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A laboratory investigation of compliance behavior under tradable emissions rights: Implications for targeted enforcement

机译:可交易的排放权下的合规行为的实验室调查:对有针对性的执法的启示

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This paper uses laboratory experiments to test theoretical predictions concerning compliance behavior in competitive emissions trading programs. We test the hypotheses that both the violations of competitive risk neutral firms and the marginal effectiveness of increased enforcement across firms are independent of differences in their benefits from emissions (abatement costs) and their initial permit allocations. This conclusion suggests that regulators have no conceptual justification for targeting their enforcement effort based on firm-level characteristics. Consistent with theory, we find that violations were independent of parametric differences in emissions benefits. However, subjects who were predicted to buy permits tended to have higher violation levels than those who were predicted to be sellers. Nevertheless, we find no evidence that the marginal effectiveness of enforcement depends on any firm-specific characteristic. We also examine the determinants of compliance behavior under fixed emissions standards. As expected, we find significant differences between compliance behavior under fixed standards and emissions trading programs.
机译:本文使用实验室实验来测试有关竞争性排放交易计划中合规行为的理论预测。我们检验了以下假设:竞争性风险中立企业的违规行为和企业间加强执法的边际有效性都与排放(减排成本)收益和初始许可分配的差异无关。该结论表明,监管机构没有概念上的依据来针对基于公司级特征的执法工作。与理论一致,我们发现违规行为与排放收益的参数差异无关。但是,预计要购买许可证的对象的违规水平往往比预计要销售的对象更高。然而,我们没有发现证据表明强制执行的边际有效性取决于任何公司特定的特征。我们还研究了固定排放标准下遵守行为的决定因素。正如预期的那样,我们发现固定标准下的合规行为与排放交易计划之间存在重大差异。

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