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111.
Geographical Indications (GIs) are increasingly important instruments of agricultural and food regulations and are growing as contentious issues in trade negotiations and disputes. GIs can improve welfare but they can also be a protectionist instrument. The EU has the most GIs in the world, but they are concentrated in the south of the EU. Even excluding wine, there are seven times more food GIs per capita in the southern EU Member States than in other EU Member States. This note discusses several factors which may explain the geographic concentration of GIs in the south of the EU.  相似文献   
112.
Agricultural economics is at the nexus of the major policy options surrounding the global bio‐economy. The outputs from agriculture have expanded beyond the traditional food, feed, and fiber to include fuel and other nonfood applications as well as environmental goods due to recent technological developments and changing consumer demands. Numerous policy questions have arisen within the bio‐economy. This article introduces and summarizes several invited panel sessions on issues of special importance in the global bio‐economy: new institutions of dealing with uncertainty and increased volatility related to climate change; structural transformations in agricultural production and food consumption and their effect on development; biofuel policies and development; and determinants of changes in consumer attitudes to new products and technologies.  相似文献   
113.
Although trustworthiness has been described as a source of competitive advantage, its value extends to organizational governance and wealth creation. We identify the importance of the commitment–compliance continuum in the decision to trust and note that trustworthiness is a subjective perception viewed through each person’s mediating lens. That lens and each person’s interpretation of the social contract impact one’s commitment to cooperate. We suggest five propositions that integrate trustworthiness, governance, and wealth creation.  相似文献   
114.
This article considers an international sample of venture capital and private equity funds to assess the role of law, corruption, and culture in setting fund manager fees. With better legal conditions, fixed fees are lower, carried interest fees are higher, clawbacks are less likely, and share distributions are more likely. Countries with lower levels of corruption have lower fixed fees and higher performance fees, and are less likely to have clawbacks and cash-only distributions. Hofstede’s measure of power distance is negatively related to fixed fees and the use of cash-only distributions, but positively related to performance fees and clawbacks. Overall, the data strongly indicate that corruption, culture, and legal settings are much more significant in determining fees than fund manager characteristics and/or market conditions.  相似文献   
115.
Eco‐labelled seafood is an important tool to promote sustainable development in fisheries. A price premium on eco‐labelled seafood signals a return on investment in sustainable fishing methods, providing an incentive for fishers to adopt such methods. This paper investigates whether Swedish fishermen gained a price premium from participating in the Marine Stewardship Council (MSC)‐certified Swedish Eastern Baltic cod fishery in the period 2011–2012. Using a detailed dataset of landing tickets and log books, we apply a panel data methodology to estimate the MSC price premium. We cannot find reliable evidence that the consumer level premium for MCS cod is actually passed back to the producers in this case.  相似文献   
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117.
Perspectives for a theory of marketing are outlined. Both the so-called marketing and broadened marketing concepts are inadequate conceptualizations of the marketing process. A theory of marketing should be formulated at the macro rather than the micro level and emphasize the positive rather than the normative problem-solving dimensions of the subject matter.  相似文献   
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119.
This article reports on a research project aimed at assessing whether a particular management process of housing delivery correlates with an improvement or reduction in the state of development of housing recipients. The construct ‘state of development’ refers to the extent to which recipients have the capacity and power to deal with the challenges of a dynamic environment and utilise its opportunities in a responsible and sustainable manner. ‘Housing management’ refers to the execution of management functions to process housing inputs into outputs. The authors explored the correlation between these two variables in a case study involving the Delft housing project in Cape Town. They measured indicators using questionnaires, an analysis of project data, and by observing and evaluating the environments of experimental group members. The results indicated that the extent of the appropriateness of housing management caused a corresponding change in the state of development of housing recipients.  相似文献   
120.
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