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Competition law in Bulgaria after central planning

Author

Listed:
  • Hoekman, Bernard
  • Djankov, Simeon

Abstract

The authors investigate the activities of the Bulgarian competition office, the Commission for the Protection of Competition, for the years 1991-95. They provide descriptive statistics on the industry incidence of investigations, the types of behavior investigated, and the frequency with which violations were found and penalties imposed. Although the Commission tried to focus on nontradable sectors, and to target both cartel and abuse-of-dominance cases, the remedies they imposed appear to have been rather ineffective. Moreover, instead of focusing on hard-core anticompetitive behavior, much of the Commission's activity centered on"unfair"trade practices (such as false advertising, trademark infringement, and the behavior of ex-employees of specific enterprises). Many enforcement cases basically dealt with contract enforcement problems. Only a small percentage of cases concerned collusive practices that restricted entry/expansion, such as bid-rigging, price-fixing, and market allocation. And remedies for egregious violations of the law were not dire enough to give firms a strong incentive to abide by the law. Recently proposed amendments to the law should go some way toward allowing the Commission to focus more narrowly on anticompetitive practices, and to strengthen the law's deterrent effect.

Suggested Citation

  • Hoekman, Bernard & Djankov, Simeon, 1997. "Competition law in Bulgaria after central planning," Policy Research Working Paper Series 1789, The World Bank.
  • Handle: RePEc:wbk:wbrwps:1789
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    References listed on IDEAS

    as
    1. Barros, Pedro Luis Pita & Mata, José, 1996. "Competition Policy in Portugal," CEPR Discussion Papers 1441, C.E.P.R. Discussion Papers.
    2. Neven, Damien J & von Ungern-Sternberg, Thomas, 1996. "Competition Policy in Switzerland," CEPR Discussion Papers 1416, C.E.P.R. Discussion Papers.
    3. Pittman, R., 1991. "Some Critical Provisions in the Antimonopoly Laws of Central and Eastern Europe," Papers 91-10, U.S. Department of Justice - Antitrust Division.
    4. Djankov, Simeon & Hoekman, Bernard, 1996. "Fuzzy Transition and Firm Efficiency: Evidence from Bulgaria, 1991-4," CEPR Discussion Papers 1424, C.E.P.R. Discussion Papers.
    Full references (including those not matched with items on IDEAS)

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    Cited by:

    1. World Bank, 2001. "Bulgaria : The Dual Challenge of Transition and Accession," World Bank Publications - Books, The World Bank Group, number 13958.

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