
Matthiasson, T. 2008. Rent collection, rent distribution, and cost recover: An analysis of Iceland’s ITQ catch fee experiment. Marine Resource Economics. 23(1): 105-117.
McCay, B.J. 1995. Social and ecological implications of ITQs: An overview. Ocean and Coastal Management. 28:3-22.
McCay, B. and C. Creed. 1990. Social structure and debates on fisheries management in the Mid-Atlantic surf clam fishery. Ocean and Shoreline Management. 13:199-229.
McCay, B.J., J.B. Gatewood, and C.F. Creed. 1989. Labor and the labor process in a limited entry fishery. Marine Resource Economics. 6:311-330.
McCay, B.J., R. Apostle, and C.F. Creed. 1998. Individual transferable quotas, comanagement, and community: Reflections from Nova Scotia. Fisheries. 23(4):20-23.
McCay, B.J., C.F. Creed, A.C. Finlayson, R. Apostle, and K. Mikalsen. 1995. Individual transferable quotas (ITQs) in Canadian and US fisheries. Ocean and Coastal Management. 28 (1-3):85-115.
McConnell, K.E. and J.G. Sutinen. 1979. Bioeconomic models of marine recreational fishing. Journal of Environmental Economics and Management. 6:127-139.
Meany, T.F. 1979. Limited entry in the Western Australia rock lobster and prawn fisheries: An economic evaluation. Journal of the Fisheries Research Board of Canada. 36:789-798.
Milgrom, P. 1989. Auctions and bidding: A primer. Journal of Economic Perspectives. 3(3):3-22. 
Milgrom, P. 2000. Putting auction theory to work: The simultaneous ascending auction. Journal of Political Economy. 108(2):245-272. 
Milliken, W.J. 1994. Individual transferable fishing quotas and antitrust law. Ocean and Coastal Law Journal. 1:35-58.
Milon, W., K. Wellman, and J. Gauvin. 1992. Consideration of the Potential Use of Individual Transferable Quotas in the South Atlantic Mackerel Fishery. National Marine Fisheries Service, Silver Spring, Maryland.
Moloney, D.G. and P.H. Pearse. 1979. Quantitative rights as an instrument for regulating commercial fisheries. Journal of the Fisheries Research Board of Canada. 36:859-866.
Morehouse, T.A. and G.W. Rogers. 1980. Limited Entry in the Alaska and British Columbia Salmon Fisheries. Alaska Fisheries Science Center, National Marine Fisheries Service.
Morris, A.C. 2005. Spectrum auctions: Distortionary input tax or efficient revenue instrument. Telecommunications Policy. 29:687-709.
Muse, B. and K. Schelle. 1989. Individual Fisherman’s Quotas: A Preliminary Review of Some Recent Programs. CFEC 89-1. Commercial Fisheries Entry Commission, Juneau, Alaska.
|
|
| N |
|
| |
National Marine Fisheries Service (NMFS). 2001. Operational Guidelines for FMPs. Office of Sustainable Fisheries, National Marine Fisheries Service, Silver Spring. Web link| 
NMFS. 1997. Report to the Fleet. Restricted Access Management Division, Alaska Region, National Marine Fisheries Service, Juneau. 
NMFS. 1998. Report to the Fleet. Restricted Access Management Division, Alaska Region, National Marine Fisheries Service, Juneau. 
NMFS. 2000. Report to the Fleet. Restricted Access Management Division, Alaska Region, National Marine Fisheries Service, Juneau. 
NMFS. 2002. Annual Report IFQ Fee (Cost Recovery). Program Pacific Halibut and Sablefish Individual Fishing Quota Program, Restricted Access Management Division, Alaska Region, National Marine Fisheries Service, Juneau. 
NMFS. 2003. Report to the Fleet. Restricted Access Management Division, Alaska Region, National Marine Fisheries Service, Juneau. 
NMFS. 2006. Cost Recovery Accounting Procedures. Internal Document. Operations, Management, and Information Division, Alaska Region, National Marine Fisheries Service, Juneau.
NMFS. 2007. The Design and Use of Limited Access Privilege Programs. Technical Memorandum NMFS-F/SPO-86. Eds: L. Anderson and M. Holliday. 
National Research Council (NRC). 1999a. The Community Development Quota Program in Alaska and Lessons for the Western Pacific. National Academy Press, Washington, D.C.
NRC. 1999b. Sharing the Fish: Toward a National Policy on Individual Fishing Quotas.National Academy Press, Washington, DC. 
Neher, P., R. Arnason, and N. Mollett (eds.). 1989. Rights-Based Fishing. Kluwer Academic Publishers, Dorderecht, The Netherlands.
Newell, R.G., J.N. Sanchirico, and S. Kerr. 2005. Fishing quota markets. Journal of Environmental Economics and Management. 49:437-462.
Newell, R.G., K.L. Papps, J.N. Sanchirico. 2007. Asset pricing in created markets. Amer. J. Agr. Econ. 89(2):259-272.
|
|
| O |
|
| |
O’Boyle, R., C. Annand, and L. Brander. 1994. Individual Quotas in the Scotian shelf groundfishery off Nova Scotia, Canada. Pp. 152-168 in K. Gimbel (ed.), Limiting Access to Marine Fisheries: Keeping the Focus on Conservation. Center for Marine Conservation and World Wildlife Fund U.S., Washington, D.C.
Organization for Economic Cooperation and Development (OECD). 1997. Toward Sustainable Fisheries: Economic Aspects of the Management of Living Marine Resources. Organization for Economic Cooperation and Development, Paris.
|
|
| P |
|
| |
Pálsson, G. and A. Helgason. 1995. Figuring fish and measuring men: The individual transferable quota system in the Icelandic cod fishery. Ocean and Coastal Management. 28(1-3):117-146.
Pascoe, S. 1993. ITQs in the Australian South East fishery. Marine Resource Economics. 8:395-401.
Pauly, D. 2009. Beyond duplicity and ignorance in global fisheries. Scientia Marina. 73(2): 216.
Pautzke, C.G. and C.W. Oliver. 1997. Development of the Individual Fishing Quota Program for Sablefish and Halibut Longline Fisheries off Alaska. North Pacific Fisheries Management Council, Anchorage, Alaska.
Peacock, F.G. and D.A. MacFarlane. 1986. A review of quasi-property rights in the herring purse seine fishery of the Scotia-Fundy region of Canada. Pp. 215-230 in N. Mollett (ed.), Fishery Access Control Programs Worldwide: Proceedings of the Workshop on Management Options for the North Pacific Longline Fisheries. Alaska Sea Grant College Program Report No. 86-4, University of Alaska.
Peacey, J. 2002. Managing catch limits in multi-species IFQ fisheries. Proceedings of the 11th Biennial Conference of the International Institute of Fisheries Economics and Trade. IIFET, Wellington, New Zealand.
Pearse, P.H. 1980. Property rights and the regulation of commercial fisheries. Journal of Business Administration. 11:185-209.
Pearse, P.H. and J.E. Wilen. 1979. Impact of Canada’s Pacific salmon fleet control program. Journal of the Fisheries Research Board of Canada. 36:764-769.
Pearse, P.H. 1992. From open access to private property: Recent innovations in fishing rights as instruments of fisheries policy. Ocean Development and International Law. 23:71-83.
Pearce, P. and C. Walters. 1992. Harvesting regulation under quota management systems for ocean fisheries. Marine Policy. 16:167-182.
Pearse, P.H. and J.E. Wilen. 1979. Impact of Canada's Pacific salmon fleet control program. Journal of the Fisheries Research Board of Canada. 36:764-769.
Pew Environment Group. 2009. Design Matters: Making Catch Shares Work. |
Pinkerton, E. and D.N. Edwards. 2009 The elephant in the room: The hidden costs of leasing individual transferable quotas. Marine Policy 33(4): 707-713. 
|
|
| R |
|
| |
Redstone Strategy Group, LLC, and Environmental Defense Fund. 2007. Assessing the Potential for LAPPs in U.S. Fisheries.
Rettig, R.B. and J.C. Ginter. 1978. Limited Entry as a Fishery Management Tool: Proceedings of a National Conference to Consider Limited Entry as a Tool in Fishery Management. University of Washington Press, Seattle.
Rettig, R.B. 1984. License limitation in the United States and Canada: An assessment. North American Journal of Fisheries Management. 4:231-248.
Rieser, A. 1997. Property rights and ecosystem management in U.S. fisheries: Contracting for the commons? Ecology Law Quarterly. 24(4):813-832
Rogers, G.W. 1979. Alaska’s limited entry program: Another view. Journal of the Fisheries Research Board of Canada. 36:783-788.
Runolfsson, B. and R. Arnason. 2000. Actual experience with individual quotas: Individual transferable quotas in Iceland. Pp. 33-63 in L. Jones and M. Walker (eds.), In Fish or Cut Bait: The Case for Individual Transferable quotas in the Salmon Fishery of British Columbia. The Fraser Institute, Vancouver, Canada.
|
|
| S |
|
| |
Sanchirico, J.N., D. Holland, K. Quigley, and M. Fina. 2005. Catch Quota Balancing in Multispecies Individual Fishing Quotas. Resources for the Future Discussion Paper 05- 54. 
Scheiber, H.N. and C. Carr. 1997. The limited entry concept and the pre-history of the ITQ movement in fisheries management. Pp. 235-260 in G. Pálsson and G. Petersdottir (eds.), Social Implications of Quota Systems in Fisheries. Nordic Council of Ministers, Copenhagen.
Schlager, E. and E. Ostrom. 1992. Property-rights regimes and natural resources. Land Economics. 68(3):249-262.
Scott, A. 1955. The fishery: the objectives of sole ownership. Journal of Political Economy. 63(2):116-124.
Scott, A. 1988. Development of property in the fishery. Marine Resource Economics. 5:289-311.
Scott, A. 1993. Obstacles to fishery self-government. Marine Resource Economics. 8:187-199.
Scott, A. 1996. The ITQ as a property right: Where it came from, how it works, and where it is going. Pp. 31-98 in B.L. Crowley (ed.), Taking Ownership: Property Rights and Fishery Management on the Atlantic Coast. Atlantic Institute for Market Studies, Halifax, Nova Scotia.
Seijo, J.C. 1993. Individual transferable grounds in a community managed artisanal fishery. Marine Policy. 18:78-81.
Sigler, M.F. and C.R. Lunsford. 2001. Effects of individual quotas on catching efficiency and spawning potential in the Alaska sablefish fishery. Canadian Journal of Fisheries and Aquatic Science. 58:1300-1312.
Sissenwine, M. and P. Mace. 1992. ITQs in New Zealand: The era of fixed quotas in perspective. Fisheries Bulletin. 90:147-160.
Sporer, C. 2001. Initial allocation of transferable fishing quotas in Canada’s Pacific marine fisheries. In R. Shutton (ed.), Case Studies on the Allocation of Transferable Quota Rights in Fisheries. FAO Fisheries Technical Paper 411, Rome.
Squires, D. and J. Kirkley. 1996. Individual transferable quotas in a multiproduct common property industry. Canadian Journal of Economics. 29:318-342.
Squires, D., J. Kirkley, and C.A. Tisdell. 1995. Individual transferable quotas as a fisheries management tool. Review in Fisheries Science. 3(2):141–169.
Squires, D., H. Campbell, S. Cunningham, C. Dewees, R.Q. Grafton, S.F. Herrick, J. Kirkley, S. Pascoe, K. Salvanes, B. Shallard, B. Turris, and N. Vestergaard. 1998. Individual transferable quotas in multispecies fisheries. Marine Policy. 22(2):135–159.
Stollery, K.R. 1986. A short-run model of capital stuffing in the Pacific halibut fishery. Marine Resource Economics. 3:137-154
Straker, G., S. Kerr, and J. Hendy. 2002. A Regulatory History of New Zealand’s Quota Management System. Motu Economic and Public Policy Research. 
Sullivan, P.J. and S.D. Rebert. 1998. Interpreting Pacific halibut catch statistics in the British Columbia individual quota program. Canadian Journal of Fisheries and Aquatic Science. 55(1):99-115
Sutinen, J.G. 1993. Recreational and commercial fisheries allocation with costly enforcement. American Journal of Agricultural Economics. 75:1183-1187 Townsend, R.E. 1990. Entry restrictions in the fishery: A survey of the evidence. Land Economics. 66(4):359-378.
|
|
| T |
|
| |
Townsend, R.E. 1995. Fisheries self-governance: Corporate or cooperative structures? Marine Policy. 19(1):39-45.
Townsend, R.E. 1997. Corporate management of fisheries. In J. Boreman, B.S. Nakashima, J.A. Wilson, and R.L. Kendall (eds.), Northwest Atlantic Groundfish: Perspectives on a Fishery Collapse. American Fisheries Society, Bethesda, Maryland.
Townsend, R.E. and S.G. Pooley. 1994. Effort reduction under limited entry: Attrition versus fractional licenses in the Hawaii longline fleet. North American Journal of Fisheries Management. 14:297-306.
Townsend, R.E. and S.G. Pooley. 1995. Fractional licenses: An alternative to license buyback. Land Economics. 71(1):141-43.
Trondsen, T. 2001. Fisheries management and market-oriented value adding. Marine Resource Economics. 16:17-37.
Turner, M.A. 1996. Value-based ITQs. Marine Resource Economics. 11(2):59-69.
Turris, B.R. 1999. A comparison of British Columbia IFQ fisheries for groundfish trawl and sablefish: Similar results from programmes with differing objectives, designs and processes. In R, Shotton (ed.), Use of Property Rights in Fisheries Management. FAO Fisheries Technical Paper 404/1, Rome.
|
|
| U |
|
| |
United States Commission on Ocean Policy (USCOP). 2004. An Ocean Blueprint for the 21st Century. Final Report of the U.S. Commission on Ocean Policy, Washington, D.C.
|
|
| W |
|
| |
Walden, J.B., J.E. Kirkley, and A.W. Kitts. 2003. A limited economic assessment of the Northeast groundfish fishery buyout program. Land Economics. 79:426-439.
Wang, S.D. 1995. The surf clam ITQ management: An evaluation. Marine Resource Economics. 10:93-98.
Waters, James R. (1991). Restricted access vs. open access methods of management: Toward more effective regulation of fishing effort. Marine Fisheries Review. 53(3):1-10.
Waters, J.R. 2001. Quota management in the commercial red snapper fishery. Marine Resource Economics. 16:65-78.
Weitzman, M. 2002. Landing fees versus harvest quotas with uncertain fish stocks. Journal of Environmental Economics and Management. 43:325-338.
Weninger Q. 1998. Assessing efficiency gains from individual transferable quotas: An application to the mid-Atlantic surf clam and ocean quahog fishery. American Journal of Agricultural Economics. 80:750-764.
Wilen, J.E. 1979. Fisherman behavior and the design of efficient fisheries regulation programs. Journal of the Fisheries Research Board of Canada. 36:855-858.
Wilen, J.E. 1985. Towards a theory of the regulated fishery. Marine Resource Economics. 1:369-388.
Wilen J.E. and F.R. Homans. 1994. Marketing losses in regulated open access fisheries. In M. Antona, J. Catanzano, and J.G. Sutinen (eds.), Proceedings of the Sixth Conference of the International Institute of Fisheries Economics and Trade, Paris, France.
Wilen, J.E. and F.R. Homans. 1998. What do regulators do? Dynamic behavior of resource managers in the North Pacific halibut fishery. Ecological Economics. 29:289-298.
Wilen, J.E. and G.M. Brown. 2000. Implications of Various Transfer and Cap Policies in the Halibut Charter Fishery. Report to Alaska Fishery Science Center, National Marine Fisheries Service, Seattle, W.A.
Worm, B., R. Hilborn, J.K. Baum, T. Branch, J. Collie, C. Costello, M. Fogarty, E. Fulton, J. Hutchings, S. Jennings, O. Jensen, H. Lotze, P. Mace, T. McClanahan, C. Minto, S. Palumbi, A. Parma, D. Ricard, A. Rosenberg, R. Watson, D. Zeller. 2009. Rebuilding Global Fisheries. Science. 325:578-585.
|
|
| Y |
|
| |
Yandle, T. “Market-Based Natural Resource Management: An Institutional Analysis of Individual Tradable Quota in New Zealand’s Commercial Fisheries” (Ph.D. diss., Indiana University, 2001).
Yandle, T. and C.M. Dewees. 2008. Consolidation in an individual transferable quota regime: Lessons from New Zealand, 1986-1999. Environmental Management. 41(6) 915-928.
Young, M.D. 1995. The design of fishing-right systems: The New South Wales experience. Ocean and Coastal Management. 28:54-61.
Young, M.D. and B.J. McCay. 1995. Building equity, stewardship, and resilience into market-based property-rights systems. Pp. 87-102 in S. Hanna and M. Munasinghe (eds.), Property Rights and the Environment: Social and Ecological Issues. The Beijer International Institute of Ecological Economics and World Bank, Washington, D.C.
|