Understanding Behavioral Antitrust

IF 1 3区 社会学 Q2 LAW Notre Dame Law Review Pub Date : 2013-07-13 DOI:10.2139/ssrn.2293508
Avishalom Tor
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引用次数: 18

Abstract

Behavioral antitrust – the application to antitrust analysis of empirical evidence of robust behavioral deviations from strict rationality – is increasingly popular and hotly debated by legal scholars and the enforcement agencies alike. This Article shows, however, that both proponents and opponents of behavioral antitrust frequently and fundamentally misconstrue its methodology, treating concrete empirical phenomena as if they were broad hypothetical assumptions. Because of this fundamental methodological error, scholars often make three classes of mistakes in behavioral antitrust analyses: First, they fail to appreciate the variability and heterogeneity of behavioral phenomena; second, they disregard the concrete ways in which markets, firms, and other institutions both facilitate and inhibit rational behavior by antitrust actors; and, third, they erroneously equate all deviations from standard rationality with harm to competition. After establishing the central role of rationality assumptions in present-day antitrust and reviewing illustrative behavioral analyses across the field – from horizontal and vertical restraints, through monopolization, to merger enforcement practices – the Article examines the three classes of mistakes, their manifestation, and their consequences in antitrust scholarship. It concludes by offering two sets of essential lessons that the behavioral approach already can offer to make antitrust law and policy more realistic and effective in protecting competition: One concerning the value of case-specific evidence in antitrust adjudication and enforcement, the other showing how antitrust law can and should account for systematic and predictable boundedly rational behavior that is neither constant nor uniform.
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理解行为反垄断
行为反垄断——将行为偏离严格理性的实证证据应用于反垄断分析——正日益受到法律学者和执法机构的热烈讨论。然而,本文表明,行为反垄断的支持者和反对者都经常从根本上误解其方法论,将具体的经验现象视为广泛的假设假设。由于这种基本的方法错误,学者们在行为反垄断分析中经常犯三类错误:第一,他们没有认识到行为现象的可变性和异质性;其次,他们忽视了市场、企业和其他机构促进和抑制反垄断行为主体理性行为的具体方式;第三,他们错误地将一切偏离标准理性的行为等同于对竞争的损害。在确立了理性假设在当今反垄断中的核心作用,并回顾了整个领域的示范性行为分析——从横向和纵向限制,到垄断,再到合并执法实践——之后,本文考察了反垄断学术中的三类错误、它们的表现及其后果。最后,它提供了行为学方法已经可以提供的两套基本经验,以使反垄断法和政策在保护竞争方面更加现实和有效:一套是关于反垄断裁决和执行中具体案例证据的价值,另一套是关于反垄断法如何能够而且应该解释既不恒定也不统一的系统和可预测的有限理性行为。
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来源期刊
CiteScore
1.20
自引率
11.10%
发文量
0
期刊介绍: In 1925, a group of eager and idealistic students founded the Notre Dame Lawyer. Its name was changed in 1982 to the Notre Dame Law Review, but all generations have remained committed to the original founders’ vision of a law review “synonymous with respect for law, and jealous of any unjust attacks upon it.” Today, the Law Review maintains its tradition of excellence, and its membership includes some of the most able and distinguished judges, professors, and practitioners in the country. Entirely student edited, the Law Review offers its members an invaluable occasion for training in precise analysis of legal problems and in clear and cogent presentation of legal issues.
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