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Zeitschriftenartikel zum Thema "Environmental policy – united states – case studies"

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Portia Oduro, Peter Simpa und Darlington Eze Ekechukwu. „Addressing environmental justice in clean energy policy: Comparative case studies from the United States and Nigeria“. Global Journal of Engineering and Technology Advances 19, Nr. 2 (30.05.2024): 169–84. http://dx.doi.org/10.30574/gjeta.2024.19.2.0087.

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This paper explores the intersection of environmental justice and clean energy policy through a comparative analysis of case studies from the United States and Nigeria. Environmental justice, defined as the fair treatment and meaningful involvement of all people in environmental decisions, is increasingly recognized as a critical aspect of transitioning to clean energy systems. By examining clean energy policies and initiatives in both countries, this study aims to identify successes, challenges, and lessons learned in addressing environmental justice considerations. In the United States, the analysis focuses on federal and state-level clean energy policies, assessing their impact on marginalized communities and efforts to promote equity in access to clean energy resources. Similarly, in Nigeria, attention is given to government-led clean energy initiatives and their implications for environmental justice, particularly in rural and underserved areas. Through a comparative lens, this paper highlight’s common themes and divergent approaches to addressing environmental justice in clean energy policy between the two countries. It identifies opportunities for cross-country collaboration and knowledge sharing to advance equitable and sustainable energy transitions globally. The findings underscore the importance of integrating environmental justice principles into clean energy policy development and implementation, with recommendations provided for policymakers and stakeholders to promote inclusivity, fairness, and community engagement in shaping the future of clean energy.
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Morris, John C., Madeleine W. McNamara und Amy Belcher. „Building Resilience Through Collaboration Between Grassroots Citizen Groups and Governments: Two Case Studies“. Public Works Management & Policy 24, Nr. 1 (30.09.2018): 50–62. http://dx.doi.org/10.1177/1087724x18803116.

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As sea level rise grows in importance as a public policy issue, coastal communities must search for alternative strategies to develop resilience to the growing threat. One way to tap into existing resources involves partnerships between local governments and citizen-based environmental organizations to explore strategies aimed at mitigating the effects of sea level rise and recurrent flooding in coastal communities. This article presents two cases of collaboration between governments and existing citizen groups in a region among the most threatened by sea level rise in the continental United States—Hampton Roads, Virginia. We find that these efforts are quite effective in developing and implementing low-cost mitigation strategies that can protect infrastructure while applying social capital to serve as a bridge between citizens and government.
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Solecki, W. D., und F. M. Shelley. „Pollution, Political Agendas, and Policy Windows: Environmental Policy on the Eve of Silent Spring“. Environment and Planning C: Government and Policy 14, Nr. 4 (Dezember 1996): 451–68. http://dx.doi.org/10.1068/c140451.

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The objective of this paper is to illustrate that concern over environmental pollution became a significant national issue in the United States during the late 1950s, many years earlier than is typically acknowledged by environmental historians and policy analysts. Kingdon's model of agenda development is used to document how air and water pollution was transformed from an issue of local concern and control to an issue of national significance during the 1950s. The analysis focuses on two case studies: the development of pollution as a political issue in the state of New Jersey; and the development of pollution as a significant policy issue in the national political arena. Political leaders both within New Jersey and nationwide linked pollution control to other contemporary concerns about urban decay and suburban growth in order to win the allegiance of undecided voters. Pollution control became part of the debate over the role of the federal government in addressing urban ills. Concern about pollution also became important in the general restructuring of the US political landscape in this period, helping to set the stage for Democratic Party activism on the environment and other issues after 1960.
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Switzer, David, und Arnold Vedlitz. „Green Colored Lenses: Worldviews and Motivated Reasoning in the Case of Local Water Scarcity“. Environment and Behavior 49, Nr. 7 (28.09.2016): 719–44. http://dx.doi.org/10.1177/0013916516669391.

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Studies linking local issue severity to public opinion often treat the effect as homogeneous, suggesting a straightforward relationship between issue exposure and policy opinions. It is more likely that individuals perceive local issues in conditional ways. We advance a theory of motivated reasoning whereby worldviews act as a lens through which individuals interpret the world around them. When the observed environment conforms to individuals’ prior beliefs, they will be even more likely to perceive risk and call for policy action. When the information presented to them is incongruent with their worldview, increasing issue severity will have a minimal effect. We test our theory by combining an indicator of water scarcity with data from two nationally representative, probability-based panel surveys about water issues in the United States. Analyzing interactive models predicting risk perception and policy preferences, we find that water scarcity drives individuals with opposing environmental worldviews even further apart.
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Grimm, Heike M., und Charlotte L. Bock. „Entrepreneurship in public administration and public policy programs in Germany and the United States“. Teaching Public Administration 40, Nr. 3 (23.09.2022): 322–53. http://dx.doi.org/10.1177/01447394211021636.

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The following contribution hypothesizes that it is crucial for future professionals in public administrations and organizations to be familiar with the concepts, tools, and techniques of policy, public, and social entrepreneurship to address societal, environmental, health, and wicked problems in an innovative and sustainable way. Attention is drawn to the importance of entrepreneurship as an essential asset and feature of public administration and public policy education at higher educational institutions in Germany and the United States. The paper aims at filling a research gap because knowledge about the interrelationships between entrepreneurship and public administration and public policy education is still underdeveloped. Emphasis is put on the discussion why entrepreneurship should be incorporated in curricula and how study programs have been designed or reformed, while placing emphasis on entrepreneurship in meeting current and complex challenges in the public sector. Findings from a systematic online assessment are presented which show whether and how policy, public and social entrepreneurship are taught as an integral element of current governance and public policy study programs and what difference it makes teaching and learning wise. The findings reflect a high demand for entrepreneurship education by public administration and public policy students, on the one hand, and a low incorporation in curricula, on the other hand. Two case studies from Germany and the United States are presented which serve as good practice examples on how to transfer public, policy, and social entrepreneurship into curricula.
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Nakayama, Mikiyasu, Nicholas Nicholas Bryner und Satoru Mimura. „Return Migration after Natural Disasters“. Journal of Asian Development 3, Nr. 1 (27.02.2017): 1. http://dx.doi.org/10.5296/jad.v3i1.10742.

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This special issue features policy priorities, public perceptions, and policy options for addressing post-disaster return migration in the United States, Japan, and a couple of Asian countries. It includes a series of case studies in these countries, which are based on a sustained dialogue among scholars and policymakers about whether and how to incentivize the return of displaced persons, considering social, economic, and environmental concerns. The research team, composed of researchers from Indonesia, Japan, Sri Lanka, and the United States, undertook a collaborative and interdisciplinary research process to improve understanding about how to respond to the needs of those displaced by natural disasters and to develop policy approaches for addressing post-disaster return. The research focused on the following three key issues: objectives of return migration (whether to return, in what configuration, etc.), priorities and perceptions that influence evacuees’ decision-making regarding return, and policies and practices that are used to pursue return objectives. This special issue includes ten articles on the following disaster cases: the Great East Japan Earthquake in 2011, Hurricane Katrina in 2005 and Hurricane Sandy in 2012, the Great Indian Ocean Tsunami in 2004, and the Great Sumatra Island Earthquake in 2009. Important lessons for the future were secured out of these case studies, covering the entire phase of return, namely planning, implementation, and monitoring.
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Nguyen, Minh Quang. „Citizen science matters: theorizing citizen science and exploring its promises for addressing Mekong environmental problems“. Ministry of Science and Technology, Vietnam 64, Nr. 1 (15.04.2022): 25–35. http://dx.doi.org/10.31276/vmostjossh.64(1).25-35.

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Starting with the view that the emergence of citizen science initiatives proves the fullest potential to address environmental problems and promote sustainability from the ground up, this conceptual paper aims to explore why citizen science matters for a low-carbon future in the Mekong region. Based on a literature review and semi-structured expert interviews, this paper highlights the im-portance and unique impacts of citizen science in science, policy, and sustainability education spheres. These impacts are reflected in case studies of United States and Belgium. Results from empirical data also reveal that citizen science is transforming research, educating and informing the public, and decentralizing and informing policy. The results further provide promises for ad-dressing environmental problems in Mekong countries where environmental degradation seems to be getting murkier. The paper concludes with a discussion as to how citizen science should be embedded in local environmental governance as it revolutionizes our understanding of the envi-ronmental challenges and promotes evidence-informed policy making.
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Chiapella, Ariana M., Zbigniew J. Grabowski, Mary Ann Rozance, Ashlie D. Denton, Manar A. Alattar und Elise F. Granek. „Toxic Chemical Governance Failure in the United States: Key Lessons and Paths Forward“. BioScience 69, Nr. 8 (10.07.2019): 615–30. http://dx.doi.org/10.1093/biosci/biz065.

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AbstractOver 40 years of regulations in the United States have failed to protect human and environmental health. We contend that these failures result from the flawed governance over the continued production, use, and disposal of toxic chemicals. To address this failure, we need to identify the broader social, political, and technological processes producing, knowing, and regulating toxic chemicals, collectively referred to as toxic chemical governance. To do so, we create a conceptual framework covering five key domains of governance: knowledge production, policy design, monitoring and enforcement, evaluation, and adjudication. Within each domain, social actors of varying power negotiate what constitutes acceptable risk, creating longer-term path dependencies in how they are addressed (or not). Using existing literature and five case studies, we discuss four paths for improving governance: evolving paradigms of harm, addressing bias in the knowledge base, making governance more equitable, and overcoming path dependency.
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Aczel, Miriam R., und Karen E. Makuch. „Environmental Impact Assessments and Hydraulic Fracturing: Lessons from Two U.S. States“. Case Studies in the Environment 2, Nr. 1 (2018): 1–11. http://dx.doi.org/10.1525/cse.2017.000638.

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Although the United States has been stimulating well production with hydraulic fracturing (“fracking”)1 since the 1940s [1], high-volume hydraulic fracturing (HVHF) combined with horizontal drilling is a relatively recent [2, 3] development with potential to adversely impact human health [4], environment [5], and water resources [6], with uncertainty about impacts and gaps in the data on HVHF compared to conventional drilling techniques [7]. Part of protecting environmental and public health is identifying potential risks before licenses are issued and drilling operations proceed. To this end, two case studies, focusing on the environmental impact assessment (EIA) procedures of California and New York, are analyzed in this paper. Both states have histories of strong environmental protection law and policy [8–10] and legally require an EIA to be conducted before development of HVHF sites [11, 12], an outgrowth of the 1969 federal National Environmental Policy Act (NEPA). New York State conducted what appears to be a thorough EIA [13] and concluded that as there were too many gaps in the data on HVHF, fracking could not proceed. California’s EIA, which was less extensive, and did not consider health impacts [14], concluded that HVHF could proceed, relatively unabated. A comparison of these cases illustrates that the processes designed to ensure adequate identification, monitoring, and assessment of environmental impacts are prone to differences [15]—an outcome of the fact that laws governing HVHF in the US are not consistent across, nor controlled at, the federal level [16, 17].
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Meyerson, Beth E., Alissa Davis, Hilary Reno, Laura T. Haderxhanaj, M. Aaron Sayegh, Megan K. Simmons, Gurprit Multani, Lindsey Naeyaert, Audra Meador und Bradley P. Stoner. „Existence, Distribution, and Characteristics of STD Clinics in the United States, 2017“. Public Health Reports 134, Nr. 4 (21.05.2019): 371–78. http://dx.doi.org/10.1177/0033354919847733.

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Objectives: Studies of sexually transmitted disease (STD) clinics have been limited by the lack of a national list for representative sampling. We sought to establish the number, type, and distribution of STD clinics and describe selected community characteristics associated with them. Methods: We conducted a 2-phased, multilevel, online search from September 2014 through March 2015 and from May through October 2017 to identify STD clinics in all 50 US states and the District of Columbia. We obtained data on clinic name, address, contact information, and 340B funding status (which requires manufacturers to provide outpatient drugs at reduced prices). We classified clinics by type. We also obtained secondary county-level data to compare rates of chlamydia and HIV, teen births, uninsurance and unemployment, and high school graduation; ratios of primary care physician to population; health care costs; median household income; and percentage of population living in rural areas vs nonrural areas. We used t tests to examine mean differences in characteristics between counties with and without STD clinics. Results: We found 4079 STD clinics and classified them into 10 types; 2530 (62.0%) clinics were affiliated with a local health department. Of 3129 counties, 1098 (35.1%) did not have an STD clinic. Twelve states had an STD clinic in every county, and 34 states had ≥1 clinic per 100 000 population. Most STD clinics were located in areas of high chlamydia morbidity and where other surrogate needs were greatest; rural areas were underserved by STD clinics. Conclusions: This list may aid in more comprehensive national studies of clinic services, STD clinic adaptation to external policy changes (eg, in public financing or patient access policy), and long-term clinic survival, with special attention to clinic coverage in rural areas.
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Dissertationen zum Thema "Environmental policy – united states – case studies"

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Ulbrich, Bryan Armand 1969. „The implementation of environmental policy on Indian lands: A case study on the Pueblo of Isleta“. Thesis, The University of Arizona, 1993. http://hdl.handle.net/10150/291868.

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This paper examines the implementation of environmental policy on Indian land, by conducting a case study of the Pueblo of Isleta. In 1992 the EPA acknowledged the jurisdictional authority of the Pueblo to establish water quality standards for the Rio Grande. The Pueblo has since attempted to implement these standards despite opposition from the city of Albuquerque. The premise of this paper is that tribes, in general, have assumed a greater role in regulating their environments although financial, technical, and statutory impediments continue to thwart complete tribal control. By examining the historical process of inclusion of tribes into the regulatory arena and applying this to the Pueblo of Isleta, this paper presents a concise analysis of one tribes response to the intricacies of environmental regulation.
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Feldman, Jonathan M. (Jonathan Michael). „Protectionism as an industrial policy : the case of the United States automobile industry“. Thesis, Massachusetts Institute of Technology, 1986. http://hdl.handle.net/1721.1/73272.

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Thesis (M.C.P.)--Massachusetts Institute of Technology, Dept. of Urban Studies and Planning, 1986.
MICROFICHE COPY AVAILABLE IN ARCHIVES AND ROTCH
Bibliography: leaves 199-217.
by Jonathan Michael Feldman.
M.C.P.
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Tarr, James Michael. „Should the United States Environmental Protection Agency's policy on the technical impracticability waivers be changed?“ Thesis, American Military University, 2015. http://pqdtopen.proquest.com/#viewpdf?dispub=1691468.

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This research tests and answers the main question: Should the Environmental Protection Agency’s Policy on the Technical Impracticability Waivers be changed? This research uses public and private databases for collecting information on the Comprehensive Environmental Recovery and Liability Act sites with Technical Impracticability Waivers and examines the process the Environmental Protection Agency uses to make Technical Impracticability Waivers evaluations. Existing data demonstrates the Environmental Protection Agency has been very conservative and has granted few Technical Impracticability Waivers over the last 30 years. Several arguments for changing Environmental Protection Agency’s policy are made. A comparison of approved Technical Impracticability Waivers sites and sites that meet the criteria for approval but have not been submitted for the waiver are used in this research. The results indicate that the policy should be changed. A policy change would be beneficial to appropriate funds to the more complex and critical sites. A change in policy would also save taxpayers funds instead of being spent on experimentation on sites that are impracticable to clean up, these funds would go to more critical sites. The research also shows a need for collecting a database of sites that Environmental Protection Agency has rejected for a Technical Impracticability Waiver.

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Mudliar, Pranietha Mudliar. „Heterogeneity and Collective Action: Case Studies from the United States and India“. The Ohio State University, 2016. http://rave.ohiolink.edu/etdc/view?acc_num=osu1468941095.

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Huber-Stearns, Heidi Rebecca. „Investments in watershed services| Understanding a new arena of environmental governance in the western United States“. Thesis, Colorado State University, 2015. http://pqdtopen.proquest.com/#viewpdf?dispub=3720572.

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Issues around sustainably managing freshwater resources are one of the most challenging and timely issues affecting the globe. In response to rising social and ecological complexities, decision makers are faced with designing new policies and programs to effectively govern water resources. This shift towards new freshwater resource management approaches is in line with recent movement toward incentive-based mechanisms such as “Investments in Watershed Services” (IWS). The western United States contains one of the most concentrated IWS populations, in a time when population growth, intensifying land uses, and climate-induced environmental changes are stressing ecological systems in the region. My dissertation focuses on understanding this new arena of environmental governance aimed at freshwater conservation in the US West. Through three sets of data and analytical lenses I explore: the characterization of this new arena of governance, what led to its recent and significant growth, and what changes have occurred with respect to how such water resources were traditionally governed. I employ a mixed methods approach, using quantitative approaches to characterize the study population and temporal changes, and qualitative approaches to dive deeper into understanding specific phenomena. First, I improve understanding of IWS as an institution, and demonstrate the importance of dynamics between institutional factors for external context, program structure, and other related analytical domains in shaping how PWS is applied to water resources challenges globally. Through an institutional analysis of IWS and the use of cluster analysis to group programs around buyer types and management actions, I highlight the role of government, influence of geographic context, and role of both regional and local conditions in shaping IWS design and structure. Second, I demonstrate that government actors are essential to IWS in the region, expanding beyond existing regulations and traditional roles. This exploration of the role of government within adaptive governance shows the evolving and expanding role of government over time, from federal regulations driving early water quality management, then state legislation driving water quantity programs, and more recently, federal agencies partnering on local water source protection efforts. Third, I show how key individuals and organizations create voluntary IWS in response to risk, aligning policies, politics and problems into solution framing, which suggests policy process theories more explicitly consider social-ecological complexities. These programs constitute the most recent expansion of IWS in the US West, and applying a policy process theory sheds light into the formation of the IWS, and the political, economic, ecological and social components that aligned to make the programs possible. My research shows this new arena of environmental governance as adaptive, place and problem-based, learning and collaboration-focused, accepting of uncertainty, and containing nimble and adaptive government across scale. My work also creates a baseline of IWS in the region, and identifies areas for future research as IWS matures over time.

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Li, Ying, und Joseph Kusi. „Projecting Future Heat-Related Mortality in the United States under Global Climate Change“. Digital Commons @ East Tennessee State University, 2015. https://dc.etsu.edu/etsu-works/18.

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Global climate change is anticipated to raise the overall temperatures and is likely to increase future mortality attributable to heat. Predicting future health consequences of higher temperatures at the regional, national and global level based on historical temperature-mortality relationships can be challenging due in part to the uncertainties in the location-specific temperature-mortality relationship, the heat threshold, and how populations will adapt or acclimatize. This study reviews published estimates of the warm season temperature-mortality relationships around the world and explores the heterogeneity in terms of the magnitude of the relationship and the threshold. We also investigate the potential effects of adaptation and acclimatization on the estimates of excess heat-related deaths based on empirical evidence, and propose a method that can be used in future projections to address the uncertainties. This study contributes to the literature of projecting the future public health burden of heat-related effects, which provides valuable information to climate policy decision making.
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Bayerl, Elizabeth. „USAID projects in the former Soviet Union: policy case studies“. Thesis, Boston University, 2002. https://hdl.handle.net/2144/32740.

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Thesis (Ed.D.)--Boston University
The dissolution of the Soviet Union and the end of the Cold War are widely recognized as watershed events in the history of world affairs. Decision-makers and scholars in many fields are only beginning to understand the profound shifts and realignments in global political and economic relationships in a post-Cold War world. An important link between the United States and the former Soviet republics is the foreign assistance program in the region, since assistance efforts often serve as an important lens through which to view strategic relationships between nations. This evaluative policy research explores that link through qualitative case studies of three US Agency for International Development (USAID) projects in the region. Each qualitative case study represents a distinct approach to foreign assistance delivery in the region: classical technical assistance (represented by ZdravReform in contracts with Abt Associates), formal site partnership (in cooperative agreements with the American International Health Alliance), and experimental technology (a cooperative agreement with the former Selentec, Inc.). Three policy context chapters (Chapters I, II, and III) introduce the case studies, in which historical trends of the assistance effort and of the domestic foreign policy-making framework in Washington, DC, are highlighted. A final chapter (VII) examines the findings from the study and recommends a refocusing of the foreign assistance effort in the NIS toward more long-term developmental strategies. Theoretical and methodological assumptions in the study are informed by the constructionist approach to policy evaluation described by Guba and Lincoln (1989). This broad approach assumes that different constructions or interpretations exist concerning the nature and goals of projects. Unlike typical project evaluations, this approach does not assume that stakeholders in projects share common perceptions of the expected goals for and outcomes of their projects. Constructionist approaches to qualitative study fall within the interpretative stream of social science explored by theorists and researchers from a number of disciplines (Geertz, 1973; Denzin, 1992; Hammersley, 1989; Bruner, 1990). More specific conceptual assumptions also are explored in Chapter I, drawn from the literature on institutional research . Emphasis is placed in the evaluative analysis on how effectively conflicts that arose among the multiple stakeholders in each project were addressed.
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Millward, Alison J. „Affordable downtown housing : innovative U.S. municipal initiatives and a case study of Seattle“. Thesis, University of British Columbia, 1990. http://hdl.handle.net/2429/29996.

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The past decade has witnessed both steep reductions in federal housing assistance and an intensification of local housing problems including homelessness. In light of these trends, this study explores alternative means available to municipalities of meeting the housing needs of low-income households. The methods chosen to accomplish this were two-fold: a literature review and a case study. The literature review revealed that in response to the Reagan administration's 1981 cutbacks to housing programs a new low-income housing delivery system, based largely on public-private partnerships, has emerged from the grass roots level in communities across the United States. In the new production system efforts have focused on preservation rather than new construction, and large for-profit developers have been replaced by nonprofit community-based development corporations and local public agencies. With the assurance of federal subsidies gone, local governments and nonprofit developers have sought to increase the effectiveness of current resources, direct more general revenue to housing activities and have raised new resources. Today, financing packages for low-income projects are usually built upon customized and creative financial packages that are difficult to replicate, and as a result, no definitive solutions have yet been found. Despite the hard work and creativity that has gone into developing low-income housing in the U.S. over the past decade local programs have been able to meet only a fraction of the country's housing needs. The case study method was chosen to focus on the City of Seattle, Washington's specific housing initiatives. The City's response has closely followed the national experience. A new delivery system has emerged which depends largely on the efforts of the City's municipal government, through its Department of Community Development, and the community's growing nonprofit sector. As a matter of policy Seattle has chosen to spend most of its low-income housing dollars on preserving the downtown's remaining 7,311 low-income units. The City does not. build housing itself, but instead, acts as a "bank" loaning money generated, for the most part, by off-budget strategies to nonprofit housing developers to rehabilitate existing low-income units to meet housing code standards. Seattle's housing programs have had mixed results. Despite their efforts, due to downtown's expansion, the City has continued to lose low-income units in the downtown to demolition and rent increases, no gain has been made on the City's overall housing need, and while the City has replaced the lost federal subsidies, it has not created significant ongoing revenue streams for future housing development. Results of this study indicate that, only the long term commitment of federal funds to a national housing strategy can stem the growing tide of homelessness across the U.S. and avert, a deepening of the country's housing crisis.
Applied Science, Faculty of
Community and Regional Planning (SCARP), School of
Graduate
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Wang, Qian. „Assessment of the Emission Trading Policy: A case study for the Acid Rain Program in the United States“. Thesis, Waterloo, Ont. : University of Waterloo, 2004. http://etd.uwaterloo.ca/etd/q4wang2004.pdf.

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Thesis (M.E.S.)--University of Waterloo, 2004.
"A thesis presented to the University of Waterloo in fulfillment of the thesis requirement for the degree of Master of Environmental Studies in Geography". Includes bibliographical references.
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Bird, Annie. „US foreign policy on transitional justice : case studies on Cambodia, Liberia and Colombia“. Thesis, London School of Economics and Political Science (University of London), 2012. http://etheses.lse.ac.uk/473/.

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The US has been involved in the majority of transitional justice measures established since the 1990s. This study explores this phenomenon by examining the forces that shape US foreign policy on transitional justice. It first investigates US influence on the evolution of the field, and then traces US involvement in three illustrative cases in order to establish what US involvement entails, why the US gets involved and how the US has impacted individual measures and the field as a whole. The cases include: the Khmer Rouge Tribunal in Cambodia; the trial of Liberian President Charles Taylor and the Liberian Truth and Reconciliation Commission; and the Justice and Peace Process in Colombia. These cases represent different transitional justice measures, transition types and geographic regions – all key dimensions in the field. These measures were also all established in the 2000s, a period which reflects a different historical moment in the field’s evolution. The cases shed light on the actors who play a key role in the field – from presidential administrations to Congress to the State Department and others. The study is based on nearly 200 interviews and archival research undertaken in the US, The Hague, Cambodia, Liberia and Colombia, providing a strong basis on which to draw conclusions about US foreign policy on transitional justice.
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Bücher zum Thema "Environmental policy – united states – case studies"

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Rosenthal, Dorothy Botkin. Environmental case studies. New York: Wiley, 1996.

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Rosenthal, Dorothy B. Environmental case studies: Central Region. New York: J. Wiley, 1996.

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1943-, Pierce John C., Hrsg. Public knowledge and environmental politics in Japan and the United States. Boulder, Colo: Westview Press, 1989.

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Scheberle, Denise. Federalism and environmental policy: Trust and the politics of implementation. Washington, D.C: Georgetown University Press, 1997.

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United States. Congress. Office of Technology Assessment., Hrsg. Are we cleaning up?: 10 superfund case studies : a special report of OTAʼs assessment on superfund implementation. Washington, D.C: Congress of the United States, Office of Technology Assessment, 1988.

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United States. Congressional Budget Office., Hrsg. Federalism and environmental protection: Case studies for drinking water and ground-level ozone. Washington, D.C: The Office, 1997.

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1935-, Jain R. K., und Martyniuk Andrew O, Hrsg. Better environmental policy studies: How to design and conduct more effective analysis. Washington, DC: Island Press, 2001.

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D, Morgenstern Richard, und Pizer William A, Hrsg. Reality check: The nature and performance of voluntary environmental programs in the United States, Europe, and Japan. Washington, DC: Resources for the Future, 2007.

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Alan, Patterson. Risk regulations and scientific expertise in the United Kingdom: The precautionary principle in public policy. Lewiston, N.Y: Edwin Mellen Press, 2008.

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D, Morgenstern Richard, Hrsg. Economic analyses at EPA: Assessing regulatory impact. Washington, DC: Resources for the Future, 1997.

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Buchteile zum Thema "Environmental policy – united states – case studies"

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Quitzow, Rainer, und Yana Zabanova. „Introduction“. In Studies in Energy, Resource and Environmental Economics, 1–13. Cham: Springer Nature Switzerland, 2024. http://dx.doi.org/10.1007/978-3-031-59515-8_1.

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AbstractThis introductory chapter places Europe’s hydrogen ambition in the broader context of the evolving geopolitics of the transition to net zero. It highlights the growing geoeconomic rivalry among the world’s leading economies, such as the European Union, the United States, and China. This process is marked by the resurgence of state intervention in markets and industries as well as by the increasing attention paid by governments to supply chain resilience and asymmetric dependencies. Clean hydrogen has been part and parcel of these developments. The EU and many of its Member States view hydrogen as essential to their climate goals, industrial competitiveness, and energy security. As a result, Europe has played an active role in promoting a European hydrogen economy and an international hydrogen market. The chapter frames EU hydrogen policy as the interplay of interests at EU- and Member State level, which can be a source of both tensions and synergies. It also discusses how this is manifested in the EU’s external climate and energy policy and international partnerships. Finally, the chapter presents the structure of the edited volume, introduces the case studies and summarises the key analytical dimensions applied in individual chapters to examine the domestic and international components of European hydrogen policy.
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Amenta, Carlo, und Carlo Stagnaro. „The Failures of the Entrepreneurial State: Subsidies to Renewable Energies in Europe“. In International Studies in Entrepreneurship, 233–50. Cham: Springer International Publishing, 2022. http://dx.doi.org/10.1007/978-3-030-94273-1_13.

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AbstractSince the 1990s, the European Union has committed to gaining global leadership in clean energies such as solar photovoltaic and wind power. The joint amount of wind and solar capacity grew from 12.5 GW (or 2% of total installed electricity capacity) in 2000 to 261.2 GW in 2018 (or 28.1% of total installed electricity capacity). This came at a cost: In 2018 alone, the European Union (excluding the United Kingdom) spent €73 billion to subsidize green energy production. These financial aids were paid for by European energy consumers, mainly through levies charged on top of their power bills. According to proponents, these subsidies were needed to achieve sustainability while promoting the emergence of the European renewable industry. This chapter focuses on the European venture into renewable energies to answer the following three questions: (1) Was the subsidization of green electricity sources an effective environmental policy? (2) Was it an effective industrial policy? (3) Was it an effective social policy? The answer is: no, no, no.
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Michaels, R. Gregory, Anne E. Grambsch und Henry M. Peskin. „Neither Fish nor Fowl? Can Environmental Accounts Guide Economic Policy, Environmental Policy, Both or Neither? Conclusions from a United States Case Study“. In Approaches to Environmental Accounting, 70–92. Heidelberg: Physica-Verlag HD, 1993. http://dx.doi.org/10.1007/978-3-642-49977-7_4.

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DeMeo, Thomas E., Frederick J. Swanson, Edward B. Smith, Steven C. Buttrick, Jane Kertis, Jeanne Rice, Christopher D. Ringo et al. „Applying historical fi re-regime concepts to forest management in the western United States: three case studies“. In Historical Environmental Variation in Conservation and Natural Resource Management, 194–204. Chichester, UK: John Wiley & Sons, Ltd, 2012. http://dx.doi.org/10.1002/9781118329726.ch13.

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Zabanova, Yana. „The EU in the Global Hydrogen Race: Bringing Together Climate Action, Energy Security, and Industrial Policy“. In Studies in Energy, Resource and Environmental Economics, 15–47. Cham: Springer Nature Switzerland, 2024. http://dx.doi.org/10.1007/978-3-031-59515-8_2.

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AbstractThe European Union has identified clean hydrogen as essential to its climate targets, technology leadership and energy security in the decarbonizing world. The bloc is developing a comprehensive regulatory framework for a hydrogen economy, complete with supply-side policies and binding demand-side targets. In addition to boosting domestic production, the EU is planning to import large volumes of hydrogen and derivatives from third countries. Hydrogen is thus beginning to play a more prominent role in the EU’s bilateral partnerships. The EU is also actively participating in multilateral hydrogen governance with the goal of creating a functioning international hydrogen market featuring strong sustainability standards. At the same time, aligning the diverging interests of Member States and various hydrogen stakeholders has been a challenge. As the global hydrogen race accelerates, the bloc has struggled to keep up with powerful players like the United States, which are offering massive subsidies to the hydrogen industry. This chapter examines the domestic and external dimensions of the EU's hydrogen vision, situating it within the bloc's wider climate and energy policy and recent geopolitical developments. It discusses key policies, regulations, and funding schemes for hydrogen in the EU, highlighting existing points of contention and the interplay between the EU and Member State level. It then goes on to analyze the EU's evolving international engagement on hydrogen and the challenges of fostering mutually beneficial green industrial partnerships that go beyond securing hydrogen supplies. It remains to be seen whether the EU succeeds in drawing on its early mover advantage and potential synergies to remain an attractive investment destination and build resilient clean hydrogen supply chains.
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Miniat, Chelcy Ford, Jennifer M. Fraterrigo, Steven T. Brantley, Mac A. Callaham, Susan Cordell, Jeffrey S. Dukes, Christian P. Giardina, Shibu Jose und Gary Lovett. „Impacts of Invasive Species on Forest and Grassland Ecosystem Processes in the United States“. In Invasive Species in Forests and Rangelands of the United States, 41–55. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-45367-1_3.

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AbstractIn this chapter, we describe current understanding of and identify research gaps on how invasive species directly, and indirectly, affect ecosystem processes. Specifically, we focus on how invasive species can alter the terrestrial carbon, nitrogen, and hydrologic cycles and how changes to these terrestrial cycles cascade to affect water quantity and quality. While invasive species may alter other ecosystem processes, we focus on these due to their importance to policy, to the public, and to their likely interaction with climate change effects. For example, carbon sequestration and surface water supply originating from forests and grasslands (Caldwell et al. 2014) are important policy and public concerns, and drought frequency and intensity will likely increase with climate change (Vose et al. 2016a). Our goal is to draw generalizations rather than provide details on invasive species effects on a case-by-case basis. We do, however, provide case studies for illustration and draw linkages with other chapters that provide detailed coverage to disturbance regimes (Chap. 10.1007/978-3-030-45367-1_5) and types and mechanisms of ecological impact caused by invasive insects (Chap. 10.1007/978-3-030-45367-1_2).
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Weiss-Wolf, Jennifer. „U.S. Policymaking to Address Menstruation: Advancing an Equity Agenda“. In The Palgrave Handbook of Critical Menstruation Studies, 539–49. Singapore: Springer Singapore, 2020. http://dx.doi.org/10.1007/978-981-15-0614-7_41.

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Abstract Weiss-Wolf explains why the menstrual equity frame—which makes the case for an agenda that advances systemic solutions to address the societal and financial impact of menstruation—is distinct in its direct linkage to core principles of democratic participation, citizen engagement, gender parity, and economic opportunity. She describes a social movement that has coalesced in the United States and details recent policy advocacy in which momentum has been both unusually bipartisan and swift. She also shows how related tools can be leveraged—in particular, law and litigation, coupled with extensive use of traditional and social media. Finally, Weiss-Wolf concludes with a preview of policy proposals ripe for further advocacy.
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Dayé, Christian, Armin Spök, Andrew C. Allan, Tomiko Yamaguchi und Thorben Sprink. „Social Acceptability of Cisgenic Plants: Public Perception, Consumer Preferences, and Legal Regulation“. In Concepts and Strategies in Plant Sciences, 43–75. Cham: Springer International Publishing, 2023. http://dx.doi.org/10.1007/978-3-031-10721-4_3.

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AbstractPart of the rationale behind the introduction of the term cisgenesis was the expectation that due to the “more natural” character of the genetic modification, cisgenic plants would be socially more acceptable than transgenic ones. This chapter assesses whether this expectation was justified. It thereby addresses three arenas of social acceptability: public perception, consumer preferences, and legal regulation. Discussing and comparing recent studies from four geographical areas across the globe—Europe, North America, Japan, and Australia and New Zealand—the chapter shows that the expectation was justified, and that cisgenic plants are treated as being more acceptable than other forms of genetic modification. Yet, there are considerable differences across the three arenas of social acceptability. In Australia, Canada, and the United States of America, the legal regulation of cisgenic plants is less restrictive than in Europe, Japan, and New Zealand. Also, the public perceptions are rather diverse across these countries, as are the factors that are deemed most influential in informing public opinion and consumer decisions. While people in North America appear to be most interested in individual benefits of the products (improved quality, health aspects), Europeans are more likely to accept cisgenic plants and derived products if they have a proven environmental benefit. In New Zealand, in contrast, the potential impact of cisgenic plants on other, more or less related markets, like meat export and tourism, is heavily debated. We conclude with some remarks about a possible new arrangement between science and policy that may come about with a new, or homogenized, international regulatory regime.
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García-Álvarez, David, Francisco José Jurado Pérez und Javier Lara Hinojosa. „Supra-National Thematic Land Use Cover Datasets“. In Land Use Cover Datasets and Validation Tools, 443–62. Cham: Springer International Publishing, 2022. http://dx.doi.org/10.1007/978-3-030-90998-7_22.

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AbstractSupra-national thematic Land Use Cover (LUC) datasets are not very common. While there are several general datasets mapping all the land uses or covers in different supra-national areas across the world, LUC datasets with a similar extent that focus on the mapping of specific land covers in greater thematic detail are scarce. In this chapter, we review six different supra-national thematic LUC datasets. Three others were also found in the literature, but are not fully available for download, namely the TREES Vegetation Map of Tropical South America, the Central Africa—Vegetation map and FACET. The Circumpolar Arctic Region Vegetation dataset was also excluded from this review because of its specificity and coarse scale (1:7,500,000). Europe is the continent with the most relevant, most updated and most detailed LUC thematic datasets at supra-national scales. This is due to the work being done by the European Commission through its Joint Research Centre (JRC) and the Copernicus Land Monitoring Programme. The High-Resolution Layers (HRL) provide very detailed information, both thematically and spatially (from 10 m), for five different themes: imperviousness, tree cover, grasslands, water and wet covers, and small woody features. The European Settlement Map also provides information on built-up areas at very detailed scales (from 2.5 m). HRL and ESM are recently launched datasets which, therefore, do not provide a long series of historical data. In addition, ESM is an experimental dataset produced within the framework of a research project funded by the European Commission and no updates are expected. The datasets reviewed in this chapter for other parts of the world focus on vegetation covers of tropical forests and other relevant areas in terms of biodiversity and environmental studies. These datasets were produced within projects funded by the European Commission and the United States Agency for International Development. Unlike the previous datasets for Europe, they are already outdated and are usually produced at coarser spatial resolutions: Insular Southeast Asia—Forest Cover Map (1 km, 1998/00); Continental Southeast Asia—Forest Cover Map (1 km, 1998/02). For its part, the Congo Basin Monitoring dataset, although outdated, provides information at a higher resolution (57 m) for two different dates: 1990, 2000. The Joint Research Centre of the European Commission also produced an African cropland mask as a source of information for policy-makers. Of all the datasets reviewed in this chapter, it is the only one to focus on agricultural covers. It was obtained from data fusion at 250 m. Consequently, it does not show the cropland areas of Africa for a specific date across the whole continent.
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Freudlsperger, Christian. „United States“. In Trade Policy in Multilevel Government, 91–126. Oxford University Press, 2020. http://dx.doi.org/10.1093/oso/9780198856122.003.0004.

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The first of the three case studies looks at the United States. It finds that while the states’ opportunities for individual exit have remained unconstrained in the non-coercive field of procurement in which federal pre-emption is not an option, no serious attempts have been made to systematically increase their voice. This is due, firstly, to the mechanics of the US senate-type system of multilevel representation and, secondly, to the lack of an institutionalized procedure of vertical collaboration in a policy environment characterized by ‘coercive federalism’. Persisting barriers in the internal market and a widespread politicization of international procurement liberalization as a threat to state sovereignty have further contributed to constituent units’ high propensity to seek exit from international constraints. Ultimately, the US case highlights the limits of self-rule systems in organizing trade openness across multiple levels of government. Endowing the states with little voice in polity-wide policy-making, the US model shows a marked tendency to breed resistance to internationally driven adaptational pressures among constituent units. As self-rule systems are built on a delineation of central and subcentral spheres of competence, they generally tend to lack the institutional means and ideational underpinnings to effectively organize collaborative power-sharing by establishing patterns of shared rule.
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Konferenzberichte zum Thema "Environmental policy – united states – case studies"

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Meyer, Christopher. „Positing Ecology: Mass Material Strategies for Miami-Dade County“. In 110th ACSA Annual Meeting Paper Proceedings. ACSA Press, 2022. http://dx.doi.org/10.35483/acsa.am.110.2.

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Despite mounting evidence of environmental uncertainty, South Florida communities continue to record steadily increasing growth, with Miami Dade County’s [MDC] population expanding by approximately 3.5% between 2014 and 2018.1 Currently, any concern of building insurance affordability/ availability, long-term financial investment risks and health/safety concerns have not significantly altered the short-term future of the construction and real-estate markets.2 The south Florida community’s commitment to urban development is ever present; but the question on the minds of community leaders, policy makers and the general public is, how do we create urban resilience? The architectural profession must address the agenda–how do buildings and policies anticipate an evolving environment and sustain longterm, safe occupation? And what are they made of? An abundant battery of raw material timber resource, a distributed network of mills, processing plants, and mass timber manufacturing facilities affords an opportunity for the Southeastern United States to focus on implementing wood fibre into the construction ecology. However, a critical hurdle to the successful implementation of mass timber wood products in Florida, and specifically in MDC, is within the policy and permitting process. The required certified product testing by the Florida Administrative Code3 and the Miami-Dade County Product Approvals and Notice of Acceptance4 is one of two jurisdictions in the United States implementing the stringent High Velocity Hurricane Zone [HVHZ]5 as an overlay to the Florida Building Code6-which must be successfully navigated for project realization. The focus of this paper engages the question how do we build as a regional inquiry to Southern Florida through a case study on a partnership forged between academics and practice at the University of Miami School of Architecture and Atelier Mey Architects. This collaboration is established with the shared objective of implementing an innovative path to the design and building permitting of cross-laminated timber [CLT] in MDC, specifically the qualitative and quantitative methods required for CLT case study’s success. Empirical methodologies used to understand building applications of mass timber products, specifically PRG-320 certified Cross Laminated Timber Panels7 in Florida is through the design, engineering and submission of drawings to the Miami-Dade building permitting office for review.
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Hotchkiss, Rollin H., Paul M. Boyd, John Shelley und Stanford Gibson. „Reservoir Sediment Management: Case Studies from the United States“. In World Environmental and Water Resources Congress 2018. Reston, VA: American Society of Civil Engineers, 2018. http://dx.doi.org/10.1061/9780784481424.035.

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Garayeva, Narmina, Gasham Zeynalov, Elkhan Ahmadov, Agarza Hajiyev, Farid Rahimov und Aida Aslanova. „The UNFC Concept and the Possibility of its Application in Azerbaijan“. In SPE Annual Caspian Technical Conference. SPE, 2021. http://dx.doi.org/10.2118/207055-ms.

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Abstract Moving towards sustainable development, Azerbaijan joining SDG Agenda 2030 adheres to the policy of developing both hydrocarbon and non-hydrocarbon resources for economic diversification. At the same time, efficient resource management becomes a vital process at the governmental and transnational companies’ levels. Therefore, a competent classification and structuring of all reserves and resources will be inevitable soon to improve their accurate estimates and effective management in various aspects, including resource availability, technical feasibility, and environmental-socio-economic viability. The importance of the latter is indisputable since social and environmental stability is an essential component of the country's sustainable economic development policy. From this perspective, the United Nations Framework Classification for Resources (UNFC) is seen as a tool to help accomplish these tasks and provide simple screening and verification procedures for evaluating future investment projects. Given that hydrocarbon reserves make a significant contribution to the economy, a study on the application and adaptation of UNFC to local petroleum resource management has been granted as a pilot project to assess the feasibility of its further implementation for other energy and mineral reserves and resources of the country. The UNFC current state analysis as a global standard for classifying energy and mineral resources and their applications is carried out to launch the project. The review covers various case studies, including the classification of hydrocarbon reserves and resources (HCRR) using UNFC (Mexico project, transition projects to the classification of the Russian Federation, etc.), as well as mineral resources in different countries. The research primary goal is to screen different approaches and techniques to assess the practicality of their application to petroleum reserves and resources of Azerbaijan in transferring currently used old Former Soviet Union HCRR classification to UNFC, possibly via PRMS. In addition, a Case Study Research based on the Field A data in Azerbaijan is conducted.
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Garayeva, Narmina, Gasham Zeynalov, Elkhan Ahmadov, Agarza Hajiyev, Farid Rahimov und Aida Aslanova. „The UNFC Concept and the Possibility of its Application in Azerbaijan“. In SPE Annual Caspian Technical Conference. SPE, 2021. http://dx.doi.org/10.2118/207055-ms.

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Abstract Moving towards sustainable development, Azerbaijan joining SDG Agenda 2030 adheres to the policy of developing both hydrocarbon and non-hydrocarbon resources for economic diversification. At the same time, efficient resource management becomes a vital process at the governmental and transnational companies’ levels. Therefore, a competent classification and structuring of all reserves and resources will be inevitable soon to improve their accurate estimates and effective management in various aspects, including resource availability, technical feasibility, and environmental-socio-economic viability. The importance of the latter is indisputable since social and environmental stability is an essential component of the country's sustainable economic development policy. From this perspective, the United Nations Framework Classification for Resources (UNFC) is seen as a tool to help accomplish these tasks and provide simple screening and verification procedures for evaluating future investment projects. Given that hydrocarbon reserves make a significant contribution to the economy, a study on the application and adaptation of UNFC to local petroleum resource management has been granted as a pilot project to assess the feasibility of its further implementation for other energy and mineral reserves and resources of the country. The UNFC current state analysis as a global standard for classifying energy and mineral resources and their applications is carried out to launch the project. The review covers various case studies, including the classification of hydrocarbon reserves and resources (HCRR) using UNFC (Mexico project, transition projects to the classification of the Russian Federation, etc.), as well as mineral resources in different countries. The research primary goal is to screen different approaches and techniques to assess the practicality of their application to petroleum reserves and resources of Azerbaijan in transferring currently used old Former Soviet Union HCRR classification to UNFC, possibly via PRMS. In addition, a Case Study Research based on the Field A data in Azerbaijan is conducted.
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Conrad-Rooney, Emma, Zach Ginn, Chelsea Hill, Anna Kurkierewicz, Abby Mikolitis, Karina Calizaya Torre, Barbara Gardos Vargas et al. „Effects of Deforestation on Marine Ecosystems and Biodiversity: Case Studies from the United States, Peru and the United Kingdom“. In Conference of the Youth Environmental Alliance in Higher Education. Michigan Technological University, 2020. http://dx.doi.org/10.37099/mtu.dc.yeah-conference/2020/all-events/44.

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Maranville, Victoria M., und Richard McGrath. „A Summary of Radiological Waste Disposal Practices in the United States and the United Kingdom“. In ASME 2009 12th International Conference on Environmental Remediation and Radioactive Waste Management. ASMEDC, 2009. http://dx.doi.org/10.1115/icem2009-16379.

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A systematic review of near-surface repositories for radioactive waste in the United States (US) was conducted. The main focus of the review consisted of a literature search of available documents and other published sources on low level radioactive waste (LLRW) disposal practices, remediation of LLRW sites in the US, and public participation for remediation efforts of near-surface radiological waste disposal sites in the US. This review was undertaken to provide background information in support of work by the United Kingdom’s (UK) Low Level Waste Repository (LLWR) and to aid in optimizing the future management of this site. The review contained a summary of the US and UK radiological waste classification requirements including a discussion of the waste types, disposal requirements, and the differences between US and UK disposal practices. A regulatory overview and evolution of regulatory requirements in the US is presented. The UK regulatory environment is also discussed and contrasted to the US process. The public participation, as part of the US regulatory process, is provided and the mechanism for stakeholder identification and involvement is detailed. To demonstrate how remediation of radiologically impacted sites is implemented in the US, existing US case studies, in which remediation activities were carried out, were reviewed. The following information was compiled: type of wastes disposed of to US shallow ground facilities [with comparison with UK classifications], facility designs (with special emphasis on those directly comparable to the subsurface conditions in the UK), and deficiencies identified in operation or in demonstrating safe post closure; and processes and difficulties in remedial actions encountered at the selected sites. Stakeholder involvement is discussed within the case studies. Publicly available information related to radiological waste management and disposal practices were reviewed. Two sites are presented in this publication for discussion. These US sites were selected based on the site similarities to conditions in the UK.
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Turan, Abdulmenaf, und Mahmut Güler. „Sustainable Environmental Policy in Turkey: Climate Change Case“. In International Conference on Eurasian Economies. Eurasian Economists Association, 2013. http://dx.doi.org/10.36880/c04.00603.

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Environmental problems have become the main agenda of all countries in the world since 1970’s. Various reports have been written, international meetings have been held and various contracts, agreements and action plans were accepted according to these decisions. Each of these arrangements has reflected to policies of countries. The most important issue of international meetings is that environmental values and natural resources should be used rationally and without extravagancy, should be protected and sustained considering the policy of using rights and benefits of current and future generations. In this sense, the concept of “sustainable development” which aims at enabling economic growth and is defined as an environmentalist view in included in the report called Our Common Future which is prepared by Bruntland in 1987 and presented to United Nations Commission of Environment and Development. Later on, this principle was accepted as the main principle of meeting in RIO Summit of 1992. Turkey which is one of the developing countries did not remain out of this process and determined environmental policies in accordance with decisions in global level. Turkey participated in both meetings mentioned above; carried out preparation studies according to these principles and adapted these principles to legal regulations and policies about environmental and economic development. In this study, first of all historical development of sustainable development concept in global sense will be explained and then it will be evaluated how this principle influences environmental policies in Turkey in analytical way together with examples of practice.
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Lawless, W. F., Mito Akiyoshi, John Whitton, Fjorentina Angjellari-Dajci und Christian Poppeliers. „A Comparative Study of Stakeholder Participation in the Cleanup of Radioactive Wastes in the US, Japan and UK“. In ASME 2010 13th International Conference on Environmental Remediation and Radioactive Waste Management. ASMEDC, 2010. http://dx.doi.org/10.1115/icem2010-40219.

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We review case studies of stakeholder participation in the environmental cleanup of radioactive wastes in the United States, Japan and United Kingdom (e.g., [21,26,27,66,78]). Citizen participation programs in these three countries are at different stages: mature in the US, starting in Japan, and becoming operational in the UK. The US issue at the US Department of Energy’s (DOE) Savannah River Site (SRS) in South Carolina (SC) had been focused on citizens encouraging Federal (DOE; US Environmental Protection Agency, or EPA; and the US Nuclear Regulatory Commission, or NRC) and State (SC’s Department of Health and Environmental Compliance, or DHEC) agencies to pursue “Plug-in-RODs” at SRS to simplify the regulations to accelerate closing seepage basins at SRS. In Japan, the Reprocessing of spent fuel and deep geological disposal of vitrified high-level waste have been among Japan’s priorities. A reprocessing plant in Rokkasho, Aomori Prefecture is expected to commence operations in October 2010. The search of a site for a deep geological disposal facility has been ongoing since 2002. But the direct engagement of stakeholders has not occurred in Japan. Indirectly, stakeholders attempt to exert influence on decision-making with social movements, local elections, and litigation. In the UK, the issue is gaining effective citizen participation with the UK’s Nuclear Decommissioning Authority (NDA). We hope that the case studies from these countries may improve citizen participation.
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Naydenov, Kliment. „BULGARIAN CASE STUDIES IN IMPROVING URBAN AIR QUALITY“. In 22nd SGEM International Multidisciplinary Scientific GeoConference 2022. STEF92 Technology, 2022. http://dx.doi.org/10.5593/sgem2022/4.1/s19.37.

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Air pollution is one of the most important causes of morbidity and mortality. The fact that more cities are now improving their air quality control system is good news, so when they take action to improve air quality, they set a goal accordingly. As air quality declines, the risk of stroke, heart disease, lung cancer and chronic and acute respiratory diseases, including asthma, increases in people who live in these cities. Ambient air pollution, which contains high concentrations of fine and fine particles, poses the highest environmental health risk, causing three million premature deaths worldwide each year. At the same time, people's awareness is rising, and air quality monitoring is being carried out in more cities. As air quality improves, global prevalence of respiratory and cardiovascular diseases is declining.� Most sources of urban outdoor air pollution are wholly beyond the control of individuals, suggesting the need for action at the city level and by national and international policy makers to promote cleaner modes of transport, more efficient energy production and appropriate waste management. More than half of controlled cities located in high-income countries, and more than one-third of cities located in low- and middle-income countries reduced their air pollution levels by more than 5% within five years. The set of affordable and accessible policies includes measures such as reducing emissions from industrial chimneys, increasing the use of renewable energy sources such as solar and wind, and prioritizing the development of rapid transit systems, increasing walking and developing bike path networks. Air quality in Bulgaria raises serious concerns: measurements show that citizens across the country breathe air that is assessed as harmful to health. For example, the concentration of PM2.5 and PM10 is much higher than the values prescribed by the European Union and the World Health Organization (WHO) for health protection. The concentrations of PM2.5 in the urban areas of Bulgaria were the highest of all 28 EU member states as average values for a three-year period. For PM10, Bulgaria also leads among the countries with the highest pollution with an average daily concentration of 77 �g / m3 (the EU limit value is 50 �g / m3). According to the World Health Organization, 60% of the urban population of Bulgaria is exposed to dangerous (unhealthy) levels of dust particles (PM10). Air pollution in the Republic of Bulgaria is a significant and difficult to solve environmental problem related to physiographic, social, economic and anthropological factors. Bringing the air quality in the country in line with the norms and goals set in Directive 2008/50 / EC, although difficult, is achievable. For the last 10 years our country has made significant progress in terms of controlled pollutants.
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Jugl, Sebastian, Aimalohi Okpeku, Brianna Costales, Earl Morris, Golnoosh Alipour-Harris, Juan Hincapie-Castillo, Nichole Stetten et al. „A Mapping Literature Review of Medical Cannabis Clinical Outcomes and Quality of Evidence in Approved Conditions in the United States, from 2016 to 2019“. In 2020 Virtual Scientific Meeting of the Research Society on Marijuana. Research Society on Marijuana, 2021. http://dx.doi.org/10.26828/cannabis.2021.01.000.25.

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Background: Medical cannabis is available to patients by physician order in two-thirds of the United States (U.S.) as of 2020, but remains classified as an illicit substance by federal law. States that permit medical cannabis ordered by a physician typically require a diagnosed medical condition that is considered qualifying by respective state law. Objectives: To identify and map the most recently (2016-2019) published clinical and scientific literature across approved conditions for medical cannabis, and to evaluate the quality of identified recent systematic reviews. Methods: Literature search was conducted from five databases (PubMed, Embase, Web of Science, Cochrane, and ClinicalTrials.gov), with expansion and update from the National Academies of Sciences, Engineering, and Medicine’s (NASEM) comprehensive evidence review through 2016 of the health effects of cannabis on several conditions. Following consultation with experts and stakeholders, 11 conditions were identified for evidence evaluation: amyotrophic lateral sclerosis (ALS), autism, cancer, chronic pain, Crohn’s disease, epilepsy, glaucoma, HIV/AIDS, multiple sclerosis (MS), Parkinson’s disease, and posttraumatic stress disorder (PTSD). The following exclusion criteria were imposed: preclinical focus, non-English language, abstracts only, editorials/commentary, case studies/series, and non-U.S. study setting. Data extracted from studies included: study design type, outcome, intervention, sample size, study setting, and reported effect size. Studies classified as systematic reviews with or without meta-analysis were graded using the AMSTAR-2 tool by two raters to evaluate the quality of evidence, with additional raters to resolve cases of evidence grade disagreement. Results: A total of 438 studies were included after screening. Five completed randomized controlled trials (RCTs) were identified, and an additional 11 trials were ongoing, and 1 terminated. Cancer, chronic pain, and epilepsy were the most researched topic areas, representing more than two-thirds of all reviewed studies. The quality of evidence assessment for each condition suggests that few high-quality systematic reviews are available for most conditions, with the exceptions of MS, epilepsy, and chronic pain. In those areas, findings on chronic pain are mostly in alignment with the previous literature, suggesting that cannabis or cannabinoids are potentially beneficial in treating chronic neuropathic pain. In epilepsy, findings suggest that cannabidiol is potentially effective in reducing seizures in pediatric patients with drug-resistant Dravet and Lennox-Gastaut syndromes. In MS, recent high-quality systematic reviews did not include new RCTs, and are therefore not substantially expanding the evidence base. In sum, the most recent clinical evidence suggests that for most of the conditions assessed, we identified few studies of substantial rigor and quality to contribute to the evidence base. However, there are some conditions for which significant evidence suggests that select dosage forms and routes of administration likely have favorable risk-benefit ratios (i.e., epilepsy and chronic pain), with the higher quality of evidence for epilepsy driven by FDA-approved formulations for cannabis-based seizure treatments. Conclusion: The body of evidence for medical cannabis requires more rigorous evaluation before consideration as a treatment option for many conditions and evidence necessary to inform policy and treatment guidelines is currently insufficient for many conditions.
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Berichte der Organisationen zum Thema "Environmental policy – united states – case studies"

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Kwon, Heeseo Rain, HeeAh Cho, Jongbok Kim, Sang Keon Lee und Donju Lee. International Case Studies of Smart Cities: Orlando, United States of America. Inter-American Development Bank, Juni 2016. http://dx.doi.org/10.18235/0007015.

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This case study is one of ten international studies developed by the Korea Research Institute for Human Settlements (KRIHS), in association with the Inter-American Development Bank (IDB), for the cities of Anyang, Medellin, Namyangju, Orlando, Pangyo, Rio de Janeiro, Santander, Singapore, Songdo, and Tel Aviv. At the IDB, the Competitiveness and Innovation Division (CTI), the Fiscal and Municipal Management Division (FMM), and the Emerging and Sustainable Cities Initiative (ESCI) coordinated the study. This project was part of technical cooperation ME-T1254, financed by the Knowledge Partnership Korean Fund for Technology and Innovation of the Republic of Korea. At KRIHS, the National Infrastructure Research Division coordinated the project and the Global Development Partnership Center provided the funding. As an international destination for theme parks, sporting events and conventions, Orlando approaches the smart city operation through Orlando Operations Center (OOC), an integrated facility established in 2001 by the Mayor after the 1997 hurricane. The major features of the integrated operation include the sharing of fiber optic networks and CCTV cameras, and close cooperation between transport, police and fire departments for road, criminal and disaster incident, and the emergency operation center within the OOC taking the lead in case of special event management and large-scale natural disasters. Along with the OOC, the city hall also utilizes smart city functions such as red light violation enforcement through detectors, bus management through AVL technology, GPS garbage truck tracking, and GIS water management. Orlando has experienced significant benefits in terms of shortened decision-making and response time, reduced operation cost, and improved environmental impacts, as well as enhanced service quality and communication with citizen.
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Gu, Jing, Danielle Green und Jiadan Yu. Building Back Better: Sustainable Development Diplomacy in the Pandemic Era. Institute of Development Studies (IDS), Dezember 2021. http://dx.doi.org/10.19088/ids.2021.065.

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This report critically examines the nature of the distinction between traditional inter-state diplomacy and sustainable development diplomacy. It then sets out the institutional changes which are necessary for the achievement of sustainable development diplomacy. Multi-stakeholder partnerships have been identified as a key means of implementation for the Sustainable Development Goals (SDGs). Given the increasing centrality of the United States (US)–China relationship in global development cooperation, understanding the modalities of their engagement may provide useful insights into how partnerships may be cultivated and deepened to realise the SDGs. The Covid-19 pandemic and climate change have demonstrated the interconnection of the world, as well as the interconnection of challenges of the world. Sustainable development diplomacy is needed now more than ever to prioritise development strategies of different states and work on common shared challenges. Sustainable development diplomacy can only work when different actors recognise the value of the common goals and are willing to make an effort to accomplish them. Global sustainable development diplomacy requires a stronger policy agenda and greater cohesion. This report explores the idea of sustainable development diplomacy and, through two sectoral case studies, explores the nature, function, and rationale for interactive engagement. The form and structure of multi-actor relationships are a response to complex, trans-border political, social, economic, and environmental challenges which require a more nuanced and varied management approach than narrowly defined state-led development. However, the power dynamics, the modalities, and experiences of engagement that underpin these dynamic relationships, remain understudied, especially with regard to their impact on sustainable development.
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Nilsson Lewis, Astrid, Kaidi Kaaret, Eileen Torres Morales, Evelin Piirsalu und Katarina Axelsson. Accelerating green public procurement for decarbonization of the construction and road transport sectors in the EU. Stockholm Environment Institute, Februar 2023. http://dx.doi.org/10.51414/sei2023.007.

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Public procurement of goods and services contributes to about 15% of global greenhouse gas emissions. In the EU, public purchasing represents 15% of its GDP, acting as a major influencer on the market through the products and services acquired by governments from the local to national levels. The public sector has a role to play in leveraging this purchasing power to achieve the best societal value for money, particularly as we scramble to bend the curve of our planet’s warming. Globally, the construction and transport sectors each represent about 12% of government procurements’ GHG emissions. Furthermore, these sectors’ decarbonization efforts demand profound and disruptive technological shifts. Hence, prioritizing these sectors can make the greatest impact towards reducing the environmental footprint of the public sector and support faster decarbonization of key emitting industries. Meanwhile, the EU committed to achieving 55% reduction in GHG emissions by 2030 compared to 1990 levels. Drastic emissions reductions are needed at an unprecedented speed and scale to achieve this goal. Green Public Procurement (GPP) is the practice of purchasing goods and services using environmental requirements, with the aim of cutting carbon emissions and mitigating environmental harm throughout the life cycle of the product or service. While the EU and many of its Member States alike have recognized GPP as an important tool to meet climate goals, the formalization of GPP requirements at the EU level or among local and national governments has been fragmented. We call for harmonization to achieve the consistency, scale and focus required to make GPP practices a powerful decarbonization tool. We surveyed the landscape of GPP in the EU, with a focus on construction and road transport. Through interviews and policy research, we compiled case studies of eight Member States with different profiles: Sweden, the Netherlands, France, Germany, Estonia, Poland, Spain and Italy. We used this information to identify solutions and best practices, and to set forth recommendations on how the EU and its countries can harmonize and strengthen their GPP policies on the path toward cutting their contributions to climate change. What we found was a scattered approach to GPP across the board, with few binding requirements, little oversight and scant connective tissue from national to local practices or across different Member States, making it difficult to evaluate progress or compare practices. Interviewees, including policy makers, procurement experts and procurement officers from the featured Member States, highlighted the lack of time or resources to adopt progressive GPP practices, with no real incentive to pursue it. Furthermore, we found a need for more awareness and clear guidance on how to leverage GPP for impactful societal outcomes. Doing so requires better harmonized processes, data, and ways to track the impact and progress achieved. That is not to say it is entirely neglected. Most Member States studied highlight GPP in various national plans and have set targets accordingly. Countries, regions, and cities such as the Netherlands, Catalonia and Berlin serve as beacons of GPP with robust goals and higher ambition. They lead the way in showing how GPP can help mitigate climate change. For example, the Netherlands is one of the few countries that monitors the effects of GPP, and showed that public procurement for eight product groups in 2015 and 2016 led to at least 4.9 metric tons of avoided GHG emissions. Similarly, a monitoring report from 2017 showed that the State of Berlin managed to cut its GHG emissions by 47% through GPP in 15 product groups. Spain’s Catalonia region set a goal of 50% of procurements using GPP by 2025, an all-electric in public vehicle fleet and 100% renewable energy powering public buildings by 2030. Drawing from these findings, we developed recommendations on how to bolster GPP and scale it to its full potential. In governance, policies, monitoring, implementation and uptake, some common themes exist. The need for: • Better-coordinated policies • Common metrics for measuring progress and evaluating tenders • Increased resources such as time, funding and support mechanisms • Greater collaboration and knowledge exchange among procurers and businesses • Clearer incentives, binding requirements and enforcement mechanisms, covering operational and embedded emissions With a concerted and unified movement toward GPP, the EU and its Member States can send strong market signals to the companies that depend on them for business, accelerating the decarbonization process that our planet requires.
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Gallagher, Alex, Sandra LeGrand, Taylor Hodgdon und Theodore Letcher. Simulating environmental conditions for Southwest United States convective dust storms using the Weather Research and Forecasting Model v4.1. Engineer Research and Development Center (U.S.), August 2022. http://dx.doi.org/10.21079/11681/44963.

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Dust aerosols can pose a significant detriment to public health, transportation, and tactical operations through reductions in air quality and visibility. Thus, accurate model forecasts of dust emission and transport are essential to decision makers. While a large number of studies have advanced the understanding and predictability of dust storms, the majority of existing literature considers dust production and forcing conditions of the underlying meteorology independently of each other. Our study works to-wards filling this research gap by inventorying dust-event case studies forced by convective activity in the Desert Southwest United States, simulating select representative case studies using several configurations of the Weather Research and Forecasting (WRF) model, testing the sensitivity of forecasts to essential model parameters, and assessing overall forecast skill using variables essential to dust production and transport. We found our control configuration captured the initiation, evolution, and storm structure of a variety of convective features admirably well. Peak wind speeds were well represented, but we found that simulated events arrived up to 2 hours earlier or later than observed. Our results show that convective storms are highly sensitive to initialization time and initial conditions that can preemptively dry the atmosphere and suppress the growth of convective storms.
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Lamina, Toyin, Hamdi I. Abdi, Kathryn Behrens, Kathleen Call, Amy M. Claussen, Janette Dill, Stuart W. Grande et al. Strategies To Address Racial and Ethnic Disparities in Health and Healthcare: An Evidence Map. Agency for Healthcare Research and Quality (AHRQ), März 2024. http://dx.doi.org/10.23970/ahrqepctb46.

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Background. Racial and ethnic disparities in health and healthcare continue to endure in the United States despite efforts in research, practice, and policy. Interventions targeted at patients, clinicians, and/or health systems may offer ways to address disparities and improve health outcomes in prevention/treatment of chronic conditions in adults. Purpose. This evidence map identifies existing interventions to be considered for implementation by healthcare system leaders and policymakers, and to inform researchers and funding agencies on gaps in knowledge and research needs. Methods. We searched MEDLINE, CINAHL, and Scopus from January 2017 through April 2023 for U.S.-based studies from the peer-reviewed published literature. We incorporated supplementary information from systematic reviews. We supplemented this with the gray literature, when available, from pertinent organizations, foundations, and institutes. We held discussions with Key Informants who represented stakeholders in healthcare disparities. Findings. A vast and varied literature addresses healthcare system interventions to reduce racial and ethnic health and healthcare disparities. We identified 163 unique studies from 174 reports, and 12 intervention types not mutually exclusive in their descriptions. The most studied intervention type was self-management support, followed by prevention/lifestyle support, then patient navigation, care coordination, and system level quality improvement (QI). Most of the interventions specifically targeted patient behaviors. Few studies (5) used a comparator, which made it difficult to determine whether disparities between groups were reduced or eliminated. Most of the studies (45%) included multiple race/ethnic groups (i.e., enrolled participants from more than one racially/ethnically minoritized group or enrolled racially minoritized people and non-minoritized groups). We found few studies that exclusively enrolled Asians (6%) and American Indians/Alaska Natives (1%). Cancer was the most studied chronic condition. Randomized controlled trials were common; but less rigorous study designs were often used for system level quality improvement (QI) and collaborative care model interventions. Few studies reported patient experience as primary outcomes. Studies did not report on harms or adverse events and nor did they report on factors necessary for determining applicability or sustainability of the interventions. A number of studies reported on cultural adaptation or community involvement (either partnership or collaboration). Future studies should seek to standardize the terms in which they describe interventions and aim to specifically address whether disparities between groups are reduced or eliminated. Nonetheless, this evidence map provides a resource for health systems to identify intervention approaches that have been examined elsewhere and that might be imported or adapted to new situations and environments.
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Jiménez, Efraim, und María Eugenia Roca. Innovation in the Methods of Public Procurement in Latin America and The Caribbean: Case studies. Inter-American Development Bank, November 2017. http://dx.doi.org/10.18235/0010685.

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In recent years, Latin American and Caribbean countries (LAC) have modernized their public procurement systems and have been able to increase the efficiency and effectiveness in the use of public resources through new practices and technologies to promote greater competitiveness. The award decision based solely on price to ensure efficiency has also evolved into amulticriteria approach to include, beyond price, quality and sustainability criteria (economic, environmental, and social). Through this study, the Inter-American Development Bank (IADB) contributes to the dialogue in LAC to promote the use of new public procurement procedures and practices. The study presents four innovative cases of procurement practices used in the region. These are inspired in practices in other regions, such as Europe and the United States. This study identifies some trends in public procurement procedures, which promote more flexible contracting frameworks in order to incorporate additional methods based on a broader approach of Value for Money in accordance with the principles of transparency, efficiency, economy, integrity and fairness. Innovation in public procurement contributes towards the achievement of development goals in the region.
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Chambers, Katherine, und Waleska Echevarria-Doyle. Applying resilience concepts to inland river system. Engineer Research and Development Center (U.S.), Mai 2021. http://dx.doi.org/10.21079/11681/40743.

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As environmental uncertainty increases, incorporating resilience into project assessments, research recommendations, and future plans is becoming even more critical. This US Army Engineer Research and Development Center special report (SR) demonstrates how the concepts of resilience can be applied in a uniform framework and illustrates this framework through existing case studies on large inland river systems. This SR presents the concepts of resilience in inland river systems, the application of these concepts across disciplines, basic parameters of a resilience assessment, and the challenges and opportunities available for incorporating a more holistic approach to understanding resilience of the US Army Corps of Engineers mission areas on inland rivers. Finally, these concepts are demonstrated in several case studies in the United States to exemplify how these parameters have been applied to improve the overall performance of the system.
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Ossoff, Will, Naz Modirzadeh und Dustin Lewis. Preparing for a Twenty-Four-Month Sprint: A Primer for Prospective and New Elected Members of the United Nations Security Council. Harvard Law School Program on International Law and Armed Conflict, Dezember 2020. http://dx.doi.org/10.54813/tzle1195.

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Under the United Nations Charter, the U.N. Security Council has several important functions and powers, not least with regard to taking binding actions to maintain international peace and security. The ten elected members have the opportunity to influence this area and others during their two-year terms on the Council. In this paper, we aim to illustrate some of these opportunities, identify potential guidance from prior elected members’ experiences, and outline the key procedures that incoming elected members should be aware of as they prepare to join the Council. In doing so, we seek in part to summarize the current state of scholarship and policy analysis in an effort to make this material more accessible to States and, particularly, to States’ legal advisers. We drafted this paper with a view towards States that have been elected and are preparing to join the Council, as well as for those States that are considering bidding for a seat on the Council. As a starting point, it may be warranted to dedicate resources for personnel at home in the capital and at the Mission in New York to become deeply familiar with the language, structure, and content of the relevant provisions of the U.N. Charter. That is because it is through those provisions that Council members engage in the diverse forms of political contestation and cooperation at the center of the Council’s work. In both the Charter itself and the Council’s practices and procedures, there are structural impediments that may hinder the influence of elected members on the Security Council. These include the permanent members’ veto power over decisions on matters not characterized as procedural and the short preparation time for newly elected members. Nevertheless, elected members have found creative ways to have an impact. Many of the Council’s “procedures” — such as the “penholder” system for drafting resolutions — are informal practices that can be navigated by resourceful and well-prepared elected members. Mechanisms through which elected members can exert influence include the following: Drafting resolutions; Drafting Presidential Statements, which might serve as a prelude to future resolutions; Drafting Notes by the President, which can be used, among other things, to change Council working methods; Chairing subsidiary bodies, such as sanctions committees; Chairing the Presidency; Introducing new substantive topics onto the Council’s agenda; and Undertaking “Arria-formula” meetings, which allow for broader participation from outside the Council. Case studies help illustrate the types and degrees of impact that elected members can have through their own initiative. Examples include the following undertakings: Canada’s emphasis in 1999–2000 on civilian protection, which led to numerous resolutions and the establishment of civilian protection as a topic on which the Council remains “seized” and continues to have regular debates; Belgium’s effort in 2007 to clarify the Council’s strategy around addressing natural resources and armed conflict, which resulted in a Presidential Statement; Australia’s efforts in 2014 resulting in the placing of the North Korean human rights situation on the Council’s agenda for the first time; and Brazil’s “Responsibility while Protecting” 2011 concept note, which helped shape debate around the Responsibility to Protect concept. Elected members have also influenced Council processes by working together in diverse coalitions. Examples include the following instances: Egypt, Japan, New Zealand, Spain, and Uruguay drafted a resolution that was adopted in 2016 on the protection of health-care workers in armed conflict; Cote d’Ivoire, Kuwait, the Netherlands, and Sweden drafted a resolution that was adopted in 2018 condemning the use of famine as an instrument of warfare; Malaysia, New Zealand, Senegal, and Venezuela tabled a 2016 resolution, which was ultimately adopted, condemning Israeli settlements in Palestinian territory; and A group of successive elected members helped reform the process around the imposition of sanctions against al-Qaeda and associated entities (later including the Islamic State of Iraq and the Levant), including by establishing an Ombudsperson. Past elected members’ experiences may offer some specific pieces of guidance for new members preparing to take their seats on the Council. For example, prospective, new, and current members might seek to take the following measures: Increase the size of and support for the staff of the Mission to the U.N., both in New York and in home capitals; Deploy high-level officials to help gain support for initiatives; Partner with members of the P5 who are the informal “penholder” on certain topics, as this may offer more opportunities to draft resolutions; Build support for initiatives from U.N. Member States that do not currently sit on the Council; and Leave enough time to see initiatives through to completion and continue to follow up after leaving the Council.
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Committee on Toxicology. COT FSA PBPK for Regulators Workshop Report 2021. Food Standards Agency, April 2024. http://dx.doi.org/10.46756/sci.fsa.tyy821.

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The future of food safety assessment in the UK depends on the Food Standards Agency’s (FSA) adaptability and flexibility in responding to and adopting the accelerating developments in science and technology. The Tox21 approach is an example of one recent advancement in the development of alternative toxicity testing approaches and computer modelling strategies for the evaluation of hazard and exposure (New Approach Methodologies (NAMs). A key aspect is the ability to link active concentrations in vitro to likely concentrations in vivo, for which physiologically based pharmacokinetic (PBPK) modelling is ideally suited. The UK FSA and the Committee on Toxicity of Chemicals in Food, Consumer Products, and the Environment (COT) held an “PBPK for Regulators” workshop with multidisciplinary participation, involving delegates from regulatory agencies, government bodies, academics, and industry. The workshop provided a platform to enable expert discussions on the application of PBPK to health risk assessment in a regulatory context. Presentations covered current application of PBPK modelling in the agrochemical industry for in vitro to in vivo extrapolation (IVIVE), pharmaceutical industry for drug absorption related issues (e.g., the effect of food on drug absorption) and drug-drug interaction studies, as well as dose extrapolations to special populations (e.g., those with a specific disease state, paediatric/geriatric age groups, and different ethnicities), environmental chemical risk assessment, an overview of the current regulatory guidance and a PBPK model run-through. This enabled attendees to consider the wide potential and fitness for purpose of the application of PBPK modelling in these fields. Attendees considered applicability in the context of future food safety assessment for refining exposure assessments of chemicals with narrow margins of exposure and/or to fill data gaps from more traditional approaches (i.e., data from animal testing). The overall conclusions from the workshop were as follows: PBPK modelling tools were applicable in the areas of use covered, and that expertise was available (though it is in small numbers). PBPK modelling offers opportunities to address questions for compounds that are otherwise not possible (e.g., considerations of human variability in kinetics) and allows identification of “at risk” subpopulations. The use of PBPK modelling tends to be applied on a case-by-case basis and there appears to be a barrier to widespread acceptance amongst regulatory bodies due to the lack of available in-house expertise (apart from some medical and environmental agencies such as the European Medicines Agency, United States Food and Drug Administration, and the US Environmental Protection Agency, respectively). Familiarisation and further training opportunities on the application of PBPK modelling using real world case studies would help in generating interest and developing more experts in the field, as well as furthering acceptance. In a regulatory context, establishing fitness for purpose for the use of PBPK models requires transparent discussion between regulatory agencies, government bodies, academics, and industry and the development of a harmonised guidance such as by the Organisation for Economic Co-operation and Development (OECD) would provide a starting point. Finally, PBPK modelling is part of the wider “new approach methodologies” for risk assessment, and there should be particular emphasis in modelling both toxicodynamics and toxicokinetics.
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Wojciechowski, M. J. Recherche et développement dans le secteur des minéraux. Natural Resources Canada/CMSS/Information Management, 1989. http://dx.doi.org/10.4095/331554.

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Canada has the potential for good long-term development of its mineral resources, and needs to maintain a competitive position for crude minerals in export markets. Therefore, Canada should strongly support the mineral exploration and mining sectors. This conclusion is reinforced by the finding that most of the other countries in this study, which represent much of the world's mining technology and mining education expertise, are in or are approaching the decline phase of their mining industries' life cycles. They are also dependent on imported crude minerals, and are turning their R&D focus away from primary resources towards substitution and efficiency in the use of raw materials. This pattern of R&D focus is not appropriate for Canada, although it is in fact being followed. Canada should stress R&D in extractive metallurgy with a special emphasis on environmental and health aspects and on conservation of energy. This can give Canada a comparative advantage in smelting and refining over the United States and Western Europe, where the cost pressures resulting from dependence on raw materials and energy and from environmental controls make such R&D investments relatively unattractive. Canada should make special efforts to compensate for and reduce the negative effects of the prevalent separation of scientists and engineers from management and formulators of public policy. These three initiatives, if adopted, should help Canada to realize the benefits of its mineral endowment, to keep its mineral sector viable for the long term, to take advantage of opportunities arising from the decline of the primary mineral sectors in other countries, and to avoid being le ft potential. behind by newly emerging countries with mineral The views expressed in this report and in the background study are those of the author and not necessarily those of the Centre for Resource Studies and its sponsors, or of The Canada Centre for Mineral and Energy Technology (CANMET).
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