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Zeitschriftenartikel zum Thema "Practice of law – england – textbooks"

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Stępkowski, Aleksander. „ROZWÓJ INSTYTUCJI TRUSTU W PRAWIE SZKOCKIM“. Zeszyty Prawnicze 4, Nr. 1 (30.05.2017): 91. http://dx.doi.org/10.21697/zp.2004.4.1.06.

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Development of the Law of Trusts in ScotlandSummaryThe earliest indisputable traces of trusts law in Scotland may be found in reports from the first half of the XVH‘h century. There are several examples of even earlier dispositions to which a fiduciary character might be ascribed, coming from the XV,h and XVTh centuries. Nevertheless, we are not able to state categorically that these represent examples of trusts, since there is nothing about priority of beneficiary's rights in respect to trust property, before trustee’s personal creditors, whereas it seems to be today differentiam specificam discerning trust from contractual relations.According to the aforementioned case law, the main subject of trust dispositions was land (immoveable property, called in Scotland “heritable”). The main issue giving rise to legal controversies was the question of the manner in which the existence of a trust in land was allowed to be proved. The rules of evidence adopted by the Court of Session differed substantially from those of Scottish land law which were usually applied when proving titles in land. According to Scottish institutional writers, it seems to be most probable that the reason for such a favourable standing of land being subject to trust was that the Court of Session proceeded on the ground of its’ nobile officium, extraordinary equitable jurisdiction performed by this court, most probably since the very early stages of it’s activity, on the basis of a statutory provision from 1540.During the XVIIth century the first statutory regulations concerning trusts appeared, but more substantial progress in this respect took place in the XIXth century. Most often, it was statutory implementation of earlier common law principles and, in relation to trustees’ competences, of standards relating to the professional drafting of trust deeds. XIXth century legislation was consolidated in 1921 as the Trusts (Scotland) Act 1921 which was subsequently amended in 1961 and, together with the British Trustee Investments Act 1961 (which is still in force in Scotland although will be repealed soon, as it was already done in England in 2001), is partial codification of Scottish trusts law. Nevertheless it should be emphasised that Scottish trust law is still principally based on case law.As regards the influence of English Equity on the development of the Scottish law of trusts, it seems to be negligible in the early stage of the latter’s development. A considerable influence of the Chancery Court’s cases upon Scots law in respect of trusts only began in the fourth decade of the XIXth century, with a book by Charles Forsyth ( The Principles and Practice o f the Law o f Trusts and Trustees in Scotland (1844)), who had used intensively English case law as an illustration, he claimed, of Scottish law principles. Since this publication, nevertheless, English case law, as exposed in English textbooks, though not necessarily in the Chancery Reports, became an important source of inspiration for Scottish lawyers writing books on this subject and, subsequently, it was also used in the Court of Session as an important source of authority. Notwithstanding the above, Scottish judges were always more critical and generally have applied English principles in a less willing manner than has been seen from Scottish advocates and solicitors. Generally speaking, the English influence, although considerable, has not changed the very construction of Scottish trusts law. A beneficiary’s claim in respect of trust property is still considered to be a personal right, as opposed to a sui generis right in real estate.Contemporary Scottish jurisprudence considers trust property as a trustee’s special patrimony, distinct from his general patrimony and, as such, not accessible by his personal creditors. In this way, the Scots have worked out a civil law approach to trust, which was long considered to be hardly possible. This is also a reason why Scottish trusts law, as well as the whole of Scottish law, attracts so much attention from lawyers from Continental Europe.
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Carty, A. „A colloquium on international law textbooks in England, France and Germany: introduction“. European Journal of International Law 11, Nr. 3 (01.03.2000): 615–19. http://dx.doi.org/10.1093/ejil/11.3.615.

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Farlam, Ian. „The old authorities in South African practice“. Tijdschrift voor Rechtsgeschiedenis / Revue d'Histoire du Droit / The Legal History Review 75, Nr. 4 (2007): 399–408. http://dx.doi.org/10.1163/157181907782912336.

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AbstractThe old authorities have been quoted in, and relied on by, the courts of the Cape and subsequently in the other territories making up the Republic of South Africa from the foundation of the colony by the Dutch East India Company in the middle of the seventeenth century. By the end of the nineteenth century not only were the main authorities extensively quoted in the courts but the doctrines they contained were being incorporated in the textbooks that were being written. And that is still the position. It is not likely that the new generation of judges to be appointed in the next few decades will frequently consult the old authorities for guidance but the civil component of the law, already anchored in the judgments of the courts and the textbooks, will forever be part of the law. When the old authorities are consulted, it is likely that those used will primarily be those available in English translation.
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Kelly, H. „Marriage in Medieval England: Law, Literature and Practice“. English Historical Review CXXI, Nr. 492 (01.06.2006): 909–11. http://dx.doi.org/10.1093/ehr/cel153.

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Rodríguez-Álvarez, Alicia. „Teaching Punctuation in Early Modern England“. Studia Anglica Posnaniensia 46, Nr. 1 (01.01.2010): 35–49. http://dx.doi.org/10.2478/v10121-009-0027-0.

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Teaching Punctuation in Early Modern England Much has been written on the punctuation practice of late sixteenth- and seventeenth-century English writers in order to work out the ultimate function of marks of punctuation. The main point of discussion has almost ever been whether punctuation indicated syntactic relationships or represented speech pauses either to give emphasis in oral delivery or just to be able to breathe. The focus of this paper, however, is the theory rather than the practice, in particular, the set of rules and conventions used by schoolmasters to guide students in their use of stops. Thus, textbooks used at the time to teach reading and writing will constitute our main sources of information to achieve the following aims: (i) to offer a classification of the different marks of punctuation described, (ii) to establish the functions schoolbooks assigned to punctuation marks in general, and (iii) to assess the importance schoolmasters gave to pointing. The results of this study - which follows the works by Ong (1944) and Salmon (1962, 1988) - will contribute to shed light on the ever-lasting debate on the principles guiding Early Modern English punctuation usage.
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Smith, Richard. „Pauper Policies: Poor Law Practice in England, 1780–1850“. Journal of Interdisciplinary History 49, Nr. 3 (November 2018): 496–98. http://dx.doi.org/10.1162/jinh_r_01314.

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Lloyd, Sarah. „Pauper Policies: Poor Law Practice in England, 1780–1850“. Cultural and Social History 15, Nr. 3 (07.05.2018): 454–55. http://dx.doi.org/10.1080/14780038.2018.1470113.

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Trupčević, Goran, und Anđa Valent. „The Teaching of Initial Multiplication Concepts and Skills in Croatian Textbooks“. Center for Educational Policy Studies Journal 12, Nr. 2 (23.06.2022): 119–41. http://dx.doi.org/10.26529/cepsj.1303.

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The goal of this paper is to describe the teaching of initial multiplication concepts and skills, up to the multiplication table, in the Croatian educational system. As Stiegler and Hiebert (1999) concluded, teaching is a complex system rooted in a cultural script of a given society. To describe it without ignoring certain features of it that appear to be self-evident to an insider, it is necessary to step out of this cultural frame. For that reason, we study the teaching of initial multiplication in Croatia by comparing Croatian mathematical textbooks with textbooks from Singapore, Japan, and England. For the textbook analysis, we adapt the framework of Charalambous, Delaney, Hsu, and Mesa that examines a textbook as an environment for the construction of knowledge of a single mathematical concept. The analysis provides evidence that practice and automation are at the centre of the initial learning of multiplication in Croatia. The meaning of multiplication usually is not clear, and pupils are not provided additional tools for developing understanding, nor they are encouraged to use different calculation strategies in a flexible manner. The study also indicates that Croatian textbooks present mathematics as a practice that is closed and pre-given, restricted to the one and the only right way through it.
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Guilfoyle, Mike. „Book review: Exploring Sentencing Practice in England and Wales“. Probation Journal 64, Nr. 1 (März 2017): 69–70. http://dx.doi.org/10.1177/0264550517695164a.

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Welstead, Mary. „DIVORCE IN ENGLAND AND WALES: TIME FOR REFORM“. Denning Law Journal 24, Nr. 1 (27.11.2012): 21–37. http://dx.doi.org/10.5750/dlj.v24i1.390.

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The clamour of voices crying out for reform of the law relating to financial provision on divorce is regularly heard. The judiciary, the academic community, lawyers and prospective divorcees have all expressed concern about the problematic nature of the current law and the urgent need for change.1 Yet these same voices rarely draw attention to the major defects inherent in divorce law itself. The battle for divorce reform which dominated the family law debate during the latter part of the 20th century appears to have been abandoned, along with the decision in 2001 by Lord Irvine of Lairg, the then Lord Chancellor, not to bring into force the major reforms to divorce law contained in Part II of the Family Law Act 1996 (see below). There is now an uneasy and, for the most part, a silent acceptance that the majority of spouses who want to bring their relationship to a legal end will find a way of doing so. The fact that they might have to resort to a massaging of the law, which may at times border on outright dishonesty, to secure their freedom and the right to embark on a new legal relationship, is largely ignored. Indeed in many family law textbooks and family law courses, the topic of divorce is barely discussed. It is viewed as an administrative process with little legal content to it. The few cases which do come before the courts are given similar scant treatment, even when they draw attention to the fundamental problems in the current law, a law which is both outdated and confusing.
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Dissertationen zum Thema "Practice of law – england – textbooks"

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Frisby, Sandra. „The law and practice of contractual receivership“. Thesis, University of Nottingham, 2001. http://eprints.nottingham.ac.uk/11097/.

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The law of contractual receivership has evolved quietly over a period of one hundred and fifty years or so. The institution of receivership started out as a mortgagee's remedy, but has proved remarkably adaptable to the commercial needs of large financial organisations, so much so that it has enjoyed ascendancy as a method of debt enforcement for the latter half of the twentieth century. This thesis attempts to chart the developmental process of receivership law, and to evaluate both judicial and legislative responses to the particular issues of policy it raises. In particular, it investigates the impact of receivership, both in legal and practical terms, on the various parties interested, in their various capacities, in the corporate entity. The main body of the thesis addresses this question from a number of perspectives. Corporate insolvency affects a wide variety of constituents. Receivership, as an insolvency regime, is frequently criticised as overly biased in favour of powerful financial institutions at the expense of both the corporation itself and its other stakeholders. By affording a contractually appointed receiver dominion over the entirety of the company's property, and by sanctioning the proposition that his decisions be informed exclusively by his appointor's interests, this censure of the law might appear justified. Alternatively, proponents of receivership have promoted the institution as a 'rescue' mechanism, a means by which viable companies, or viable sectors of their businesses, may be nurtured back to productivity and profitability. These two conflicting views will be examined in the final Chapter, in the light of recent reform initiatives which appear to envisage at least some minor modification to the existing 'balance of power'.
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Braun, Peter. „The practical impact of E.U. public procurement law on PFI procurement practice in the United Kingdom“. Thesis, University of Nottingham, 2001. http://eprints.nottingham.ac.uk/10913/.

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The emergence of Private Finance Initiative (PFI) in the 1990s has been described as the largest cultural change for decades in the way the public sector operates. PFI projects distinguish themselves from traditional methods of public purchasing by their commercial complexity and long contractual term. Most of these projects have to be delivered within the regulatory framework of public procurement which has remained largely unchanged since the 1970s. The overall objective of the study has been to gain a complete picture of PFI practice in the light of the apparent divergence between the law and commercial requirements. It was aimed to investigate whether this divergence has brought about a "PFI procurement practice." If so, it was aimed to examine the reasons for the emergence of the practice and whether it deviated from procurement law. To achieve these objectives, PFI practice was approached from an outsider and insider perspective. The perspective of insiders was gained by conducting a qualitative empirical study based on interviewing PFI experts. The outsider perspective was derived from legal analysis backed up by relevant material provided by interviewees. The main conclusion of the study is that legal practitioners have adopted solutions in different PFI projects largely resembling each other. The resemblance justifies referring to them as PFI procurement practice. This, practice was found to be not always in compliance with a literal interpretation of procurement law. Factors driving the divergence between law and practice include the perception of practitioners that strict compliance disproportionately hampers the commercially oriented PFI procurement practice. In addition, H. M. Treasury has increased the divergence by publishing guidance notes on PFI procurement which disregard procurement law in many respects. A further reason for the divergence is that private sector bidders have abstained from enforcing procurement law in the courts. In so doing, they have significantly reduced the risk of challenges for authorities developing PFI procurement practice.
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Sakade, Noriko. „Peace education in practice? : a case study of peace education in England“. Thesis, University of Birmingham, 2009. http://etheses.bham.ac.uk//id/eprint/5217/.

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In the contemporary world, wars, violence and injustice never seem to end. In an attempt to replace this culture of violence with a culture of peace, peace education attempts to raise awareness of non-violent and constructive means of dealing with conflicts, and to promote necessary skills, knowledge, attitudes and values. This research aims to gain insight into the reality of the current practice of peace education in schools in relatively stable countries. While a school is one of the places where children learn values, attitudes and behaviour, schooling is often criticised for maintaining and reinforcing different forms of violence, including physical violence and inequality. This study explores theoretical and practical aspects of peace education and key issues relevant to these aspects, including its place in schooling. The empirical study investigates a peace education organisation in the UK, West Midlands Quaker Peace Education Project (WMQPEP) and one of its projects in a primary school. WMQPEP particularly focuses on interpersonal skills to build peaceful relationships and raise self-esteem. The overall research provides understanding of the principles and practice of peace education as well as its impact, and identifies some factors which can either promote or undermine effective peace education in schools.
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Alkharashi, Suliman Abdullah. „Human rights in the stage of criminal investigation : a comparison between law and practice in Saudi Arabia and England and Wales“. Thesis, University of Sussex, 2015. http://sro.sussex.ac.uk/id/eprint/56824/.

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This thesis is a comparative study of the pre-trial procedures of England and Wales and Saudi Arabia. Its aim is to show how the pre-trial procedures of Saudi Arabia could be re-designed in order to conform to both the standards set by international human rights and the norms of Shari'ah law and argues that there is much common ground between the two. It addresses the human rights relevant to pre-trial procedures and explores in-depth how these are expressed in international human rights legislation and in the current legislation of England and Wales with particular reference to the Police and Criminal Evidence Act (1984). They are contrasted with the relevant articles of the Code of Criminal Procedure 2001 (CCP) of Saudi Arabia. Individual rights such as the right to liberty, the right silence, the right to privacy, the right to bail and the right to an effective remedy are examined in depth and relevant case law is cited throughout. The history of pre-trial procedures and regulations in England and Wales and Saudi Arabia is explored in order to understand how these have developed into what exists today. The former is traced from the Norman period to the present day and the latter from the pre-Islamic era of the Arabian Peninsula. The actual practice of these procedures is explored comparatively through a fieldwork project involving semi-structured interviews with police officers and lawyers in England and police officers, police officers, prosecutors and lawyers in Saudi Arabia. The thesis ends with a thorough examination of how pre-trial procedures in Saudi Arabia could be regulated and monitored so as to bring them in line with the standards required by international human rights legislation and international practice and with the demands of Islamic law.
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Townend, Judith. „Defamation, privacy & the 'chill' : a socio-legal study of the relationship between media law and journalistic practice in England and Wales, 2008-13“. Thesis, City, University of London, 2014. http://openaccess.city.ac.uk/15981/.

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A popular metaphor used by judges and journalists, the ‘chilling effect’ is used to describe the undesirable deterrence of legitimate free expression, although it is widely and loosely interpreted and rarely interrogated through methodical empirical research. This research examines the perceived chilling effect on freedom of expression in relation to defamation and privacy law and digital journalistic practice in England and Wales, over a five year period (2008-13). It examines media law in practice through interviews with legal specialists in defamation and privacy, close monitoring of online content, examination of court and policy documents, and surveys among journalists and online writers, and considers how decisions to publish or abandon stories are made in the contemporary networked news environment. The thesis finds that lawyers play an under-recognised but pivotal social role in the editorial gatekeeping process, enabling as well as restricting publication. Their absence in ill-resourced environments has a paradoxically constraining and liberating effect: a lack of legal advice and knowledge may lead to unnecessary censorship of particular stories, but at the same time small-scale operations without legal support and training may be less reactive to potential libel and privacy risks. Despite a popular perception of runaway privacy law, the findings indicate that libel was still a predominant concern for research participants and generated more threats and claims. The impact of defamation and privacy law on journalism, which is implied by the chilling effect metaphor, cannot be understood in isolation and a socio-legal approach based on empirical evidence is required to more fully expose the two-way interaction between law and journalism. Editorial decisions are subject to a complex web of competing factors; the collective or individual avoidance of stories can only be explained by looking at legal influences in their social context. In this way, hyperlocal bloggers may steer clear of particular topics for fear of social implications in local communities and national journalists can neglect stories as a result of organisational commercial pressures, or because such stories would damage their access to sources. The chilling effect descriptor is generally used to help direct policy and decisions that enhance freedom of expression in the public interest but debate is severely hampered by the lack of systematic research and data collection, as this thesis will show. Given the social complexity and ambiguity around perceived chilling effects, the thesis argues that this exercise would be informed by more detailed monitoring and analysis of specific contributory factors, such as individuals’ access to legal resources, legal knowledge and experience of direct or indirect threats of legal action. A more precise understanding of these elements in their wider social context would help the design of proportionate legal dispute mechanisms and the development of public legal education initiatives.
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Keown, I. J. „Some aspects of the regulation of abortion in England from 1803 to 1982 : With particular reference to the influence of the medical profession on the development of the law and the law on the practice of abortion by the medical profession“. Thesis, University of Oxford, 1985. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.384788.

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Roberts, Anthea Elizabeth. „Is International Law International?“ Phd thesis, Canberra, ACT : The Australian National University, 2017. http://hdl.handle.net/1885/124611.

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International lawyers are familiar with the question: “Is international law law?” But this thesis instead asks the question: “Is international law international?” Using a variety of methods, this work sheds light on some of the ways in which international law as a transnational legal field is constructed by international law academics, and is conceptualized in international law textbooks, in the five permanent members of the Security Council: the People’s Republic of China, the French Republic, the Russian Federation, the United Kingdom of Great Britain and Northern Ireland, and the United States of America. It explores how different national communities of international lawyers construct and pass on their understandings of “international law” in ways that belie the field’s claim to universality, perpetuating certain forms of difference and dominance. By adopting a comparative approach, it aims to make international lawyers more aware of the frames that shape their own understandings of and approaches to the field, as well as how these might be similar to or different from the frames adopted by those coming from other states, regions or geopolitical groupings. It also examines how some of these patterns might be disrupted as a result of shifts in geopolitical power, such as the movement from unipolar power toward greater multipolarity and the growing confrontations between Western liberal democratic states (like the United States, the United Kingdom, and France) and non-Western authoritarian states (like China and Russia).
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Khoza, Mpho Justice. „Third-party litigation funding agreements : a comparative study“. Diss., 2019. http://hdl.handle.net/10500/25716.

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In third-party litigation funding agreements, funders agree to finance a litigant’s litigation on condition that the funder will deduct a specified percentage from the capital awarded to the litigant in the event of success. In contingency fee agreements, such funding is provided by lawyers. Initially both these agreements were illegal in South Africa and England, but as civil courts became able to counter corruption and abuse – and with the recognition of the need to give more litigants access to justice – both were recognised as legal. Third-party litigation funding agreements by non-lawyers are unregulated in most jurisdictions. As the voluntary self-regulation in England is unsatisfactory, mandatory statutory regulation should be introduced in South Africa. The Contingency Fees Act 66 of 1997 caps the fee to 25% on the capital amount in South Africa. Since no such cap exists in Ontario (Canada), the cap of 25% in South Africa should be revised.
Eka Mintwanano yo nyika nseketelo wa mali eka nandzu wa thedi phati, vanyiki va mali va pfumela ku hakela mali ya nandzu wa mumangali hi xipimelo xa leswaku munyiki wa mali u ta susa phesenteji leyi kombisiweke ku suka eka mali leyi nyikiweke mumangali loko a humelela. Eka mintwanano ya tihakelo ta vukorhokeri, nseketelo walowo wa mali wu nyikiwa hi maloyara. Ekusunguleni mintwanano leyi hinkwayo a yi nga ri enawini eAfrika Dzonga na le England, kambe tanihi leswi tikhoto ta mfumo ti koteke ku kokela etlhelo eka timhaka ta vukungundzwana na nxaniso- na ku anakanyiwa ka xilaveko xo nyika vamangali votala mfikelelo wa vululami- hinkwayo yi anakanyiwile tanihi leyi nga enawini. Mintwanano yo nyika nseketelo wa mali eka nandzu wa thedi phati hi vanhu lava nga riki maloyara a yi lawuriwi eka vuavanyisi byotala. Tanihileswi vutilawuri byo tinyiketa eEngland byi nga riki kahle, mafambiselo ya nawu lama lavekaka ya fanele ya tivisiwa eAfrika Dzonga. Nawu wa Tihakelo ta Vukorhokeri wa 66 wa 1997 wu veka mpimo wa hakelo eka 25% eka xiphemu xa tsengo wa mali eAfrika Dzonga. Ku sukela loko ku ri hava mpimo lowu nga kona eOntario (Canada), mpimo wa 25% eAfrika Dzonga wu fanele wu langutisiwa hi vuntshwa.
Kha thendelano dza ndambedzo dza mbilo ine ya itelwa muthu, vhabadeli vho tenda u badela mbilo ya muthu o no khou itelwa mbilo tenda mubadeli a tshi ḓo ṱusa phesenthe yo tiwaho kha tshelede yo avhelwaho muthu ane a khou itelwa mbilo arali a kunda. Kha thendelano dza mbadelo dzine dza badelwa musi ramilayo o no kunda kha mulandu, mbadelo idzo dzi ṋetshedzwa nga vhoramilayo. Mathomoni thendelano idzi vhuvhili hadzo dzo vha dzi siho mulayoni Afurika Tshipembe na England, fhedzi musi khothe dza mbilo dzi tshi vho thoma u hanedzana na tshanḓanguvhoni na u tambudzwa - na u dzhiela nṱha ṱhoḓea ya u ṋea vhathu vhane vha khou itelwa mbilo u swikelela vhulamukanyi –vhuvhili hadzo dzo dzhiwa sa dzi re mulayoni. Thendelano dza ndambedzo dza mbilo ine muthu a itelwa nga vhathu vhane vha sa vhe vhoramilayo a i langulwi kha vhulamukanyi vhunzhi. Samusi u langulwa ha ndaulo nga iwe muṋe hu ha u tou funa ngei England a zwi ṱanganedzwi, ndaulo ya khombekhombe ya mulayo i fanela u ḓivhadzwa Afurika Tshipembe. Mulayo wa Mbadelo dzine dza badelwa Ramilayo musi o kunda wa nomboro 66 wa 1997 mutengo wawo u guma kha 25% mutengo wa tshelede Afurika Tshipembe. Samusi tshikalo itsho tshi sa wanali ngei Ontario (Canada), tshikalo itsho tsha 25% Afurika Tshipembe tshi fanela u sedzuluswa hafhu.
Private Law
LL. M.
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Scholtz, Jacobus Francois. „The duty on the bank issuing a letter of credit to return the documents : legal perspectives from Canada, England and South Africa“. Thesis, 2015. http://hdl.handle.net/10210/14001.

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Bücher zum Thema "Practice of law – england – textbooks"

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Stefan, Fafinski, Hrsg. Legal skills. 2. Aufl. Oxford University Press: Oxford, 2009.

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Stefan, Fafinski, Hrsg. Legal skills. Oxford: Oxford University Press, 2007.

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Canada, Hrsg. Family law: Practice and procedure. 3. Aufl. Toronto: Emond Montgomery Publications, 2010.

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Walsh, David J. Employment law for human resource practice. Mason, Ohio: Thomson/South-Western West, 2004.

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Halsbury, Hardinge Stanley Giffard, Earl of, 1823-1921, Hrsg. Halsbury's laws of England. 5. Aufl. London: LexisNexis, 2009.

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Mackay of Clashfern, James Peter Hymers. Halsbury's laws of England. 5. Aufl. London: LexisNexis, 2009.

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Halsbury, Hardinge Stanley Giffard, Earl of, 1823-1921, Hrsg. Halsbury's laws of England. 5. Aufl. London: LexisNexis, 2012.

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Halsbury, Hardinge Stanley Giffard, Earl of, 1823-1921, Hrsg. Halsbury's laws of England. 5. Aufl. London: LexisNexis, 2010.

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Halsbury, Hardinge Stanley Giffard, Earl of, 1823-1921, Hrsg. Halsbury's laws of England. 5. Aufl. London: LexisNexis, 2009.

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Mackay of Clashfern, James Peter Hymers. Halsbury's laws of England. London: LexisNexis, 2015.

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Buchteile zum Thema "Practice of law – england – textbooks"

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Williams, John, Gwyneth Roberts und Aled Griffiths. „Social Work Practice and the Law“. In Adult Social Care Law in England, 1–26. London: Macmillan Education UK, 2014. http://dx.doi.org/10.1007/978-1-137-44356-4_1.

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Probert, Rebecca. „Religious-Only Marriages in England and Wales“. In The Sharia Inquiry, Religious Practice and Muslim Family Law in Britain, 11–26. London: Routledge, 2023. http://dx.doi.org/10.4324/9781003090410-2.

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Merrick, Jeffrey. „Anon., ‘Concerning the Law and the Coroner's Practice in Cases of Suicide’“. In The History of Suicide in England, 1650–1850, 35–44. London: Routledge, 2021. http://dx.doi.org/10.4324/9781003113959-9.

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Brennan, Karen, und Emma Milne. „Criminalising Neonaticide: Reflections on Law and Practice in England and Wales“. In Women and the Criminal Justice System, 95–117. Cham: Springer International Publishing, 2018. http://dx.doi.org/10.1007/978-3-319-76774-1_5.

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Cohen, Adrian, und Gabrielle Ruiz. „Overview of Corporate Restructuring and Insolvency Law and Practice in England and Wales“. In Global Insolvency and Bankruptcy Practice for Sustainable Economic Development, 1–48. London: Palgrave Macmillan UK, 2016. http://dx.doi.org/10.1007/978-1-137-56175-6_1.

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6

Winstone, Julia. „Towards Gender Equality in the Solicitors’ Profession in England and Wales A Practical, Intersectional, Socio-legal Approach“. In Towards Gender Equality in Law, 177–92. Cham: Springer International Publishing, 2022. http://dx.doi.org/10.1007/978-3-030-98072-6_9.

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AbstractOver 30 years of initiatives to improve the career progression of women in the solicitors’ profession in England and Wales have failed to achieve gender equality in practice. Equality legislation from the 1970s onwards, has still not translated to equality for women solicitors in retention, progression, partnership and equal pay in private practice. Significant numbers of women have entered the profession and remained at junior levels since the 1970s, outnumbering male entrants since 1992-3 and practising men solicitors since 2017. A gap persists between participation rates for men and women, with the number of women active in the profession reducing with age and experience. This chapter presents a practical, intersectional, socio-legal approach to overcome the barriers faced by many women solicitors, based on current issues identified by practising, non-practising solicitors and left professionals. Practical initiatives are developed to effect meaningful change in practice to maximise opportunities available for all.
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Lee, Daryl. „Anthony Highmore, A Treatise on the Law of Lunacy and Idiocy: To which is Subjoined an Appendix, Containing the Practice of the Court of Chancery on this Subject, and Some Useful Practical Forms (London: Printed for J. Butterworth, 1807), pp. 202–5“. In The History of Suicide in England, 1650–1850, 7–8. London: Routledge, 2021. http://dx.doi.org/10.4324/9781003113966-3.

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8

Roberts, Paul. „Expert Evidence“. In Roberts & Zuckerman's Criminal Evidence, 527—C11.N306. 3. Aufl. Oxford University PressOxford, 2022. http://dx.doi.org/10.1093/oso/9780198824480.003.0011.

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Abstract Chapter 11 is concerned with expert evidence, a topic traditionally conceptualized as an exceptional category of ‘opinion evidence’ and frequently marginalized in Evidence textbooks. Our approach emphasizes institutional context and epistemological foundations, and centrally features forensic science evidence—which is increasingly influential in modern criminal litigation (and sometimes associated with miscarriages of justice). The supposed dichotomy between ‘facts’ and ‘opinions’ is conceptually dubious but rarely significant in practice. It is more illuminating to think about expert evidence in terms of the epistemic warrant it supplies for criminal verdicts. Building on Ron Allen’s perceptive distinction between fact-finder ‘education’ and ‘deference’, a model of rational reliance on forensic expertise is proposed and tested against doctrinal precedents and principles. Expert witnesses must be competent and objective. However, these elementary qualifications are complicated in practice by the adversarial structure of criminal litigation. Traditional mechanisms of evidence-testing, including cross-examination, are not well-suited to exposing the deficiencies of expert evidence. If radical solutions, such as court-appointed experts, flatter to deceive, more modest procedural reform may increase institutional resilience, viewed in the broader context of criminal proceedings as a whole. Regulatory structures, codes of practice, professional ethics, and pre-trial safeguards might better enhance the quality of forensic science evidence than trial-centric measures. As a doctrinal matter, admissibility of expert evidence essentially boils down to competence (Davie), relevance and ‘helpfulness’ (Turner). Other evidentiary rules are either obsolete (ultimate issues) or fact-specific applications of the general Turner standard. More recently, there is (equivocal) doctrinal flirtation with a supplementary ‘reliability’ criterion, especially in relation to novel forensic science or new technological applications. Further insight is derived from comparative experiences, especially US Daubert jurisprudence and major reports (NRC, PCAST) criticizing the methodological underpinnings of forensic science. In England and Wales, legislative policies animating the Law Commission’s unimplemented Expert Evidence Bill have been partly incorporated into Part 19 of the Criminal Procedure Rules and Practice Directions.
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„The Abortion Law: Theory and Practice“. In Abortion in England 1900-1967, 34–62. Routledge, 2012. http://dx.doi.org/10.4324/9780203104231-8.

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„THE LITERATURE OF CIVILIAN PRACTICE“. In Roman Canon Law in Reformation England, 121–57. Cambridge University Press, 1990. http://dx.doi.org/10.1017/cbo9780511522574.005.

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Konferenzberichte zum Thema "Practice of law – england – textbooks"

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Lee, Sook Ling, und Guru Dhillon. „TRANSGENDERISM IN MALAYSIA AND ENGLAND � A LEGAL STUDY“. In 9th SWS International Scientific Conferences on SOCIAL SCIENCES - ISCSS 2022. SGEM WORLD SCIENCE, 2022. http://dx.doi.org/10.35603/sws.iscss.2022/s02.023.

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Transgenders are those whose sex assigned to them at birth i.e., male or female, does not conform with their current perceived gender. Since transgenders are considered by the traditional binary male or female society as deviating from the established gender norms, they often face humiliation, discrimination or social exclusion. This paper examined the approaches made by the authorities of Malaysia and England when dealing with transgender issues. The authors employed a doctrinal research method for this paper. The authors collected data from relevant legislation, case law, textbooks, journal articles, statistical reports, press reports, and reliable websites. In addition, this paper highlighted the current laws that are in place to deal with transgender rights in both jurisdictions. This paper serves as a good source of reference to legislators, lawyers, academics, students, and the public at large and it creates an awareness pertaining transgender rights in the jurisdictions of Malaysia and England.
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Maitland, R. P. „Regulation of Ageing Reprocessing Facilities in the UK“. In ASME 2011 14th International Conference on Environmental Remediation and Radioactive Waste Management. ASMEDC, 2011. http://dx.doi.org/10.1115/icem2011-59353.

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The UK’s strategy for spent Magnox reactor fuel demands continued operation of the Magnox Reprocessing facility at Sellafield (located in the North West of England) to reprocess the remaining spent fuel in the shutdown Magnox reactor stations and from the two remaining operational Magnox reactor stations, Wylfa and Oldbury. Safety, security, environmental, transport, energy and economic issues provide the initiative to continue reprocessing in ageing facilities that are prone to chronic operational and nuclear safety challenges. One of the responsibilities of the UK’s Office for Nuclear Regulation is to regulate the safety of continuing Magnox Reprocessing Operations against relevant health and safety legislation; this largely non-prescriptive framework requires dutyholders to demonstrably reduce risk so far as is reasonably practicable. This paper articulates the often complex balances that have to be made to demonstrate compliance with safety law to sustain continued operation of ageing reprocessing facilities. This paper details how the UK’s regulatory framework facilitates a flexible, proportionate and goal-setting approach to regulating operational facilities where it is difficult to satisfy relevant good practice or standards that would be expected of a modern facility. The challenges presented by regulation of ageing, operational facilities is analogous to those from legacy waste retrieval and decommissioning; this paper reflects the versatility of the UK’s regulatory approach to these two different areas of the fuel cycle.
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Berichte der Organisationen zum Thema "Practice of law – england – textbooks"

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Fisher, Rebecca, Lucinda Allen, Akanksha Malhotra und Hugh Alderwick. Tackling the inverse care law: Analysis of policies to improve general practice in deprived areas since 1990. The Health Foundation, Januar 2022. http://dx.doi.org/10.37829/hf-2022-p09.

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This analysis reviews attempts to tackle inequities in the supply of general practice services in England over the past 30 years. The report looks at policies on general practice funding, workforce, premises, contracts and commissioning. It provides several recommendations for national policymakers, including: a new equity test for all new policies in general practice; an independent review of general practice funding allocations; and a long-term workforce strategy for general practice that should consider stronger central coordination and oversight of GP distribution.
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Mori, Ipsos. Local Authority Capacity and Capability. Food Standards Agency, August 2023. http://dx.doi.org/10.46756/sci.fsa.dvl526.

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The FSA has a key role as the central competent authority in overseeing official food and feed controls undertaken by local authorities. This supports the delivery of the FSA’s mission, food you can trust, and helps ensure food is safe and what it says it is. The FSA seeks to work in partnership with local authorities to help them to deliver official food and feed controls. Local Authority (LA) Environmental Health (EH), Port Health and Trading Standards (TS) teams deliver official food and feed controls using a range of interventions as set out in the Food Law Code of Practice (FLCoP) and Feed Law Code of Practice (FeLCoP). They are instrumental to the delivery of the FSA mission, across England, Wales and Northern Ireland to ensure consumer confidence and protect public health. Evidence from professional bodies, LAs and wider sources suggests that LAs are experiencing significant issues around the recruitment and retention of suitably/ appropriately qualified and experienced officers.(footnote 1) The FSA commissioned Ipsos UK to carry out this initial phase of discovery research to understand more about the barriers and facilitators encountered by LAs in England, Wales and Northern Ireland
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