Monopolization under the Sherman Act: the third wave and beyond

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Publication Type Journal Article
School or College S. J. Quinney College of Law
Department Law
Creator Flynn, John J.
Title Monopolization under the Sherman Act: the third wave and beyond
Date 1981
Description Like Gaul, monopolization litigation under section 2 of the Sherman Act has been divided into three parts: A first part beginning with the Northern Securities case of 1904(1) and ending with the U.S. Steel case in 1920;(2) a second part, the Thurmond Arnold era, beginning in the late 30's with the filing of the ALCOA case(3) and ending in the early 50's with the decision in the United Shoe Machinery case;(4) and a third part beginning in the late 60's with the filing of the IBM case by the Department of Justice.(5)
Type Text
Publisher Record Press
First Page 1
Last Page 131
Language eng
Bibliographic Citation Flynn, J. J. (1981). Monopolization under the Sherman Act: the third wave and beyond. Antitrust Bulletin, 26, Spring, 1-131.
Rights Management (c)Federal Legal Publications, Inc.
Format Medium application/pdf
Format Extent 9,471,316 bytes
Identifier ir-main,1715
ARK ark:/87278/s6t44bpz
Setname ir_uspace
ID 706321
Reference URL https://collections.lib.utah.edu/ark:/87278/s6t44bpz
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