Professor Alan S. Manne
List of Publications

Books

1. Scheduling of Petroleum Refinery Operations, Harvard University Press, 1956.

2. Economic Analysis for Business Decisions, McGraw-Hill, 1961.

3. Studies in Process Analysis: Economy-Wide Production Capabilities, Wiley, 1963 (edited jointly with Harry M. Markowitz; translated into Russian by N. P. Fedorenko and published by Progress Press, Moscow, 1967).

4. Investments for Capacity Expansion: Size, Location and Time-Phasing, Allen & Unwin, London, 1967.

5. Multi-level Planning: Case Studies in Mexico, North-Holland, Amsterdam, 1973 (edited jointly with Louis M. Goreux).

6. Economic Equilibrium: Model Formulation and Solution, Mathematical Programming Study 23, North-Holland, 1985 (editor).

7. Buying Greenhouse Insurance - the Economic Costs of Carbon Dioxide Emission Limits, MIT Press, Cambridge, MA, 1992 (with Richard G. Richels).

Papers

1. “Some Notes on the Acceleration Principle”, Review of Economic Statistics, vol. XXVII, no. 2, May 1945, pp. 93-100.

2. “Multicompensatory Trade: An Alternative Approach”, Review of Economics and Statistics, vol. XXXII, no. 2, May 1950, pp. 169-171.

3. “Oil Refining: Yield Coefficients and Actual Prices”, Quarterly Journal of Economics, vol. LXV, August 1951, pp. 400-416.

4. “Oil Refining: Cross-Elasticities of Supply”, Quarterly Journal of Economics, vol. LXV, May 1951, pp. 214-236.

5. “Multiple Purpose Public Enterprises--Criteria for Pricing”, Economica, August 1952, pp. 322-326.

6. “The Strong Independence Assumption--Gasoline Blends and Probability Mixtures”, Econometrica, vol. 20, no. 4, October 1952, pp. 665-669.

7. “Electronic Calculating Methods for Handling the Excess Capacity Problem”, Review of Economics & Statistics, vol. XXXV, no. 1, February 1953, pp. 51-58 (with John Frankovich).

8. “On the Solution of Discrete Programming Problems”, Econometrica, vol. 25, no. 1, January 1957, pp. 84-110 (with Harry M. Markowitz).

9. “A Note on the Modigliani-Hohn Production Smoothing Model”, Management Science, vol. 3, no. 4, July 1957, pp 371-379.

10. “A Linear Programming Model of the U.S. Petroleum Refining Industry”, Econometrica, vol. 26, no. 1, January 1958, pp. 67-106.

11. “Programming of Economic Lot Sizes”, Management Science, vol. 4, no. 2, January 1958, pp. 115-135. (Reprinted in A. F. Veinott, Jr. (ed.) Mathematical Studies in Management Science, Macmillan, New York, 1965.)

12. “A Target-Assignment Problem”, Operations Research, vol. 6, no. 3, May-June 1958, pp. 346-351.

13. “On the Job-Shop Scheduling Problem”, Operations Research, vol. 8, no. 2, March-April 1960, pp. 219-223. (Reprinted in Industrial Scheduling, J. F. Muth and G. L.Thompson (eds.), Prentice-Hall, Englewood Cliffs, New Jersey, 1963.)

14. “Linear Programming and Sequential Decisions”, Management Science, vol. 6, no. 3, April 1960, pp. 259-267. (Reprinted in A. F. Veinott, Jr. (ed.) Mathematical Studies in Management Science, Macmillan, New York, 1965.)

15. “Comments on `Interindustry Economics’ ”, Naval Research Logistics Quarterly, vol. 7, no. 4, December 1960, pp. 385-391.

16. “On the Timing of Development Expenditures and the Retirement of Military Equipment”, Naval Research Logistics Quarterly, vol. 8, no. 3, September 1961, pp. 235-243.

17. “Capacity Expansion and Probabilistic Growth”, Econometrica, vol. 29, no. 4, October 1961, pp. 632-649.

18. “Simulation of a Hypothetical Multi-Item Production and Inventory System”, Journal of Industrial Engineering, vol. XII, no. 6, November-December 1961, pp. 417-421 (with B. P. Dzielinski).
19. “Product-mix Alternatives: Flood Control, Electric Power, and Irrigation”, International Economic Review, vol. 3, no. 1, January 1962, pp. 30-59.

20. “Simulation Tests of Lot Size Programming”, Management Science, vol. 9, no. 2, January 1963, pp. 229-258 (with B. P. Dzielinski and C. T. Baker). (Reprinted in Industrial Scheduling, J. F. Muth and G. L.Thompson (eds.), Prentice-Hall, Englewood Cliffs, New Jersey, 1963. Also reprinted in Managerial Economics, G.P.E. Clarkson (ed.), Penguin Books, Middlesex, 1968.)

21. “Engineering Estimates of Capital-Labor Substitution in Metal Machining”, American Economic Review, vol. 53, no. 4, September 1963, pp. 662-681 (with M. Kurz).

22. “Plant Location under Economies of Scale - Decentralization and Computation”, Management Science, vol. 11, no. 2, November 1964, pp. 213-235.

23. “An Almost Consistent Intertemporal Model for India's Fourth and Fifth Plans”, The Economic Weekly, Bombay, vol. XVII, no. 47, November 20, 1965, pp. 1733-1742 (with Joel Bergsman). (Reprinted as Chapter 9 in The Theory and Design of Economic Development, I. Adelman and E. Thorbecke (eds.), John Hopkins Press, Baltimore, 1966.)

24. “A Consistency Model of India's Fourth Plan”, Sankhya: The Indian Journal of Statistics, Series B, vol. 27, 1965, Parts 1 & 2, pp. 57-144 (with Ashok Rudra).

25. “Key Sectors of the Mexican Economy, 1962-72”, Chapter 10 in The Theory and Design of Economic Development, I. Adelman and E. Thorbecke (eds.), John Hopkins Press, Baltimore, 1966.

26. “Programming Data for the Petroleum Refining Industry”, Industrialization Productivity, Bulletin 10, United Nations, New York, 1966, pp. 57-73.

27. “Between Scylla and Charybdis: The Arithmetic of Investment Rates”, Economic and Political Weekly, Bombay, February 1967, pp. 285-288.

28. “Numerical Experiments with a Finite Horizon Planning Model”, Indian Economic Review, vol. II, no. 1, April 1967, pp. 1-31 (with J. Barr).

29. “How Much Aid to End Aid?”, Economic and Political Weekly, Bombay, August 1967, - pp. 1589-1596.

30. “Capacity Expansion for India's Nitrogenous Fertilizer Industry”, Management Science, vol. 14, no. 10, June 1968, pp. B553-B572 (with D. Erlenkotter). (Abridged version of this paper appeared under title “The Case for Large Plants in India”, Development Digest, April 1968, vol. VI, no. 2, pp. 102-109.)

31. “Optimal Dividend and Investment Policies for a Self-Financing Business Enterprise”, Management Science, vol. 15, no. 3, November 1968, pp. 119-129.

32. “Optimal Growth When the Instantaneous Utility Function depends upon the Rate of Change in Consumption”, American Economic Review, vol. LVIII, no. 5, Part I, December 1968, pp. 1351-1354 (with Sukhamoy Chakravarty).

33. “Sufficient Conditions for Optimality in an Infinite Horizon Development Plan”, Econometrica, vol. 38, no. 1, January 1970, pp. 18-38.

34. “A Dynamic Multisectoral Model for India, 1967-75”, ch. 4 in A. P. Carter and A. Brody (eds.), Application of Input-Output Analysis, North-Holland, Amsterdam, 1970, pp. 70-102 (with T. E. Weisskopf).

35. “A Dynamic Five Sector Model for Turkey,” American Economic Review, vol. LX, no. 2, May 1970, pp. 70-75; full version published in METU Studies in Development, Fall 1970, pp. 1-32 (with C. R. Blitzer and H. Cetin).

36. “Proyecciones de la Fuerza de Trabajo de Mexico”, Demografia y Economia, Colegio de Mexico, vol. V, no. 2, 1971, pp. 169-192 (with D. B. Keesing).

37. “On Linking the Energy Sector to a Multi-Sector Model for Mexico”, in A. Brody and A. P. Carter (eds.), Input-Output Techniques, North-Holland, Amsterdam, 1972, pp. 488-500.

38. “Economic Alternatives for Mexico: A Quantitative Analysis”, pp. 211-229 in The Role of the Computer in Economic and Social Research in Latin-America, A Conference Report of the National Bureau of Economic Research, New York, 1974.

39. “Electricity Investments Under Uncertainty: Waiting for the Breeder”, ch. 9 in M. S. Macrakis (ed.), Energy: Demand, Conservation and Institutional Problems, M.I.T. Press, Cambridge, 1974, pp. 91-112.

40. “Multi-Sector Models for Development Planning: A Survey”, Journal of Development Economics, vol. I, no. 1, June 1974, pp. 43-69. Also in M. D. Intriligator and D. A. Kendrick (eds.), Frontiers of Quantitative Economics, vol. II, North-Holland, Amsterdam, 1974, pp. 449-500.

41. “Nested Decomposition for Dynamic Models”, Mathematical Programming, vol. 6, 1974, pp. 121-140 (with J. K. Ho).

42. “On the Efficiency Price of Capital in a Dual Economy”, Quarterly Journal of Economics, vol. LXXXVII, November 1974, pp. 574-595.

43. “A Complementarity Algorithm for an Optimal Capital Path with Invariant Proportions”, Journal of Economic Theory, vol. 9, no. 3, November 1974, pp. 312-332 (with G. B. Dantzig).

44. “Waiting for the Breeder”, Review of Economic Studies Symposium, 1974, pp. 47-65. (This paper represents an extension of results reported in item 39.) (Translated into Russian and published in Atomniya Teknika, November 1974.)

45. “Breeder Benefits and Uranium Availability”, Nuclear News, vol. 18, no. 1, January 1975, pp. 46-52 (with O. S. Yu).

46. “Hydrogen: Mechanism and Strategies of Market Penetration”, pp. 1193-1208, in T. N. Veziroglu (ed.), Hydrogen Energy, Plenum Press, New York and London, 1975. Also reprinted in Chemical Economy Engineering Review, Tokyo, September 1974 (with C. Marchetti).

47. “Strategies for a Transition from Fossil to Nuclear Fuels”, Energy Policy, vol. 3, no. 1, March 1975, pp. 3-23 (with Wolf Haefele). Also in Atomniya Teknika, Moscow, vol. 3, 1976, pp. 1-13.

48. “What Happens When Our Oil and Gas Run Out?”, Harvard Business Review, vol. 53, no. 4, July-August 1975, pp. 123-137.

49. “Employment, Income Distribution and Shadow Prices in a Dualistic Economy”, pp. 83-102 in T. N. Srinivasan and P. K. Bardhan (eds.), Poverty and Income Distribution in India, Statistical Publishing Society, Calcutta, 1974 (with C. R. Blitzer).

50. “U.S. Options for a Transition from Oil and Gas to Synthetic Fuels”, pp. 207-245 in H. Ashley, R. L. Rudman and C. Whipple (eds.), Energy and the Environment: A Risk Benefit Approach, Pergamon Press, New York, 1976.

51. “ETA: A Model for Energy Technology Assessment”, Bell Journal of Economics, 1976. Also appears as ch. 12c in M. D. Intrilligator (ed.), Frontiers of Quantitative Economics, vol. IIIB, 1977, North-Holland, Amsterdam.

52. “An Econometric Analysis of Energy over the Next 75 Years”, IEEE Transactions on Power Apparatus and Systems, vol. PAS-96, no. 4, July-August 1977 (with R. W. Schmitt, J. D. Ben Daniel and P. J. Stewart).

53. “Nuclear Power, Coal and Energy Conservation (With a Note on the Costs of a Nuclear Moratorium)”, Energy, vol. 1, pp. 301-313. Pergamon Press, 1976 (with P. L. Auer and O. S. Yu).

54. “ETA-MACRO: A Model of Energy-Economy Interactions”, in C. J. Hitch (ed.), Modeling - Energy-Economy Interaction, Resources for the Future, Washington, D.C., 1977. Also appears as ch. 9 in R. Pindyck (ed.), Advances in the Economics of Energy and Resources, vol. 2: The Production and Pricing of Energy Resources, JAI Press, Greenwich, Connecticut, 1978. (Translated into Russian and published in Economics and Mathematical Methods, Moscow, vol. XIV, no. 5, September-October 1978).

55. “Energy-Economy Interactions: the Fable of the Elephant and the Rabbit?, in C. J. Hitch (ed.), Modeling Energy-Economy Interactions, Resources for the Future, Washington, D.C., 1977. Also appears as ch. 1 in R. Pindyck (ed.), Advances in the Economics of Energy and Resources, vol. 1: The Structure of Energy Markets, JAI Press, Greenwich, Connecticut, 1978 (with W. Hogan).

56. “Equilibrium and Linear Complementarity an Economy with Institutional Constraints on Prices”, pp. 227-237 in G. Schwodiauer (ed.), Equilibrium and Disequilibrium in Economic Theory, D. Reidel, Dordrecht, Holland, 1977 (with T. Hansen).

57. “Health and Economic Costs of Alternative Energy Sources”, in Nuclear Power and Its Fuel Cycle, vol. 7, International Atomic Energy Agency, Vienna, 1977. Also appears in International Atomic Energy Bulletin, vol. 20, no. 4, August 1978 (with L. D. Hamilton).

58. “A Decision Analysis of the U.S. Breeder Reactor Program”, Energy, vol. 3, no. 6, 1978, pp. 747-767, 1978 (with R. G. Richels).

59. “The Fable of the Elephant and the Rabbit?” in C. J. Hitch (ed.), Energy Conservation and Economic Growth, AAAS Selected Symposium 22, Westview Press, 1978.

60. “Energy-Economy Interaction: An Overview of the ETA-MACRO Model”, pp. 341-351 in F. S. Roberts and W. W. Waterman (eds.), Energy Modeling and Net Energy Analysis, Institute of Gas technology, 1978.

61. “'Energy Policy Modeling: A Survey”, Operations Research, vol. 27, No. 1, January-February 1979 (with R. G. Richels and J. P. Weyant).

62. “Energy Transition Strategies for the Industrialized Nations”, pp. 183-194 in B. Kursunoglu and A. Perlmutter, Directions in Energy Policy, Ballinger, Cambridge, 1979.

63. “Probability Assessment and Decision Analysis of Alternative Nuclear Fuel Cycles”, ch. 15 in R. G. Sachs (ed.), National Energy Issue - How Do We Decide?, Ballinger, Cambridge, 1980 (with R. G. Richels). A modified version of this paper appeared in Energy Policy, vol. 8, no. 1, March 1980.

64. “International Energy Supplies and Demands - A Long-Term Perspective”, pp. 35-48 in A. Voss and K. Schmitz (eds.), Energiemodelle fu..r die Bundesrepublik Deutschland, Verlag TUV Rheinland, Cologne, 1980.

65. “The Use and Role of Models: Long-Term Energy Projections for the USA”, pp. 64-79 in R. Kavanagh (ed.), Energy Systems Analysis, D. Reidel, Dordrecht: Holland, 1980. Also appears in Energy Research, vol. 4l, pp. 205-215, 1980.

66. “Computation of Competitive Equilibria by a Sequence of Linear Programs”, Econometrica, vol. 48, no. 7, November 1980 (with H. Chao and R. Wilson).

67. “European Energy Supplies and Demands: A Long-Term Perspective”, Angewandte Systemanalyse, vol. 1, no. 4, 1980 (with T. Sira).

68. “International Energy Supplies and Demands: A Long-Term Perspective”, pp. 3737-47 in T. N. Veziroglu (ed.), Alternative Energy Sources II, Hemisphere Publishing, New York, 1981.

69. “ETA-MACRO: A User's Guide”, EA-1724, Electric Power Research Institute, Palo Alto, February 1981 (with R. J. Condap and P. V. Preckel).

70. “Energy, International Trade and Economic Growth”, ch. 20 in P. Auer (ed.), Energy and the Developing Nations, Pergamon Press, New York, 1981. Also appears as World Bank Staff Working Paper No. 274, August 1981 (with the assistance of Sehun Kim.)

71. “Computation of Equilibria for Nonlinear Economies: Two Experimental Models”, Journal of Policy Modeling, 4(1): 23-43, 1982 (with H. Chao and S. Kim).

72. “An Integrated Analysis of U.S. Stockpiling Policies” (with H. Chao) and “The Potential Gains from Joint Action by Oil Importing Nations”, chs. 4 and 10 in J. L. Plummer (ed.), Energy Vulnerability, Ballinger, Cambridge, Massachusetts, 1982.

73. “The Effects of a Nuclear Phase-Out”, pp. 160-170 in M. Kaku and J. Trainer (eds.), Nuclear Power: Both Sides, Norton, New York, 1982 (with R. Richels).

74. “International Energy Projections for Japan, Korea and Taiwan (ROC)”, pp. 160-163 in Energy '83, International Association of Science and Technology Development, Acta Press, Anaheim, 1983 (with H. Chao).

75. “Oil Stockpiles and Import Reductions: A Dynamic Programming Approach”, Operations Research, 31 (4):632-651, 1982 (with H. Chao).

76. “A Three-Region Model of Energy, International Trade, and Economic Growth”, pp. 141-162 in B. G. Hickman (ed.), Global International Economic Models, North-Holland, Amsterdam, 1983 (with the assistance of S. Kim and T. F. Wilson).

77. “International Energy Workshop: A Summary of the 1983 Poll Responses”, The Energy Journal, 5 (1): 45-64, 1984 (with L. Schrattenholzer).

78. “North-South Trade, Capital Flows, and Economic Growth: An Almost Neoclassical Model”, - pp. 409-427 in M. Syrquin, L. Taylor, L. Westphal (eds.) Economic Structure and Performance, Academic Press, New York, 1984 (with Paul V. Preckel).

79. “Comments on `Decomposing the Impact of Higher Energy Prices on Long-Term Growth' by A. Borges and L. Goulder”, pp. 362-365 in H. Scarf and J. Shoven (eds.), Applied General Equilibrium Analysis, Cambridge University Press, New York, 1984.

80. “OTM: An International Oil Trade Model”, pp. 241-244 in A. S. Kydes and D.M. Geraghty (eds.) Energy Markets in the Longer-Term: Planning under Uncertainty, Elsevier Science Publishers B.V. (North-Holland), 1985 (with Kut C. So and John P. Weyant).

81. “CPM: A Contingency Planning Model of the International Oil Market”, pp. 1-35, in R. L. Schultz (ed.) Applications of Management Science, vol. 4l, JAI Press, Greenwich, Connecticut, 1985 (with C. R. Nelson, K. C. So and J. P. Weyant).

82. “On the Formulation and Solution of Economic Equilibrium Models”, Mathematical Programming Study (23): 1-22, 1985.

83. “A Three-Region Intertemporal Model of Energy, International Trade and Capital Flows”, Mathematical Programming Study (23): 56-74, 1985 (with P. Preckel).

84. “Security of Supply in the Western European Market for Natural Gas”, Energy Policy vol. 14, no. 1, February 1986 (with K. Roland and G. Stephan).

85. “International Energy Workshop: Oil Price Projections”, The Energy Journal vol. 7, no. 3, July 1986 (with L. Schrattenholzer).

86. “A North American Gas Trade Model (GTM)”, The Energy Journal vol. 7, no. 3, July 1986 (with M. Beltramo and J. Weyant).

87. “International Energy Workshop: A Progress Report”, OPEC Review, Autumn 1986 (with L. Schrattenholzer).

88. “Western Interregional Electricity Trade - A Microcomputer Model”, in John G. Rowse (ed.) World Energy Markets: Coping with Instability, Proceedings, Ninth International Conference, International Association of Energy Economists, Calgary, July 6-8, 1987.

89. “The International Energy Workshop - A Progress Report”, OPEC Review, Spring 1988. (with L. Schrattenholzer).

90. “On the Valuation of Payoffs from a Geometric Random Walk of Oil Prices”, Pacific and Asian Journal of Energy, vol. II, no. 1, July 1988, pp. 47-48. (with P. Glynn).

91. “The International Energy Workshop: A Progress Report”, OPEC Review, Winter 1989. (with L. Schrattenholzer). Also appears as ch. 16 in T. Sterner (ed.), International Energy Economics, Chapman & Hall, London, 1992.

92. “CO2 Emission Limits: An Economic Cost Analysis for the USA”, The Energy Journal, vol. 11, no. 2, April 1990 (with R.G. Richels). Also appears as ch. 18 in T. Sterner (ed.), International Energy Economics, Chapman & Hall, London, 1992.

93. “The Costs of Reducing U.S. CO2 Emissions - Further Sensitivity Analyses”, The Energy Journal, vol. 11, no. 4,October 1990 (with R.G. Richels).

94. “Global CO2 Emission Reductions - the Impacts of Rising Energy Costs”, The Energy Journal, vol. 12, no. 1, January 1991 (with R.G. Richels).

95. “International Trade in Carbon Emission Rights: A Decomposition Procedure”, American Economic Association Papers and Proceedings, vol. 81, no. 2, May 1991 (with R.G. Richels).

96. “A Long Term Model of Oil Markets, Economic Growth and Balance of Payment Constraints”, pp. 51-69 in J. Piggott and J. Whalley (eds.), Applied General Equilibrium, Heidelberg: Physica-Verlag, 1991 (with T.F. Rutherford).

97. “Global 2100: An Almost Consistent Model of CO2 Emission Limits”, Swiss Journal of Economics and Statistics, 127:2, 1991.

98. “Buying Greenhouse Insurance”, Energy Policy, 19:6, July/August 1991 (with R.G. Richels).

99. “Analyzing US Policies for Alternative Automotive Fuels”, Interfaces 21: 5 September-October 1991 (with M.H. Rothkopf).

100. “Comments on A.R. Solow, `Is There a Global Warming Problem?' “, in R. Dornbusch and J.M. Poterba, Global Warming—Economic Policy Responses, MIT Press, Cambridge, Massachusetts, 1991.

101. “The 1991 International Energy Workshop: the Poll Results and a Review of Papers”, OPEC Review, Winter 1991 (with L. Schrattenholzer and K. Marchant) .

102. “Unequal Time Intervals in Economic Growth Models”, Indian Economic Review, XXVII, Special Number, 1992.

103. The EC Proposal for Combining Carbon and Energy Taxes: the Implications for Future CO2 Emissions'', Energy Policy, 21:1, January 1993 (with R.G. Richels).

104. “Global Scenarios for Carbon Dioxide Emissions”, Energy, 18:2, 1993 (with L. Schrattenholzer).

105. “The Impact of Unilateral OECD Carbon Taxes on the Location of Aluminium Smelting”, International Journal of Global Energy Issues, 6:1, 1994 (with Lars Mathiesen).

106. “The Costs of Stabilizing Global CO2 Emissions: A Probabilistic Analysis Based on Expert Judgments'', The Energy Journal, 15:1, 1994 (with R.G. Richels).

107. “International Trade in Oil, Gas and Carbon Emission Rights: An Intertemporal General Equilibrium Model'', The Energy Journal, 15:1, 1994 (with T.F. Rutherford). Reprinted in Y. Kaya et al. (eds.), Costs, Impacts and Benefits of CO2 Mitigation, IIASA CP-93-2, 1993.

108. “CO2 Hedging Strategies: the Impact of Uncertainty upon Emissions'', ch. 4 in The Economics of Climate Change, Proceedings of an OECD/IEA Conference, Paris, 1994 (with R.G. Richels).

109. “International Trade: the Impact of Unilateral Carbon Emission Limits'', ch. 13 in The Economics of Climate Change, Proceedings of an OECD/IEA Conference, Paris, 1994.

110. “International Trade, Capital Flows and Sectoral Analysis: Formulation and Solution of Intertemporal Equilibrium Models'', pp. 191-205 in W.W. Cooper and A.B. Whinston (eds), New Directions in Computational Economics, Kluwer Academic Publishers, Netherlands, 1994 (with T.F. Rutherford).

111. “MARKAL/MACRO, a Linked Model for Energy-Economy Analysis'', pp. 153-190 in J.-Fr. Hake et al. (eds.), Advances in Systems Analysis: Modelling Energy-Related Emissions on a National and Global Level, Konferenzen des Forschungszentrum Juelich, 1994 (with C.-O. Wene).

112. “MERGE - A Model for Evaluating Regional and Global Effects of GHG Reduction Policies”, pp. 143-172 in N. Nakicenovic et al. (eds.), Integrative Assessment of Mitigation, Impacts, and Adaptation to Climate Change, IIASA CP-949-9, 1994. Reprinted in J.-Fr. Hake et al. (eds.), Advances in Systems Analysis: Modeling Energy-Related Emissions on a National and Global Level, Konferenzen des Forschungszentrum Juelich, 1994. Reprinted in Energy Policy, vol. 23, no. 1, pp. 17-34, 1995 (with R. Mendelsohn and R. Richels).

113. “The Rate of Time Preference: Implications for the Greenhouse Debate'', pp. 467-483 in N. Nakicenovic et al. (eds.), Integrative Assessment of Mitigation, Impacts and Adaptation to Climate Change, IIASA CP-949-9, 1994. Reprinted in Energy Policy, vol. 23, nos. 4/5, pp. 391-394, 1995.

114. “Reducing US CO2 Emissions: the Value of Flexibility in Timing'', pp. 239-252 in B. Flannery and R. Clarke (eds.), Global Climate Change: A Petroleum Industry Perspective, International Petroleum Industry Environmental Conservation Association, London, 1994 (with R. Richels).

115. “Global Carbon Dioxide Reductions — Domestic and International Consequences'', pp. 39- 51 in C.E. Walker, M.A. Bloomfield and M. Thorning (eds.), Strategies for Improving Environmental Quality and Increasing Economic Growth, American Council for Capital Formation, Washington, D.C., August 1995.

116. “The Greenhouse Debate: Economic Efficiency, Burden Sharing and Hedging Strategies”, The Energy Journal, vol. 16, no. 4, pp. 1-37, 1995 (with R. Richels).

117. “Greenhouse Gas Abatement - toward Pareto-Optimality in Integrated Assessments'', ch. 26 in Education in a Research University, edited by K. J. Arrow, R. W. Cottle, B. C. Eaves and I. Olkin, Stanford University Press, Stanford, CA, 1996.

118. “Costs and Benefits of Alternative CO2 Emissions Reduction Strategies'', pp. 61-73 in C.E. Walker, M.A. Bloomfield and M. Thorning (eds.), An Economic Perspective on Climate Change Policies, American Council for Capital Formation, Washington, D.C., February 1996.

119. “The Berlin Mandate: the Costs of Meeting post-2000 Targets and Timetables”, Energy Policy, vol. 24, no. 3, pp. 205-210, 1996 (with R. Richels).

120. “Greenhouse Gas Abatement - toward Pareto-Optimal Decisions under Uncertainty'', Annals of Operations Research, vol. 68, pp. 267-279, 1996 (with T.R. Olsen).

121. “Hedging Strategies for Global Carbon Dioxide Abatement: A Summary of Poll Results - EMF 14 Subgroup - Analysis for Decisions under Uncertainty'', pp. 207-228 in N. Nakicenovic et al. (eds.), Climate Change: Integrating Science, Economics, and Policy, IIASA CP-96-1, December 1996.

122. “On Stabilizing CO2 Concentrations - Cost-Effective Emission Reduction Strategies”, Environmental Modeling and Assessment, Baltzer Science Publishers BV, 2, pp. 251-265, 1997. Reprinted in C. Carraro (ed.), International Environmental Agreements on Climate Change, Kluwer Academic Publishers, Dordrecht, 1999 (with R. Richels).

123. “Equity, Efficiency and Discounting”, ch. 12 in P.R. Portney and J.P. Weyant (eds.), Discounting and Intergenerational Equity, Resources for the Future, Washington, D.C., 1999.

124. “The Kyoto Protocol: A Cost-Effective Strategy for Meeting Environmental Objectives?”, The Energy Journal, special issue, May 1999, pp.1-23. Reprinted in C.E. Walker, M.A.Bloomfield and M. Thorning, Climate Change Policy: Practical Straegies to Promote Economic Growth and Environmental Quality, American Council for Capital Formation, Washington, D.C., 1999. Also reprinted in C. Carraro (ed.), Efficiency and Equity of Climate Change Policy, Kluwer Academic Publishers, Dordrecht, 2000 (with R. Richels).

125. “Climate-Change Policies and International Rate-of-Return Differentials”, Energy Policy, 27, 309-316, 1999 (with G. Stephan).

126 “An Alternative Approach to Establishing Trade-Offs Among Greenhouse Gases”, Nature, 410, 675-677, April 2001 (with R. Richels).

127. “Energy, the Environment and the Economy”, ch. 8 in J.M. Griffin (ed.), Global Climate Change, Edward Elgar, Cheltenham, UK, 2003.

128. “Learn-by-doing and carbon dioxide abatement”, Energy Economics 26(4):621-633, 2004 (with L. Barreto).

129. “A Multi-Gas Approach to Climate Policy”, ch. 25 in C.B. Field and M.R. Raupach, The Global Carbon Cycle, Island Press, Washington, D.C., 2004. (with R. Richels).


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