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1

Yahaya, Shamsu. „Multilateral investment treaties : is the energy charter treaty an effective instrument for protecting international investments?“ Thesis, University of Dundee, 2009. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.510625.

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2

Chu, Chunhua. „La planification française comme instrument de politique industrielle de la Libération au milieu de la présidence du Général De Gaulle (1945-1965)“. Thesis, Sorbonne université, 2018. http://www.theses.fr/2018SORUL101.

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Immédiatement après la Seconde Guerre mondiale, sous l’impulsion du Général de Gaulle et de Jean Monnet, le Gouvernement provisoire de la République française décida d’engager dans le système capitaliste français une politique économique à moyen terme désignée par le terme de « planification ». Le Plan, en tant qu’outil d’élaboration et de mise en œuvre de politiques industrielles, dirigea l’industrie française pour qu’elle puisse se développer et s’adapter aux différentes circonstances. Quatre plans furent successivement mis en œuvre dès la Libération jusqu’en 1965 par le Commissariat Général du Plan (CGP) sous la direction successive de trois commissaires généraux du Plan, à savoir Jean Monnet, Etienne Hirsch, Pierre Massé. Dans ce laps de temps furent lancés les plans suivants : Plan Pinay-Rueff, Plan intérimaire, Plan d’adaptation des charbonnages, Plan de stabilisation. Imbriquée de multiples manières à une « expansion industrielle », la planification française réussit à transformer la France rurale en une société industrielle et à faire passer l’industrie française de la situation fermée et protégée à la confrontation de la concurrence internationale. Elle joua aussi un rôle important dans le mode de rapport entre le secteur public et privé et en particulier, le fonctionnement des entreprises nationales. À plus long terme, c’était encore au Plan que revenait le mérite de tracer les lignes d’un harmonieux développement des régions françaises, surtout de l’aménagement du territoire
Immediately after the Second World War, the Provisional Government of the French Republic, under the leadership of General de Gaulle and Jean Monnet, decided to engage in the French capitalist system a medium-term economic policy designated by the term "planning". The Plan, as a tool for the elaboration and implementation of industrial policies, directed French industry so that it could develop and adapt to different circumstances. Four Plans were successively implemented from the Liberation until 1965 by the General Planning Agency under the successive direction of three commissioners, namely Jean Monnet, Etienne Hirsch, Pierre Massé. Meanwhile, the Rueff-Pinay Stabilization Plan, Interim Plan, Plan d’adaptation des charbonnages, Giscard d’Estaing’s Stabilization Plan were launched. Interwoven in many ways with an "industrial expansion", French planning succeeded in transforming rural France into an industrial society and to shift French industry from the closed and protected situation to the confrontation of international competition. It also played an important role in the relationship between the public and private sectors and, in particular, the functioning of national enterprises. In the longer term, it was again in the Plan that the merit of drawing the lines of a harmonious development of the French regions, especially of the Spatial planning
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Andrews, Pearl Deidre. „Links between international child abduction and relocation: moving towards likemindedness in relocation disputes internationally - Is it time for a protocol regulating international relocation disputes“. Thesis, University of the Western Cape, 2012. http://etd.uwc.ac.za/index.php?module=etd&action=viewtitle&id=gen8Srv25Nme4_3259_1364198101.

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This by implication would mean that the best way to prevent child abduction is to desist from international marriages and moving abroad.The modern reality is that 
relationships are being formed internationally. In the same breath, relationships are easily un-formed and the family fractured. The emotional impact of any breakup is usually 
tense, and it follows by implication that this will be exacerbated if a child is involved. For reasons that will be expounded on in the thesis, many caregivers, usually mothers have 
opted to abduct their children. Some have opted to apply formally to relocate. Relocation disputes are widely regarded as one of the most controversial and difficult issues in 
family law internationally. These disputes usually arise pursuant to a relational breakdown, when the resident parent (usually the mother) seeks to relocate with the children 
either 
domestically or internationally. This causes a significant impact 
on contact arrangements with the other parent (usually the father). Depending on the country in which they find themselves and the laws applicable to relocation with the child, mothers are faced with the decision to remove the child either lawfully or wrongfully. International family law 
jurisprudence has been developed over time to assist with custody and relocation disputes. &lsquo
Much has been written on the Hague Convention &ndash
its flaws and its successes, its 
effectiveness and utilization. This thesis aims to look specifically at relocation disputes within the context of international parental child abduction
more specifically, it sets out to 
explore whether there is a link between those phenomena, and whether the Hague Convention is sufficient for dealing with relocation disputes. I hope to make a convincing 
argument that if there were an international instrument regulating relocation, there would be uniformity and consistency. People&rsquo
s confidence in the legal processes would be 
restored, motivating them to apply formally to relocate and, in doing so, the incidence of child abductions would be reduced.

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4

Supapa, Rattapong. „The protection of upstream energy contracts under investment treaty arbitration : a study of the interaction between contract and treaty instruments“. Thesis, University of Aberdeen, 2014. http://digitool.abdn.ac.uk:80/webclient/DeliveryManager?pid=225686.

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This thesis analyses how and to what extent the contractual and treaty instruments interact in protecting upstream energy contracts against political interference by the host state. The study considers whether the interaction between the upstream contracts and international investment treaties provide effective protection for the upstream investors and whether the interaction between them prevents the host state from exercising its regulatory rights. By examining both jurisdictional and substantive aspects of the interaction between these two instruments, the study found that political risks in the upstream industry are not effectively mitigated and managed. The study therefore calls for a higher degree of interaction between these two instruments. This can be achieved by drafting the relevant upstream contracts and investment treaties in a more interactive manner so that they would together provide maximum protection for the upstream investors.
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5

Vondrášek, Štěpán. „Globální trendy v high-tech průmyslu: případová studie Texas Instruments“. Master's thesis, Vysoká škola ekonomická v Praze, 2009. http://www.nusl.cz/ntk/nusl-16161.

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Work deals with global trends in high-tech industry which are mainly consolidation, concentrations and regionalization. It provides the definition of the high-tech industry, then focuses on specific sector - semiconductor industry. It describes the characteristics of the manufacturing process and workforce. A special part is devoted to government policies regards to the semiconductors research and development. The last part is devoted to a case study of the American company - Texas Instruments Inc. which has been playing the important role in the world semiconductor industry.
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Versiani, Marco Aurelio. „Avaliação do preparo biomecânico e da obturação de canais radiculares ovais promovidos pelos sistemas de instrumento único WaveOne, Reciproc e SAF“. Universidade de São Paulo, 2012. http://www.teses.usp.br/teses/disponiveis/58/58133/tde-22052012-164928/.

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O objetivo deste estudo ex vivo foi avaliar o preparo biomecânico e a obturação de canais radiculares ovais utilizando os sistemas ProTaper, WaveOne, Reciproc e Self-Adjusting File. Com esta finalidade avaliou-se: 1) área, perímetro, circularidade, diâmetro maior, diâmetro menor, área de superfície, volume e SMI após o preparo biomecânico, por meio de microtomografia computadorizada (μTC); 2) percentual volumétrico de espaços vazios após a obturação do canal, por meio de μTC; 3) resistência de união (RU) e tipo de falha ocorrida após teste de push-out; e 4) a interface dentina/material obturador em microscopia eletrônica de varredura (MEV). Cem caninos inferiores humanos foram escaneados no microtomógrafo SkyScan 1174v.2. Após o preparo do terço cervical dos canais, os dentes foram distribuídos em 4 grupos (n=25), de acordo com o sistema usado no preparo biomecânico: ProTaper; WaveOne; Reciproc; Self-Adjusting File (SAF). Após a segunda μTC, 18 espécimes de cada grupo foram redistribuídos em dois grupos (n=9), de acordo com a técnica de obturação: Técnica Modificada da Onda Contínua de Condensação e técnica recomendada pelo fabricante. Os sete espécimes restantes de cada grupo constituíram os grupos controle negativo e positivo. Após a TC dos espécimes obturados, as raízes foram seccionadas transversalmente em fatias de 1 mm de espessura correspondentes às regiões cervical, média e apical. A RU foi avaliada pelo teste de push-out e as falhas após desunião observadas em microscópio digital. Após preparo para MEV, avaliou-se a interface adesiva de forma qualitativa nominal e ordinal pelo estabelecimento e determinação de escores. No conjunto, a análise dos parâmetros avaliados no preparo biomecânico mostraram que as alterações mais significativas ocorreram nos grupos ProTaper e WaveOne. Os resultados no grupo Reciproc ficaram em um nível intermediário, enquanto as menores alterações foram observadas no grupo SAF (ANOVA, p<0,05). Em relação à obturação, a Técnica Modificada da Onda Contínua de Condensação apresentou menor percentual volumétrico de espaços vazios que a técnica recomendada pelo fabricante apenas no terço cervical (Kruskall-Wallis, p<0,05). Após o teste de push-out, a análise das médias indicou RU (MPa) significativamente maior nos espécimes obturados pela técnica do fabricante em comparação com a Técnica Modificada de Onda Contínua de Condensação (teste t para amostras independentes, p<0,05). Em todos os grupos foi verificado maior percentual de falhas adesivas, com predominância de falhas mistas na técnica do fabricante e de falhas adesiva na dentina na Técnica Modificada de Onda Contínua de Condensação. Em MEV, não houve tags na maioria dos espécimes obturados pela Técnica Modificada da Onda Contínua de Condensação e quando presentes, eram pequenos e irregularmente distribuídos. Nos espécimes obturados pela técnica recomendada pelo fabricante observou-se formação de tags longos e bem distribuídos, principalmente no terço apical (teste de Friedman, p<0,05). Concluiu-se que todos os sistemas resultaram em alterações nos parâmetros bidimensionais e tridimensionais do canal após o preparo biomecânico; a técnica recomendada pelo fabricante resultou em maior volume de espaços vazios no terço cervical e maior RU do material obturador do que a Técnica Modificada de Onda Contínua de Condensação. Obs: tese completa no site: https://rapidshare.com/files/963588082/Tese_Prof._Dr._Marco_Versiani_FORP_USP_2012.pdf (na pagina que abrir, clicar no botao \"download\").
The purpose of this ex vivo study was to evaluate the biomechanical preparation and obturation of root canals using ProTaper, WaveOne, Reciproc and Self-Adjusting File systems. It was evaluated: 1) area, perimeter, roundness, major diameter, minor diameter, surface area, volume and SMI after biomechanical preparation, using microcomputed tomography (μTC), 2) percentage volume of voids in the obturation material by means of μTC, 3) bond strength (BS) and type of failure after the pushout test, and 4) the analysis of the interface dentin / filling material using scanning electron microscopy (SEM). One-hundred human mandibular canines were scanned in the SkyScan 1174v.2 device. After preparing the coronal third of the canals, the teeth were divided into 4 groups (n=25), according to the biomechanical preparation system used: ProTaper, WaveOne, Reciproc, and Self-Adjusting File (SAF). After the second TC, eigthteen specimens of each group were assigned to two groups (n=9), according to the obturation technique: the Modified Continuous Wave of Condensation Technique and the technique recommended by the manufacturer. The remaining seven specimens of each group were used as negative and positive controls. After scanning, the obturated specimens were sectioned perpendicularly to its long axis into 1-mm slice thickness of the coronal, middle and apical thirds. The bond strength (BS) was performed by the push-out test and, after dislodgments, the failures were observed in a digital microscope. The specimens were processed for SEM analysis to observe bonding interface formation and resin tag density using a four-step scale method. Overall, the analysis of the biomechanical parameters showed that the most significant changes in the root canal occurred in the ProTaper group and WaveOne groups. Reciproc results were in an intermediate level and smaller changes were observed in the SAF group (ANOVA, p<0.05). In the coronal third, the Modified Continuous Wave of Condensation Technique showed a lower percentage volume of voids than the technique recommended by the manufacturer (Kruskal-Wallis test, p<0.05). After the push-out test, the analysis indicated the mean BS (MPa) was significantly higher in specimens filled by the manufacturer\'s technical than the Modified Continuous Wave of Condensation Technique (t test for independent samples, p<0.05). The adhesive failures were frequent in all groups. The Modified Continuous Wave of Condensation Technique showed the highest percentage of adhesive failure in dentin while in the technique recommended by the manufacturer, mixed failure was predominant. Overall, in SEM analysis, no tags were observed in most of the specimens filled by the Modified Continuous Wave of Condensation Technique. When present, they were small and irregularly distributed. The specimens filled by the technique recommended by the manufacturer showed long and well-distributed tags, especially in the apical third (Friedman test, p<0.05). It was concluded that all systems promoted root canal changes after the biomechanical preparation, the obturation technique recommended by the manufacturer resulted in a higher volume of voids in the coronal third and BS of the Modified Continuous Wave of Condensation Technique group.
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7

Pavlovský, Zdeněk. „Efektivita zajištění obchodních smluv“. Master's thesis, Vysoká škola ekonomická v Praze, 2009. http://www.nusl.cz/ntk/nusl-15677.

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The work is concerned with the comparison of the assurance instruments anchored in the law environment of the Czech Republic. The work is dealing with the importance of the assurance instruments and sets up its own criterions of efficiency used for the main comparison. The following chapters analyze individual reinsurance tools such as lien, right of retention, warranty, bank warranty, penal clause, conveyance of title and recognition of engagements. The most important aspects of the efficiency are the substance of reinsurance instruments, their law power, their area of application, their economic efficiency and some aspects regarding time delays. The last chapter compares all of these assurance tools according to the above mentioned criterions.
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8

GAY, JENNIFER KATHRIN. „METROLOGICAL AND INSTRUMENTAL EVALUATION CONTROL OF WHITE SAMPLES TREATED WITH FLUORESCENT WHITENING AGENTS“. PONTIFÍCIA UNIVERSIDADE CATÓLICA DO RIO DE JANEIRO, 2004. http://www.maxwell.vrac.puc-rio.br/Busca_etds.php?strSecao=resultado&nrSeq=5074@1.

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FINANCIADORA DE ESTUDOS E PROJETOS
MINISTÉRIO DA CIÊNCIA E TECNOLOGIA
A avaliação de artigos brancos tratados com alvejantes ópticos, como eles são comuns em substratos têxteis, plásticos e de papel, é uma tarefa que tradicionalmente resulta em muitas divergências entre avaliações visuais realizadas em uma cabine padronizada e avaliações instrumentais realizadas com espectrofotômetros de refletância. Mesmo entre as avaliações visuais ou entre as avaliações instrumentais são encontradas diferenças muito além do aceitável. Uma das principais causas é a fluorescência dos alvejantes ópticos que é influenciada pela quantidade de radiação UV em relação com a radiação na faixa visível do espectro. O trabalho apresentado analisa as diferentes formas de avaliação, principalmente do ponto de vista da qualidade da distribuição espectral de potência do simulador de luz do dia. No caso das avaliações visuais, são testadas diferentes lâmpadas fluorescentes. Para as avaliações instrumentais, a calibração e o ajuste de UV em conjunto com as diferentes aberturas de medição são analisados. O objetivo é aprimorar os aspectos metrológicos da avaliação e contribuir para a sua padronização a fim de garantir a maior reprodutibilidade de resultados, um procedimento importante e almejado por todos os segmentos industriais que utilizam os alvejantes ópticos.
The evaluation of white objects treated with fluorescent whitening agents, such as they are commonly found on substrates like textiles, plastics and paper, is a task that traditionally leads to frequent controversy between the visual evaluations performed in a standardized light booth and the instrumental evaluations performed on reflectance spectrophotometers. Even between visual or instrumental evaluations the differences encountered are far beyond the acceptable. One of the main reasons is the fluorescence of the optical brightening agents that is influenced by the amount of UV radiation in relation to the amount of radiation in the visible range of the spectrum. The work presented analyses the different forms of evaluation, mainly from the point of view of the quality of the daylight simulators´ spectral power distribution. In the case of the visual evaluations, different fluorescent lamps are tested. For the instrumental evaluations, the UV calibration and adjustment are analyzed together with the different measurement apertures. The objective is to improve the metrological aspects of the evaluation and contribute to its standardization with the aim to guarantee better reproducibility of results, an important procedure that is desired by all the industrial segments that use optical brighteners.
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Hříbalová, Martina. „Španělsko: trendy a politiky v oblasti cestovního ruchu“. Master's thesis, Vysoká škola ekonomická v Praze, 2013. http://www.nusl.cz/ntk/nusl-202020.

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This thesis presents analysis of the organization of tourism policy in Spain. The thesis is structured into four chapters. First part of the thesis is devoted to description of tourism importance to the Spanish economy by using macroeconomic indicators, further presents Spain as an international tourist destination. Next part of the thesis explains various current trends and factors, which have influence on supply and demand of tourism and introduce new forms of tourism. Third chapter focuses on theoretical approaches to tourism policy in general. The thesis concludes with an analysis of tourism policy in Spain. This part involves characteristics of tourism organisation and governance, instruments and goals of tourism policy in Spain.
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10

Vořechovský, Jan. „Hlavní specifika a rozvojové trendy německé památkové péče v oblasti ekonomizace hmotného kulturního dědictví“. Master's thesis, Vysoká škola ekonomická v Praze, 2011. http://www.nusl.cz/ntk/nusl-150385.

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The aim of this work is a comprehensive grasp of significant factors intervening into the operation and structure of heritage preservation in the Federal Republic of Germany in connection with the Swiss Confederation. The work focuses on the issue of financial support for cultural heritage according to the type of property sites, especially in public administration. Attention is also paid to the perspectives of continuity and long-term effectiveness of projects in terms of available social tools. After reading this thesis the reader will be able to orient themselves in the system of heritage preservation and to determine the effectiveness of funds spent on culture in European countries.
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Jordan, Meggan. „10X THE TALENT = 1/3 OF THE CREDIT: HOW FEMALE MUSICIANS ARE TREATED DIFFERENTLY IN MUSIC“. Master's thesis, University of Central Florida, 2006. http://digital.library.ucf.edu/cdm/ref/collection/ETD/id/2289.

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This is an exploratory, qualitative study of female musicians and their experiences with discrimination in the music industry. Using semi-structured interviews, I analyze the experiences of nine women, ages 21 to 56, who are working as professional musicians, or who have worked professionally in the past. I ask them how they are treated differently based on their gender. Three forms of subtle discrimination are inferred from their narrative histories. First, female musicians are mistaken for non-musicians. They are encapsulated into inferior roles, like "the gimmick," "good for a girl," and "invisible accessory." Second, band mates and band managers control women's space, success, and artistic freedom. Third, their femininity, sexuality, and age are highly scrutinized. The analysis implies that female musicians are tokenized, devalued, and considered inappropriate for their jobs. Particular attention is paid to the similarities between female musicians and women in male dominated work places. I conclude by discussing the larger implications for gender, music, and social change in a sexist, unregulated industry.
M.A.
Department of Sociology
Sciences
Applied Sociology
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12

Ayman, Randi. „La dénonciation et la renégociation des traités“. Electronic Thesis or Diss., Paris 1, 2020. http://www.theses.fr/2020PA01D017.

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La dénonciation et la renégociation sont deux notions qui ne partagent pas de traits caractéristiques communs. L’une est un acte unilatéral qui met fin à la participation d’un Etat à un traité, tandis que l’autre consiste à mener un dialogue entre les Etats parties à un traité en vue de maintenir le lien conventionnel tout en lui apportant des changements substantiels. Cependant, les Etats ont souvent recours à la dénonciation et à la renégociation d’un traité comme solution alternative pour un même motif, à savoir un changement de circonstances. Ce constat a suscité notre intérêt d’étudier l’articulation de la dénonciation et la renégociation lorsqu’elles portent sur un même traité, notamment quand elles sont invoquées simultanément. Cette thèse soutient l’omniprésence d’une possibilité de renégocier le traité dans tous les cas de dénonciation. Toutefois, la renégociation peut ne jamais se manifester, compte tenu notamment du traité en question et des circonstances entourant la dénonciation de celui-ci. Il s’agirait dans un tel cas d’une possibilité dormante. Nous soutenons également que la renégociation n’opère qu’avant la prise d’effet de la dénonciation. L’étude du régime juridique et des effets de ces deux notions démontre que la dénonciation et la renégociation sont en effet procéduralement liées. Elles obéissent ainsi à certaines conditions communes et sont gouvernées par des principes communs. Par ailleurs, bien que leurs effets soient a priori opposés, ceux-ci s’entrelacent à plusieurs égards. Enfin, il ressort de cette étude que la dénonciation et la renégociation des traités jouent un rôle pivot dans l’atténuation de la tension entre les exigences de stabilité juridique et de mutation sociale. Elles sont des outils d’adaptation, et de ce fait, constituent des éléments de flexibilité du traité permettant de gérer les risques liés à l’évolution de la société en offrant un moyen de réaménager le traité ou de s’en libérer, selon les circonstances
Denunciation and renegotiation are two notions that do not share common features. One is a unilateral act that terminates a State’s participation in a treaty, whereas the other is a dialogue between States parties to a treaty aiming to maintain the conventional relationship while making substantial changes to it. Nonetheless, States often resort to the denunciation and the renegotiation of a treaty as an alternative solution for the same reason, namely a change of circumstances. This observation aroused our interest in studying the interaction between denunciation and renegotiation when they relate to the same treaty, in particular when they are invoked simultaneously. This thesis supports the omnipresence of the possibility of renegotiating the treaty in all cases of denunciation. However, a renegotiation may never occur, particularly in view of the treaty in question and the circumstances surrounding its denunciation. In such a case, it would be a dormant possibility. We also argue that renegotiation only takes place before the denunciation takes effect. A study of the legal regime and the effects of these two concepts shows that denunciation and renegotiation are in fact procedurally linked. They thus obey certain common conditions and are governed by common principles. Moreover, although their effects are seemingly divergent, these are intertwined in several respects. Finally, this study shows that denunciation and renegotiation of treaties play a pivotal role in reducing the tension between the requirements of legal stability and social change. They are tools for adaptation, and thus constitute elements of treaty flexibility that allow to manage the risks associated with social change by providing a means of rearranging the treaty or to break away from it, depending on the circumstances
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Madeira, Daniela Pereira. „O papel da jurisprudência no Processo Civil contemporâneo“. Universidade do Estado do Rio de Janeiro, 2012. http://www.bdtd.uerj.br/tde_busca/arquivo.php?codArquivo=9056.

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A utilização correta da jurisprudência conduzirá a sociedade brasileira a uma maior estabilidade jurisprudencial, com respeito ao princípio da isonomia, não somente diante da norma legislada como também perante a norma judicada. Deve-se afastar a discrepância de decisões judiciais relativas ao mesmo tema, que tratam desigualmente os iguais, evitando assim o longo percurso das vias recursais para se obter um julgamento isonômico em situações idênticas. O princípio da isonomia visa garantir que todos recebam tratamento igualitário da lei e, de outro lado, oferece a certeza de que todos os juízes devem decidir de modo análogo quando se depararem diante de situações semelhantes. A jurisprudência, uma vez que traduz a interpretação da norma, deve ser estável e previsível, com o fito de pautar as condutas dos jurisdicionados em virtude de se conhecer o entendimento da Corte máxima a respeito de uma determinada matéria. Um direito instável e imprevisível não gera a segurança jurídica, nem a pacificação social que razoavelmente se espera. A aplicação da jurisprudência no tempo, através da modulação, ganha novos contornos em virtude de sua previsão legal no projeto do Código de Processo Civil. A mudança de entendimento sedimentado observará a necessidade de fundamentação adequada e específica, considerando o imperativo de estabilidade das relações jurídicas (art. 847, 1 do projeto concluído no Senado Federal). Privilegia-se, além do princípio da segurança jurídica, o princípio da confiança que deve ter como uma das suas consequências que a expectativa legítima do jurisdicionado seja respeitada mediante a aplicação da jurisprudência dominante antiga e mais benéfica para o jurisdicionado. Neste contexto, em se pensando em uma reforma processual efetiva, deve-se ter como objetivo a ser seguido, além da celeridade processual e eficiência dos atos jurisdicionais, a uniformização da jurisprudência, eis que a necessidade de formação de uma só pauta de conduta para o jurisdicionado deve ser o objetivo almejado. E este objetivo só será alcançado quando houver uma uniformização e aplicação da jurisprudência dominante. Os instrumentos processuais inseridos no Código de Processo Civil devem ser reavaliados e novos elaborados, já que até agora serviram para dirimir conflitos intersubjetivos e não mais respondem satisfatoriamente às novas situações, que são as necessidades e valores de uma sociedade globalizada, massificada.
The correct use of case law will lead Brazilian society to a greater judicial stability that complies with the principle of equality, not only before legal rules as well as before judicial norms.It should be avoided the discrepancy of judgments related to the same matter, which unequally treat the ones in the same circumstances, thus avoiding the long judicial journey in order to obtain a uniform judgment for similar situations. The principle of equality aims to ensure that everyone receives equal law treatment and on the other hand, assures that all judges should decide in the same way when they come across similar situations. The jurisprudence as it reflects the interpretation of the rule, should be stable and predictable, in order to guide the conduct of citizens as it states the highest Court understanding on a particular matter. An unstable and unpredictable rule does not create lawl certainty nor the social peace that one can reasonably expect. The application of case law in time, by means of its modulation, earns new contours due its legal provision in the Civil Procedure Code Project. The change of a settled understanding claims for an adequate and specific reasoning, considering the need for stability of legal relations (art. 847, 1 of the completed project in the Senate). This increases the value of the legal certainty principle and of legitimate expectations principle that should have as one of their consequences that the legitimate expectation of the claimer is respected by applying him the old and more beneficial ruling jurisprudence. In this context, the aim for an effective procedural reform should be pursued, besides the procedural celerity and the efficiency of judicial acts, and also the standardization of jurisprudence. An unique agenda of conduct for the claimants should be desired as a goal. And this can only be achieved when there is a standardization and application of prevailing jurisprudence.
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14

Haugvic, Radek. „Společná zahraniční a bezpečnostní politika EU - právní aspekty“. Master's thesis, 2016. http://www.nusl.cz/ntk/nusl-348702.

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Topic of this diploma work is Common Foreign and Security Policy (CFSP) - legal aspects. CFSP is one of policie sof EU based on intergovermental cooperation in foreign relations and defence policy which includes Common Security and Defence Policy (CSDP). The second part of the diploma work describes history of CFSP from WW 2 to describing of Treaty on European Union (TEU). The third part of diploma work describe CFSP of EU in TEU from 90's to current wording. Main topics are instruments and institutions and voting procedure. Marginally I write something about Common Commercial Policy and Cooperation with Third States in the fourth part of diploma work. The last part of diploma work is about the CSDP and EU millitary and civil missions. The content of the work is about CFSP and related issues, therefore I write the basic information about CFSP below. CFSP (as Europian polical cooperation) was established in 70's in last century by member's states for cooperation in foreign policy. In 1992 CFSP was incorporated in TEU and built as authority of Union in second pillar. CFSP was novelised by Amsterdam Treaty and Nice Treaty and Lisbon Treaty as last novelisation. Today is cancelled the Three Pillar structure and CFSP is classified in other external action of EU. Treatment of external action is divided between...
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15

Serrão, Fernando Pacheco. „O valor da cidadania europeia: a iniciativa de cidadania europeia como instrumento da democracia participativa“. Master's thesis, 2016. http://hdl.handle.net/1822/47995.

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Dissertação de mestrado em Ciência Política
A cidadania foi interpretada ao longo do tempo de maneira diversa. Da Antiguidade aos nossos dias, ela perpassa todas as gerações e momentos da vida em sociedade com significação adequada a esses distintos instantes. A evolução foi constante até hoje. Desde a polis, passando pela cidadania nacional até à supranacional, o sentimento de pertença através de um vinculo jurídico entre o individuo e a sociedade é norteado por direitos e deveres cujo objetivo deve ser o da participação ativa para a prossecução do bem comum. Este trabalho foca-se na abordagem da questão da cidadania europeia como ponto fulcral da democracia participativa através do mecanismo de Iniciativa de Cidadania Europeia, introduzido pelo Tratado de Lisboa, tendo em conta que a cidadania europeia é complementar à cidadania nacional e para a qual olhamos como referencial comparativo com este processo europeu. Para enquadrar a questão em análise, caracteriza-se o sistema político da União Europeia, sobretudo das suas instituições diretamente envolvidas com este mecanismo como é o caso do Parlamento Europeu e da Comissão, identificamos os seus atores, processos políticos e políticas. A Iniciativa de Cidadania Europeia será abordada desde a sua génese, o seu significado, o seu caminho evolutivo e o impacto que teve e tem na participação dos cidadãos europeus, além de se perceber a forma como pode contribuir para a qualidade da democracia na UE com o desenvolvimento de uma cidadania mais participativa, através da presença no processo de decisão. Paralelamente analisamos se pode ser um meio dissuasor da perceção do défice democrático que é, amiúde, objeto de considerações de que, ao nível europeu, os cidadãos não têm uma representação adequada, pondo mesmo em causa a legitimidade no seu seio. Outra abordagem relaciona-se com as organizações da sociedade e partidos políticos que, tendem a fazerse substituir aos cidadãos exercendo influência para direcionar, segundo os seus interesses, a apresentação de propostas dentro do âmbito deste mecanismo. Em suma, a questão transversal a este trabalho é aferir se este novo mecanismo integrante do Tratado de Lisboa, é um meio determinante para o reforço da cidadania e democracia europeias através da capacitação dos cidadãos para a decision making.
Citizenship has been interpreted in various manners throughout time. From the distant past to present day, citizenship relates to all generations throughout society, and each distinct moment has an appropriate meaning. From the polis through to national and supranational citizenship, the feeling of belonging amongst individuals to a society by way of a legal bond is orientated by rights and responsibilities, aiming for an active participation in the pursuit of a common good. This paper addresses European citizenship as an expression of participatory democracy through the European Citizens’ Initiative mechanism. Introduced by the Treaty of Lisbon, it is regarded as a comparative reference as it takes into consideration that European citizenship is additional to national citizenship. To provide a context, the political system of the European Union is characterised by political procedures and policies where all agents are identified, especially the institutions which are directly connected to the ordinary legislative procedure (European Parliament, European Commission and Council). The origin, definition and evolutionary path of the European Citizens’ Initiative are examined as well as a comparative study of three successful initiatives to better understand how it may contribute towards the amelioration of democracy in the EU by developing a more participative citizenship and enabling European citizens to play an active role in the decisionmaking process. At the same time, we analysed whether this mechanism could have a detrimental effect on the perception of the democratic deficit which is visible on a European level. If citizens are not being adequately represented, then this actually questions its legitimacy. The organizations and political parties which tend to substitute citizens are also examined as they exercise their influences according to their own interests and present proposals within the scope of this mechanism. On the whole, the transversal issue in this paper is to assess whether this new mechanism, introduced by the Treaty of Lisbon, is a means to reinforce European citizenship and democracy by empowering citizens to actively participate in the political process of the European Union.
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Horynová, Kateřina. „Ověření odhadu předpokladů pro zkrácení výkonu trestu“. Master's thesis, 2012. http://www.nusl.cz/ntk/nusl-307842.

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This Diploma thesis engages in problematic of the identification of needs and evaluation of risks by offenders of crime acts in the standpoint of developing the prediction tool, which could be used as a common tool in a prison and justice profession. This thesis is divided into two parts - the theoretical one and the empirical one. In the first - theoretical - part I introduce the basic concept of the evaluation of risks and its utilization in current prediction tools. I also mention here a historical development of these tools and their dividing according to the usage of statistical or dynamical factors. After that I also shortly introduce these days most common used tools in other countries. Then I focus on the development of czech (czechoslovak) evaluation tools and their specifics. Last chapter of the theoretical part introduces SARPO project in the meaning of slight description of its history and showing main ideas. Data analysis is based on dataset from SARPO 1 research (2009), which had to verify SARPO 1 utility tool. Besides the presentation of results and characteristics of dataset I will verify the propriety of designed mathematical model for calculation of risk through first and also second validization essay. Part of the analysis is also suggestion of alternative model for prediction...
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Daniluk, Aleksandra. „Unia Europejska w polityce zagranicznej Republiki Białoruś“. Doctoral thesis, 2017. https://depotuw.ceon.pl/handle/item/2639.

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W toku prowadzonej w rozprawie analizy próbowano wypełnić następujące zadania badawcze: (1) scharakteryzować determinanty i kierunki polityki zagranicznej Republiki Białoruś; (2) zbadać miejsce Unii Europejskiej wśród kierunków i priorytetów białoruskiej polityki zagranicznej; (3) zbadać przyczyny zmienności w relacjach Białorusi z Unią Europejską, (4) ocenić istnienie zbieżności interesów obu podmiotów; (5) ocenić perspektywy współpracy obu podmiotów. Główna hipoteza rozprawy brzmi: Unia Europejska nie odgrywa w praktycznym działaniu znaczącej roli w polityce zagranicznej Republiki Białoruś, choć stanowi jeden z ważniejszych wektorów w założeniach i koncepcjach jej polityki. W sferze funkcjonalnej polityka zagraniczna Republiki Białoruś przekłada się na intensywny rozwój wschodniego kierunku działań zewnętrznych państwa białoruskiego. Istotny w tym kontekście jest fakt, że dotychczasowa polityka Unii Europejskiej w relacjach z Republiką Białoruś, oparta na krytycznym dialogu nie przyniosła zakładanych rezultatów a jedynie zniechęciła państwo białoruskie do pogłębiania współpracy. Polityka wielowektorowości Republiki Białoruś ogranicza się do próby kształtowania suwerenności przy znaczącej asymetrii pomiędzy potencjałem państwa białoruskiego w wymiarze politycznym, gospodarczym i wojskowym, a jego możliwościami. Ponadto przynależność Białorusi do wschodnich struktur integracyjnych ma decydujący wpływ na jej relacje z Unią Europejską. W pracy sformułowano również cztery hipotezy dodatkowe, stanowiące uszczegółowienie hipotezy głównej: Hipoteza 1. Niewielkie znaczenie Unii Europejskiej w polityce zagranicznej Republiki Białoruś jest uwarunkowane interesami narodowymi państwa białoruskiego, ukształtowanymi przez historię, czynnik ustrojowy, geopolityczny i ekonomiczny; Hipoteza 2. Odmienne postrzeganie podstaw współpracy przez Białoruś i Unię Europejską w znaczącym stopniu determinuje cykliczność ich wzajemnych relacji; Hipoteza 3. Białoruś poprzez uczestnictwo w programie Partnerstwa Wschodniego stwarza możliwość realizacji europejskiej drogi rozwoju w wymiarze ekonomicznym, co może mieć istotny wpływ na kształtowanie stabilności, bezpieczeństwa i rozwoju w regionie Europy Wschodniej; Hipoteza 4. Przyszły stan stosunków Unii Europejskiej i Republiki Białoruś będzie zależny nie tylko od wyboru strategii rozwoju państwa białoruskiego oraz kierunku jego przemian ustrojowych, ale także od oddziaływania środowiska międzynarodowego, w którym znaczącą rolę odgrywają Federacja Rosyjska i NATO. Weryfikacji powyższych hipotez dokonano na przestrzeni pięciu rozdziałów. W rozdziale pierwszym, analizie poddano: uwarunkowania historyczne, ustrojowe, geopolityczne oraz ekonomiczne. Istotnym elementem był również kontekst Rosji w działaniach zewnętrznych Białorusi. W drugim rozdziale przedstawiono prawno-polityczny i ekonomiczny wymiar stosunków Republiki Białoruś z Unią Europejską. Przeanalizowano programy unijnych działań zewnętrznych, adresowane do państw Europy Wschodniej (w tym Białorusi) oraz przedstawiono ewolucję stosunków białorusko-unijnych od początku lat 90. do bieżących wydarzeń w XXI wieku. Całość rozważań dopełnił ekonomiczny wymiar dwustronnych relacji obu podmiotów. Rozdział trzeci poświęcony został roli i miejscu Białorusi w programie Partnerstwa Wschodniego. Przeanalizowano w nim aktywność państwa białoruskiego w multilateralnym i bilateralnym wymiarze programu oraz podjęto próbę odpowiedzi na pytanie w jakim zakresie obecność Białorusi w Partnerstwie Wschodnim wpływa na możliwość realizacji przez nią europejskiej drogi rozwoju. W rozdziale czwartym zaprezentowano praktyczny wymiar stosunków białorusko-unijnych, wyrażający się w realizacji konkretnych projektów, finansowanych z unijnego budżetu w ramach programów przewidzianych w Europejskiej Polityce Sąsiedztwa i Partnerstwie Wschodnim. W rozdziale piątym zaprezentowano trzy scenariusze przyszłych relacji Białorusi z Unią Europejską: stagnacyjny, regresywny i progresywny.
During the analysis, the following research tasks were attempted: (1) to characterize the determinants and directions of the foreign policy of the Republic of Belarus; (2) examine the European Union's position among the directions and priorities of Belarusian foreign policy; (3) identify the causes of variation in Belarusian relations with the European Union, (4) assess the existence of convergence of the interests of both entities; (5) assess the future prospects for cooperation between this two entities.The main hypothesis of the dissertation is: The European Union does not play a significant role in the foreign policy of the Republic of Belarus, although it is one of the most important vectors in its policy assumptions. In the functional sphere, the foreign policy of the Republic of Belarus translates into the intensive development of the eastern direction of external actions of the Belarusian state. It is important, that the current policy of the European Union on the Republic of Belarus based on critical dialogue, did not bring the expected results, but only discouraged the Belarusian state from deepening cooperation. Multi-vector policy of the Republic of Belarus is limited to attempt to establish sovereignty during significant asymmetry between the political, economic and military potential of the Belarusian state and its capabilities. Moreover, Belarusian membership in the integration structures of Eastern Europe has a decisive influence on its relations with the European Union.In the dissertation have been formulated four additional hypotheses, to clarify the main hypothesis: Hypothesis 1. The minor importance of the European Union in the foreign policy of the Republic of Belarus is conditioned by the national interests of the Belarusian state, influenced by history, political, geopolitical and economic factors; Hypothesis 2. The different perception of the basis for cooperation of Belarus and the European Union significantly determines the cyclicality of their relations; Hypothesis 3. By participating in the Eastern Partnership program, Belarus is able to realize the European economic development path, which can have a significant influence on building stability, security and development in Eastern Europe; Hypothesis 4. The future state of relations between the European Union and the Republic of Belarus will depend not only on the state development strategy, chosen by the Belarusian authorities and on direction of political transformation of the state, but also on the international environment, where the Russian Federation and NATO play a significant role.The dissertation is divided to five chapters. The first chapter focused on historical determinants, legal and constitutional conditions, geopolitical determinants and the economic conditions. An important element was also the context of Russia in external actions of Belarus. The second chapter focused on the legal, political and economic dimension of the relations between Belarus and the EU. The analysis included: EU external action programs addressed to Eastern European countries, the evolution of political Belarusian-EU relations from the early 1990s to current events in the 21st century and the main aspects of bilateral economic cooperation between this two actors. The analysis in the third chapter included: the presence and activity of the Belarusian state in the multilateral and bilateral dimension of the program and an attempt to answer the question how the participation of Belarus in the Eastern Partnership programme, enables realizing by this country the European development path. The analysis in the fourth chapter included realization of concrete projects financed by the EU budget under the programmes of the European Neighborhood Policy and Eastern Partnership. The fifth chapter focused on perspectives of future relations between Belarus and European Union. The analysis included three scenarios: stagnant, regressive and progressive.
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„Examining Dose-Response Effects in Randomized Experiments with Partial Adherence“. Doctoral diss., 2018. http://hdl.handle.net/2286/R.I.48456.

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abstract: Understanding how adherence affects outcomes is crucial when developing and assigning interventions. However, interventions are often evaluated by conducting randomized experiments and estimating intent-to-treat effects, which ignore actual treatment received. Dose-response effects can supplement intent-to-treat effects when participants are offered the full dose but many only receive a partial dose due to nonadherence. Using these data, we can estimate the magnitude of the treatment effect at different levels of adherence, which serve as a proxy for different levels of treatment. In this dissertation, I conducted Monte Carlo simulations to evaluate when linear dose-response effects can be accurately and precisely estimated in randomized experiments comparing a no-treatment control condition to a treatment condition with partial adherence. Specifically, I evaluated the performance of confounder adjustment and instrumental variable methods when their assumptions were met (Study 1) and when their assumptions were violated (Study 2). In Study 1, the confounder adjustment and instrumental variable methods provided unbiased estimates of the dose-response effect across sample sizes (200, 500, 2,000) and adherence distributions (uniform, right skewed, left skewed). The adherence distribution affected power for the instrumental variable method. In Study 2, the confounder adjustment method provided unbiased or minimally biased estimates of the dose-response effect under no or weak (but not moderate or strong) unobserved confounding. The instrumental variable method provided extremely biased estimates of the dose-response effect under violations of the exclusion restriction (no direct effect of treatment assignment on the outcome), though less severe violations of the exclusion restriction should be investigated.
Dissertation/Thesis
Doctoral Dissertation Psychology 2018
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