in December, 1954. This revised draft, in turn, was considered by the full Committee in a four-day meeting held in Washington later that month. At that second full Committee meeting, changes were again directed by the Committee. These were made by the Co-Chairmen and a tentative final draft was circulated to the Committee for approval in February, 1955. Finally, after a number of changes were again incorporated, the draft was printed and transmitted to the Attorney General on March 31, 1955. MEMBERS OF THE COMMITTEE Walter Adams H. Thomas Austern Wendell B. Barnes John W. Davis (deceased) Walter J. Derenberg Charles Wesley Dunn George E. Frost Fred E. Fuller Robert W. Graham *Clinton S. Golden Charles O. Gregory George E. Hale Milton Handler Edward F. Howrey Henry E. Foley Carl W. Fulda John L. Hall Francis R. Kirkham George P. Lamb *Mason A. Lewis Benjamin H. Long Breck P. McAllister Parker McCollester (deceased) James A. Rahl David W. Robinson Louis B. Schwartz David T. Searls v Herman F. Selvin Whitney North Seymour & Morrison Shafroth William Simon Curtis C. Williams, Jr. CONFEREES OF THE COMMITTEE Edgar A. Jones, Jr. Stephen P. Ladas Karl Loos Nathaniel L. Nathanson Frederick M. Rowe Harry Shulman (deceased) Charles E. Stewart Arthur L. Seder, Jr. Donald F. Turner Burke Marshall Dwight C. Vredenberg * Clinton S. Golden and Mason A. Lewis did not participate in the deliberations of this Committee and accordingly feel they cannot pass upon this Report. Contents B. The Central Core of Legal Antitrust Concepts 1. Sections 1 and 2 of the Sherman Act Generally: d. Exclusive Territorial Dealerships e. Two Problems in Proof of Conspiracy Under the c. Attempts and Conspiracies to Monopolize . 108 109 1. The Prerequisite of "Goods of Like Grade and Quality". 2. Competitive "Injury" and Proof of Prima Facie Viola- tion of the Price Discrimination Law 5. "Changing Conditions" Exemption . 6. The "Good Faith" Meeting of Competition Defense. 9. Criminal Prohibitions of Discriminatory Practices |