20.
Working with
the U.S. Trade Laws
: The Practitioner’s Perspective,
Swiss Review of Competition Law Nos. 29 and 30 at 5 and 7 (February and June
1987) (with Debra A. Valentine)
21. Institutional Structures for Dispute Resolution in the GATT, S.
Rubin and M. Jones, eds., Conflict and Resolution in U.S.-EC Trade Regulations
at the opening of the Uruguay Round (1987), Gary N. Horlick, Kathleen Chagnon,
James P. McIlroy.
22. Commerce
Procedures Under Existing and Proposed Antidumping/Countervailing Duty
Regulations, 22 International Lawyer 99 (1988) (with F. Amanda
DeBusk).
23. “Dispute
Resolution Mechanisms” in Schott, J. and M. Smith, Eds. , The Canada-United
States Free Trade Agreement:The Global Impact (Inst. For Int’l
Econ, Washington D.C. 1988) (with Geoffrey D. Oliver, Debra P.
Steger).
24.
The Free
Trade Agreement Working Group:
Developing a Harmonized and
Improved Countervailing Duty Law
, American Bar Association National
Institute:“Canada/United States Free Trade Agreement” (January
1988) (with Sheila J. Landers).
25. Institutional Structures for Dispute Resolution in the GATT,
International Bar Association (1988) (with Kathleen Chagnon, James P.
McIlroy)
26. “Improvements
in Trade Remedy Law and Procedures under the Canada-U.S. Free Trade Agreement”
in Understanding The Free Trade Agreement (Donald McRae and Debra Steger,
eds.), Institute for Public Policy Research (1988).
27.
A View from
the United States
, in
Two Views on Dispute Settlement and Trade Laws in
the Canada U.S. Free Trade Agreement
, Trade Monitor No. 6 at 2 (October
1988), Gary N. Horlick, Debra A. Valentine.
28.
Antidumping
and Countervailing Duty Law Provisions of the Omnibus Trade and Competitiveness
Act of 1988
, 23 Journal of World Trade 5 (June 1989) with Geoffrey D.
Oliver).
29.
Political
Questions in International Trade
:
Judicial Review of
Section 301
, 10 Michigan Journal of International Law 735 (1989) (with Erwin
P. Eichmann).
30. “The U.S.
Antidumping System” in Antidumping Law and Practice; A Comparative Study
(John Jackson and Edwin Vermulst, eds.), University of Michigan Press,
1990.
31. “Subsidies and
Countervailing Duties” in Making Free Trade Work (Peter Morici, ed),
Council on Foreign Relations Press, 1990 (with Debra P. Steger).
32.
“The
Functioning of U.S.-Canada Free Trade Agreement Dispute Resolution Panels”,
Center for Strategic and International Studies, Washington, 1991 (with F. Amanda
DeBusk).
33.
The
U.S.-Canada FTA and GATT Dispute Settlement Procedures – The Litigant’s View
, 23 Journal of World Trade 5 (April 1992)
34.
Procedures
for the Removal of Duty Free Treatment under the GSP Program
, International
Practitioner’s Notebook (December 1986), Gary N. Horlick, Kathleen
Chagnon.
34a.
Procedures for the Removal of Duty Free Treatment Under the GSP
Program,
24 Corporate Counsel’s International Advisor 12 (May 1987), Gary N.
Horlick, Kathleen Chagnon.
34aa.
Procedures for the Removal of Duty Free Treatment Under the GSP
Program
, 1 Laws of International Trade 208.001 (January 1993), Gary N.
Horlick, Kari Dohn.
35.
Access to
Information in EC Antidumping Investigations: Toward a U.S. –Style
Procedure
?75 Corporate Counsel’s International Advisor 2
(1991), Gary Horlick, Geoffrey Oliver.
36.
Access to
Information in EC Antidumping Investigations:Cosmetic Changes
Only
, 75 Corporate Counsel’s International Advisor 8 (1991), Gary Horlick,
Geoffrey Oliver.
37. Kermit W.
Almstedt, Gary N. Horlick, “Trade and Import Regulations” in
The O’Melveny
& Myers Guide to Acquisition and Management of a U.S. Business
207 ((S. Pepe, J. Powers eds. 1992).
38. Introductory
Note – United States:Court of Appeals for the Federal Circuit
Opinion in PPG Industries, Inc. v. United States, (1991).
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