Regulating for Telecommunications Competition in Developing Countries: The Case of Papua New Guinea

Bronwyn E. Howell, P. Potgieter, R. Sofe
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Abstract

Papua New Guinea is a low-middle income developing Asia-Pacific island country with a relatively long history of telecommunications market development under firstly Australian administration, and latterly under a pro-competitive set of regulatory arrangements strongly influenced by Australian policy-making. Nevertheless, it demonstrates some of the weakest sector performance statistics of a range of comparable low-middle income countries in its region. Why does a country with a regulatory regime drawing on current international recommended "best practice" perform so poorly? To address this question, we develop an inquiry framework (checklist) for assessing the effectiveness of regulatory arrangements in a developing, as opposed to developed country. Whilst the framework is based on guidelines from the World Bank and the International Telecommunications Union (Blackman & Srivastava, 2011), we adapt these to take account of specific challenges arising in developing countries: limited capacity, limited commitment, limited accountability, limited fiscal efficiency and trade-offs between factors that take account of these limits (Laffont, 2005; Estache & Wren-Lewis, 2010). Applying the inquiry framework to Papua New Guinea, we find that, the most likely explanation for poor performance derives from the government being both regulator and owner of the incumbent, Telikom. Lack of investment and an unstable set of ownership arrangements have constrained Telikom from being an effective competitor. Weaknesses exist in the monitoring and enforcement of regulator accountability provisions, but are unlikely to have altered sector outcomes, although they may have contributed to obscuring poor performance. Introduction of at least one more foreign operator will be beneficial, but only if the government can clearly separate its ownership and regulatory activities and political agents can credibly commit to refraining from interfering in the operational activities of both the incumbent firm and regulatory agencies.
发展中国家电信竞争的管制:以巴布亚新几内亚为例
巴布亚新几内亚是一个中低收入的发展中亚太岛国,其电信市场的发展历史相对较长,最初是在澳大利亚的管理下,后来是在一套受澳大利亚政策制定强烈影响的有利于竞争的监管安排下。然而,它显示了该地区一系列可比的中低收入国家中一些最弱的部门绩效统计数据。为什么一个采用当前国际上推荐的“最佳做法”的监管制度的国家表现如此糟糕?为了解决这个问题,我们开发了一个调查框架(清单)来评估发展中国家监管安排的有效性,而不是发达国家。虽然该框架基于世界银行和国际电信联盟的指导方针(Blackman & Srivastava, 2011),但我们对这些指导方针进行了调整,以考虑到发展中国家面临的具体挑战:有限的能力、有限的承诺、有限的问责制、有限的财政效率以及考虑到这些限制的因素之间的权衡(Laffont, 2005;Estache & Wren-Lewis, 2010)。将调查框架应用于巴布亚新几内亚,我们发现,对表现不佳的最可能解释是政府既是现任电信公司的监管者又是所有者。缺乏投资和不稳定的所有权安排限制了Telikom成为一个有效的竞争对手。监管机构问责条款的监督和执行存在弱点,但不太可能改变行业结果,尽管它们可能有助于掩盖糟糕的表现。至少多引进一家外国运营商将是有益的,但前提是政府能够明确地将其所有权和监管活动分开,并且政治代理人能够可信地承诺不干预现有公司和监管机构的经营活动。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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