Replication Files for "Finance Capitalism in Industrializing Autocracies: Evidence from Corporate Balance Sheets in Imperial Germany and Russia" (ICPSR 197621)
Replication Files for "The Births, Lives and Deaths of Corporations in Late Imperial Russia" (ICPSR 196009)
Preventing and Controlling Corporate Crime: The Dual Role of Corporate Boards and Legal Sanctions, United States, 1996-2013 (ICPSR 37463)
This project consists of secondary analysis material (syntax only, no data). The original study that the material pertains to examines two distinct but related types of corporate crime prevention and control mechanisms--one that rests on firm governance (specifically, the Board of Directors) and the other on formal legal interventions. Specifically, the study examines whether (ceteris paribus) firms with more gender diversity on their boards are less involved in offending than firms whose boards are less diverse and whether changes in board diversity over time affect firm offending patterns. Of additional interest is how firms respond to legal discovery and punishment.
Do they change their governance structures (i.e., become more diverse) due to formal legal discovery?
Are firms generally deterred from reoffending (recidivism) when discovered or does deterrence depend on the government's response to offenders?
In particular, are certain regimes (criminal, civil, or regulatory) more successful at crime control than others?
Relevant data are collected from a variety of secondary sources, including corporate financial, statistical, and governance information. These data are then linked to cases of corporate offending (accounting fraud, bribery, environmental and anti-competitive) for 3,327 US based companies between 1996 and 2013.
Analyses-NIJ-5.21.2019--2-.do: Syntax (Stata) used to create type of offense count; domain of processing (civil, criminal, regulatory); offense distribution (by corporate year), female board membership (count and percent); Reoffending (by enforcement type and governance characteristics).
General Social Survey, 1972-2016 [Cumulative File] (ICPSR 36797)
General Social Survey, 1972-2014 [Cumulative File] (ICPSR 36319)
Korean General Social Survey (KGSS), 2003 (ICPSR 34655)
Generations of Talent Study (ICPSR 35034)
Korean General Social Survey (KGSS), 2007 (ICPSR 34663)
Korean General Social Survey (KGSS), 2008 (ICPSR 34664)
General Social Survey, 1972-2012 [Cumulative File] (ICPSR 34802)
State Investments in Successful Transitions to Adulthood, 1970-2000 (ICPSR 34373)
This research investigated the relationship between ascribed characteristics, family resources, personal circumstances, and public policies as these affect the transition to adulthood. The transition to adulthood has been extensively studied during the last four decades using a variety of well-established approaches and methods. Changes in the structure and pace of youth-to-adult transitions have been extensively documented, along with the increasingly complex lives young people lead as they negotiate the transition to adulthood. Relatively less attention has been devoted to the factors leading to these changes, and a variety of public policies related to state economic development efforts, education, and financial support for higher education have yet to be examined in any detail. This project built on the principal investigators' prior work on life course transitions and state economic and political contexts to estimate behavioral models of the late 20th and early 21st century transition to adulthood.
Specifically, this research:
- Defines and describes the successful transition to adulthood in terms of human capital accumulation, attainment of economic security, and partnership and life satisfaction.
- Identifies group and individual disparities in successful transitions, defined by ascribed characteristics, family resources, and personal circumstances.
- Measures the impact of the social and economic environments where these transitions occur and the effects of state structures and policies on the successful transition to adulthood, specifically examining whether the impact of these state policies differs by race/ethnicity, immigrant status, and disability status.
The analysis used discrete hazard modeling and hierarchical generalized linear modeling (HGLM) to build a general model of the transition to adulthood on a wide variety of dimensions (from educational attainment to stable employment in a full-time job, employment in a job with health insurance, to independent residence and life satisfaction) and examined systematic changes in the process leading to adulthood across cohorts and across race/ethnic, immigrant, and disability groups.
General Social Survey, 1972-2010 [Cumulative File] (ICPSR 31521)
Business Failures by Industry in the United States, 1895 to 1940: A Statistical History (ICPSR 34016)
CBS News/60 Minutes/Vanity Fair National Poll, May #2, 2011 (ICPSR 33964)
CBS News/New York Times National Survey, March #1, 2011 (ICPSR 33487)
Rise of American Industrial Corporations, 1880-1914 (ICPSR 9392)
CBS News/Vanity Fair Monthly Poll #2, January 2010 (ICPSR 31563)
ABC News/Washington Post Monthly Poll, February 2010 (ICPSR 30202)
Assessing Punitive and Cooperative Strategies of Corporate Crime Control for Select Companies Operating in 1995 Through 2000 [United States] (ICPSR 22180)
The purpose of the study was to evaluate the extent to which deterrence or cooperative strategies motivated firms and their facilities to comply with environmental regulations. The project collected administrative data (secondary data) for a sample of publicly owned, United States companies in the pulp and paper, steel, and oil refining industries from 1995 to 2000 to track each firm's economic, environmental, and enforcement compliance history. Company Economic and Size Data (Part 1) from 1993 to 2000 were gathered from the Standard and Poor's Industrial Compustat, Mergent Online, and Securities and Exchange Commission, resulting in 512 company/year observations. Next, the research team used the Directory of Corporate Affiliations, the Environmental Protection Agency's (EPA) Toxic Release Inventory (TRI), and the EPA's Permit Compliance System (PCS) to identify all facilities owned by the sample of firms between 1995 and 2000. Researchers then gathered Facility Ownership Data (Part 2), resulting in 15,408 facility/year observations.
The research team gathered various types of PCS data from the EPA for facilities in the sample. Permit Compliance System Facility Data (Part 3) were gathered on the 214 unique major National Pollutant Discharge Elimination System (NPDES) permits issued to facilities in the sample. Although permits were given to facilities, facilities could have one or more discharge points (e.g., pipes) that released polluted water directly into surface waters. Thus, Permit Compliance System Discharge Points (Pipe Layout) Data (Part 4) were also collected on 1,995 pipes.
The EPA determined compliance using two methods: inspections and evaluations/assessments. Permit Compliance System Inspections Data (Part 5) were collected on a total of 1,943 inspections. Permit Compliance System Compliance Schedule Data (Part 6) were collected on a total of 3,336 compliance schedule events. Permit Compliance System Compliance Schedule Violation Data (Part 7) were obtained for a total of 246 compliance schedule violations. Permit Compliance System Single Event Violations Data (Part 8) were collected on 75 single event violations. Permit Compliance System Measurement/Effluent and Reporting Violations Data (Part 9) were collected for 396,479 violations. Permit Compliance System Enforcement Actions Data (Part 10) were collected on 1,730 enforcement actions.
Occupational Safety and Health Administration Data (Part 11) were collected on a total of 2,243 inspections. The OSHA data were collected by company name and include multiple facilities owned by each company and were not limited to facilities in the Permit Compliance System. Additional information about firm noncompliance was drawn from EPA Docket and CrimDoc systems. Administrative and Judicial Docket Case Data (Part 12) were collected on 40 administrative and civil cases. Administrative and Judicial Docket Case Settlement Data (Part 13) were collected on 36 administrative and civil cases. Criminal Case Data (Part 14) were collected on three criminal cases.
For secondary data analysis purposes, the research team created the Yearly Final Report Data (Part 15) and the Quarterly Final Report Data (Part 16). The yearly data contain a total of 378 company/year observations; the quarterly data contain a total of 1,486 company/quarter observations.
The research team also conducted a vignette survey of the same set of companies that are in the secondary data to measure compliance and managerial decision-making. Concerning the Vignette Data (Part 17), a factorial survey was developed and administered to company managers tapping into perceptions of the costs and benefits of pro-social and anti-social conduct for themselves and their companies. A total of 114 respondents from 2 of the sampled corporations read and responded to a total of 384 vignettes representing 4 scenario types: technical noncompliance, significant noncompliance, over-compliance, and response to counter-terrorism.
Part 1 contains 19 economic and size variables. Part 2 contains a total of eight variables relating to ownership. Part 3 contains 67 variables with regard to facility characteristics. Part 4 contains 31 variables relating to discharge points and pipe layout information. Part 5 contains 13 inspections characteristics variables. Part 6 contains 13 compliance schedule event characteristics variables. Part 7 contains 11 compliance schedule violation characteristics variables. Part 8 contains 10 single event violation characteristics variables. Part 9 contains 79 variables including variables for matching limits and discharge monitoring reports, actual limits (permitted levels) variables, standardized limits variables, statistical base codes variables, reported units on limits variables, units for standardized limits variables, sampling information variables, additional limits information, actual DMR reports for each limit, effluent violations, and variables relating to technical aspects of reporting. Part 10 contains 26 enforcement actions variables. Part 11 contains 24 Occupational Safety and Health Administration inspection variables. Part 12 contains 39 administrative and judicial court case characteristics variables. Part 13 contains 21 court case settlement characteristics variables. Part 14 contains 9 criminal case characteristics variables. Part 15 contains 95 variables created for final report analyses by year. Part 16 contains 46 variables created for final report analyses by quarter. Part 17 contains 157 variables including pro-social variables with security/over-compliance intentions, noncompliance variables with technical/significant noncompliance intentions, vignette characteristics variables, other variables derived from survey questions, environmental norms variables, and demographic characteristics variables.
ABC News/Washington Post Monthly Poll, March 2009 (ICPSR 27763)
Law and Finance in Illinois, 1868-1874 (ICPSR 9680)
New York Times Business World Survey, 1986-1987 (ICPSR 9213)
Network Analysis of Corporate Political Action, 1980 [United States] (ICPSR 4542)
Omnibus Study, Fall 1973 (ICPSR 3625)
This study was specifically designed for investigators who wanted to collect data on a national sample, but only required part of an interview. The survey explored the following topics: economic situation, attitudes toward the political system, views and beliefs about selected institutions, philanthropic contributions, and background questions. In the economic section respondents were asked how they viewed their own and the country's economic situations in comparison to the previous year, and what their expectations were for the next 12 months. Questions referred to personal finances, employment, price changes, and the national business situation. The economic variables are also included in SURVEY OF CONSUMER ATTITUDES AND BEHAVIOR, FALL 1973 (ICPSR 7525). The second section contained questions of a political nature, focusing on trust in the federal government and the evaluation of major political institutions, such as the United States Congress, the Supreme Court, the president, the military, and the major political parties. The third section elicited respondents' views of selected institutions, including big business, local, state, and federal governments, churches, schools, colleges and universities, labor unions, and the media. The fourth section assessed general attitudes toward philanthropy and the effects of the growth of public philanthropy on private giving. Respondents were also asked to what extent their contributions to charity were, or would be, affected by recent changes in tax law such as the elimination of tax breaks. Demographic variables include sex, age, ethnicity, marital status, level of education, marital status, duration of present and past marriages, employment status, main occupation, and labor union membership.