Dissertationen zum Thema „General Agreement on Tariffs and Trade (Organization)“

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1

Xia, Yao Yuan. „Reconciliation of non-market economies : GATT trade rules“. Thesis, University of British Columbia, 1990. http://hdl.handle.net/2429/28870.

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Due to the abortion of the proposed Havana Charter and non-participation of the USSR and other State trading economies in the Charter negotiations, GATT has been acting as a traders' club - a club mainly beneficial to western •market economies. Its rules are formulated almost exclusively in favor of free trade on a comparative advantage and private enterprise basis. There is virtually no place for NMEs to have effective access. As one of the pivots of post-World-War-II multilateralism, GATT assumes a major role in compromising, integrating, regulating and supervising diversified member nations' trade laws and policies. Its legal framework, however, is inadequate to deal with the integration of NME. This is because GATT is framed essentially along the line of market ideology and minimal government intervention. NMEs, on the other hand, discard market ideology and adopt wholesale government intervention and central planning as a basic form of economy. While trading practice in NMEs is basically incompatible with the GATT-promoted free trade rules, accommodations were made to facilitate NMEs' request for membership. Consequently, Poland, Romania, Hungary and Yugoslavia became GATT members respectively during the 1960s and 70s. At that time East European countries maintained command state trading thus were unable to be fully integrated into the GATT-based international trade order. During negotiations on terms of NMEs' accession to GATT, GATT countries adopted an import commitments approach to solve the central and much debated issue of market access to NME countries. Despite its merits, the approach has been criticized notwithstanding the fact that no alternative has been suggested. Accordingly, the primary objective of the thesis is to rethink the existing approaches to NMEs in order to explore new ways of effectively integrating NMEs into the GATT legal framework. By approaching the thesis problem carefully, the writer arrives at the conclusion that although GATT would need new assumptions with a view to regaining a new consensus of broader international representation and participation, a considerable and substantial decentralization in the NME is unavoidable in order to adapt themselves into the GATT framework. In the meantime, it is stressed that all GATT countries should continue to facilitate NMEs' access to the GATT forum in the hope that NMEs being potential world traders would increase world prosperity and understanding by broader participation. World prosperity, needless to say, is the best guarantee of world peace and security.
Law, Peter A. Allard School of
Graduate
2

Nischalke, Tobias Ingo. „Theories of international cooperation and the GATT/WTO regime: beyond the dichotomy of rational and cognitive approaches“. Thesis, Rhodes University, 1997. http://hdl.handle.net/10962/d1003027.

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This thesis aspires to assess the explanatory value of different theories of international cooperation for the case of the world trade regime of GATT/WTO and subsequently strives to reach a satisfactory interpretation of the instance of cooperation. The world trade regime embarked on a process of transformation with the signing of the Marrakech Agreements of 15th April 1994. The event marked the conclusion of the Uruguay Round and, with the establishment of the WTO, the beginning of a new era for the world trade regime. The thesis endeavours to establish the substance of the regime change from GATT to the WTO. It outlines the most significant provisions of the agreement of the Uruguay Round and, subsequently, analyses the change on the level of regime norms underlying the world trade regime. The analysis of regime norms yields insights about the essence of the regime transformation and as to what factors proved to be conducive to cooperation in the sphere of the world trade. The GATT/WTO regime with its extended scope and more sophisticated institutional structures can be regarded as a prime example of successful cooperation. However, the prospects for cooperation between states in an anarchic environment without central authority for enforcement are the subject of a remarkably intense scholarly debate. Therefore it is worthwhile to examine which theoretical framework proves to be most adept at elucidating the circumstances of this instance of cooperation. This thesis applies different theories of international cooperation to the case of the GATT/WTO regime. While a large array of rational theories attempts to explain cooperation from a perspective which focuses on interests and capabilities, a different strand of theories, that of cognitive approaches, emphasizes the paramountcy of ideas and beliefs as variables which explain cooperation. They endogenize the process of interest formation. This thesis seeks to synthesise the strong points of rational and cognitive approaches and thus to reconcile the divergent schools of thought. Its further purpose is to set out factors which are conducive to cooperation.
3

Mathis, James Haley. „Regional trade agreements in the GATT/WTO GATT article XXIV and the internal trade requirement /“. [S.l. : Amsterdam : s.n.] ; Universiteit van Amsterdam [Host], 2001. http://dare.uva.nl/document/60558.

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4

Bindley, Geoffrey Norman. „China and the GATT : a study of political and economic implications /“. Thesis, [Hong Kong : University of Hong Kong], 1994. http://sunzi.lib.hku.hk/hkuto/record.jsp?B13841051.

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Thesis (M.B.A.)--University of Hong Kong, 1994.
"The implications of state trading, and the costs and benefits of GATT membership; with illustrations from the stell industry." Includes bibliographical references (leaves 61-64).
5

Sherman, Richard Scott. „Managing political exchange : multilateralism in global trade policy /“. Thesis, Connect to this title online; UW restricted, 1996. http://hdl.handle.net/1773/10737.

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6

Pelc, Krzysztof J. „The cost of wiggle-room on the use of flexibility in international trade agreements /“. Connect to Electronic Thesis (CONTENTdm), 2009. http://worldcat.org/oclc/463166578/viewonline.

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7

Poonyth, Daneswar. „A structural econometric model of the European sugar sector and the potential implications of the GATT/WTO /“. free to MU campus, to others for purchase, 1998. http://wwwlib.umi.com/cr/mo/fullcit?p9924914.

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8

Haddock, Janet Elaine. „Environment-related decision making : an examination of the GATT/WTO process /“. Thesis, Hong Kong : University of Hong Kong, 1998. http://sunzi.lib.hku.hk/hkuto/record.jsp?B20272029.

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9

Manjoro, Faith Tendayi. „International trade and environmental disputes : an analysis of Article XX of the General Agreement on Tariffs and Trade (1994) and environmental policies of the developing and developed world“. Thesis, Rhodes University, 2007. http://hdl.handle.net/10962/d1007444.

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A major problem emanating from the trade/environment conflict is the use of trade measures, such as restrictions and sanctions, as tools for environmental protection. Proponents of free trade argue that the use of these measures is tantamount to abuse of environmental standards for protectionist ends. This is particularly so if the imposition of the standard amounts to a unilateral act which blocks the entry of a specified product into the market of another member state for reasons other than environmental protection. Environmentalists at the same time argue that free trade will lead to environmental degradation and therefore advocate for the use of trade-restrictive measures to safeguard against the destruction of the environment. The GATT has proved problematic when it comes to the resolution of trade/environment conflicts. The GATT aims at trade liberalisation yet most environmental policies are enforced through trade-restrictive devices like quotas and licences. Article XX of the GATT is anomalous: it does not explicitly mention the environment, yet member states rely on it as an environmental protection clause. This thesis discusses the various issues emanating from the trade/environmental debate. The history of Article XX is reviewed and the issues that arise in the adjudication of Articles XX (b) and (g) in a trade/environment context are analysed in light of the decisions by the GATTIWTO dispute settlement bodies. The role played by Multilateral Environmental Agreements (MEAs) in protecting the environment is discussed. However, the relationship between MEAs and the WTO is also scrutinised as these rule-making bodies often come into conflict: firstly, because they serve two differing interests - on the one hand, MEAs allow for the use of trade restrictive measures in environmental agreements and on the other, the WTO calls for unrestricted trade unless exceptional circumstances exist; and secondly, member states that are party to both the WTO and MEAs are often forced to subscribe to international trade rules that are incompatible with those in environmental agreements. The trade/environmental debate is important to both the developed and developing worlds. The developed world is in favour of environmental policies which protect the environment from degradation. On the other hand, the developing world is in desperate need of the benefits of trade liberalisation so as to cater for high unemployment rates and poor economic growth. The question thus arises as to whether, when environmental issues are promoted, developing countries will not suffer at the expense of developed nations which may engage in protectionist measures under the pretext of environmental conservation. The divide between developed and developing countries is illustrated in Chapter 5 through case studies on coal mining in the USA and South Africa. The conclusion reached is that total co-operation is essential between developed and developing states for success in safeguarding the environment from degradation. Accordingly, the trade/environmental debate cannot be isolated from the conflicting approaches in developed and developing countries. The conclusions in the final chapter seek to strike a balance between trade liberalisation and environmental protection. Recommendations are made on how the trade/environmental challenges could be dealt with and the regulation of trade restrictive devices to exclude, or at least limit, protectionism.
10

Williams, Brett Gerard. „The importance of disciplining the choice of policy instrument to the effectiveness of the GATT as international law disciplining agricultural trade policies /“. Title page, contents and abstract only, 1999. http://web4.library.adelaide.edu.au/theses/09PH/09phw72122.pdf.

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11

Poulet, Julie. „Direct effect of the law of the GATT in the European Union, the United States and the consequences for the WTO“. Thesis, McGill University, 2002. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=78227.

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This aim of this thesis will be to first address the issue of the direct applicability of the GATT within the national framework, mainly through the use of an analysis of the considerations that such a denial of the direct effect of the GATT is based upon, to understand if there are real obstacles to its implementation, before examining the harmful effects this of denial. The analysis will focus on the situation in both the European Union and the United States, these two countries being two of the most important trade partners in the WTO, before suggesting various solutions that could be adopted to implement the direct effect of the GATT in order to benefit both individuals and the WTO members.
However, since WTO members are still highly opposed to the recognition of the direct effect of the GATT, the unlikelihood of its implementation, at least in a short term perspective, will lead to an analysis of the situation directly at the WTO level. This will permit us to further conclude, whether it would be possible to find solutions to palliate the problems arising out of the denial of the direct effect of the GATT at a national level. Indeed, in the last part of the analysis undertaken in this work, various ways to remedy the deficit of democracy will be explored, examining alternatively the best vectors that could be used: individuals or NGOs, in order to enhance the legitimacy of the WTO which is principally under attack.
12

Grimett, Leticia Anthea. „Protectionism and compliance with the GATT article XXIV in selected regional trade arrangements“. Thesis, Rhodes University, 1999. http://hdl.handle.net/10962/d1003188.

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The General Agreement on Tariffs and Trade (GATT) 1994 has resulted in the GATT Contracting States making a renewed commitment to freer global trade and trade liberalisation. These Contracting States signalled their commitment to GATT policies and principles by undertaking to abolish all those non-tariff barriers which were not converted to tariffs and to decrease all tariffs applied by their domestic economies. The movement away from protectionism is intended to bring contracting states in line with the GATT most-favoured-nation and national treatment principles. The only exceptions to these principles are the regional trade arrangements which can be implemented in accordance with Article XXIV of GATT 1947 and the Understanding on the Implementation of Article XXIV of GATT 1947. Regional trade arrangements such as customs unions and free-trade areas have been allowed by the GATT as they are deemed to promote trade liberalisation through the removal of substantially all trade restrictions between countries party to these trade arrangements. In practice this has not been the case, however, as these regional trade arrangements have been known to apply very protectionist trade policies. This research determines whether regional trade arrangements are inherently protective ie does the nature of these regional trade arrangements encourage protectionism? The external trade policies of the European Union (EU), Association of Southeast Asian Nations (ASEAN), Southern African Development Community (SADC) and the Southern African Customs Union (SACU) are analysed to determine whether the contracting parties to regional trade arrangements have corrupted the GATT provisions and so contributed towards the protectionist nature of these regional trade arrangements. The internal trade provisions relating to the implementation of these regional trade arrangements have also been discussed to determine their compliance with Article XXIV of GATT 1947. As all the selected regional trade arrangements have direct or indirect links to South Africa, the implications of the policies chosen by these parties for South Africa have also been discussed. Analysis of the EU, SADC, SACU and ASEAN has shown that prior to the adoption of the GATT 1994, the free-trade areas and customs unions were not implemented in accordance with Article XXIV provisions. These regional trade arrangements have been moulded to fit the economic aspirations of the relevant contracting states. Of the regional trade arrangements accepted by the GATT, free-trade areas have been found to be the least protectionist and are the least likely to be perverted by contracting parties. Customs unions, on the other hand, may encourage contracting parties to protect their economies as they rely on group participation rather than individual participation. Individual Member States become responsible to the group which provides these states with greater economic power. As a result Member States are motivated to protect the new group entity from outside competition. In this way, they are inherently protective. Safeguards are therefore necessary to protect individual non-Member States from such behaviour. The implications of protectionism for South Africa, SADC and SACU have also been discussed.
13

Dube, Memory. „The WTO Non-Agricultural Market Access (NAMA) negotiations and developing countries: In pursuit of the ‘development agenda’“. Diss., University of Pretoria, 2010. http://hdl.handle.net/2263/28451.

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The Non-Agricultural Market Access Negotiations (NAMA) are being undertaken as part of the Doha Round of negotiations. NAMA negotiations are aimed at the trade liberalisation of industrial goods. Pursuant to the ‘development agenda’ adopted for the Doha Round, the NAMA negotiations also emphasise the development component. Particular emphasis is be made on tariff reductions in products of export interest to developing countries and the negotiations are to take special account of the needs and interests of developing countries, including through less than full reciprocity in accordance with the General Agreement on Tariffs and Trade (GATT) provisions on special and differential treatment (SDT). This research attempts to determine this ‘development agenda’ through the prism of special and differential treatment as provided for in the NAMA mandate. An analysis of the SDT provisions in the World Trade Organisation (WTO) and their application within the multilateral trading system reveals that SDT is a very controversial concept. Developing countries have used SDT to escape the strictures of multilateral trading rules and developed countries have used it as a ‘carrot and stick’ tool, to gain concessions from developing countries in other areas. SDT has further been revealed as a concept whose meaning and content is not very precise. While the provisions in the GATT as well as the Enabling Clause make good political and economic sense, they are not really actionable. This is because the concept is characterised by best-endeavour provisions that lack any legal force and cannot be adjudicated in the WTO Dispute Settlement Body. Developed countries have thus not been called and cannot be called, legally, to account for lack of delivery on their commitments and obligations with regard to SDT. This has effectively constrained the use of SDT as a development tool within the WTO, and, being the only tool being utilised, there needs to be found an alternative way to address development needs in the WTO. The WTO has sought to address this through efforts to amend SDT to make it more precise, effective and operational. The content and meaning of the ‘development agenda’ itself in the Doha Round is very elusive and an effort is made in this paper to determine the appropriate meaning of development in relation to the multilateral trading system. Development as an objective in the WTO is not novel to the Doha Round. The WTO is littered with references to development and the betterment of the human condition in its preamble to agreements and other provisions. Development has to be considered in al its three dimensions: social, political and economical. While this paper does not advocate that the WTO become a fully fledged development institution, it can shape its development agenda in such a way that benefits on the economic front are designed to stimulate socio-economic development as well. An analysis of the NAMA modalities reveals that mercantilist objectives have triumphed in the negotiations and SDT has been lost by the wayside. Developed countries have sought for radical tariff reductions on the part of developing countries, with meagre flexibilities that are further constrained by requirements that no full sector be excluded from the formula cuts. SDT has not been considered and the commitments are not proportional to the development capacity of most developing countries. This is in direct contradiction to the SDT provisions in the GATT that are supposed to guide the negotiations as well as the provision on tariff negotiations. However, the modalities are not legally contestable because the SDT provisions do not hold any legal suasion. The NAMA negotiations reveal a development vacuity within the WTO that needs to be resolved by other means other than the traditional SDT. Taking into consideration the evolving power bases and the politics of the membership of the WTO, this is an imperative. This paper proposes that Aid for Trade is the best option available to the WTO system. The concept does find support in GATT/WTO provisions on SDT and can be modified to be more predictable and sustainable.
Dissertation (LLM)--University of Pretoria, 2010.
Centre for Human Rights
unrestricted
14

Greyling, Minette Ilse. „The World Trade Organisation : international trade, dispute settlement & the environment“. Thesis, Stellenbosch : Stellenbosch University, 2003. http://hdl.handle.net/10019.1/53695.

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Thesis (MA)--Stellenbosch University, 2003.
ENGLISH ABSTRACT: The norms governing international trade on the one hand, and sustainable development on the other, have both different origins and objectives. This is the central problem that will be addressed in this research assignment, by analysing the structure, functioning and future of the World Trade Organisation Dispute Settlement Mechanism (DSM). Though there has been a significant shift from politics to legality, the dispute settlement system is still far from perfect. When looking at recent environmental trade disputes, the stress placed on the system is revealed. •• The focus is on the impact of environmental disputes on the nature and functioning of the DSM, and how these disputes have contributed to the development of international trade law, and the concept of sustainable development. These will all contribute to a greater understanding of the interaction of the World Trade Organisation and the multilateral trading system, and the future role the WTO should play on the agenda for sustainable development.
AFRIKAANSE OPSOMMING: Die norme wat enersyds internasionale handel, en andersyds volhoubare ontwikkeling beheer, het uiteenlopende oorspronge en doelstellings. Hierdie is die sentrale probleem wat deur hierdie navorsingsverslag aangespreek word, te wete deur die struktuur, funksionering en toekoms van die Wereldhandelsorganisasie (WHO) Dispute Settlement Mechanism (DSM) te analiseer. Hierdie dispuutskikkingstelsel is nog steeds nie volmaak nie, ten spyte daarvan dat daar reeds 'n betekenisvolle verskuiwing van politiek tot wetlikheid plaasgevind het. As daar na onlangse omgewingshandelsdispute gekyk word, kom die druk wat op die stelsel geplaas word, duidelik na vore. Die fokus word dus met hierdie navorsingsverslag geplaas op die impak wat omgewingsdispute op die aard en funksionering van die DSM het, en hoe die dispute bygedra het tot die ontwikkeling van internasional handelswette asook op die konsep van volhoubare ontwikkeling. Hierdie fokus behoort by te dra tot 'n groter begrip tot die interaksie tussen die Wereldhandelsorganisasie (WHO) en die multilaterale handelstelsels, asook op die toekomstige rol wat die WHO behoort te speel met betrekking tot die agenda vir volhoubare ontwikkeling.
15

Gerona, Morales Marcelo Esteban. „El comercio de productos agrícolas en la Organización Mundial del Comercio (OMC)“. Quito : Abya-Yala, 2005. http://catalog.hathitrust.org/api/volumes/oclc/65189840.html.

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16

Lunani, Sadat Mulongo. „Understanding regionalisation and preferential relations in world trade law and policy: a perspective from the East African Community (EAC)“. Thesis, University of the Western Cape, 2011. http://etd.uwc.ac.za/index.php?module=etd&action=viewtitle&id=gen8Srv25Nme4_6793_1363787835.

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The rapid growth in the number of regional trade agreements (RTAs) has led to concern about the weakening of the multilateral trading system. This thesis examines the spread of such agreement and the extent to which they pose a threat to the multilateral system. Regionalism and multilateralism are complimentary as shown in the case study of the East African Community. The current regional trade agreement management rules are weak and ambiguous and possible amendments for these rules are proposed

17

Grimett, Leticia Anthea. „An analysis of selected World Trade Organisation agreements to determine whether they discriminate unfairly against developing economices“. Thesis, Rhodes University, 2013. http://hdl.handle.net/10962/d1008368.

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The focus of this thesis is the question whether or not the WTO discriminates unfairly against developing economies. In the absence of a test of guidelines for detennining unfairness or fairness of WTO provisions or Agreements has been drawn up using welfare economic and constitutional law principles as a foundation. Unfairness is therefore determined by asking whether the provisions of each Agreement are rational, proportional, efficient and whether they prevent the abuse of power amongst states. In addition, the economic effects of the provisions of the selected Agreements have been analysed to determine whether the relevant provisions are welfare enhancing and conclusive to promoting growth and development within developing economies. The Agreements chosed for analysis are the Agreements on Trade-related Investment Measures (TRIMS), Trade-related Intellectual Property (TRIPS), Agriculture and Services (GATS). The dispute settlement and negotiating process, labour standards and the impact of decreasing most-favoured nation rates on developing economy competitiveness is also discussed. Application of the test has shown that the WTO provisions do not reflect the interests of all members. Even though most member states are developing economies, the3 Agreements constantly cater foe developed country concerns and interests. Where provision is made for developing country interests, it is the LDC's who are favoured, with nonnal developing economies being bound by the same provisions as the developed economies. A fonnal, as opposed to a substantive, defmition has been adopted by the WTO, with a result that the process of equality is placed above the outcomes. While concessions have been made to development, members have not gone for enough. A main reason for the imbalance can be attributed to the negotiating process, which is based upon concessionary bargaining and trade-off. Those states with greater economic power are therefore at an advantage as they have the leverage needed to influence the outcomes of negotiations and hence the provisions of the various Agreements. Even with the LDC's, the WTO has been found to discriminate unfairly against developing economies because it does not adequately address developing country concerns.
KMBT_363
Adobe Acrobat 9.54 Paper Capture Plug-in
18

Gerken, Anika. „Rechtsschutzmöglichkeiten europäischer Wirtschaftsteilnehmer gegen GATT-widrige Wirtschaftshemmnisse /“. Frankfurt am Main [u.a.] : Lang, 2004. http://www.gbv.de/dms/spk/sbb/recht/toc/380098806.pdf.

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19

Dube, Memory. „Liberalisation and regulation of trade in the Southern African Development Community (SADC) : a critical analysis of the SADC trade protocol's provisions and its implementation“. Thesis, Rhodes University, 2009. http://hdl.handle.net/10962/d1008204.

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The Southern African Development Community (SADC) declared a Free Trade Area on 17 August 2008. The Free Trade Area is the ultimate objective of the Trade Protocol on trade cooperation in SADC, signed in 1996. The Protocol is supported and complemented by the ambitious Regional Indicative Strategic Development Plan (RISDP). The idea behind the SADC Trade Protocol was to counter the developmental challenges facing SADC member states and to improve the productive and trade capacity of SADC countries. The implementation of the SADC Free Trade Area has been guided by the WTO/GATT regulatory framework on regional trade agreements, particularly GATT Article XXIV, the Understanding on the Interpretation of GATT Article XXIV, as well as the Decision on Differential and More Favourable Treatment, Reciprocity and Fuller Participation of Developing Countries (Enabling Clause). This research seeks to analyse the SADC Trade Protocol's provisions and the implementation of such provisions. To facilitate an understanding of factors that affect the implementation of the SADC Trade Protocol, SADC's institutional and operational framework is discussed from a legal-historical perspective. The provisions of the Trade Protocol are analysed for compliance with WTO/GA TT rules as well as for applicability within the SADC context. The provisions of the WTO/GA TT regulatory framework on regional trade agreements are also analysed with a view to determining whether they are applicable in developing country situations such as SADC. The Free Trade Area is seen as the first step towards regional economic integration in the region and is to be followed by a Customs Union, a Common Market and then eventually an Economic Community with its own central bank and regional currency. It is envisaged that the region will proceed through all these traditional theoretical phases of economic integration between 2008 and 2018. The implementation of the Trade Protocol has been beset with institutional, administrative and infrastructural challenges which pose obstacles to the attainment of the other stages of economic integration in the time frames prescribed in the RISDP. These challenges are assessed for impact on the regional economic integration of SADC by evaluating the progress towards implementing the Trade Protocol provisions and the implementation of measures taken towards the launch of the Free Trade Area. Emerging issues are also identified and analysed for their effect on the Free Trade Area and the general economic agenda of SADC. Of particular note is the Economic Partnership Agreements (EPAs) being negotiated with the European Union where SADC countries are negotiating in four different configurations. An analysis of this EPA situation reveals that it compounds a pre-existing problem: that of overlapping membership of regional trade agreements. Prior to the EPAs and the intensified drive towards the creation of the Customs Union, there was largely no need to rationalise the overlap in regional trade agreement memberships, but it is now a matter of urgency. The overlap in membership has complicated EPA negotiations and places serious doubts on the prospects of complete regional integration in SADC.This research concludes with observations on South Africa's complicated relationship with her SADC neighbours. South Africa's trade policies, as regards both the SADC region and the world, are discussed. Because of its political and economic dominance, South Africa's policies have a ripple effect on the rest of SADC; hence the need for South Africa to be vigilant in formulating and implementing its trade policies.
20

Ikoum, Francoise Ongmalik. „Interaction between international free trade and environmental protection: the continued search for balance“. Thesis, University of the Western Cape, 2007. http://etd.uwc.ac.za/index.php?module=etd&action=viewtitle&id=gen8Srv25Nme4_7279_1256219850.

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There is an existing conflict between trade and environmental policies. There are different opinions and attitudes in the relation between free trade and environmental protection. Free trade regards environmental factors as part of the comparative advantages that one country may have over another. However, many environmentalists are critical about trade liberalization. The scope of this paper was limited to the interaction between international free trade and the environmental protection. The main objectives of this study was to examine the interaction between trade(free trade) and environment and to analyse the areas of conflict between free trade under the World Trade Organization and environmental protection.

21

Alavi, Amin M. „Studying legalization : special and differential treatments of developing countries in the WTO /“. København, 2007. http://www.gbv.de/dms/zbw/557355508.pdf.

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22

Dach, Toni M. „The World Trade Organization's Dispute Settlement Body and international economic relations in the 21st century“. Ohio : Ohio University, 2007. http://www.ohiolink.edu/etd/view.cgi?ohiou1187704455.

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23

Mulenga, Chipasha. „Trade distorting provisions under the multilateral agreement on agriculture : addressing the question of Africa’s limited participation in agricultural trade“. Diss., University of Pretoria, 2012. http://hdl.handle.net/2263/30055.

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24

Remmert, Stefan. „Wirtschaftssanktionen zum Schutz der Menschenrechte : zur Frage ihrer Vereinbarkeit mit dem Allgemeinen Zoll- und Handelsabkommen (GATT) /“. Frankfurt am Main [u. a.] : Lang, 2008. http://www.gbv.de/dms/zbw/548683557.pdf.

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25

Ray, Elizabeth Thompson. „The Effects of Trade Liberalization Policies on Human Development in Selected Least Developed Countries“. Thesis, University of North Texas, 2006. https://digital.library.unt.edu/ark:/67531/metadc5440/.

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This dissertation examines the effects of trade liberalization policies (represented by membership in the General Agreement on Tariffs and Trade/World Trade Organization on selected Least Developed Countries' (LDCs) human development (represented by the Human Development Index). In this dissertation, General Agreement on Tariffs and Trade (GATT) and World Trade Organization (WTO) policies are theorized to have two distinct types of effects: their direct effect and their indirect effect. Two questions are focused on: first, what is the effect (total, direct and indirect) of WTO policies on human development for selected LDCs? Second, what is the effect (total, direct and indirect) of WTO policies on human development for selected developing/developed countries (i.e. non-LDCs) holding economic development constant? Using the dependency theory of development as a theoretical basis, this dissertation examines the assumptions of modernization-theory-based policies as expressed in trade liberalization policies (i.e. the implementation of comparative advantage and now market fundamentalism) with world-system analysis techniques. To examine these questions, four panel regression models are constructed to measure the total, direct and indirect effects of WTO policies during the near-term (1998-2003) and during a longer historical term (1975-2000). The data for the analyses are taken from seven different sources of international data. The analyses seemingly demonstrate that there are quantifiable negative effects of GATT/WTO membership (trade liberalization policies) on human development in selected LDCs. The current implementation of trade liberalization policies does not benefit the well-being of all concerned as promoted by the WTO.
26

Vogel, Markus G. „Die Liberalisierung des Handels mit audiovisuellen Dienstleistungen : im Recht der Welthandelsorganisation (WTO) - unter besonderer Berücksichtigung der Millenniumrunde /“. Hamburg : Kovač, 2004. http://www.gbv.de/dms/spk/sbb/recht/toc/385127952.pdf.

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27

Preto, Carolina Cristina Loução. „Criador e criatura : os Estados Unidos e a Organização Mundial do Comércio (OMC) /“. Campinas : [s.n.], 2011. http://hdl.handle.net/11449/98114.

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O Programa de Pós-Graduação em Relações Internacionais é instituído em parceria com a Unesp/Unicamp/PUC-SP, em projeto subsidiado pela CAPES, intitulado "Programa San Tiago Dantas"
Orientador: Sebastião Carlos Velasco e Cruz
Banca: Rafael Antônio Duarte Villa
Banca: Flávia de Campos Mello
Resumo: Este trabalho tem como objetivo central examinar e problematizar a reflexão sobre o relacionamento entre a Organização Mundial do Comércio e, seu principal arquiteto, os Estados Unidos, à luz de diferentes teorias das Relações Internacionais e de considerações em torno do debate doméstico sobre a OMC nesse país. Observamos a relação entre os EUA e a OMC tanto no que concerne o plano das negociações comerciais multilaterais, como também, no que se refere à dimensão do Órgão de Solução de Controvérsias, tentando estabelecer paralelos com as dificuldades de negociação no âmbito da Rodada Doha. Historicamente, os EUA dominaram os resultados das negociações comerciais multilaterais, prevalecendo na determinação do conteúdo das regras da OMC, assim como, na definição de suas principais características: uma ampla cobertura temática e a presença de um mecanismo judicial que está entre as formas mais avançadas de direito internacional da atualidade. Contudo, estudos indicam que, no plano das negociações comerciais, devido a alterações na economia mundial, a tradicional influência norte-americana foi sendo reduzida ao longo do tempo, apresentando implicações importantes para o processo de produção de regras da organização. Além disso, autores sugerem que a reforma do OSC melhorou o posicionamento das partes demandantes das disputas, mesmo quando essas partes estavam iniciando casos contra os EUA, restringindo assim a capacidade desse Estado de determinar os resultados das disputas e de descumprir seus compromissos internacionais no campo do comércio. Os interesses norte-americanos estão largamente refletidos na OMC e, embora esse seja o traço mais forte a definir o relacionamento entre os EUA e essa instituição, ele não é o único. A interação entre a OMC e os interesses dos EUA parece mais complexa do que alguns teóricos das relações internacionais argumentaram
Abstract: The main purpose of this work is to examine and discuss the reflection on the relationship between the World Trade Organization and, its principal architect, the United States, in light of different theories of International Relations and of considerations over the domestic debate on the WTO in this country. We observed the relationship between the U.S. and the WTO both in respect to the multilateral trade negotiations and with regard to the Dispute Settlement Body, trying to draw parallels with the current difficulties in negotiating the Doha Round. Historically, the U.S. has dominated the results of multilateral trade negotiations, prevailed in the determination of the rules of the WTO and, consequently, in the definition of its main features: a broad coverage and the presence of a judicial mechanism that is among the most advanced forms of international law today. Nevertheless, concerning the multilateral trade negotiations, studies point out that, due to changes in the global economy, U.S.'s influence in this area has been reduced over time, with significant implications for the rule-making process of the organization. Besides that, some authors argue that the reform of the DSB has improved the positioning of plaintiffs in disputes, even when they were starting cases against the U.S. and thus restricted U.S.'s ability to determine the outcome of disputes and disregard its international commitments in the field of trade. U.S.'s interests are largely reflected in the WTO and, although this is the strongest characteristic applied in order to describe the relationship between the U.S. and this institution, this is not the only one. The interaction between the WTO and the U.S's interests may actually be more complex than some International Relations scholars have argued
Mestre
28

Preto, Carolina Cristina Loução 1987. „Criador e criatura = os Estados Unidos e a Organização Mundial do Comércio (OMC)“. [s.n.], 2011. http://repositorio.unicamp.br/jspui/handle/REPOSIP/279378.

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Orientador: Sebastião Carlos Velasco e Cruz
Dissertação (mestrado) - Universidade Estadual de Campinas, Instituto de Filosofia e Ciências Humanas
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Resumo: Este trabalho tem como objetivo central examinar e problematizar a reflexão sobre o relacionamento entre a Organização Mundial do Comércio e, seu principal arquiteto, os Estados Unidos, à luz de diferentes teorias das Relações Internacionais e de considerações em torno do debate doméstico sobre a OMC nesse país. Observamos a relação entre os EUA e a OMC tanto no que concerne o plano das negociações comerciais multilaterais, como também, no que se refere à dimensão do Órgão de Solução de Controvérsias, tentando estabelecer paralelos com as dificuldades de negociação no âmbito da Rodada Doha. Historicamente, os EUA dominaram os resultados das negociações comerciais multilaterais, prevalecendo na determinação do conteúdo das regras da OMC, assim como, na definição de suas principais características: uma ampla cobertura temática e a presença de um mecanismo judicial que está entre as formas mais avançadas de direito internacional da atualidade. Contudo, estudos indicam que, no plano das negociações comerciais, devido a alterações na economia mundial, a tradicional influência norte-americana foi sendo reduzida ao longo do tempo, apresentando implicações importantes para o processo de produção de regras da organização. Além disso, autores sugerem que a reforma do OSC melhorou o posicionamento das partes demandantes das disputas, mesmo quando essas partes estavam iniciando casos contra os EUA, restringindo assim a capacidade desse Estado de determinar os resultados das disputas e de descumprir seus compromissos internacionais no campo do comércio. Os interesses norte-americanos estão largamente refletidos na OMC e, embora esse seja o traço mais forte a definir o relacionamento entre os EUA e essa instituição, ele não é o único. A interação entre a OMC e os interesses dos EUA parece mais complexa do que alguns teóricos das relações internacionais argumentaram
Abstract: The main purpose of this work is to examine and discuss the reflection on the relationship between the World Trade Organization and, its principal architect, the United States, in light of different theories of International Relations and of considerations over the domestic debate on the WTO in this country. We observed the relationship between the U.S. and the WTO both in respect to the multilateral trade negotiations and with regard to the Dispute Settlement Body, trying to draw parallels with the current difficulties in negotiating the Doha Round. Historically, the U.S. has dominated the results of multilateral trade negotiations, prevailed in the determination of the rules of the WTO and, consequently, in the definition of its main features: a broad coverage and the presence of a judicial mechanism that is among the most advanced forms of international law today. Nevertheless, concerning the multilateral trade negotiations, studies point out that, due to changes in the global economy, U.S.'s influence in this area has been reduced over time, with significant implications for the rule-making process of the organization. Besides that, some authors argue that the reform of the DSB has improved the positioning of plaintiffs in disputes, even when they were starting cases against the U.S. and thus restricted U.S.'s ability to determine the outcome of disputes and disregard its international commitments in the field of trade. U.S.'s interests are largely reflected in the WTO and, although this is the strongest characteristic applied in order to describe the relationship between the U.S. and this institution, this is not the only one. The interaction between the WTO and the U.S's interests may actually be more complex than some International Relations scholars have argued
Mestrado
Instituições, Processos e Atores
Mestre em Relações Internacionais
29

Preto, Carolina Cristina Loução [UNESP]. „Criador e criatura: os Estados Unidos e a Organização Mundial do Comércio (OMC)“. Universidade Estadual Paulista (UNESP), 2011. http://hdl.handle.net/11449/98114.

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Coordenação de Aperfeiçoamento de Pessoal de Nível Superior (CAPES)
Este trabalho tem como objetivo central examinar e problematizar a reflexão sobre o relacionamento entre a Organização Mundial do Comércio e, seu principal arquiteto, os Estados Unidos, à luz de diferentes teorias das Relações Internacionais e de considerações em torno do debate doméstico sobre a OMC nesse país. Observamos a relação entre os EUA e a OMC tanto no que concerne o plano das negociações comerciais multilaterais, como também, no que se refere à dimensão do Órgão de Solução de Controvérsias, tentando estabelecer paralelos com as dificuldades de negociação no âmbito da Rodada Doha. Historicamente, os EUA dominaram os resultados das negociações comerciais multilaterais, prevalecendo na determinação do conteúdo das regras da OMC, assim como, na definição de suas principais características: uma ampla cobertura temática e a presença de um mecanismo judicial que está entre as formas mais avançadas de direito internacional da atualidade. Contudo, estudos indicam que, no plano das negociações comerciais, devido a alterações na economia mundial, a tradicional influência norte-americana foi sendo reduzida ao longo do tempo, apresentando implicações importantes para o processo de produção de regras da organização. Além disso, autores sugerem que a reforma do OSC melhorou o posicionamento das partes demandantes das disputas, mesmo quando essas partes estavam iniciando casos contra os EUA, restringindo assim a capacidade desse Estado de determinar os resultados das disputas e de descumprir seus compromissos internacionais no campo do comércio. Os interesses norte-americanos estão largamente refletidos na OMC e, embora esse seja o traço mais forte a definir o relacionamento entre os EUA e essa instituição, ele não é o único. A interação entre a OMC e os interesses dos EUA parece mais complexa do que alguns teóricos das relações internacionais argumentaram
The main purpose of this work is to examine and discuss the reflection on the relationship between the World Trade Organization and, its principal architect, the United States, in light of different theories of International Relations and of considerations over the domestic debate on the WTO in this country. We observed the relationship between the U.S. and the WTO both in respect to the multilateral trade negotiations and with regard to the Dispute Settlement Body, trying to draw parallels with the current difficulties in negotiating the Doha Round. Historically, the U.S. has dominated the results of multilateral trade negotiations, prevailed in the determination of the rules of the WTO and, consequently, in the definition of its main features: a broad coverage and the presence of a judicial mechanism that is among the most advanced forms of international law today. Nevertheless, concerning the multilateral trade negotiations, studies point out that, due to changes in the global economy, U.S.’s influence in this area has been reduced over time, with significant implications for the rule-making process of the organization. Besides that, some authors argue that the reform of the DSB has improved the positioning of plaintiffs in disputes, even when they were starting cases against the U.S. and thus restricted U.S.’s ability to determine the outcome of disputes and disregard its international commitments in the field of trade. U.S.’s interests are largely reflected in the WTO and, although this is the strongest characteristic applied in order to describe the relationship between the U.S. and this institution, this is not the only one. The interaction between the WTO and the U.S’s interests may actually be more complex than some International Relations scholars have argued
30

Guimarães, Feliciano de Sa. „"A Rodada Uruguai do GATT (1986-1994) e a politica externa brasileira : acordos assimetricos, coerção e coalizões"“. [s.n.], 2005. http://repositorio.unicamp.br/jspui/handle/REPOSIP/282028.

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Orientador: Sebastião Carlos Velasco e Cruz
"Dissertação apresentada ao Programa San Tiago Dantas, Convenio UNICAMP/UNESP e PUC - SP"
Dissertação (mestrado) - Universidade Estadual de Campinas, Instituto de Filosofia e Ciencias Humanas
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Resumo: Este estudo analisa o processo de negociação da Rodada Uruguai do GATT (1986-1994) e sua influência sobre a política externa brasileira, focalizando as mudanças na estratégia do Brasil em matéria comercial durante os anos 80 e 90. Como expressão dessa mudança o estudo analisa também a participação brasileira nas coalizões dos países em desenvolvimento (G-10 e Grupo de Cairns) no intuito de melhor elucidar as possibilidades de inserção internacional do país na arena multilateral do GATT
Abstract: The purpose of this thesis is to analyze the influence of Uruguay Round negotiations on the Brazilian foreign policy, focusing the changes of trade strategies during the 80¿s and 90¿s. As an expression of these changes the thesis also analyzes the Brazilian participation on coalitions of developing countries (G-10 and Cairns Group) in order to clarify the possibilities of Brazil concerning the multilateral arena of the GATT
Mestrado
Mestre em Relações Internacionais
31

Belebema, Michael Nguatem. „The incorporation of competition policy in the New Economic Partnership Agreement and its impact on regional integration in the Central African sub-region (CEMAC)“. Thesis, University of the Western Cape, 2010. http://etd.uwc.ac.za/index.php?module=etd&action=viewtitle&id=gen8Srv25Nme4_9186_1307086015.

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The Central African Monetary and Economic Community, known by its French acronym CEMAC (Communauté
Economique et Moné
taire de l&rsquo
Afrique Centrale), is one of the oldest regional economic blocs in the African, Caribbean and Pacific (ACP) group of states. Its membership comprises of Cameroon, the Central African Republic, Chad, the Republic of Congo, Equatorial Guinea, and Gabon. It has a population of over 32 million inhabitants in a three million (3 million) square kilometre expanse of land. The changes in the world economy, and especially between the ACP countries, on the one hand, and the European Economic Community-EEC (hereinafter referred to as European Union (EU)), on the other hand, did not leave the CEMAC region unaffected. CEMAC region, like any other regional economic blocs in Africa was faced with the need to readjust in the face of a New International Economic Order (NIEO). The region which had benefited from preferential access to the EU market including financial assistance through the European Development Fund (EDF) had to comply with the rules laid down in the World Trade Organisation (WTO). This eventually led to a shift in the EU trade policy, in order to ensure that its trade preferences to developing countries were compatible to the rules and obligations of the WTO.

32

Qobo, Simon Z. T. „Assessing industrialisation in South Africa with special reference to textile and clothing trends during the 1990s“. Thesis, Stellenbosch : Stellenbosch University, 2002. http://hdl.handle.net/10019.1/52701.

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Thesis (MA)--Stellenbosch University, 2002.
ENGLISH ABSTRACT: As the wave of globalisation sweeps across the countries of the world, the economies of these countries are increasingly opening. The industrial and trade strategy approach is shifting to greater openness due to the pressures of international competitiveness. This means that domestic economic activity alone cannot sustain the national economy. One of the features of this openness is trade liberalisation. Trade between various countries is becoming more important as a way of earning foreign currency to address balance of payment problems and as well as to boost the domestic economy. This has great potential, in the long run, to generate employment opportunities. Immediately after South Africa ushered in a democratic dispensation in 1994 it had to contend with global pressure to liberalise its trade and put in place economic fundamentals that synchronize with the global economic order. The political economy of global trade structure is characterized by bargaining power inequalities amongst the developed countries (North) and the developing countries (South). Trade relations between the developed and developing countries has ~ element of power-play that advantage developed countries and the terms of trade are still skewed in favour of developed countries due to the power that developed countries wield in the global economic system. This study uses the structuralist development theoretical perspective (dependency theory) and the combination of qualitative and quantitative paradigms in understanding the trade relations between the developed countries. The study, through this theoretical paradigm, seeks to examine the degree of success or failure of the Uruguay Round of trade negotiations in particular with regard to tariff reduction commitments, and opportunities or constraints created thereof. A case study oftextile and clothing industry will be used, and this will highlight some of the negative implications of the Uruguay Round commitments.
AFRIKAANSE OPSOMMING: Namate die globaliseringsgolf oor die lande van die wereld spoel, word die ekonomiee van die lande meer toeganklik vir ander state. Die industriele en handelsstrategie benadering het, as gevolg van intemasionale mededinging, 'n klemverskuiwing na meer openheid meegebring. Dit het tot gevolg dat huishoudelike ekonomiese aktiwiteit nie alleen 'n ekonomie kan onderhou nie. Een van die kenmerke van hierdie openheid is die liberalisering van handel. Handel tussen state word toenemend belangrik vir die verdien van buitelandse valuta om betalingsbalans probleme aan te spreek, asook om plaaslike ekonomiee te stimuleer. Oor die lang termyn hou dit groot potensiaal in om werksgeleenthede te skep. Onmiddelik na demokratisering in 1994 was Suid-Afrika geforseer om sy handel te liberaliseer en sy ekonomiese grondslag te sinchroniseer met die globale ekonomiese orde, Die struktuur van die politieke ekonomie van intemasionale handel word gekenmerk deur ongelykhede tussen die ontwikkelde Noorde en die ontwikkelende lande van die Suide. Handelsbetrekkinge tussen ontwikkelde- en ontwikkelende lande bevat 'n element van magspel waarin eersgenoemde bevoordeel word. Hierdie studie maak gebruik van die strukturalistiese ontwikkelingsperspektief en 'n kombinasie van kwalitatiewe en kwantitatiewe paradigmas, ten einde 'n beter begrip te verkry van handel tussen ontwikkelde lande. Deur middel van die teoretiese paradigma, probeer die studie om die werkbaarheid van die Uruguay Ronde, spesifiek · met betrekking tot tarief verlagings en die geleenthede of beperkings wat daardeur geskep word, aan te toon. 'n Gevallestudie van die tekstiel en klerebedryf sal gebruik word om die negatiewe implikasies van die Uruguay Ronde te belig.
33

Cavalhero, Lirian Sousa Soares. „Os países em desenvolvimento e os mecanismos de solução de controvérsias no comércio internacional“. Universidade Católica de Brasília, 2006. https://bdtd.ucb.br:8443/jspui/handle/123456789/371.

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With the development of the international trade, the quarrels became constant around the forms of regulation and the solution of conflicts between the nations, in this context appears the World Trade Organization (WTO). Before entering the study of the OMC and of its methods of solution of conflicts, it is necessary investigate the history of the development of the international trade before and after the Second World War I, and the multilateral organisms with emphasis in the General Agreement of Commerce and Tariffs (GATT). The ways of solution of international conflicts are object of the study, as much its historical part, as the current one, having as main focus the Dispute Settlement Body (DSB) of the WTO. As much in the historical part as in the part of the methods of international solution of conflicts, the participation of the developing countries is studied. And, is made studies of cases of the performance of the developing countries in some demands proposal before the DSB. Of this form, the work demonstrated as it was the participation of the developing countries in the development of the international trade and in the DSB of WTO
Com o desenvolvimento do comércio mundial, às discussões em torno das formas de regulação do mesmo e da solução de conflitos entre as nações tornou-se uma constante, neste contexto surge a Organização Mundial do Comércio (OMC) Antes de ingressar no estudo da OMC, propriamente dito, e de seus métodos de solução de conflitos, é necessário perquirir a história do desenvolvimento do comércio internacional antes e após a Segunda Guerra Mundial, e os organismos multilaterais criados, com ênfase no Acordo Geral de Comércio e Tarifas (GATT). Os meios de solução de conflitos internacionais são objeto do estudo, tanto sua parte histórica, como a atual, tendo como foco principal o Órgão de Solução de Conflitos (OSC) da OMC. Tanto na parte histórica como na parte dos métodos de solução de conflitos internacional, a participação dos países em desenvolvimento (PED) é objeto de análise. E, são feitos estudos de casos da atuação dos países em desenvolvimento em algumas demandas proposta perante o OSC. Desta forma, o trabalho demonstrou como foi a participação dos PED no desenvolvimento do comércio internacional e no OSC da OMC
34

Genest, Alexandre. „Performance Requirement Prohibitions in International Investment Law“. Thesis, Université d'Ottawa / University of Ottawa, 2017. http://hdl.handle.net/10393/37013.

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Performance requirements act as policy instruments for achieving broadly-defined economic and developmental objectives of States, especially industrial and technological development objectives. Many States consider that performance requirements distort trade and investment flows, negatively impact global and national welfare and disrupt investment decisions compared to business-as-usual scenarios. As a result, a number of States have committed to prohibiting performance requirements in international investment agreements (“IIAs.”). Performance requirement prohibitions (“PRPs”) are meant to eliminate trade-distorting performance requirements and performance requirements which replace investor decision-making by State decision-making. This thesis focuses on providing answers to two research questions: first, how do States prohibit performance requirements in IIAs? And second, how should PRPs in IIAs be interpreted and applied? For the first time, this thesis: proposes a comprehensive understanding of PRPs in IIAs by drawing notably on the General Agreement on Tariffs and Trade (“GATT”) Uruguay Round of negotiations and on the United States Bilateral Investment Treaty (“BIT”) Programme; develops a detailed typology and analysis of PRPs in IIAs through the identification of systematically reproduced drafting patterns; conducts the first critical and in-depth analysis of all arbitral awards which have decided claims based on PRPs in IIAs; analyses interpretation and application issues related to provisions that exempt government procurement from PRPs and to reservations that shield sensitive non-conforming measures or strategically important sectors from PRPs; and anticipates the application of most-favoured nation (“MFN”) treatment clauses to PRPs in the future. Finally, this thesis formulates proposals that can help interpret and apply existing PRPs and draft future PRPs in a more deliberate and informed way.
35

Karli, Mehmet. „Regulatory regionalism and article xxiv of the general agreement on tariffs and trade“. Thesis, University of Oxford, 2010. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.530042.

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36

Ferreira, Clarissa. „Liberalising trade in climate-friendly goods under the framework of the General Agreement on Tariffs and Trade“. Master's thesis, University of Cape Town, 2015. http://hdl.handle.net/11427/15168.

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Climate change implications have infiltrated all sectors of society and the world can no longer adopt a 'business as usual' attitude. The unprecedented nature of these implications renders it difficult to address in a swift manner the challenges that arise. Anthropogenic GHG emissions are largely responsible for climate change and fossil fuel-based energy uses are considered to be the biggest contributor to these emissions. The need to reduce the rate of these emissions is an uncontested issue. It has been suggested that one of the options would be to scale up sustainable energy sources through a shift to cleaner and low-carbon transport fuels and technologies. This shift to cleaner energy resources could be achieved in numerous different manners; however, this dissertation will consider how a Sustainable Energy Trade Agreement could contribute to this shift as one option amongst among a myriad of other steps that need to be taken to mitigate climate change. This dissertation considers how the liberalisation of trade in CFGs can assist in this shift to cleaner energy resources. As is illustrated the process of liberalising trade in CFGs has been hindered by several issues. A proposal has emerged for a Sustainable Energy Trade Agreement that could render assistance to the issues that arise with the liberalisation of CFGs as well as expedite the liberalisation process. The ultimate question that this dissertation seeks to address is whether a SETA-type agreement entered into by certain WTO Members would be compatible under the GATT.
37

Runi, Rutendo Juliana. „Balancing trade remedies and preferential trade agreements: A South African experience“. University of the Western Cape, 2018. http://hdl.handle.net/11394/6831.

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Magister Legum - LLM
Over the past decade countries have embraced globalisation. The depth and influence of globalisation has grown significantly since the 19th century. Globalisation has accelerated mainly due to increased integration in trade with bilateral, regional and multilateral trade negotiations on the rise. Multinational companies have also enlarged which enable production to be done seamlessly in different countries, increase in capital flows such as purchase of assets and bonds has also contributed. Furthermore, the surge on technological innovations and advancement cannot be ignored when one speaks of globalisation this era has been dubbed the technological era additionally there is also the role of migration which enhances labor movements. The world has rapidly shrunk to one global economy. After the World War II countries began to move away from protectionism to liberalised trade and this resulted in the formation of the General Agreement on Tariffs and Trade (GATT) then the World Trade Organisation (WTO) which is comprised of 164-member states. The WTO regulates trade and promotes free trade. Over the years the organisation has been evolving to deal with issues such as climate and technical assistance. Global trade presents challenges which may give rise to the need for countries to protect their domestic industries for political and economic reasons.
38

Harrod, Pamela A. „The general agreement on tariffs and trade and non-tariff barriers impact on international law and on trade in general and on import and export trade in Canada in particular“. Thesis, University of Ottawa (Canada), 1989. http://hdl.handle.net/10393/5598.

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39

Urapeepatanapong, Kitipong. „Legal aspects of countertrade under the General Agreement on Tariffs and Trade and the national laws of Canada and Thailand“. Thesis, University of British Columbia, 1987. http://hdl.handle.net/2429/26147.

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Countertrade is no longer a new term in international trade. Countertrade will continue to grow in the next decade despite opposition from various developed countries. Nevertheless, little attention has been given to develop a generally acceptable definition of countertrade and a classification of its forms. More importantly, the study of the legal implications of countertrade under GATT and national laws of countries involved in countertrade is still limited. This thesis is a first step to explore the definition and forms of countertrade, as well as its national and international legal implications. The first part of this thesis, respecting the overview and framework of countertrade, contains three chapters. The first chapter describes the purposes and methodology employed in the research of this thesis. Chapter two discusses the development of countertrade in world trade and the definitions and major forms of countertrade transactions. A definition of "countertrade" is proposed. The discussion of elements contained in each form of countertrade will assist classification of the forms of countertrade. The advantages and disadvantages of countertrade from the perspective of both developed and developing countries is also discussed. In Chapter three, the development of countertrade policy in Canada and Thailand is examined. The writer concludes that countertrade should be encouraged but with care taken to adopt the form most suitable to the specific problems each country is facing. Generally, Thailand and Canada should study the impacts of countertrade on their economies prior to implementing countertrade policies. In respect of their mutual relations, Thailand and Canada should put an emphasis on the development of countertrade practice in the forms of Offsets and Compensation. The second part respecting the legal implications of countertrade, consists of Chapters four, five and six. Chapter four examines the legal implications of countertrade under the major provisions of the GATT and its Codes. The writer concludes that there are a number of unresolved problems with which GATT and the Codes cannot deal efficiently because they were drafted while countertrade was still unimportant in international trade. A study of the impact of countertrade and a detailed study of the legal implications under GATT is still required. In Chapters five and six, the writer examines countertrade transactions under the private and regulatory laws of Canada and Thailand. The discussion, within the limited scope of the thesis, is aimed only at providing some precautions respecting possible effects of such laws on countertrade transactions. The private law aspect deals only with basic problems of choice of law principles, the State Immunity principle, and the enforcement of foreign or international arbitral awards that arise from disputes concerning countertrade agreements. The discussion of regulatory law is divided into three parts based on the purposes and nature of the legislation: Fiscal and other regulatory control laws; Remedial regulatory laws; and the Promotion and Administrative regulatory law. Specific provisions of the legislation are examined. Certain suggestions are made for reform of the law. The last part of this thesis, Chapters seven relates to practical consideration of negotiating and drafting countertrade agreements. The purpose of this part is to guide practitioners in preparing and structuring countertrade agreements efficiently. The writer also suggests the preparation of model countertrade agreements to overcome problems of time and cost in drafting agreements, and to strengthen the developing countries' bargaining power. Chapter eight, the conclusion, summarizes the major points which are discussed in previous chapters. The diversity of countertrade transactions probably precludes the development of uniform domestic or international rule to regulate this type of international commerce. This thesis has shown that lawyers in developed and. developing countries need, however, to be aware of the special nature of countertrade transactions when considering the application of laws of a general character so as to preserve the value of this form of trade.
Law, Peter A. Allard School of
Graduate
40

Haglund, Lisa. „The Security Exception in the GATT : An Analysis of Article XXI in the General Agreement on Tariffs and Trade 1994“. Thesis, Uppsala universitet, Juridiska institutionen, 2020. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-408809.

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41

Uusiku, Frans N. „Assessing the consistency of the implementation of the Namibian Horticultural Market Share Promotion Scheme under the General Agreement on Tariffs and Trade 1994“. Master's thesis, University of Cape Town, 2015. http://hdl.handle.net/11427/20118.

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The application of Non-Tariff Measures (NTMs) and specifically non-automatic import licensing schemes has been a source of intense debate to date, despite prohibitive provisions enshrined in multilateral trade agreements. The main aim of this case study research was to assess the consistency of the implementation of the Namibian Horticultural Market Share Promotion Scheme (MSPS) under the General Agreement on Tariffs and Trade (GATT) 1994 and the World Trade Organisation (WTO). The second segment of this study looked at identifying problems associated with the implementation of the scheme, and proposed policy recommendations that are responsive to competitive challenges facing industries in the 21st century. The study used a triangulation research methodology and a rating scale was used to conduct the assessment with respect to all the applicable provisions covered in the WTO Agreement on Import Licensing Procedures. A reliability test was conducted using the SPSS statistical software in order to measure the credibility of the data (scores). In this regard, the Cronbach's alpha coefficient was very instrumental in measuring the degree of data consistency. Moreover, the relative frequency distribution was used to analyse the quantitative data, while an Interrelationship Diagram was used to analyse qualitative data.
42

Kerretts-Makau, Monica J. J. School of Social Science &amp Policy UNSW. „At a crossroad: the GATS telecom framework and neo-patrimonial states: the politics of telecom reform in Kenya“. Awarded by:University of New South Wales. School of Social Science and Policy, 2006. http://handle.unsw.edu.au/1959.4/25742.

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The liberalisation of domestic telecommunication (telecom) markets has become a worldwide trend. As a result, the General Agreement on Trade in Services (GATS), evolving from deliberations within the World Trade Organisation (WTO), has been heralded as the mechanism with which to effect telecom liberalisation domestically. For countries in Africa, the GATS instruments have been translated as a means to establish the principles required for an effective telecom industry supported by key institutions in policy, regulation and implementation. However, the analysis of relevant literature on telecom in Africa has tended to focus on technological developments based on current observable outcomes. This methodology is inadequate because it fails to account for the context-specific nature of the policy arena and framework shaping telecom outcomes. I argue that we must consider telecom outcomes by understanding the nature of political institutions domestically and their interaction with the international arena. To explicate this intersection of ideas, I draw on two seemingly independent theories, Neopatrimonialism and New Institutional Economics (NIE) with reference to the works of van de Walle (2001) and North (1990) respectively, to shed light on the nature of the Kenyan political context and the value of the GATS as an instrument that facilitates credibility and reduces opportunistic ex-post behaviour. It is contended in this study, that for the Kenyan Government, the value of the GATS accession lies in the legitimising role that it facilitates in accessing funds from the international community. This study thus highlights the inevitable tension that arises when domestic policy-reform goals are juxtaposed with international trade obligations undertaken through treaty accession and informed by a liberalisation agenda. A qualitative approach was used to collect the data and involved interviews and documentary analysis. The findings suggest that Kenya is partially in compliance with its GATS telecom commitments. However, this partial reform results from patrimonial tendencies in Kenya and is exacerbated by the need to attract hard currency through aid packages that dictate the nature of the policy process and the relationship between Kenya and the international community. In conclusion, even with policy reforms, state agents always find ways to maintain or create clientelist practises. Unless such reform is accompanied by political changes that provide checks and balances on institutions and state agents, reform policies on their own will not create an effective telecom sector. To truly evaluate telecom reform therefore, we must appreciate the context-specific nature of policy making.
43

Volz, Eckehard. „The trade, development and cooperation agreement between the Republic of South Africa and the European Union : an analysis with special regard to the negotiating process, the contents of the agreement, the applicability of WTO law and the Port and Sherry Agreement“. Thesis, Stellenbosch : Stellenbosch University, 2001. http://hdl.handle.net/10019.1/52582.

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Thesis (LLM)--University of Stellenbosch, 1999.
ENGLISH ABSTRACT: This thesis deals with the Trade, Development and Cooperation Agreement (TDCA) between the European Union and the Republic of South Africa, which was concluded in October 1999. In particular, the agreement is analysed in the light of the negotiating process between the parties, the contents of the agreement, the applicability of WTO law and the compatibility of the agreement with it and the Port and Sherry Agreement. Since the EU emphasised its aim to commence economic and development cooperation with other African, Caribbean and Pacific (ACP) countries on a reciprocal basis during the negotiations for a successor of the Lomé Convention, the TDCA between the EU and South Africa had to be seen as a "pilot project" for future cooperation agreements between countries at different levels of development. The TDCA between the EU and South Africa is therefore not only very important for the two concerned parties, but could serve as an example for further negotiations between the EU and other ACP countries. Thus the purpose of this thesis is to examine the TDCA between the EU and South Africa from a wider global perspective. The thesis is divided into six Chapters: The first Chapter provides an introduction to the circumstances under which the negotiations between the EU and South Africa commenced. It deals briefly with the economic situation in South Africa during the apartheid era and presents reasons why the parties wanted to enter into bilateral negotiations. The introductory part furthermore presents an overview of the contents of the thesis. The second chapter contains a detailed description of the negotiating process that took place between the parties and shows why it took 43 months and 21 rounds of negotiations to reach a deal. South Africa's partial accession to the Lomé Convention and the conclusion of separate agreements such as the Wine and Spirits Agreement, are also analysed. Chapter three presents the various components of the TOCA and illustrates what the negotiators achieved. This chapter on the TOCA concludes with an evaluation of the Agreement and shows the potential benefits to South Africa and the EU. Since the Agreement had to satisfy international rules, the provisions of the General Agreement on Tariffs and TradelWorld Trade Organisation (GATTIWTO) were of major importance. The EC Treaty, however, does not contain any provision that indicates whether, or how, an international agreement like the GATTIWTO penetrates the Community legal order. In Chapter four, accordingly, questions are raised regarding the extent to which the bilateral agreement between South Africa and the EU was influenced by the GATTIWTO provisions and how these rules were incorporated into the agreement. Furthermore, since the parties agreed on the establishment of a free trade area, this chapter deals with the question of in how far the TOCA is in line with Article XXIV GATT. In addition to the GATT provisions, the TOCA is also affected by the Agreement on Trade Related Aspects of Intellectual Property Rights (TRIPs). Therefore Chapter five deals with TRIPs in connection with the TOCA. The use of the terms "Port" and "Sherry" as the major stumbling block to the conclusion of the TOCA is analysed more closely. The final part, namely Chapter six, provides a summary of the results of the investigation. Furthermore, a conclusion is provided with regard to the question of whether the TOeA can be seen as an example for further trade relations between the EU and other ACP countries.
AFRIKAANSE OPSOMMING: Hierdie tesis is gerig op die Handels-, Ontwikkelings- en Samewerkingsooreenkoms (TDGA) tussen die Europese Unie (EU) en die Republiek van Suid Afrika wat in Oktober 1999 gesluit is. Die ooreenkoms word veral in die lig van die onderhandelingsproses tussen die partye, die inhoud van die ooreenkoms, die toepaslikheid van Wêreldhandelsorganisasiereg en die versoenbaarheid daarvan met die ooreenkoms en die Port en Sjerrie-ooreenkoms ontleed. Aangesien die EU sy oogmerk van wederkerige ekonomiese en ontwikkelings-gerigte samewerking met ander lande in Afrika en die Karibiese en Stille Oseaan-Eilande gedurende die onderhandelings vir 'n opvolger van die Lomé Konvensie beklemtoon het, moes die ooreenkoms tussen die EU en Suid-Afrika as 'n "loodsprojek" vir toekomstige samewerkingsooreenkomste tussen lande wat op verskillende vlakke van onwikkeling is, gesien word. Die Handels-, Ontwikkelings- en Samewerkingsooreenkoms tussen die EU en Suid-Afrika is dus nie net baie belangrik vir die betrokke partye nie, maar dit kan ook as 'n voorbeeld vir verdere onderhandelings tussen die EU en lande van Afrika en die Karibiese- en Stille Oseaan-Eilande dien. Die doel van dié tesis is om die Handels-, Ontwikkelings- en Samewekingsooreenkoms tussen die EU en Suid-Afrika vanuit 'n meer globale perspektief te beskou. Die tesis is in ses Hoofstukke ingedeel: Die eerste hoofstuk bied 'n inleiding tot die omstandighede waaronder die onderhandelings tussen die EU en Suid-Afrika begin het. Dit behandel die Suid- Afrikaanse ekonomiese situasie onder apartheid kortliks en toon hoekom die partye tweesydige onderhandelings wou aanknoop. Verder bied die inleidende deel 'n oorsig oor die inhoud van die tesis. Die tweede hoofstuk bevat 'n gedetailleerde beskrywing van die onderhandelingsproses wat tussen die partye plaasgevind het en toon aan waarom dit drie-en-veertig maande geduur het en een-en-twintig onderhandelingsrondtes gekos het om die saak te beklink. Suid-Afrika se gedeeltelike toetrede tot die Lomé Konvensie en die sluit van aparte ooreenkomste soos die Port- en Sjerrieooreenkoms word ook ontleed. Die daaropvolgende hoofstuk bespreek die verskillende komponente van die Handels-, Ontwikkelings- en Samewerkingsooreenkoms en toon wat die onderhandelaars bereik het. Hierdie hoofstuk oor die Ooreenkoms sluit af met 'n evaluering daarvan en dui die potensiële voordele van die Ooreenkoms vir Suid- Afrika en die EU aan. Aangesien die Ooreenkoms internasionale reëls moes tevrede stel, was die voorskrifte van die Algemene Ooreenkoms oor Tariewe en Handel (GATT) van uiterste belang. Die EG-verdrag bevat egter geen voorskrif wat aandui óf, of hoé, 'n internasionale ooreenkoms soos GATTNVTO die regsorde van die Europese Gemeenskap binnedring nie. Die vraag oor in hoeverre die tweesydige ooreenkoms tussen Suid-Afrika en die EU deur die GATTIWTO voorskrifte beïnvloed is, en oor hoe hierdie reëls in die ooreenkoms opgeneem is, word dus in Hoofstuk vier aangeraak. Aangesien die partye ooreengekom het om 'n vrye handeisarea tot stand te bring, behandel hierdie hoofstuk ook die vraag oor in hoeverre die TOGA met Artikel XXIV GATT strook. Tesame met die GATT-voorskrifte word die TOGA ook deur die Ooreenkoms ten opsigte van Handelsverwante Aspekte van Intellektuele Eiendomsreg (TRIPs) geraak. Hoofstuk vyf behandel daarom hierdie aspek ten opsigte van die TOGA. Die gebruik van die terme "Port" en "Sjerrie" as die vernaamste struikelblok tot die sluiting van die TOG-ooreenkoms word ook deegliker ontleed. Die laaste gedeelte, naamlik Hoofstuk ses, bied 'n opsomming van die resultate van die ondersoek. Verder word 'n gevolgtrekking voorsien ten opsigte van vraag of die TOGA as 'n voorbeeld vir verdere handelsverwantskappe tussen die EU en ander lande in Afrika en die Karibiese en Stille Oseaan-eilande beskou kan word.
44

Masuku, Gabriel Mthokozisi Sifiso. „Harmonization of SACU Trade Policies in the Tourism & Hospitality Service Sectors“. Thesis, University of the Western Cape, 2009. http://etd.uwc.ac.za/index.php?module=etd&action=viewtitle&id=gen8Srv25Nme4_1740_1280359750.

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The general objective of the proposed research is to do a needs analysis for the tourism and hospitality industries of South Africa, Botswana, Namibia, Lesotho and Swaziland. This will be followed by an alignment of these industries with the provisions of the General Agreement of Trade in Services, commonly known as GATS, so that a Tourism and Hospitality Services Charter may be moulded that may be used uniformly throughout SACU. The specific objectives of the research are: To analyze impact assessment reports and studies conducted on the Tourism and Hospitality Industries for all five SACU member states with the aim of harmonizing standards, costs and border procedures. To ecognize SACU member states&rsquo
schedule of GATS Commitments, especially in the service sectors being investigated, by improving market access, and to recommend minimal infrastructural development levels to be attained for such sectors&rsquo
support. To make recommendations to harness the challenges faced by the said industries into a working document. To calibrate a uniformity of trade standards in these sectors that shall be used by the SACU membership. To ensure that the template is flexible enough for SACU to easily adopt and use in ongoing bilateral negotiations, for example.

45

Wiebel, Eva. „Probleme einer multilateralen Liberalisierung des Luftverkehrs im Rahmen der GATS (WTO) /“. Hamburg ; Münster : Lit, 2006. http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&doc_number=015435415&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA.

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46

Buono, Inés. „Essays on trade integration and firm dynamics“. Doctoral thesis, Universitat Pompeu Fabra, 2008. http://hdl.handle.net/10803/7381.

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This thesis deals with the integration of firms into export markets when trade barriers decrease. It consists in three chapters.

The first chapter focuses on how cross-industry differences in factor intensities and within-industry differences in firm productivity shape the response of the extensive (the decision to export) and the intensive (the exported volumes) margin of export. The context of the analysis is the entry of Turkey into the European Customs Union in 1996. Results suggest that the extensive margin reacted more in labor-intensive sectors.

In the second chapter we use a gravity approach to analyze how the decrease in tariffs promoted during the '90s by the Uruguay Round multilateral agreement affected trade margins for French firms. We find that the tariffs significantly affect trade only through the extensive margin.

The third chapter describes the dynamic of firms' export to different countries and uncovers eleven new stylized facts on firm-level trade.
Esta tesis trata de la integración de las impresas en los mercados internacionales cuando las barreras al comercio bajan.

El primer capitulo analiza como las diferencias de la intensidad de los factores entre las industrias y de la productividad de las impresas en cada industria determinan la respuesta del margen extenso (la decisión de exportar) y intensivo (los volúmenes exportados) de cada impresa. El contexto de este análisis es la entrada de la Turquía en la Unión Aduanera Europea en el 1996. Los resultados indican que el margen extenso reacciona más en los sectores más intensivos en mano de obra.

En el segundo capitulo utilizamos una ecuación gravitacional para analizar como el decrecimiento de las tarifas obtenida en los '90s gracias al "Uruguay Round" ha afectado los márgenes del comercio de las impresas Francesas. Descubrimos que las tarifas afectan de una manera significativa solo el margen extenso.

El tercero capitulo describe la dinámica del exporte de las impresas en distintos Piases y revela once nuevos hechos estilizados sobre el comercio de las empresas.
47

Namara, Justine. „Regionalism under the WTO, an impediment or a spur to trade and development in the multilateral trading system :a case study of the EAC“. Thesis, University of the Western Cape, 2009. http://etd.uwc.ac.za/index.php?module=etd&action=viewtitle&id=gen8Srv25Nme4_2625_1297925175.

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This research paper pays particular attention to the EAC because of its unique composition of four LDCs46 and 1 DC47 and the fact that three of these countries are landlocked least developed countries (LLDCs).48 The EAC was notified as a RTA to the WTO under the Enabling Clause on 9 October 2000 and registered as a Custom Union49 under WT/COMTD/N/14.50 The notification of the EAC under the Enabling Clause is due to the nature of composition of members therein and to the fact that the Enabling Clause does not require regional trading arrangements to cover substantially all trade, or to achieve free trade in the bloc within ten years after notification. Additionally, it provides an avenue for giving special consideration to the LDCs through making concessions and contributions,51 allows automatic exemptions from MFN (non-discrimination) treatment in favour of DCs,52 and thus allows other WTO members to accord more favourable treatment to DCs in many cases without according the same treatment to other WTO members.53.

48

Liang, Ping Barth James R. „What determines the foreign ownership share of a country's banking assets?“ Auburn, Ala, 2008. http://repo.lib.auburn.edu/EtdRoot/2008/FALL/Economics/Thesis/Liang_Ping_47.pdf.

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49

Mubiru, Edna Katushabe. „Liberalisation of trade in services :enhancing the temporary movement of natural persons (mode 4), a least developed countries' perspective“. Thesis, University of the Western Cape, 2009. http://etd.uwc.ac.za/index.php?module=etd&action=viewtitle&id=gen8Srv25Nme4_6826_1297424432.

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The purpose of this research is to examine the impact of liberalisation of trade in services on African LDCs by highlighting the importance of services trade through Mode 4 (temporary movement of natural persons).37 The paper will examine the nature of liberalisation to this Mode under the existing GATS framework, critically analyse the constraints on engaging in negotiations, specifically the national barriers that are hindering this movement, and make suggestions on ways of improving the nature of commitments on movement of natural persons in terms of Mode 4 to favour LDCs as laid down in Article VI of the GATS.

50

Silva, Elaini Cristina Gonzaga da. „Juridicização das relações internacionais e solução de controvérsias: análise do sistema multilateral de comércio“. Universidade de São Paulo, 2007. http://www.teses.usp.br/teses/disponiveis/2/2135/tde-09112007-090517/.

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Este trabalho teve por objetivo analisar o processo de juridicização do sistema multilateral de comércio, por meio da aplicação do modelo teórico de K. W. Abbott et aI (2000) e contraposição dos resultados obtidos à análise do recurso a elementos normativos para justificação das decisões emanadas do sistema em procedimentos de solução de controvérsias em que foi suscitado o artigo XX(g) do GATT para defesa da medida questionada. Observou-se que, apesar do nível de juridicidade tenha permanecido praticamente o mesmo da passagem do GATT-1947 para a OMC, o recurso a elementos normativos para motivação das decisões foi incrementado. A hipótese demonstrada pelos resultados desta pesquisa é que o enfoque restrito no processo de institucionalização por meio de tratados não permite que sejam refletidas, no processo de juridicização, as alterações ocasionadas por outros elementos, como foi o caso, na presente pesquisa, das regras relativas à conformação dos órgãos auxiliares, à interpretação e à tomada de decisão - sejam elas originadas em tratados, costumes ou princípios.
This research aims at analyzing the legalization of the multilateral trade system, applying the theory developed by K. W. ABBOTT et al (2000) and confronting the results with the leveI of recourse to normative elements to justify the decisions issued on disputes where Article XX(g) of GA TT was used in defense of the challenged measure. Notwithstanding the fact that the legalization of the system did not alter from the GATT-1947 to WTO, more normative elements are used for motivation of the decisions taken by WTO. The research shows that excessive focus on the process institutionalization by treaties does not reflected the changes brought about by other elements, such as the configuration of the auxiliary organs - panels and Appellate Body - and the rules related to interpretation and decision making - be them customary international law or principIes.

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