Academic literature on the topic 'Fishery law and legislation'

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Journal articles on the topic "Fishery law and legislation"

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Purwanti, Ani, Dyah Wijaningsih, Muh Afif Mahfud, and Fajar Ahmad Setiawan. "ASSESSING FISHERY LEGISLATION FOR GENDER EQUALITY AND EMPOWERMENT IN FISHERY COMMUNITIES IN INDONESIA." Diponegoro Law Review 6, no. 2 (October 31, 2021): 172–90. http://dx.doi.org/10.14710/dilrev.6.2.2021.172-190.

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The research objective was to analyze the problem of fisherwomen empowerment and gender equality based on legal reviews in Indonesia. The research method used is normative legal studies. The results of the study found that there are discriminatory implications in Law Number 7 of 2016 concerning the Protection and Empowerment of Fishermen, Fish Farmers, and Salt Farmers or commonly referred to as the PEF Act (Protection and Empowerment of Fishermen) which is not in line with the empowerment of fisherwomen and is in conflict with gender equality. The findings make it clear that fisherwomen, unlike other economic actors in the fishing industry, are the most overlooked group rooted in socio-cultural prejudice. The PEF Act does not specifically recognize or even mandate any form of affirmative action for fisherwomen to gain equal access to protection and empowerment programs. This causes fisherwomen who have been culturally forcibly placed in households and away from the fishing industry. But instead, the PEF Act dwarfed the position of women as a mere secondary role in fishery households instead of the main breadwinner. Therefore, this study suggests that the government should make a strict amendment to the PEF Act. Namely recognizing gender equality in the role of fisherwomen and followed by reforming gender mainstreaming in the fisheries bureaucracy to accommodate fisherwomen's rights to access community empowerment programs for fishing communities.
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Wu, Wei, Yang Liu, Zhaobin Pei, Yan Lin, Xin Sun, Jiaqi Xing, Yuwei Wang, and Yu Liu. "Inheritance and Development: The Evolution and Overview of China’s Fisheries Legal System." Fishes 8, no. 1 (December 22, 2022): 5. http://dx.doi.org/10.3390/fishes8010005.

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China’s legal system governing fisheries in China has been stable during development. In line with China’s national conditions and the spirit of the times, they have adhered to the concept of green development and maintaining the sustainable development of fishery production activities. Studying the history of Chinese fishery law is beneficial for the world to understand the evolution of this legislation and is a better gateway for the world to understand fisheries law with Chinese characteristics. Fishery, in this context, refers to fishing and fish farming. In China, fisheries are under the management of the Ministry of Agriculture and Rural Affairs, while fisheries enforcement has a special law enforcement department for collaborative management. Therefore, both fishing and fish farming in China’s fisheries industry belong to the category of agriculture. This is different from the West and is precisely what makes China unique. This paper explores the Chinese fishery legal and general legal systems by investigating policy guidelines, laws, and regulations on China’s fishery industry since 1949. Furthermore, it analyzes the development process of fisheries. Organizing the development status of China’s fishery legal and regulatory system analyzes the problems of fishery production control and development, searches for paths and methods to solve the practical problems, and finally, makes a reasonable outlook on the development prospect of China’s fishery.
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Monita, Yulia, Nys Arfa, and Zulham Adamy. "CRIMINAL LIABILITY OF FISHERY PERPETRATOR ACCORDING TO FISHERY LAW NUMBER 45 OF 2009 CONCERNING AMENDMENT TO LAW NUMBER 31 OF 2004." Berumpun: International Journal of Social, Politics, and Humanities 3, no. 2 (October 4, 2020): 127–39. http://dx.doi.org/10.33019/berumpun.v3i2.29.

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Many occurrences of fisheries criminal offenses make the writer interested to learn about criminal provisions and the responsibility of the perpetrators according to Law No. 45 of 2009 concerning amendments to Law No. 31 of 2004 concerning Fishery. By studying, understanding, and analyzing these articles of law, the author significantly obtains the picture of whether this Fishery Law is appropriate and able to force the perpetrator of their responsibility for their actions. The purposes of this paper are 1) To analyze the patterns of fishery criminal so the perpetrators could be charged their responsibilities according to Law No. 45 of 2009, 2) To study and analyze how to determine the penalties according to the Law No. 45 of 2009. This paper is a qualitative descriptive. The method of this research is normative law with conceptual and institutional approaches. The result of the study showed that legislation in Indonesia relating to Fisheries, administratively, there are still several articles that are sticking out and controversy according to Law No. 45 of 2009 concerning amendments to Law No. 31 of 2004 concerning Fishery. For small fishermen who do not have a Yachting Approval Letter (SPB) in Indonesia should be subjected to administrative sanctions such as paying compensation. If administrative sanctions are not implemented, then the principle of ultimum remedium can be applied as a last choice in violations of fisheries and there are still several articles that are detrimental to the interests of the State as well as the interests of local fishermen which, if seen from criminal liability, may be imposed.
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Christiernsson, Anna, Gabriel Michanek, and Pontus Nilsson. "Marine Natura 2000 and Fishery – The Case of Sweden." Journal for European Environmental & Planning Law 12, no. 1 (March 19, 2015): 22–49. http://dx.doi.org/10.1163/18760104-01201002.

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Fishing operations likely to have a significant effect on a marine Natura 2000 area shall be subject to prior assessment and authorisation according to Article 6.3 of the Habitats Directive. This provision, partly also article 6.2, and in particular the cjeu case law, implies that this prior control should be applied rather often in practice, even for recurrent fishery irrespective of when the first fishing operation occurred in an area. Article 11 of the Common Fisheries Policy Regulation entails that Sweden and other Member States apply Article 6 of the Habitats Directive within the entire exclusive economic zone, to both own and foreign fishing vessels. A Member State is also, under certain preconditions, empowered to impose restrictions on fishery not supported by article 6 of the Habitats Directive, especially within the 12 nautical miles zone. A Member State is not formally hindered from excluding fishery from prior assessment and authorisation if instead general requirements on fishery in legislation can ensure that no future fishing operation is likely to have a significant effect on the Natura 2000 area. However, cjeu case law indicates that it would be difficult to fulfil that precondition.
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Ramlan, Ramlan, and Faisal Riza. "Supervision of Fishery Resources through Integrated Technology." Journal of Progressive Law and Legal Studies 2, no. 02 (February 17, 2024): 82–92. http://dx.doi.org/10.59653/jplls.v2i02.646.

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Fisheries crimes damage ecosystems and fisheries resources in waters or sea areas. Although various efforts have been made to stop criminal acts in the fisheries sector, fisheries supervision is still carried out. Therefore, policies and implementation systems for monitoring criminal acts in the fisheries sector must be considered because the public, apart from authorized supervisory officers, can supervise fisheries. This research focuses on determining policies and implementation of supervision that uses integrated technology. The normative legal research methods used are the statutory and concept approaches. Researchers also collect data and conduct studies through qualitative analysis. Law Number 45 of 2009, concerning Amendments to Law Number 31 of 2004 concerning Fisheries, is the basis for supervision. Another law included in supervision is Law Number 1 of 2014 concerning Amendments to Law Number 27 of 2007 concerning the Management of Coastal Areas and Small Islands. According to this research analysis, integrated technology for fisheries monitoring is new and needs to be taken seriously by various legislative policies.
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Fu, Ben-Chao, and Hao Liu. "What Do We Need to Do? The Sustainable Development of Chinese Marine Fisheries: A Legal Perspective." Fishes 8, no. 1 (December 27, 2022): 16. http://dx.doi.org/10.3390/fishes8010016.

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Both the nation with rich marine fishery resources and the nation importing marine fishery resources are increasingly attending to the sustainable growth of marine biodiversity and the balanced governance of fisheries. Nevertheless, Chinese marine fisheries have achieved progressively sustainable development from a legal perspective. Initially, the present paper outlines the legal relationship between sustainable development theory and marine fisheries, discusses the current circumstances of Chinese marine fisheries, and reviews Chinese legal regimens governing marine fisheries. Given this context, the paper explores and analyzes the legal issues (legislation, law enforcement, and administrative management) concerning the sustainable development of Chinese marine fisheries. These significant matters are then discussed to advance a potential approach to enhancing the legal systems governing Chinese marine fisheries and ameliorating the sustainable development of such fisheries. The results will serve as a reference to help lawmakers, decision-makers, and practitioners.
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Simonova, Veronika V. "In alliance with a nocturnal landscape: memory and water law in the north Baikal, Siberia." Polar Record 50, no. 4 (May 27, 2014): 414–20. http://dx.doi.org/10.1017/s0032247414000254.

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ABSTRACTThis paper examines the ethnography of nocturnal fishery and relationships with water, relevant for Evenkis occupying the northern coastal area of Lake Baikal, Siberia. The material arises from Evenkis of Kumora village who live near Lake Irkana and from archival sources. Although the nocturnal fishery is declared illegal in official legislation, local residents invoke memories to mark that practice as traditional and important for the local community since it is not merely a subsistence activity but also an emotional experience and long-term relationships with the landscape. This paper argues that local social memory devoted to this practice serves as a kind of fishing tool and a tool for supporting local ideas of how fishing should be governed. The collision between memory and water law is not discussed in terms of antagonism between local groups and authorities but as ignorance between memory-gifted people and the landscape, and memory-disabled official approaches to nocturnal fishing and its histories. Finally, memory-gifted human landscape relationships termed as ‘alliance’ are approached as a powerful conglomerate that ‘consumes’ authorised visions of fishing patterns in their own way.
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Hanninger, Eva-Maria Franziska, Jörn Selling, Katharina Heyer, and Patricia Burkhardt-Holm. "Injuries in cetaceans in the Strait of Gibraltar: an update for the period 2016-2020." J. Cetacean Res. Manage. 24, no. 1 (September 25, 2023): 143–60. http://dx.doi.org/10.47536/jcrm.v24i1.397.

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The Strait of Gibraltar is an important habitat for seven regularly occurring cetacean species. These waters are heavily used for fishing and therefore experience extraordinary levels of shipping traffic. Photography provides a valuable and non‐invasive tool to monitor the health of cetacean populations, where external injuries may indicate specific anthropogenic impacts, such as vessel strikes or fishery interactions. We manually screened 27,866 photos taken during whale‐watching operations between 2016–20 for human‐induced injuries. Injuries of potential anthropogenic origin were detected in 228 cases. The severity of these injuries ranged from superficial linear marks to severe traumas that may affect survival and fitness. Severe injuries included a gunshot wound, vessel‐related traumata and abrasions, signs of previous severe entanglements and deep lacerations which could stem from recreational fishery activities or propellor cuts and occasionally served as an entry point for dermal infections. In 2007, Spanish legislation introduced regulations on how to approach cetaceans by boat, but recreational fishery vessels have been commonly observed to disregard this law. We therefore urge stricter control and enforcement of existing laws and collaboration between the Spanish and Moroccan authorities to mitigate the human impact on cetaceans in this region. KEYWORDS: CETACEANS, STRAIT OF GIBRALTAR, HUMAN IMPACT, WOUNDS, LACERATIONS, ENTANGLEMENTS
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Handayani, I. Gusti Ayu Ketut Rachmi. "Green Development Rights For Optimizing Urban Area And Coastal Areas In Indonesia (Consitency Of The State Of The Doctrine Of The Right To Control The State)." Constitutional Review 2, no. 1 (August 27, 2016): 057. http://dx.doi.org/10.31078/consrev213.

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The green development right paradigm will elaborate the ontology (nature), and the ways or methods in order to achieve the ultimate goal of the green development right. This ultimate goal will be focused on the creation of the ideal maritime systems that may guarantee all related parties, such as individual, society, or community, private sectors and the government, to convert their potentials to be functional towards public welfare. The core elements of the green development right will emphasizes the series of norms in managing the coastal and frontline island potentials. The normative framework covers Environmental Law, Fishery Law, and Coastal Law. The research methods use an empirical approach and normative approach. The study documents the analysis consists of constitutions, legislation and various policies relating to the subject matter studied in Indonesia area and the problems it faces and report the results of the various meetings, seminars, public hearings.
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Sun, Yanli. "Study on Legal Issues of Ocean Fishing in China." Journal of Marine Science 4, no. 2 (June 13, 2022): 1. http://dx.doi.org/10.30564/jms.v4i2.4454.

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“The 21st century is the century of the ocean.” In recent years, China has paid more and more attention to the promotion and development of the marine industry, especially the ocean fishery has brought immeasurable economic benefits to China. The development of the marine field is becoming more and more important in the national political, economic and cultural development. All coastal countries have included marine development in their national development strategies and continuously improved their marine legislation under the provisions of the United Nations Convention on the law of the sea. China’s pelagic fishing began in 1985, but because China’s pelagic fishing started too late, after the entry into force of the United Nations Convention on the law of the sea at the end of 1994, nearly 36% of the richest high seas on earth became the exclusive economic zone of coastal countries, and the development space of China’s pelagic fishing has become very limited. After just more than 30 years of development, ***. However, before that, China’s pelagic fishing was still subject to the dual norms of international conventions and domestic laws, and China had not yet formulated a special law on pelagic fishing, and there were still many deficiencies in the legal system norms of pelagic fishing. Therefore, the biggest problem facing China’s pelagic fishery is how to better develop the marine industry under the system of laws and regulations, drive the coordinated economic development, provide legal guidance and help for pelagic fishermen, and provide solid technical support for building a marine power with Chinese characteristics.
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Dissertations / Theses on the topic "Fishery law and legislation"

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Palma, Mary Ann. "Analysis of the adequacy of the Philippine legal, policy, and institutional framework to combat illegal, unreported, and unregulated fishing." Access electronically, 2006. http://www.library.uow.edu.au/adt-NWU/public/adt-NWU20070320.121526/index.html.

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Creamer, Allan E. "Evaluating the effects of angler behavior on the efficacy of harvest regulations in recreational fisheries." Thesis, This resource online, 1993. http://scholar.lib.vt.edu/theses/available/etd-09122009-040500/.

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Vogel, Runhild Solveig. "Die Aussenfischereibeziehungen der Europäischen Gemeinschaft : Schutz und Bewirtschaftung kommerziell genutzter Fischbestände in der Europäischen Gemeinschaft /." Frankfurt, M. ; New York, NY : Lang, 2009. http://d-nb.info/995506582/04.

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Sodik, Dikdik Mohamad. "Combating illegal, unreported and unregulated fishing in Indonesian waters the need for fisheries legislative reform /." Access electronically, 2007. http://www.library.uow.edu.au/adt-NWU/public/adt-NWU20080905.114951/index.html.

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Xue, Guifang. "China's response to international fisheries law and policy national action and regional cooperation /." Access electronically, 2004. http://ro.uow.edu.au/theses/369.

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Kikugawa, Tomofumi. "A theoretical analysis of the Law of the Sea negotiation in the context of international relations and negotiation theory." Thesis, University of Stirling, 1999. http://hdl.handle.net/1893/1521.

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The Law of the Sea negotiation, which was instigated as a response to increased human activities at sea, was an international law making process. The negotiation has been described as the longest, most techncally complex, continuous negotiation attempted in modem times. It was attended by almost all states in the world and contained a series of complex and overlapping issues. It was a remarkably successful process in that it concluded with an agreement, which protagonists with different interests and objectives succeeded in producing after 27 years. This thesis analyses international relations and negotiation theories that relate to the Law of the Sea negotiation, highlighting the strengths and weaknesses of each body of theory. The work goes on to examine the most importnt aspets of the Law of the Sea negotiation, including why the negotiation started, the core issues and principal actors of the negotiation, the process up until 1980 when the draft Treaty was devised, the American rejection of the Treaty and the process which led to the final agreement of 1994. The work then looks at these individual aspects of the negotiation in the context of the examination of international relations theory and negotiation theory that relates to the Law of the Sea. The thesis concludes by proposing a model that explains the Law of the Sea negotiation. The model questions existing theory on the meaning of the state and states' status in international society.
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Thoms, J. Michael. "Ojibwa fishing grounds a history of Ontario fisheries law, science, and the sportsmen's challenge to aboriginal treaty rights, 1650-1900 /." online access from Digital Dissertation Consortium access full-text, 2004. http://libweb.cityu.edu.hk/cgi-bin/er/db/ddcdiss.pl?NQ90280.

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Sakata, Tommy Taira. "An assessment of area licence configurations in the B.C. salmon fishery." Thesis, University of British Columbia, 1985. http://hdl.handle.net/2429/24911.

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There has been much discussion of the merits and limitations of area licensing, i.e., a fishery management tool which restricts fishermen to certain geographic areas, in the British Columbia," Canada, salmon fishery. To date there has been little formal evaluation of the implications of this policy tool for salmon fishery management. In the reports by Pearse (1982), Sinclair (1978) and Fleet Rationalization Committee (1982) some insights on the subject are provided, but an evaluation in terms of specific criteria is lacking. This study evaluates five area licence configurations in the context of the B.C. salmon fishery. They are assessed based on evaluative criteria that cover the following subject areas: management operations; socio-economic effects; biological effectiveness; and economic efficiency. Each of these broad subjects are factored into specific elements, in which the emphasis is on the nature of the fishery and the resource. From the analysis it was found that the area licence configurations that factored the coast into two large harvest areas or the configuration that alienated small area(s) as test area(s) are most appropriate for the fishery. These configurations facilitated the attainment of management operations, socio-economic and biological goals, but not the economic efficiency goals. The other configurations, in particular those that factor the coast into a number of smaller harvest areas, result in exacerbating the problems with all criteria except economic efficiency and some biological factors. The appropriate area configurations for the B.C. salmon fishery would be the configurations that factors the coast into two large harvest areas; or the configuration where two or three small harvest areas are alienated from the existing harvest area. There are three fundamental reasons for this: (1) they are least disruptive (i.e., minimum impact on present harvest patterns, least politically sensitive, and minimum distributional effects); (2) they offer greatest flexibility to address political, economic, biological and social uncertainties; and (3) these area configurations provide the greatest ease of implementation and incremental adjustment of the status quo. Acceptance of these configurations will depend on the time horizon and the objectives of the decision makers.
Applied Science, Faculty of
Community and Regional Planning (SCARP), School of
Graduate
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Finley, Mary Carmel. "The tragedy of enclosure fish, fisheries science, and U.S. foreign policy, 1920-1960 /." Diss., Connect to a 24 p. preview or request complete full text in PDF format. Access restricted to UC campuses, 2007. http://nsgl.gso.uri.edu/casg/casgy07001.pdf.

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Thesis (Ph. D.)--University of California, San Diego, 2007.
Title from first page of PDF file (viewed January 9, 2008). Available via ProQuest Digital Dissertations. Vita. Includes bibliographical references.
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Parsons, L. S. "An evaluation of the Canadian 200-mile fisheries zone : benefits,problems and constraints." Thesis, McGill University, 1992. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=70265.

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This thesis evaluates the impact of the Canadian 200-mile fisheries zone from biological, economic and social perspectives. The factors and events leading to the 200-mile zone are examined. The Canadian management regime post-extension is described. Canada derived significant benefits from the 200-mile zone including increased management authority over a vast area with major fish resources, the displacement of foreign fisheries, the development of Canadian fisheries in areas and for species not previously utilized by Canada, and the opportunity to rebuild overfished fish stocks. However, various problems and constraints have led to continued fisheries instability. These include: (1) Natural resource variability, (2) The common property nature of the resource and resultant overcapacity, (3) Fluctuations in market conditions, (4) Heavy dependence on the fisheries in isolated coastal communities, and (5) Recurrent conflict among competing users and conflicting objectives for fisheries management.
Despite Canada's abundant marine fishery resources, various combinations of these factors have contributed to a recurrent boom-and-bust pattern in many marine fisheries. Extended jurisdiction did not provide a panacea for the problems of the fisheries sector. Continued periodic fluctuations in Canada's marine fisheries and demands for government assistance can be expected unless viable alternative economic opportunities can be developed in the coastal regions.
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Books on the topic "Fishery law and legislation"

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Howarth, William. Freshwater fishery law. London: Financial Training, 1987.

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Fishery Law Symposium (10th 1992 Seattle, Wash.). Tenth Annual Fishery Law Symposium. [Seattle]: Washington Law School Foundation, 1992.

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Fisheries Law Symposium (11th 1993 Seattle, Wash.). Eleventh Annual Fisheries Law Symposium. [Seattle]: Washington Law School Foundation, 1993.

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Markus, Till. European fisheries law: From promotion to management. Groningen: Europa Law Pub., 2009.

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Fisheries Task Force (New Zealand). Fisheries legislation review: Public discussion paper. [Wellington, N.Z: The Task Force, 1991.

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1966-, Owen Daniel, ed. The EU common fisheries policy: Law and practice. Oxford: Oxford University Press, 2010.

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United States. Congress. House. Committee on Resources. Subcommittee on Fisheries and Oceans. Fisheries management successes in Alaska and the reauthorization of the Magnuson-Stevens Fishery Conservation and Management Act: Oversight field hearings before the Subcommittee on Fisheries and Oceans of the Committee on Resources, U.S. House of Representatives, One Hundred Ninth Congress, first session, Wednesday, July 6, 2005, in Ketchikan, Alaska, and Friday, July 8, 2005, in Kodiak, Alaska. Washington: U.S. G.P.O., 2005.

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United States. Congress. House. Committee on Resources. Subcommittee on Fisheries and Oceans. Fisheries management successes in Alaska and the reauthorization of the Magnuson-Stevens Fishery Conservation and Management Act: Oversight field hearings before the Subcommittee on Fisheries and Oceans of the Committee on Resources, U.S. House of Representatives, One Hundred Ninth Congress, first session, Wednesday, July 6, 2005, in Ketchikan, Alaska, and Friday, July 8, 2005, in Kodiak, Alaska. Washington: U.S. G.P.O., 2005.

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United States. Congress. House. Committee on Resources. Subcommittee on Fisheries and Oceans. Fisheries management successes in Alaska and the reauthorization of the Magnuson-Stevens Fishery Conservation and Management Act: Oversight field hearings before the Subcommittee on Fisheries and Oceans of the Committee on Resources, U.S. House of Representatives, One Hundred Ninth Congress, first session, Wednesday, July 6, 2005, in Ketchikan, Alaska, and Friday, July 8, 2005, in Kodiak, Alaska. Washington: U.S. G.P.O., 2005.

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Ellen, Hey, ed. Developments in international fisheries law. Cambridge, MA: Kluwer Law, 1999.

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Book chapters on the topic "Fishery law and legislation"

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D’Andrea, Ariella, Margaret Von Rotz, Solène Devez, Brandon D. Hupka, Mele Ikatonga Tauati, and Siola’a Malimali. "Tonga: Enabling Coastal Communities to Protect Marine Resources and Secure the Livelihoods of Small-Scale Fishers." In MARE Publication Series, 429–50. Cham: Springer Nature Switzerland, 2024. http://dx.doi.org/10.1007/978-3-031-56716-2_20.

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AbstractCoastal fisheries are the food basket of Pacific Islanders, and fishing is deeply rooted in Pacific Islands’ cultures and traditions. In Tonga, during the past century, marine resource management has been the sole responsibility of the government under the law. Although management measures aim to ensure the sustainability of small-scale fisheries, compliance is often a challenge. In 2002 and 2009, Tonga passed new fishery legislation that reformed access to marine resources for local fishers (particularly in lagoons and reef areas) with the introduction of its own community-based fishery management approach, known as the Special Management Area (SMA) program. The SMA program and supporting legislation allow coastal communities and local fishers, with assistance from the Ministry of Fisheries, to regulate adjacent marine areas through local fishery management plans that grant preferential access and assign stewardship duties to community members. Tonga has made a commitment to following the Voluntary Guidelines for Securing Sustainable Small-Scale Fisheries in the Context of Food Security and Poverty Eradication (SSF Guidelines), with the SMA program representing an important step forward. This chapter explores the main venues and opportunities for Tonga to implement the SSF Guidelines while completing the SMA scaling-up process, in line with recent policy commitments made at a Pacific regional level, (In 2021, the members of the Pacific Community (SPC) adopted the Pacific Framework for Action on Scaling up Community-based Fisheries Management: 2021–2025.) to ultimately provide sustainable access for small-scale fishers to marine resources and markets (SDG 14b).
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Holkham, Tony. "Law (Legislation)." In Label Writing and Planning, 104–7. Boston, MA: Springer US, 1995. http://dx.doi.org/10.1007/978-1-4613-1231-4_30.

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Spaak, Torben. "Legislation." In Law and Philosophy Library, 195–205. Cham: Springer International Publishing, 2014. http://dx.doi.org/10.1007/978-3-319-06167-2_12.

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Froehlich, Annette, and Vincent Seffinga. "Alternative Law: Luxembourg’s National Space Law." In National Space Legislation, 125–36. Cham: Springer International Publishing, 2018. http://dx.doi.org/10.1007/978-3-319-70431-9_4.

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Béal, Sylvain, Marc Deschamps, and Philippe Solal. "REACH Legislation." In Encyclopedia of Law and Economics, 1774–78. New York, NY: Springer New York, 2019. http://dx.doi.org/10.1007/978-1-4614-7753-2_674.

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Béal, Sylvain, Marc Deschamps, and Philippe Solal. "REACH Legislation." In Encyclopedia of Law and Economics, 1–5. New York, NY: Springer New York, 2017. http://dx.doi.org/10.1007/978-1-4614-7883-6_674-1.

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Hiziroglu, Ayse Buke. "Automotive Legislation." In Autonomous Vehicles and the Law, 11–34. Cham: Springer International Publishing, 2020. http://dx.doi.org/10.1007/978-3-031-01505-2_2.

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Hiziroglu, A. Buke. "Automotive Legislation." In Autonomous Vehicles and the Law, 13–37. Cham: Springer International Publishing, 2024. http://dx.doi.org/10.1007/978-3-031-56229-7_2.

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Shome, Parthasarathi. "Tax Legislation." In Taxation History, Theory, Law and Administration, 129–43. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-68214-9_13.

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Waldron, Jeremy J. "Legislation." In The Blackwell Guide to the Philosophy of Law and Legal Theory, 236–47. Oxford, UK: Blackwell Publishing Ltd, 2008. http://dx.doi.org/10.1002/9780470690116.ch16.

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Conference papers on the topic "Fishery law and legislation"

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Silovs, Mihails, and Olga Dmitrijeva. "Differences in fishery and aquaculture products, their production and sale technical regulations in Eurasian Economic Union and legislation and practice of the European Union." In 22nd International Scientific Conference. “Economic Science for Rural Development 2021”. Latvia University of Life Sciences and Technologies. Faculty of Economics and Social Development, 2021. http://dx.doi.org/10.22616/esrd.2021.55.052.

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The mandatory requirements for the fishery and aquaculture products, their production and sale in force in the territory of the Customs Union of the Eurasian Economic Union (CU EAEU) arise from the regulatory and legal acts of the Eurasian Economic Union and its predecessor - the Customs Union - and apply in a package approach similar to the law of the European Union pertaining to the food safety area. The requirements of the EAEU technical regulations have been analysed taking into account that European exporting enterprises are first of all obliged to comply with the requirements of the listed EU regulatory and legal acts applicable to their production process and products. The aim of this paper was to run a comparative analysis on the mandatory requirements of the food legislation of the European and Customs Unions regarding fishery and aquaculture products, their production and sale. The issues of certification of certain product categories are analysed separately, the requirements for canned fish being highlighted. The analysis is relevant for all fish processing companies which may consider the possibility of starting export to the countries of the CU EAEU and are intended to reduce costs associated with products’ entry into these markets.
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Soldatova, Irina, Viktor Ovchinnikov, Michail Chernishev, and Nicolay Kuznesov. "The Management Of The Agricultural Structure Of Russia While Maintaining Food Security In The Era Of Globalization." In International Conference on Eurasian Economies. Eurasian Economists Association, 2010. http://dx.doi.org/10.36880/c01.00106.

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The main object of this paper is the food safety of the Russian Federation - it is such a state of the country's economy when food independence of the Russian Federation is provided, physical and economic availability of food stuffs, corresponding to the requirements of Russian Federation legislation in safety and quality, is guaranteed for the population of the country. Realization of Russia's national interests in this field is a key problem. Guarantee of food safety is connected with the overcoming of negative factors which have a complex character and are caused by the following: 1. considerable increase of threshold value of the criteria of domestic market saturation by import output, for example, - meat; 2. low level of paying capacity of the population for food stuff; 3. price disproportion at the markets of agricultural, fish output and food stuff on one side and material-technical resources on the other; 4. disturbance of stability of financial-credit system; 5. insufficient level of development of domestic market infrastructure; 6. moral and physical aging of material-technical basis of agro-industrial and fishery complexes; 7. insufficient level of innovation and investment activities; 8. reduction of national genetic resources.
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Anshari, Tunggul. "Forming Legislation: Pluralism Between Adat Law and State Law." In 2018 International Conference on Energy and Mining Law (ICEML 2018). Paris, France: Atlantis Press, 2018. http://dx.doi.org/10.2991/iceml-18.2018.75.

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Едреев, Тамерлан Шайх-Магомедович. "LABOR LAW CHANGES: REMOTE WORK LAW." In Научные исследования в современном мире. Теория и практика: сборник избранных статей Всероссийской (национальной) научно-практической конференции (Санкт-Петербург, Май 2021). Crossref, 2021. http://dx.doi.org/10.37539/nitp316.2021.98.33.008.

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В статье проанализированы изменения в трудовом законодательстве об удаленной работе, направленные на минимизацию негативных последствий распространения вируса, как на основе механизмов, уже заложенных в трудовом законодательстве, так и с учетом мер, принимаемых на федеральном и региональном уровне. The article analyzes the changes in labor legislation on remote work, aimed at minimizing the negative consequences of the spread of the virus, both on the basis of the mechanisms already laid down in labor legislation, and taking into account the measures taken at the federal and regional levels.
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Nikitin, Aleksey, and Damir Ahmedov. "FORMATION OF RUSSIAN LEGISLATION ON FREEDOM OF CONSCIENCE AND RELIGION." In Law and law: problems of theory and practice. ru: Publishing Center RIOR, 2020. http://dx.doi.org/10.29039/02033-3/055-057.

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This article deals with ensuring the development of the legal framework of public relations in the sphere of freedom of conscience and religion, creating and modernizing means of protecting human and civil rights and freedoms.
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Skaryakina, Elena. ""USURIC INTERESTS" AS NOVELTY OF RUSSIAN CIVIL LEGISLATION." In MODERN PROBLEMS AND PROSPECTS OF DEVELOPMENT PRIVATE LAW AND PUBLIC LAW REGULATION. Baskir State University, 2022. http://dx.doi.org/10.33184/spprchppr-2022-04-22.51.

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Ruzanova, Valentina. "MODERN TENDENCIES IN THE DEVELOPMENT OF CIVIL LEGISLATION." In MODERN PROBLEMS AND PROSPECTS OF DEVELOPMENT PRIVATE LAW AND PUBLIC LAW REGULATION. Baskir State University, 2022. http://dx.doi.org/10.33184/spprchppr-2022-04-22.48.

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Anggraeni, Ricca, and Indah Mutiara Sari. "Simulacra Law Outside the National Legislation Program." In International Conference on Law, Economics and Health (ICLEH 2020). Paris, France: Atlantis Press, 2020. http://dx.doi.org/10.2991/aebmr.k.200513.039.

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"EUROPEAN INTEGRATION OF UKRAINE IN NATIONAL LEGISLATION." In Global Business and Law Development Imperatives. Київський національний торговельно-економічний університет, 2019. http://dx.doi.org/10.31617/k.knute.2019-10-10.80.

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Liu, Mei. "Legislation on Educational Punishment." In 2016 2nd International Conference on Economy, Management, Law and Education (EMLE 2016). Paris, France: Atlantis Press, 2017. http://dx.doi.org/10.2991/emle-16.2017.83.

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Reports on the topic "Fishery law and legislation"

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Hackstadt, Angela. Food Waste Legislation Scholarship: A Mapping Study. University at Albany, State University of New York, March 2019. http://dx.doi.org/10.54014/czwu8703.

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The purpose of this study is to examine research activity on food waste legislation published in law journals to identify top sources and experts cited by recent scholarship. Searches for "food loss" and "food waste" were conducted in three legal research databases for law journal articles published between January 2013 and January 2018. The core list of selected articles consists of 13 law journal articles. The citations from each of the core articles were collected to form a database, which was analyzed to determine what kinds of resources legal scholars rely on when conducting research in food waste legislation. Government Sources and Primary Law contribute approximately 48% of the citations in the database. News, Nonprofit, and Law Reviews and Journals contribute approximately 31% of database citations. This study provides some insight into the complexity of food law and the facets of agriculture, industry, and society that affect the success of food waste reduction legislation.
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Fernandes, Fátima Regina. The Royal Justice and the Common Law in the Portuguese Medieval Legislation. Edicions de la Universitat de Lleida, 2023. http://dx.doi.org/10.21001/itma.2023.16.11.

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Ramírez Bustamante, Natalia, Ana Maria Tribin Uribe, and Carmiña Vargas. Maternity and Labor Markets: Impact of Legislation in Colombia. Inter-American Development Bank, March 2015. http://dx.doi.org/10.18235/0011684.

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This study seeks to determine the impact on female labor outcomes of the amendment to the Colombian labor law that extended maternity leave from 12 to 14 weeks (Law 1468 of July 2011). To identify this impact, labor market outcomes of two groups of women with different fertility rates are compared. The study finds evidence that as a result of the extension of the maternity leave period, women in the high-fertility age group experience an increase in inactivity rates, informality, and self-employment. The study points to the need for a redesign of maternity protection policy that would enable the economic and social costs of bearing children to be shared by both parents and that may generate social change regarding the importance of paternal care.
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Lahey, Joanna, and Marianne Wanamaker. Effects of Restrictive Abortion Legislation on Cohort Mortality Evidence from 19th Century Law Variation. Cambridge, MA: National Bureau of Economic Research, July 2022. http://dx.doi.org/10.3386/w30201.

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Lakdawala, Leah K., Diana Martínez Heredia, and Diego A. Vera-Cossio. The Impact of Expanding Worker Rights to Informal Workers Evidence from Child Labor Legislation. Inter-American Development Bank, January 2023. http://dx.doi.org/10.18235/0004689.

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We study the effects of a Bolivian law that introduced benefits and protections for child workers (who are overwhelmingly informal workers) and lowered the de facto legal working age from 14 to 10. We employ a difference-in-discontinuity approach that exploits the variation in the laws application to different age groups. Work decreased for children under 14, whose work was newly legalized and regulated under the law, particularly in areas with a higher threat of inspections. The effects appear to be driven by a reduction in the most visible forms of child work, suggesting that firms may have reduced employment of young children to minimize the risk of being inspected. In contrast, we nd that more formal channels of adjustments - such as increased costs of hiring due to the costs of complying with the new law - are unlikely to explain the overall decline in the work of young children.
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Баттахов, Петр Петрович. ПРОБЛЕМЫ И ОСОБЕННОСТИ ПРАВОВОГО РЕГУЛИРОВАНИЯ СОЦИАЛЬНОГО ПРЕДПРИНИМАТЕЛЬСТВА В РОССИИ. DOI CODE, 2021. http://dx.doi.org/10.18411/1815-1337-2021-51857.

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The article discusses the history of social entrepreneurship development in Russia. The concept and activities of a new social project in the country are being studied, legal regulation of entrepreneurial, social legal relations of subjects of law is being studied. Particular attention is paid to the requirements for the establishment of separate legal regulations for social enterprises. In the future, the author identifies a change in the vector of development of social entrepreneurship in the Russian Federation and assistance from the state in various priority areas in order to develop economic entities. It is proposed to improve some articles of the current legislation and, at best, to adopt a separate federal law "On Social Entrepreneurship of the Russian Federation."
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Coelho, Daphne, Thomaz Teodorovicz, André Martínez Fritscher, Renata Motta Café, Sergio G. Lazzarini, and Jorge Norio Rezende Ikawa. Monitoring the Governance of State-Owned Enterprises: Assessing the Impact of Brazilian Corporate Governance Reforms. Inter-American Development Bank, May 2024. http://dx.doi.org/10.18235/0012994.

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State-owned enterprises (SOEs) are often justified for correcting market failures, providing essential public services, and fulfilling social objectives. Yet, SOEs face unique governance challenges as agency conflicts usually increase with state ownership. This paper examines Brazil's efforts to address agency conflicts in SOEs, including new legislation (Law 13303 of 2016, the “Law on SOEs”) establishing stringent criteria for the appointment of executives and for the accountability and a complementary monitoring mechanism known as IG-SEST. Using the difference-in-differences methodology, we assess the impact of those interventions on SOEs profitability and labor productivity. Although no significant effect of the more-stringent governance requirements of the Law on SOEs was detected, the group of federal SOEs, which adopted the IG-SEST monitoring mechanism, significantly increased their profitability compared to similar municipal and state SOEs. Because IG-SEST anchored its indicators in corporate governance parameters specified in the Law on SOEs, this result can be interpreted as potential evidence that institutional changes might require complementary mechanisms for effective implementation. These findings are consistent with previous work suggesting that corporate governance might require broader institutional reforms, including fiscal policies to mitigate government action with a negative effect on the performance and solvency of SOEs.
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Paul, Kylie, Anna Wearn, Rob Ament, Elizabeth Fairbank, and Zack Wurtzebach. A Toolkit for Developing Effective Projects Under the Federal Wildlife Crossings Pilot Program. Center for Large Landscape Conservation, December 2021. http://dx.doi.org/10.53847/pznn2279.

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In November 2021, Congress passed the Infrastructure Investment and Jobs Act, now referred to as the Bipartisan Infrastructure Law, which includes multiple provisions related to conserving fish and wildlife. One of the most exciting elements of this historic legislation is a dedicated $350 million competitive grant program called the Wildlife Crossings Pilot Program. In order to assist eligible applicants and partners to understand and take advantage of these new funding and policy opportunities, the Center for Large Landscape Conservation’s Corridors & Crossings Program has created “A Toolkit for Developing Effective Projects Under the Federal Wildlife Crossings Pilot Program.” The document provides: An overview of the Wildlife Crossings Pilot Program and other fish and wildlife provisions in the Bipartisan Infrastructure Law, suggestions for how applicants and their partners can engage, best practices, examples, and resources for designing effective wildlife crossing projects in accordance with each of the grant application criterion of the Wildlife Crossings Pilot Program.
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Lewis, Dustin. Three Pathways to Secure Greater Respect for International Law concerning War Algorithms. Harvard Law School Program on International Law and Armed Conflict, 2020. http://dx.doi.org/10.54813/wwxn5790.

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Existing and emerging applications of artificial intelligence in armed conflicts and other systems reliant upon war algorithms and data span diverse areas. Natural persons may increasingly depend upon these technologies in decisions and activities related to killing combatants, destroying enemy installations, detaining adversaries, protecting civilians, undertaking missions at sea, conferring legal advice, and configuring logistics. In intergovernmental debates on autonomous weapons, a normative impasse appears to have emerged. Some countries assert that existing law suffices, while several others call for new rules. Meanwhile, the vast majority of efforts by States to address relevant systems focus by and large on weapons, means, and methods of warfare. Partly as a result, the broad spectrum of other far-reaching applications is rarely brought into view. One normatively grounded way to help identify and address relevant issues is to elaborate pathways that States, international organizations, non-state parties to armed conflict, and others may pursue to help secure greater respect for international law. In this commentary, I elaborate on three such pathways: forming and publicly expressing positions on key legal issues, taking measures relative to their own conduct, and taking steps relative to the behavior of others. None of these pathways is sufficient in itself, and there are no doubt many others that ought to be pursued. But each of the identified tracks is arguably necessary to ensure that international law is — or becomes — fit for purpose. By forming and publicly expressing positions on relevant legal issues, international actors may help clarify existing legal parameters, pinpoint salient enduring and emerging issues, and detect areas of convergence and divergence. Elaborating legal views may also help foster greater trust among current and potential adversaries. To be sure, in recent years, States have already fashioned hundreds of statements on autonomous weapons. Yet positions on other application areas are much more difficult to find. Further, forming and publicly expressing views on legal issues that span thematic and functional areas arguably may help States and others overcome the current normative stalemate on autonomous weapons. Doing so may also help identify — and allocate due attention and resources to — additional salient thematic and functional areas. Therefore, I raise a handful of cross-domain issues for consideration. These issues touch on things like exercising human agency, reposing legally mandated evaluative decisions in natural persons, and committing to engage only in scrutable conduct. International actors may also take measures relative to their own conduct. To help illustrate this pathway, I outline several such existing measures. In doing so, I invite readers to inventory and peruse these types of steps in order to assess whether the nature or character of increasingly complex socio-technical systems reliant upon war algorithms and data may warrant revitalized commitments or adjustments to existing measures — or, perhaps, development of new ones. I outline things like enacting legislation necessary to prosecute alleged perpetrators of grave breaches, making legal advisers available to the armed forces, and taking steps to prevent abuses of the emblem. Finally, international actors may take measures relative to the conduct of others. To help illustrate this pathway, I outline some of the existing steps that other States, international organizations, and non-state parties may take to help secure respect for the law by those undertaking the conduct. These measures may include things like addressing matters of legal compliance by exerting diplomatic pressure, resorting to penal sanctions to repress violations, conditioning or refusing arms transfers, and monitoring the fate of transferred detainees. Concerning military partnerships in particular, I highlight steps such as conditioning joint operations on a partner’s compliance with the law, planning operations jointly in order to prevent violations, and opting out of specific operations if there is an expectation that the operations would violate applicable law. Some themes and commitments cut across these three pathways. Arguably, respect for the law turns in no small part on whether natural persons can and will foresee, understand, administer, and trace the components, behaviors, and effects of relevant systems. It may be advisable, moreover, to institute ongoing cross-disciplinary education and training as well as the provision of sufficient technical facilities for all relevant actors, from commanders to legal advisers to prosecutors to judges. Further, it may be prudent to establish ongoing monitoring of others’ technical capabilities. Finally, it may be warranted for relevant international actors to pledge to engage, and to call upon others to engage, only in armed-conflict-related conduct that is sufficiently attributable, discernable, and scrutable.
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Pichler, Rupert. The Research Financing Act. A New Framework for Publicly Funded Research in Austria and its Impact on Evaluation. Fteval - Austrian Platform for Research and Technology Policy Evaluation, July 2021. http://dx.doi.org/10.22163/fteval.2021.514.

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On 7 July 2020, the National Council – the first chamber of the Austrian Parliament – passed a package of legislation introducing a new framework for the methods of allocating federal budgets to research, technology, and innovation (RTI). Its core is the Research Financing Act (RFA), complemented by several amendments to existing laws that are necessary for its implementation. Entry into force was on 25 July 2020, the amendments became effective as of 1 January 2021 (BGBl1. I No. 75/20202). The RFA is the biggest legislative project in the field of RTI policy since 2004 when the Research Funding Agency (FFG) was established (Pichler et al. 2007, pp. 329-336; Stampfer et al. 2010, pp. 775-776). For the first time, budget law regulations are now aligned with the needs of institutions performing or funding RTI (Pichler 2021). This article outlines the background and content of the RFA and concludes with a view on the significance of evaluation within the new system.
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