Philip Morris
Bibliography of W. Kip Viscusi
Fields
- Type
- BIBL, BIBLIOGRAPHY
- Area
- ELLIS,CATHY/OFFICE
- Master ID
- 2057063515/3727
Related Documents:- 2057063515-3522 Before the United States Food and Drug Administration Docket No. 95n-0253 Docket No. 95n-0253j Regulations Restricting the Sale and Distribution of Cigarettes and Smokeless Tobacco Products to Protect Children and Adolescents, Proposed Rule, Analysis Regarding FDA's Jurisdiction Over Nicotine - Containing Cigarettes and Smokeless Tobacco Products, Notice Comments of Brown & Williamson Tobacco Corporation Liggett Group Inc. Lorillard Tobacco Company Philip Morris Incorporated R.J. Reynolds Tobacco Company Tobacco Institute Inc. Volume Viii
- 2057063523-3542 Professor Timothy P. Meyer University of Wisconsin, Green Bay
- 2057063561-3563 Edward V. Morse Ph.D. Clinical Professor of Psychiatry at Lsumcno
- 2057063576-3583 Lucy Henke
- 2057063589-3595 Professor J. Stephen Thomas
- 2057063600-3621 Public Policy Decisions Should Be Based on Sound Social Science Research, Not Speculation or Political Motivation.
- 2057063633-3636 Dr. Linda D. Goff
- 2057063645-3651 Charles F. 'rick' Houlberg
- 2057063653-3660 Paul J. Traudt, Ph.D.
- 2057063669-3673 Comments to FDA
- 2057063684-3701 Comments by W. Kip Viscusi on FDA Notice of Findings, 'regulations Restricting the Sale and Distribution of Cigarettes and Smokeless Tobacco Products to Protect Children and Adolescents: Findings of the Focus Group Testing of Brief Statements for Cigarette Advertisements,' 60 Fed. Reg. 61,670-79 (95101)
- Named Organization
- Nber
- Rand
- Named Person
- Viscusi, W.K.
- Litigation
- Iwoh/Produced
- Site
- R461
- Date Loaded
- 17 Apr 1999
- UCSF Legacy ID
- fhs13e00
Document Images
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102. "Toward a Proper Role for Hazard Warnings in Products Liability
Cases," Journal of Products Liability, Vol. 13, No. 2 (1991),
~ pp. 139-163.
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103. "An Industrial Profile of the Product Liability-Innovation Linkage,"
with Michael J. Moore, in R. Litan and P. Huber, eds., The
Liability Maze: The Impact of Liability Law on Safety and Inno-
vation (4Fashington: Brookings Institution, 1991), pp. 81-120.
104. "Pricing Environmental Health Risks: Survey Assessments of Risk-Risk
and Risk-Dollar Tradeoffs for Chronic Bronchitis," with Wesley A.
Magat and Joel Huber, Journal of Environmental Economics and
Management, Vol. 21, No. 1 (July 1991), pp. 32-51.
~ 105. "Product and Occupational Liability," Journal of Economic
Perspectives, Vol. 5, No. 3 (Summer 1991), pp. 71-91.
106. "Economic Theories of Decision-Making under Uncertainty: Implications
for Policy Analysis," in D. Weimer, ed., Policy Analysis and
Economics: Developments, Tensions, Prospects (Boston: Kluwer
~ Academic Publishers, 1991), pp. 85-109.
107. "Worker Learning and Compensating Differentials," with Michael J. Moore,
Industrial and Labor Relations Review, Vol. 45, No. 1 (Oct. 1991),
pp. 80-96.
~ 108. "Communication of Ambiguous Risk Information," with Wesley A. Magat
and Joel Huber, Theory and Decision, Vol. 31, Nos. 2/3, (Sept./
Nov. 1991), pp. 159-173.
109. "Strategic and Ethical Issues in the Value of Life," in R. Zeckhauser,
ed., The Strategy of Choice (Cambridge: MIT Press, 1991), pp. 359-
~ 387.
110. "Risk Perceptions in Regulation, Tort Liability, and the Market,"
Regulation, Vol. 14, No. 1 (Fall 1991).
111. "Age Variations in Risk Perceptions and Smoking Decisions,"
~ Review of Economics and Statistics, Vol. 73, No. 4 (1991),
pp. 577-588.
112. "A Principled Basis for Product Liability Reform," Journal of
Regulation and Social Costs, Vol. 1, No. 4 (Nov. 1991),
pp. 63-84.
113. "Utility-Based.Valuations of Health," with William Evans,
American Journal of Agricultural Economics, Vol. 73, No. 5
(Dec. 1991), pp. 1422-1427.
114. "Implications of Global Change Uncertainties: Agricultural and
~ Natural Resource Policies," in J. Reilly and M. Anderson, eds.,
Economic Issues in Global Climate Change: Agriculture, Forestry,
and Natural Resources (Boulder: Westview Press, 1992), pp. 414-
424.

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115. "Occupational Safety and Health in the 1990s," in Daniel Bromley, ed.,
The Social Response to Environmental Risk: Policy Formulation in
9 an Age of Uncertainty (Boston: Kluwer Academic Publishers, 1992),
pp. 187-206.
116. "Social Insurance in Market Contexts: Implications of the Structure
of Workers' Compensation for Job Safety and Wages," with Michael J.
Moore, in G. Dionne, ed., Insurance Economics (Boston: Kluwer
Academic Publishers, 1992), pp. 399-422.
117. "Bayesian Decisions with Ambiguous Belief Aversion," with
Wesley A. Magat, Journal of Risk and Uncertainty, Vol. 5, No. 4
(Oct. 1992), pp. 371-387.
118. "Improving the Analytical Basis for Regulatory Decision-
Making," (Paris: Organization for Economic Cooperation and
Development, 1992).
119. "Product Liability, Research and Development, and Innovation,"
with Michael J. Moore, Journal of Political Economy, Vol. 101,
No. 1(Feb. 1993) pp. 161-184.
120. "The Effect of 1980s Tort Reform Legislation on General Liability
and Medical Malpractice Insurance," with R. Zeckhauser, P. Born, and
G. Blackmon, Journal of Risk and Uncertainty, Vol. 6, No. 2 (1993),
pp. 165-186.
121. "Liability," in David Henderson, ed., Fortune Encyclopedia of Economics
(New York: Warner Books, 1993), pp. 27-30.
122. "Job Safety," in David Henderson, ed., Fortune Encyclopedia of Economics
(New York: Warner Books, 1993), pp. 490-493.
123. "The Consumer Welfare Effects of Liability for Pain and Suffering:
Discussion," Microeconomics 1, 1993: Brookings Papers on Economic
Activity, pp. 175-191, 195-196.
124. "Income Effects and the Value of Health," with William Evans,
Journal of Human Resources, Vol. 28, No. 3 (Summer 1993),
pp. 497-518.
125. "The Risky Business of Insurance Pricing," Journal of Risk and
Uncertainty, Wharton Insurance Symposium, Vol. 7 No. 1 (August 1993)
pp. 117-139. Also reprinted in C. Camerer and H. Kunreuther, eds.,
Making Decisions about Liability and Insurance (Boston: Kluwer
Academic Publishers, 1993).
126. "The Value of Risks to Life and Health," Journal of Economic
Literature, Vol. XXXI, No. 4 (December 1993), pp. 1912-1946.
127. "Cigarette Warnings: The Perils of the Cipollone Decision,"
Supreme Court Economic Review, Vol. 3. (1994), pp. 239-275.

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128. "The Misspecified Agenda: Health, Safety and Environmental Regulation
in the 1980's," in Martin Feldstein, ed., American Economic Policy
in the 1980's (Chicago: University of Chicago Press for National
Bureau of Economic Research, 1994), pp. 453-504.
129. "The Fatality and Injury Costs of Expenditures," with
ckhauser, Journal of Risk and Uncertainty,
Richard J. Ze
,
Vol. 8, No. 1 (January, 1994), pp. 271-293. Reprinted in
W. Kip Viscusi, ed., The Mortality Costs of Regulatory Expenditures
(Boston: Kluwer Academic Publishers, 1995).
130. "Risk-Risk Analysis," Journal of Risk and Uncertainty, Vol. 8, No. 1,
(January, 1994), pp. 257-269. Reprinted in W. Kip Viscusi, ed.,
The Mortality Costs of Regulatory Expenditures (Boston: Kluwer
Academic Publishers, 1995).
131. "Mortality Effects of Regulatory Costs and Policy Evaluation
Criteria," RAND Journal of Economics, Vol. 25, No. 1 (Spring, 1994),
pp. 94-109.
132. "Superfund and Real Risks," with James T. Hamilton, The American
Enterprise, Vol. 5, No. 2 (March/April 1994), pp. 36-45.
133. "Information As Regulation: The Role of the Educated Consumer" (Paris:
Organization for Economic Cooperation and Development, 1994).
134. "A Statistical Profile of Pharmaceutical Industry Liability, 1976-1989,"
with Michael J. Moore and James Albright, Seton Hall Law Review, Vol.
24, No. 3 (1994), pp. 1418-1436.
135. "Deterring Inefficient Pharmaceutical Litigation: An Economic Rationale
for the FDA Regulatory Compliance Defense," with Steven R. Rowland,
Howard L. Dorfman, and Charles J. Walsh,'Seton Hall Law Review,
Vol. 24, No. 3 (1994), pp. 1437-1480. Reprinted in Specialty Law
Digest: Health Care.
136. "Efficacy of Labeling of Foods and Pharmaceuticals,"
Annual Review of Public Health, Vol. 15 (1994), pp. 325-343.
137. "Environmentally Responsible Energy Pricing," with Wesley Magat, Alan
Carlin, and Mark Dreyfus, The Energy Journal, Vol. 15, No. 2 (Summer
1994), pp. 23-42.
138. "The Performance of the Liability Reform Experiments: New York and
Colorado," Journal of Products and Toxics Liability, with Patricia
Born, Vol. 16, No. 1 (1994), pp. 1-18.
139. "The National Implications of Liability Reforms for General Liability
and Medical Malpractice Insurance," Seton Hall Law Review, with
Patricia Born, Vol. 24, No. 4 (June 1994), pp. 1743-1766.
140. "Insurance Market Responses to the 1980s Liability Reforms:
An Analysis of Firm-Level Data," with Patricia Born,
Journal of Risk and Insurance, Vol. LXI, No. 2 (June 1994).

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141. "Human Health Risk Assessments for Superfund," with James T. Hamilton,
Ecology Law Quarterly, Vol. 21, No. 3 (August 1994), pp. 573-641.
142. "Promoting Smokers" Welfare with Responsible Taxation," National
Tax Journal, Sept. 1994, pp. 547-558.
143. "Discounting Health Effects for Medical Decisions," in Frank Sloan, ed.,
Valuing Health Care: Costs, Benefits, and Effectiveness of
Pharmaceuticals and Other Medical Technologies (Cambridge: Cambridge
University Press, 1995), pp. 125-147.
144. "The General-Liability Reform Experiments and the Distribution of ~
Insurance-Market Outcomes," with Patricia Born, Journal of Business ~~
and Economic Statistics , Vol. 13, No. 2 (April 1995), pp. 183-188. ~~
145. "Equivalent Frames of Reference for Judging Risk Regulation Policies,
Environmental Law Journal, Vol. 3, No. 2 (1995), pp. 431-468.
146. "Rates of Time Preference and Consumer Valuations of Automobile Safety
and Fuel Efficiency," with Mark Dreyfus, Journal of Law and
Economics, Vol. 38, No. 1(Apri1 1995).
147. "The Magnitude and Policy Implications of Health Risks From Hazardous
Waste Sites," with James T. Hamilton, in R. Revesz and R. Stewart,
eds., Analyzing Superfund: Economics, Science, and Law
(Washington: Resources for the Future, 1995), pp. 55-81.
148. "Carcinogen Regulation: Risk Characteristics and Biases in Policy
Decisions," American Economic Review, Vol. 85, No. 2 (May 1995),
pp. 50-54.
149. "Energy Taxation as a Policy Instrument to Reduce COz Emissions:
A Net Benefit Analysis," Journal of Environmental Economics and
Management, with Roy Boyd and Kerry Krutilla, Vol. 27, No. 1
(January 1995) pp. 1-24.
150. "The Effect of Product Safety Regulation on Safety Precautions,"
with Gerald 0. Cavallo, Risk Analysis, Vol. 15, No. 6 (1994)
pp. 917-930.
151. "Workers' Compensation and Injury Duration: Evidence from a Natural
Experiment," with Bruce D. Meyer and David Durbin, American
Economic Review, Vol. 85, No. 3 (June 1995) pp. 323-340.
152. "Cigarette Taxation and the Social Consequences of Smoking," in James
Poterba, ed., Tax Policy and the Economy, National Bureau of Economic
Research, Vol. 9 (1995) pp. 51-101.
153. "The Automobile Risk Metric for Valuing Health Risks," in Nathalie G.
Schwab Christe and Nils C. Soguel, ed., Contingent Valuation,
Transport Safety and the Value of Life (Boston: Kluwer Academic
Publishers, 1995) pp. 171-193.

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154. "Environmental Taxation for Environmental Regulation and Fiscal Policy:
An Analysis of A Clinton-Type BTU Tax," with Kerry Krutilla and Roy
Boyd, Journal of Regulatory Economics, Vol. 8, No. 1(July 1995)
pp. 5-22.
155. "Medical Malpractice Insurance in the Wake of Liability Reform," with
Patricia Born, Journal of Legal Studies, Vol. 24, No. 2 (June 1995)
pp 463-490.
156. "Government Action, Biases in Risk Perception, and Insurance Dec.isions,"
Geoeva Papers on Risk and Insurance Theory, Vol. 20 (1995)
pp. 93-110.
157. "The Coase Theorem in a Rent-Seeking Society
" with Chulho Jung
Kerry
,
,
Krutilla, and Roy Boyd, International Review of Law and Economics,
158. Vol. 15, No. 3 (September 1995) pp. 259-268.
"Secondhand Smoke: Facts and Fantasy," Regulation, Vol. XVIII, No. 3
(1995) pp. 42-49.
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FORTHCOMING ARTICLES:
~ 159. "A Reference Lottery Metric for Valuing Health," with Wesley Magat and
Joel Huber, Management Science.
160. "Insurance Regulation as a Price Floor," Journal of Law and Economics,
under revision.
~ 161. "The Bargaining Structure of the Litigation Process," with
Lee Lillard, American Economic Review, under revision.
162. "Economic and Psychological Aspects of Valuing Risk Reduction," in
Ray Kopp and Norbert Schwarz, eds., Determining the Value of Non-
Marketed Marketed Goods (Boston: Kluwer Academic Publishers, 1995).
163. "Criticism of the Consumer Movement," in S. Brobeck, R. Hermann, and
R. Mayer, Encyclopedia of the Consumer Movement (New York: Garland
Publishing), invited paper under review.
~ 164. "Alternative Institutional Responses to Asbestos," in Kenneth Scott,
ed., Social Policy Toward Catastrophic Risk, Proceedings of Stanford
Conference, Journal of Risk and Uncertainty, 1995.
165. "The Dangers of Unbounded Risk Regulation Commitments," in R. Hahn, ed.
Improving Risk Management: From Science to Policy (New York:
Oxford University Press, forthcoming).
166. "Determinants of the Organizational Form of Insurance Companies: Stocks
Versus Mutuals," with Patricia Born, William Gentry, and Richard J.
Zeckhauser, in David Bradford, ed., NBER Insurance Conference Volume,
(Chicago: University of Chicago Press).
~ 167. "Alarmist Decisions with Divergent Risk Information, Economic Journal,
under revision.
168. "Risk, Regulation, and Responsibility: Principles for Australian Risk
Policy," in Agenda, Institute of Public Affairs and ANU,
0 Geoffrey Hogbin, editor.
169. "Insurance and Catastrophes: The Changing Role of the Liability System,"
Geneva Papers on Risk and Insurance Theory, forthcoming.
170. "Hazard Communication: Warn,ings and Ris.k," with Richard J. Zeckhauser,
The Annals of the American Academy of Political and Social Science
171.
"The Structure of the Legal Bargaining Game," with Robert L. Scharff,
in David Anderson, editor, Dispute Resolution: Bridging the
Settlement Gap (JAI Press),
172
"Economic Principles for Re ulator Reform " Journal f Ec
g y , o onomic
~ Perspectives, invited paper in progress.
173. "Pain and Suffering: Damages in Search of a Sounder Rationale,"
Michigan Law and Policy Review.

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~ 174. "Economic Principles for Regulatory Oversight," University of Chicago
Law Review, Fall 1996, invited paper in progress.
175. "Gender Differences in Promotion, Wages, and Job Matching," with
Joni Hersch, Industrial Relations, under revision.
~ 176. "Safety Behavior and Consumer Responses to Cigarette Lighter Safety
Mechanisms," with Gerald Cavallo, Managerial & Decision Economics.
177. "Cigarette Packaging: How Best to Promote Smoker Health and Welfare,"
in John Luik, editor Plain Packs Marketing (Boston: Kiuwer Academic
Publishers).
178. "The Risk Management Dilemma," with Richard Zeckhauser, The Annals of
the American Academy of Political & Social Science.
179. "Asymmetric Assessments in Valuing Pharmaceutical Risks, with Wesley A.
Magat and Robert Scharff, Medical Care.
180. "Estimation of Revealed Probabilities and Utility Functions for
Uncertain Decisions," with William Evans, Review of Economics and
Stati.stics, second revision requested.
181. "Individual Rationality, Efficiency, and the Foundations of Tort
Reform," Rutgers Law Review, invited paper in progress.
182. "Valuing the Health Outcomes of Biomedical Research," October 1995
Conference Proceedings to appear in a conference volume prepared
for NIH, Richard Zeckhauser, editor.
40 183. "Legislative Constraints and the Limits on Superfund Reform," with
James T. Hamilton, Harvard Environmental Law Review, invited paper
in progress.
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r BOOK REVIEWS:
1. Review of The Payroll Tax for Social Security, by John Brittain,
Harvard Journal on Legislation, Vol. 10, No. 3(1973), pp. 527-535.
2. Review of The Strategy for Social Regulation, by Lester Lave, Journal
of Economic Literature, Vol. 20, No. 4 (1982), pp. 1596-1598.
3. Review of Environmental Policy under Reagan's Executive Order, ed. by
V. Kerry Smith, Journal of Economic Literature, Vol. 23, No. 4
(1985), pp. 1823-1824.
4. Review of Workers' Compensation Benefits: Adequacy, Equity and
Efficiency, ed. by John D. Worrall and David Appel, Journal
of Policy Analysis and Management, Vol. 6, No. 1 (1986),
pp. 119-121.
5. Review of Agent Orange on Trial: Mass Toxic Disasters in the Courts
by Peter M. Schuck, Regulation, Vol. 11, No. 2 (1987), pp. 54-56.
6. Review of Distributing Risk: Insurance, Legal Theory, and Public
Policy, by Kenneth S. Abraham, Northwestern University Law Review,
Vol. 82, No. 3 (1988), pp. 701-704.
7. Review of The Dilemma of Toxic Substance Regulation: How Over-
regulation Causes Underregulation, by John M. Mendeloff, Journal
of Economic Literature, Vol. XXVII, No. 2 (1989), pp. 643-645.
8. Reviews of The Regulation of Motor Vehicle Traffic Safety by Glenn C.
Blomquist; and Preventing Automobile Injury: New Findings from
Evaluation Research, ed. by John Graham, Journal of Policy Analysis
and Management, Vol. 8, No. 4 (1989), pp. 676-679.
9. Review of Liability: The Legal Revolution and Its Consequences,
by Peter Huber, Journal of Economic Literature, Vol. XXVIII,
No. 2 (1990), pp. 721-722.
10. Review of Searching for Safety, by Aaron Wildavsky, Journal of
Economic Literature, Vol. XXVIII, No. 4 (Dec. 1990), pp. 1726-27
11. Review of Uncertainty: A Guide to Dealing with Uncertainty in Quanti-
tative Risk and Policy Analysis by M. G. Morgan and Max Henrion,
Journal of Economic Literature, Vol. XXIX, No. 3 (Sept. 1991),
pp. 1172-1174.
12. Reviews of Reinventing Rationality by Thomas Garity, and Risky
Business by Elaine Draper, Journal of Policy Analysis & Management,
Vol. 12, No. 2 (Spring 1993) pp. 399-403.
13. Review of Suing For Medical Malpractice by Frank Sloan, Penny Githens,
Ellen Wright Clayton, Gerald B. Hickson, Douglas A. Gentile, and David
F. Partlett, Journal of Economic Literature (March 1995).

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CONGRESSIONAL TESTIMONY:
1. "Testimony on the Carter Pay/Price Standards," Subcommittee on Small
Business, House of Representatives, U.S. Congress, Impact of
Inflation on Small Business, April 16, 1980, pp. 111-129.
2. "Testimony on Trends in the Consumer Price Index," Joint Economic
Committee, U.S. Congress, August 1980, with Alfred E. Kahn.
3. "Testimony on Reagan's Economic Policies," Monitoring Inflation,
Part 5, Joint Economic Committee, U.S. Congress, January 23, 1981,
pp. 45-59.
4. "Testimony on Proposed Alcoholic Beverage Warnings Legislation
(S.2047)," Alcohol Warning Labels, Committee on Commerce, Science,
and Transportation, U.S. Senate, August 10, 1988, pp. 84-94,
115-119.
5. "Testimony on the Structure and Performance of the Regulatory
Review Process," Governmental Affairs Committee, U.S. Senate,
Oct. 3, 1988.
6. "Testimony on Product Liability and Innovation," Subcommittee on
Competitiveness and Economic Opportunity, Committee on Small
Business, U.S. Senate, November 7, 1991.
7. "Testimony on Product Liability Reform Legislation," Committee on
Small Business and the Subcommittee on Exports, Tax Policy, and
Special Problems, U.S. House of Representatives, May 20, 1992.
8. "Testimony on Regulatory Reform Legislation," Committee on Governmental
Affairs, U.S. Senate, February 15, 1995.
9. "Testimony on Superfund Reform," Subcommittee on Commerce, Trade, and
Hazardous Materials, Committee on Commerce, U.S. House of Represent-
atives, May 23, 1995, Superfund Reauthorization (Part 2), Serial No.
104-30 (Washington: U.S. Government Printing Office, 1995),
pp. 25-45.

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OTHER PUBLICATIONS:
1. "Pricing Environmental Risks," Center for the Study of American
Business, Washington University, St. Louis, Policy Study No. 112
(June 1992).
2. "A Rational Path to Energy Tax," with Wesley A. Magat, Econ (September
1993), p. 20.
3. "'Crying Wolf' Undermines Safety," Financial Review (Australia)
August 2, 1995.
4. "Regulation And Its Impact On Competitiveness," (Washington:
Competitiveness Policy Council), September 1995.
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