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Bargaining Theory and Portfolio Payoffs in European Coalition Governments 1945–83

Published online by Cambridge University Press:  27 January 2009

Extract

Coalition formation has been the subject of much theoretical and empirical work in the past decade or so. The theories that have been tested all rest, one way or another, upon assumptions about the ways in which the payoff accruing to a particular coalition is distributed among its members. Yet much less empirical work has been done on the process of payoff distribution. Thus some of the fundamental assumptions of coalition theories, at least in terms of their practical application to coalition governments, have been more scantily tested. Several theories of payoff distribution have been recently developed, however. It is the purpose of this article to test the application of these theories to the practice of coalition government in Europe.

Type
Research Article
Copyright
Copyright © Cambridge University Press 1985

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References

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14 See Schofield, N., ‘Bargaining Set Theory and Stability in Coalition Governments’, Mathematical Social Science, III (1982), 931CrossRefGoogle Scholar, for further details of the methods involved in computing the bargaining set.

15 In comparing our results with those of Browne and Franklin, of course, account must be taken of the fact that they predict proportion, while we predict numbers, of cabinet seats. This should not affect the slopes much, but our constant of about one portfolio reflects, given a mean cabinet size of about twenty portfolios, a proportionate constant of about 0·05.

16 We also verified that this systematic misprediction was not purely a result of the lumpy nature of the dependent variable.

17 See Schofield, N., ‘The Relationship Between Voting and Party Strength in an Electoral System’, in Holler, M., ed., Power, Voting and Voting Power (Wurzburg: Physica Verlag, 1981).Google Scholar

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19 See Schofield, , ‘Generic Instability of Majority Rule’Google Scholar, for a formal proof.