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The European Parliament as a Conditional Agenda Setter: What Are the Conditions? A Critique of Tsebelis (1994)

Citations

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Cited by:

  1. A Jones & J R A Clark, 1999. "The European Parliament: Agenda Territories and Agri-Environment Policymaking," Environment and Planning C, , vol. 17(2), pages 127-144, April.
  2. Napel, Stefan & Widgrén, Mika, 2017. "Power measurement as sensitivity analysis: a unified approach," Center for Mathematical Economics Working Papers 345, Center for Mathematical Economics, Bielefeld University.
  3. Jonathan B Slapin, 2014. "Measurement, model testing, and legislative influence in the European Union," European Union Politics, , vol. 15(1), pages 24-42, March.
  4. Christophe Crombez & Pieterjan Vangerven, 2014. "Procedural models of European Union politics: Contributions and suggestions for improvement," European Union Politics, , vol. 15(2), pages 289-308, June.
  5. Robert Pahre, 2001. "Divided Government and International Cooperation in Austria-Hungary, Sweden-Norway and the European Union," European Union Politics, , vol. 2(2), pages 131-162, June.
  6. Geoffrey Garrett & George Tsebelis, 1999. "Why Resist the Temptation to Apply Power Indices to the European Union?," Journal of Theoretical Politics, , vol. 11(3), pages 291-308, July.
  7. Dirk Junge & Thomas König, 2007. "What's Wrong With Eu Spatial Analysis?," Journal of Theoretical Politics, , vol. 19(4), pages 465-487, October.
  8. Moser, Peter, 1999. "The impact of legislative institutions on public policy: a survey," European Journal of Political Economy, Elsevier, vol. 15(1), pages 1-33, March.
  9. Serra Boranbay-Akan & Thomas König & Moritz Osnabrügge, 2017. "The imperfect agenda-setter: Why do legislative proposals fail in the EU decision-making process?," European Union Politics, , vol. 18(2), pages 168-187, June.
  10. Frans Stokman & Robert Thomson, 2004. "Winners and Losers in the European Union," European Union Politics, , vol. 5(1), pages 5-23, March.
  11. Christian Rauh, 2021. "One agenda-setter or many? The varying success of policy initiatives by individual Directorates-General of the European Commission 1994–2016," European Union Politics, , vol. 22(1), pages 3-24, March.
  12. Thomas König & Mirja Pöter, 2001. "Examining the EU Legislative Process," European Union Politics, , vol. 2(3), pages 329-351, October.
  13. Susanne K. Schmidt, 2000. "Only an Agenda Setter?," European Union Politics, , vol. 1(1), pages 37-61, February.
  14. Diego Varela, 2009. "Just a Lobbyist?," European Union Politics, , vol. 10(1), pages 7-34, March.
  15. Rauh, Christian, 2021. "One agenda-setter or many? The varying success of policy initiatives by individual Directorates-General of the European Commission 1994–2016," EconStor Open Access Articles and Book Chapters, ZBW - Leibniz Information Centre for Economics, vol. 22(1), pages 3-24.
  16. Christophe Crombez & Bernard Steunenberg & Richard Corbett, 2000. "Understanding the EU Legislative Process," European Union Politics, , vol. 1(3), pages 363-381, October.
  17. Attila Kovács, 2013. "New Ways for Companies to Develop Effective Lobbying Strategies in the European Parliament A case study in the field of the Common Agricultural Policy," Proceedings of FIKUSZ '13, in: Pál Michelberger (ed.),Proceedings of FIKUSZ '13, pages 77-96, Óbuda University, Keleti Faculty of Business and Management.
  18. Crombez, Christophe & Groseclose, Timothy J. & Krehbiel, Keith, 2005. "Gatekeeping," Research Papers 1861r1, Stanford University, Graduate School of Business.
  19. Bjørn Høyland & Vibeke Wøien Hansen, 2014. "Issue-specific policy-positions and voting in the Council," European Union Politics, , vol. 15(1), pages 59-81, March.
  20. Richard Whitaker, 2005. "National Parties in the European Parliament," European Union Politics, , vol. 6(1), pages 5-28, March.
  21. Bernhard Boockmann, 1998. "Agenda Control by Interest Groups in Eu Social Policy," Journal of Theoretical Politics, , vol. 10(2), pages 215-236, April.
  22. Keith Dowding, 2000. "Institutionalist Research on the European Union," European Union Politics, , vol. 1(1), pages 125-144, February.
  23. Madeleine O. Hosli & Běla Plechanovová & Serguei Kaniovski, 2018. "Vote Probabilities, Thresholds and Actor Preferences: Decision Capacity and the Council of the European Union," Homo Oeconomicus: Journal of Behavioral and Institutional Economics, Springer, vol. 35(1), pages 31-52, June.
  24. Torsten J. Selck & Bernard Steunenberg, 2004. "Between Power and Luck," European Union Politics, , vol. 5(1), pages 25-46, March.
  25. Mikko Mattila & Jan-Erik Lane, 2001. "Why Unanimity in the Council?," European Union Politics, , vol. 2(1), pages 31-52, February.
  26. Christiane Kasack, 2004. "The Legislative Impact of the European Parliament Under the Revised Co-Decision Procedure," European Union Politics, , vol. 5(2), pages 241-260, June.
  27. Christophe Crombez, 2002. "Information, Lobbying and the Legislative Process in the European Union," European Union Politics, , vol. 3(1), pages 7-32, March.
  28. repec:lic:licosd:28611 is not listed on IDEAS
  29. Vibeke Wøien Hansen, 2014. "Incomplete information and bargaining in the EU: An explanation of first-reading non-agreements," European Union Politics, , vol. 15(4), pages 472-495, December.
  30. Nicola Maaser & Alexander Mayer, 2016. "Codecision in context: implications for the balance of power in the EU," Social Choice and Welfare, Springer;The Society for Social Choice and Welfare, vol. 46(1), pages 213-237, January.
  31. George Tsebelis & Geoffrey Garrett, 2000. "Legislative Politics in the European Union," European Union Politics, , vol. 1(1), pages 9-36, February.
  32. Robert Pahre, 2005. "Formal Theory and Case-Study Methods in EU Studies," European Union Politics, , vol. 6(1), pages 113-145, March.
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