Academic literature on the topic 'Implementation of EU regulations'

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Journal articles on the topic "Implementation of EU regulations"

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Olaniyi, Eunice Omolola. "Towards EU 2020: An Outlook of SECA Regulations Implementation in the BSR." Baltic Journal of European Studies 7, no. 2 (October 1, 2017): 182–207. http://dx.doi.org/10.1515/bjes-2017-0016.

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Abstract The clean shipping concept emerged in a bid to make maritime transportation green and environmentally friendly. This mandate is being accomplished through improved conducts, actions and technology in the maritime industry. One of such measures was the creation of the Sulphur Emission Control Areas (SECA) in 2005 and 2012 to reduce the rate of sulphur emissions from shipping. Sustainable growth—an EU 2020 priority—is strategically linked to the SECA regulation in that it promotes resource efficiency, greener environment and a competitive economy. Thus, the International Maritime Organisation (IMO) and, as adopted by the European Parliament (EP), SECA regulation stipulated that from 2015 all ships in SECA are under the obligation to use low sulphur marine fuel that must not exceed 0.1% (IMO, 2011). This regulation has incited rigorous arguments on the economic disadvantage it would subject affected maritime stakeholders who are made to comply with stringent regulation their counterparts in non-SECA are not subjected to. Two years of 0.1% sulphur regulations have witnessed many changes in the maritime industry and most of the first responses were realised with vessels that ply along the Baltic Sea. This work presents an account of European maritime industry’s approaches towards SECA regulations and the stakeholders’ thoughts on the economic impact of SECA. This contribution brings a clearer picture to the status quo as well as highlighting a needed future focus.
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Gruszczyńska, Agnieszka. "O zabijaniu — uśmiercanie zwierząt przeznaczonych do celów gospodarczych w świetle przepisów rozporządzenia Rady WE nr 1099/2009 oraz regulacji krajowych." Przegląd Prawa i Administracji 108 (June 26, 2017): 103–13. http://dx.doi.org/10.19195/0137-1134.108.8.

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ON TAKING LIFE — THE KILLING OF ANIMALS DESTINED FOR COMMERCIAL USE IN THE LIGHT OF THE COUNCIL REGULATION EC NO. 1099/2009 AND DOMESTIC REGULATIONSLegal articles aiming to protect animals from pain and suffering during killing process constitute one of the key areas of humanitarian animal protection regulations. Within the EU law, the Council Regulation EC No 1099/2009 of 24 September 2009 on the protection of animals at the time of killing constitutes the main act regulating this area Official Journal L 303 of 18.11.2009, pp. 1–30. The member countries have pledged to apply the said Regulation as of January 1, 2013. In order to assure its proper implementation it is necessary to introduce the EU regulations into domestic legislature, while simultaneously revoking the overlapping or conflicting domestic regulations. To date 15.12.2018, Poland has failed to fulfil the above obligation, while the application and interpretation of the EU and domestic regulations remain contentious. This results in the need to verify each particular case with regard to the applicable regulations by an entity responsible for commercial animal slaughter or by asupervisory body, which negatively impacts on the animal protection.In March 2016 the Minister of Agriculture and Rural Development presented adraft of an amendment to the Animal Protection Act for public consultation and settlement, whose aim is to implement the above-mentioned regulations. However, the proposed solutions evoke many questions and substantial doubts, while at the same time in the project implementation activities are lacking.The implementation of regulations ensuring proper application of the 1099/2009 Regulation should be considered crucial to guarantee the correct standards of protection of animals at the time of killing.
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Green, James IJ. "The impact of medical device regulation on hospital doctors who prescribe and manufacture custom-made devices." British Journal of Hospital Medicine 81, no. 12 (December 2, 2020): 1–6. http://dx.doi.org/10.12968/hmed.2020.0596.

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The 1990s saw the implementation of three European directives that aimed to standardise medical device legislation. EU regulations replace and repeal these directives, to improve the safety, effectiveness and traceability of medical devices. This article discusses the implications of the Regulation (EU) 2017/745 (Medical Device Regulation) for hospital doctors who prescribe and manufacture custom-made medical devices.
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Hossain, Kamrul. "The EU ban on the import of seal products and the WTO regulations: neglected human rights of the Arctic indigenous peoples?" Polar Record 49, no. 2 (March 28, 2012): 154–66. http://dx.doi.org/10.1017/s0032247412000174.

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ABSTRACTThe EU ban on the import and commercialising of seals and seal products in the EU market, has attracted intense attention in recent years. As seal products mostly originate from outside the EU, it is argued that the EU action has been discriminatory and hence contrary to the WTO regulations. Canada and Norway have been critical of the EU regulation and have initiated dispute settlement procedures within the WTO since most of the products that enter into the internal market are mainly from these countries. The ban also provoked anger within the Inuit and other indigenous communities, mainly from Canada and Greenland. Although the EU regulation provides an exception for Inuit and indigenous hunts and the subsequent commercialisation of resulting products into the internal market, the exception suffers from clarity and lacks proper implementation procedures. The regulation is predicted to lead to the ultimate disappearance of the seal market in the EU, which directly affects the Inuit and other indigenous peoples engaged in sealing activities. They may lose their means of subsistence. While analysing the critical issues concerning the EU and the WTO regulations and its exceptions, the article focuses on the human rights perspective of the Arctic indigenous peoples affected by the EU ban.
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Rudik, Oleksandr. "Better regulation in the EU and its member states: experience for Ukraine." Public administration and local government, no. 4(43) (December 25, 2019): 20–30. http://dx.doi.org/10.33287/101903.

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The article examines the experience of better regulation in the EU and its member states. The European Union and the 28 EU member states show a strong political commitment towards regulatory reform. In the European Union, regulatory policy has progressed under the better regulation agenda and played a crucial role in shaping the current regulatory processes. At the same time, all EU member states have adopted an explicit policy to promote the quality of regulations. To this end, the author analyses the key findings of the Organization for Economic Cooperation and Development (OECD) 2019 report «Better Regulation Practices across the European Union». In the report the OECD has analysed the application of all 28 EU member states’ regulatory management tools to EU-made laws and regulations. The article also gives examples of the best regulatory practices of the EU member states such as Austria, Belgium, Croatia, Germany, Ireland, Italy, Malta, the Netherlands, Slovakia, Sweden, the United Kingdom. The article concludes that the experience of the EU and its member states in developing and implementing a better regulation policy, in particular the better regulation agenda, is beneficial for Ukraine. In this regard, the article highlights the following legislative and institutional components of this experience: stakeholder engagement in the process of policymaking and regulatory policy implementation by automatically publishing of draft regulatory acts and accompanying impact assessments on the specially designed interactive government portal; highlighting the preliminary and final stages of regulatory impact assessment of all regulations, except for deregulatory and low-cost measures, thereby taking into account stakeholder comments; regular and systematic conduct of ex ante and ex-post evaluation of laws and regulations on the basis of a specially developed sound evidence-based methodology; conducting of regulatory impact assessment and stakeholder engagement during the process of EU directives transposition into member states’ national legislation; introduction of systematic regulatory oversight and quality control of regulatory management tools, which should cover not only regulatory impact assessment practice but also stakeholder engagement.
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Natalii, Malysheva. "Development of the Environmental legislation in Ukraine after coming into force of the Association Agreement." Yearly journal of scientific articles “Pravova derzhava”, no. 31 (2020): 222–31. http://dx.doi.org/10.33663/0869-2491-2020-31-222-231.

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After the full entry into force on 01.09.2017 of the EU – Ukraine Association Agreement one of the main tasks of its implementation was to align Ukraine's national legislation with EU law. The Agreement itself, as well as the annexes thereto, set out both the directions of this process and the specific provisions of EU acts (directives and regulations) to align with national legislation of Ukraine and timeframes of these actions. An important area of harmonization in the context of the Association Agreement’s obligations is environmental protection; its main vectors are set out in Chapter 6 "Environment" of Section V "Economic and Sectorial Cooperation" (Art. 360–366) and in Annexes XXX and XXI to the relevant Chapter 6. In total, following the Annex XXX, Ukraine has to adapt its legislation to the provisions of 26 EU directives and 3 regulations. Since that time both successes in Ukraine's implementation of the EU environmental acquis, as well as weaknesses, problems and difficulties in way to bring the legislation into compliance were revealed. Positive impact on implementation of the Agreement’s requirements was, in particular, the creation of bilateral and national mechanisms for monitoring the implementation of the Agreement, both at the institutional, organizational, legal and procedural levels, for analyze the implementation of Ukraine's commitments on a permanent or periodic basis. Among the main problems which arise during bringing to compliance are the following: lack/insufficiency of a systematic approach in the harmonization process, failure to take into account strategic guidelines and perspective development of EU environmental law, on the one hand, and features of the Ukrainian legal system, on the other hand; attempting to formally transpose EU law without proper link to national environmental law. Finally, there are many environmental issues, the regulation of which is inert to the factors of harmonization with EU law, but is important for domestic national regulation. Unfortunately, in recent years, these aspects of the development of environmental legislation of Ukraine have been constantly neglected, and all legislative activity in the environmental field has been fully focused on bringing the legislation in line with the requirements of the Association Agreement.
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Pędziwiatr, Ewelina. "Contingency theory in the EU projects context." Zeszyty Naukowe Wyższej Szkoły Humanitas Zarządzanie 19, no. 2 (June 30, 2018): 171–80. http://dx.doi.org/10.5604/01.3001.0012.2046.

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The article analyzes the possibility of implementation of contingency theory in EU project management. Author presents the evolution of the understanding of contin¬gency theory and how researches defined contingencies described as factorts that influ¬ence the management process. Article presents the specific contingencies for EU projects management in the context of 2014 – 2020 EU budget regulations. Paper discuss the be¬nefits and the barriers of the implementation of the contingency theory in EU projects management.
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Martins, Joana, Diogo Cruz, and Vitor Vasconcelos. "The Nagoya Protocol and Its Implications on the EU Atlantic Area Countries." Journal of Marine Science and Engineering 8, no. 2 (February 3, 2020): 92. http://dx.doi.org/10.3390/jmse8020092.

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The Nagoya Protocol on Access to Genetic Resources and Fair and Equitable Sharing of Benefits Arising from their Utilization came into force in October 2014. In the European Union (EU), new legislation had to be developed in order to apply the mandatory elements of the Protocol, namely, the Regulation (EU) Nº 511/2014 (ABS Regulation) and the Implementing Regulation (EU) 2015/1866, laying down detailed rules for the implementation of Regulation ABS with regard to the register of collection, monitor user compliance, and best practices. As a consequence, EU countries had to develop their own legislation in order to implement the Nagoya Protocol (NP), as well as the EU regulations. One important fact that distinguishes the national legislation of the EU countries is that some countries choose to control access to genetic resources (GR), while others do not apply access measures. The Atlantic Area countries in the EU share an attractive coastline with regard to the potential of their GR. In addition, the microalgae industry has been identified as a business sector with high potential. Therefore, it is important for GR users to be informed about the existing regulations and the national differences that may occur within EU countries. In this article, the origins and main content of the Nagoya Protocol are described, together with their implications at the EU level and particularly in the countries of the Atlantic Area region. As a result, a decision framework is proposed in order to support the GR users among this region.
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Radwanowicz-Wanczewska, Joanna. "Implementation of New EU Directives Coordinating the Procedures for Awarding Public Contracts in European Union Member States: The Example of Poland." Studies in Logic, Grammar and Rhetoric 65, no. 1 (December 1, 2020): 133–54. http://dx.doi.org/10.2478/slgr-2020-0052.

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Abstract This article concerns the implementation of new EU Directives coordinating the procedures for awarding public contracts in European Union Member States. In a number of countries, including Poland, the process of their implementation (Directive 2014/24/EU of the European Parliament and of the Council of 26 February 2014 on public procurement; Directive 2014/25/EU of the European Parliament and of the Council of 26 February 2014 on procurement by entities operating in the water, energy, transport, and postal services sectors; Directive 2014/23/EU of the European Parliament and of the Council of 26 February 2014 on the award of concession contracts) was delayed. In most cases, the modernization of EU regulations on public procurement required a thorough modification of national regulations in this respect. As a result of the introduction of the package of new Directives, the European Union public procurement market has undergone substantial changes. The need to adjust legal regulations to the changing political, social, and economic situations in a better way has resulted in the transposition of the modernized EU Directives concerning public procurement to the Polish legal system, affecting the final shape of the new Polish Public Procurement Law. The implementation of the package of new Directives has significantly affected the functioning of the Polish public procurement market. For the entities operating in this market, this means the necessity to expand their knowledge, so as to become familiar with the new legal solutions in this respect.
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Zębek, Elżbieta Małgorzata. "Environmental Management of ISO 14001 System Enforcement in EU Countries." Review of European and Comparative Law 44, no. 1 (February 19, 2021): 53–80. http://dx.doi.org/10.31743/recl.9958.

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The European Union International Organization for Standardization management system for the environment (ISO 14001) is established by European Commission Regulation 1221/2009. This legislates a voluntary system where organizations can register in a community eco-management and audit scheme. In the literature, this standard is recognized as an instrument of international environmental protection law, introduced by soft law regulations. ISO 14001 has been implemented by many global and European organizations, and it strives to improve the quality of their environmental resources. It was considered that the ISO 14001 eco-management and audit scheme enforced protection of environment in EU countries by imposing the obligation to implement appropriate legal regulations in this area. This article aims is determine what legal solutions in chosen UE countries enable the effective implementation of ISO 14001 and what positive effects it has on the state of the environment in these countries. The results demonstrated that the number of certified organizations is increasing despite the many difficulties and costs of implementing and organizing required environmental protection areas. The implementation of ISO 14001 was described using the example of Poland and Italy compared to other EU countries. The uptake identifies improved environmental quality, and this is confirmed by indicators of decreasing gas emissions and increasing waste recycling which improve global air, soil and water quality. The higher implementation index of the ISO 14001 standard in Italy translates into higher environmental quality indicators in this country than in Poland.
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Dissertations / Theses on the topic "Implementation of EU regulations"

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Sarvanidis, Sofoklis. "The implementation of information and consultation of employees regulations in Great Britain." Thesis, University of Bath, 2010. https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.527136.

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The thesis focuses on the impact of the EU Directive (2002/14/EC), which was incorporated into UK employment law, with its phased implementation starting on 6th April 2005. The empirical evidence is based on a survey and predominantly on case-study research that involved interviews with: managers, employees and trade union representatives, together with the collection of relevant documentary evidence. The empirical findings, especially for the non-unionised sector, indicate that the reflexive nature of the Information and Consultation of Employees (ICE) Regulations has mainly stimulated the development of organisation-specific or tailor-made information and consultation arrangements, which minimally comply with the legislative provisions. Moreover, the development of such arrangements is primarily based on the ad hoc momentum that is generated by business pressures (i.e. collective redundancies, transfer of undertakings etc) and can be viewed as reflecting the conceptual framework of legislatively prompted voluntarism. The ICE Directive is aimed at bringing a consistency to the establishment of basic and standard information and consultation arrangements across the workplaces in Great Britain. Subsequently, it should promote the harmonisation of employee participation practices amongst the UK and other EU countries, as it has the goal of ensuring that there is a minimum floor of rights in relation to information sharing and consultation with employees. Nevertheless, the Europeanisation of British industrial relations cannot instantly take place through the adoption of such EU directives. With regard to this research endeavour, it emerges that the extant national idiosyncrasies cannot be substantially altered, whilst business pressures and employers’ goodwill continue to be key drivers in the development of employee participation and consultation arrangements in Great Britain, albeit within the newly adopted legislative and statutory framework.
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Mzyece, Dingayo. "An investigation into the implementation of the construction (design and management) regulations in the construction industry." Thesis, University of Wolverhampton, 2015. http://hdl.handle.net/2436/558782.

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The European Union (EU), in 1992, issued the Temporary or Mobile Construction Sites (TMCS) Directive, which requires EU members to introduce specific law to improve health and safety (H&S) performance outcomes by placing specific duties on key stakeholders. This Directive led to the introduction of the first Construction (Design and Management) (CDM) Regulations in the UK construction industry on 31 March 1995 and since their introduction, the overall performance of construction H&S has improved gradually. However, despite this positive outlook, there are still significant concerns surrounding the implementation of the CDM Regulations, a subject on which empirical research has been very scanty. It is against such a background that this study investigates the practical implementation of the CDM Regulations and extends current knowledge and understanding, and develops a framework for appropriate remedial action by industry. The research method involved a thorough critical review of literature, semi-structured interviews, and two postal questionnaire surveys, using as research informants, practitioners with experience of the Designer, CDM Coordinator (CDM-C), and Principal Contractor (PC) roles under the CDM Regulations. Primary data were collected and analysed from in-depth interviews with six organisations purposively selected based on their construction design expertise and 122 questionnaires returned in total. The finding regarding lack of collaborative working amongst duty holders is a significant outcome of this study; a requirement expressed explicitly within the CDM Regulations, yet questionable in terms of its implementation. Further, the study reveals a number of statistically significant correlations between the extent of discharge of duties and their perceived degree of importance. However, the strength of the majority of these correlations is weak. In particular, the evidence indicates that 50% of the duties of the CDM-C are misaligned in terms of extent of discharge and perceived degree of importance, whereas 25% of the PC duties are also misaligned. This signals a lack of understanding regarding the importance of duties, towards achieving improved H&S management. Surprisingly, a comparison between extent of discharge of duties and their perceived degree of difficulty reveals that all the duties of the PC are statistically significant, meaning that the perceived degree of difficulty does not impede their extent of discharge. While 90% of the CDM-C duties are also statistically significant, again the same interpretation applies. Further, a consensus reached by Designers supports the view that CDM-Cs provide insufficient input throughout the planning and construction phase, raising doubt as to whether the duty holder is fit for purpose. Overall, the results confirm that interdependent working of duty holders is still a challenge, demonstrated by the Designer duty to ensure appointment of the CDM-C (Regulation 18(1)), the CDM-C duty to ensure Designers comply with their duties (Regulation 20(2)(c)), and the PC duty to liaise with the CDM-C and Designer (Regulation 22(1)(b)). Three recurring themes emerge from the results, that is: (i) collaboration, (ii) accountability and compliance, and (iii) facilitation, which in turn inform the remedial action framework comprising 13 remedial actions and 8 change drivers. Validation of the remedial action framework by 15 study participants reveals that, at least 10 remedial actions and 7 change drivers are considered likely to improve CDM implementation. The top three remedial actions are: (i) ensuring adequate arrangements for coordination of H&S measures; (ii) including provisions within the regulations specifying the stages for the appointment of duty holders; and (iii) amending the ACoP to provide guidance on determining what resources are adequate for a particular project. Whereas, the top three change drivers are: (i) management leadership; (ii) the proactive participation of duty holders; and (iii) training to equip duty holders with sufficient knowledge on provision of timely and adequate preconstruction information. Based on these outcomes, conclusions, recommendations, and further areas of research are drawn.
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De, Mars Sylvia. "Identical regulation, different outcomes : an analysis of the implementation of EU public procurement legislation in the United Kingdom, the Netherlands, and France." Thesis, University of Nottingham, 2010. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.536559.

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Since 1993, the European Union has dramatically increased the scope and volume of its procurement regulation; particular increases have been made in terms of the procurement procedures made available, and the obligations that national contracting authorities have in light of EU law. This thesis examines the influence that recent developments in EU public procurement law have had on national procurement regulation in the UK, the Netherlands, and France. To assess this influence, three 'case study' areas were selected for investigation: the new procurement procedure 'competitive dialogue', made available for the procurement of complex contracts; the ability to repeat purchase using 'framework agreements', recently made available for purchasing in non-utilities sectors; and the Court of Justice's use of 'general principles of equal treatment and transparency', which has created new obligations for national contracting authorities. The thesis found that, in the areas examined, the influence of EU secondary legislation is substantial and-in two of the three countries examined-also plays a visible role in national regulation where EU law is not mandatory. The Court of Justice jurisprudence evaluated has had its most significant impact on the national judiciary: courts were found to reinforce the Court's judgments in all countries. Soft law issued by the European Commission had little perceivable influence on the formal legal regulation of the Member States examined, but may have influenced approaches taken to guidance or legislation more generally. The thesis also observed that harmonization of national laws, despite not being an objective of the EU rules, has increased in recent years-but even now, national differences (usually reflective of historical approaches taken to procurement regulation) are visible in those areas where the EU rules are optional, rather than mandatory.
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Bauer, Francisca, Christoph Bremberger, and Friedrich Kunz. "Implementation of the Hogan, Rosellón, and Vogelsang (HRV) incentive mechanism into the InTraGas model." Forschungsinstitut für Regulierungsökonomie, WU Vienna University of Economics and Business, 2011. http://epub.wu.ac.at/3086/1/bauer_bremberger_kunz.pdf.

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The European natural gas market is characterised by higher demand than available supply from own resources. Therefore Europe is a gas net-importing region. The costs of potential problems or disruptions establish the need for an environment which stimulates sufficient investments in transmission line capacities. We examine the effects of the introduction of the recently developed Hogan, Rosellón and Vogelsang (HRV) incentive mechanism into the European natural gas market. In the simulations with GAMS we can confirm all results expected from theory. The validity of these simulation results is confirmed in a structural analysis, which comprised the variation of different exogenous input parameters. Therefore we conclude that the HRV incentive mechanism as a regulatory regime for the European natural gas market would be an advisable alternative, which should be considered in future discussions. (author's abstract)
Series: Working Papers / Research Institute for Regulatory Economics
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Frostman, Christine. "Sveriges hantering i praktik av EU:s regelverk om samordningen av medlemsländernas sociala trygghetssystem : En fallstudie av svenska offentliga instansers implementering och uppföljning." Thesis, Växjö University, School of Social Sciences, 2008. http://urn.kb.se/resolve?urn=urn:nbn:se:vxu:diva-2099.

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This essay analyses how Swedish authorities implement the EU regulations on the application of social security schemes and, more specifically, when it comes to health care and sickness benefits. The research is based on a survey and several interviews and aims to answer how the lower echelons of the hierarchy work towards the implementation, what are their working conditions and how the authorities evaluate and optimize the implementation process.

The general conclusion of the study is that there are several flaws in the implementation process. The results have shown that there is a lack of resources as well as of tutoring and education amongst the actors. The complexity of the regulations does also seem to have influenced the process. Finally the results have shown that the public instances do not proceed to a systematic evaluation of the implementation process which has led to a bad communication between the different actors as well as to difficulties in improving the flaws in the implementation process.

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Prada, Stanislav. "Komparácia regulácie a dohľadu finančných systémov USA a EÚ." Master's thesis, Vysoká škola ekonomická v Praze, 2014. http://www.nusl.cz/ntk/nusl-201921.

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The master thesis deals with the issue of the development of regulation and supervision of the financial systems in the US and the EU. The thesis is primarily focused on the regulatory and supervisory bodies and the area of capital adequacy in both, the US and the EU and changes in these areas in response to the global financial crisis. In order to meet the theses objectives the thesis is divided into three chapters, which are logically and chronologically connected. The first chapter covers the period before the financial crisis. This chapter analyzes American and European system of regulation and supervision in the period before the crisis, as well as Basel I and Basel II and the reaction of the US and the EU on these agreements. The second chapter focuses on the period of the financial crisis. Chapter analyzes the causes that led to this crisis and also its actual progress. Next section of the second chapter analyzes the US and the EU response to the crisis and the steps which the US and the EU have taken in an effort to save their financial systems. The last chapter covers the post-crisis period. This chapter is devoted mainly to the new concept Basel III and its implementation in the US and the EU. The conclusion of the thesis will be devoted to an overall summary and to comparison of obtained information.
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Bitar, Hadi, and Björn Jakobsson. "GDPR: Securing Personal Data in Compliance with new EU-Regulations." Thesis, Luleå tekniska universitet, Institutionen för system- och rymdteknik, 2017. http://urn.kb.se/resolve?urn=urn:nbn:se:ltu:diva-64342.

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New privacy regulations bring new challenges to organizations that are handling and processing personal data regarding persons within the EU. These challenges come mainly in the form of policies and procedures but also with some opportunities to use technology often used in other sectors to solve problems. In this thesis, we look at the new General Data Protection Regulation (GDPR) in the EU that comes into full effect in May of 2018, we analyze what some of the requirements of the regulation means for the industry of processing personal data, and we look at the possible solution of using hardware security modules (HSMs) to reach compliance with the regulation. We also conduct an empirical study using the Delphi method to ask security professionals what they think the most important aspects of securing personal data, and put that data in relation to the identified compliance requirements of the GDPR to see what organizations should focus on in their quest for compliance with the new regulation. We found that a successful implementation of HSMs based on industry standards and best practices address four of the 35 identified GDPR compliance requirements, mainly the aspects concerning compliance with anonymization through encryption, and access control. We also deduced that the most important aspect of securing personal data according to the experts of the Delphi study is access control followed by data inventory and classification.
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Rahman, Md Mizanur <1980&gt. "Legal Ontology for Nexus: Water, Energy and Food in EU Regulations." Doctoral thesis, Alma Mater Studiorum - Università di Bologna, 2016. http://amsdottorato.unibo.it/7261/.

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The objectives of the thesis are – (a) to identify the problems in water-energy-food nexus from ICT and Law point of view and to propose theoretically a legal knowledge framework for water-energy-food nexus in order to reduce those problems technologically, (b) to construct and implement legal ontology for nexus extracted from EU water, energy and food Regulations in OWL 2 language, which is a part of the grater work of implementing legal knowledge framework for water-energy-food nexus proposed through the compilation of objective (a). Considering these objectives, this thesis presents total five chapters. First chapter investigates current start of art of nexus in order to identify (1) major knowledge gaps in the nexus and (2) ontological existence of the nexus in the EU regulations, particularly in the legal definitions accommodated in EU Regulations and Directives associated with nexus domains. It also rationalizes the need for legal ontology for nexus. Second chapter evaluates existing perspectives and methodologies available for constructing legal ontology. The purpose of such evaluation was to select correct perspective and methodology for constructing legal ontology for nexus. It, at the end, justifies the need for developing new methodology for constructing the legal ontology for nexus. Third chapter explains the methodology used for engineering legal definitional knowledge extracted from the selected EU regulations in order to construct the legal ontology for nexus. Fourth chapter explains in detail the legal ontology for nexus while fifth chapter evaluates legal ontology for nexus. In addition, conclusion of the thesis shares critical issues faced throughout this doctoral thesis work. Furthermore, annexes contain a list of all formulas of restrictions implemented in legal ontology for nexus and links of all modules of legal ontology for nexus. LODE documentation of the legal ontology for nexus is available at http://codexml.cirsfid.unibo.it/post-doctoralresearchers/mizanur-rahman/.
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McAllister, Steve Randolph. "Implementation of Food Safety Regulations in Food Service Establishments." ScholarWorks, 2018. https://scholarworks.waldenu.edu/dissertations/5902.

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Food service businesses in the United States have experienced millions of dollars in losses caused by foodborne illness outbreaks, which can lead to bankruptcy and business closures. More than 68% of all foodborne illness outbreaks occur in food service establishments. The purpose of this descriptive case study was to explore the strategies leaders of food service establishments use to implement food safety regulations. Force field analysis was the conceptual framework for this study. The population for the study consisted of 3 leaders of food service establishments located in the southeastern region of the United States. Data were collected using semistructured interviews and a review of the business policies and procedures that support compliance with critical food safety regulations. The methodological triangulation approach was used to assist in correlating the interview responses with company policies and procedures during the data analysis process. Yin's 5-step data analysis approach resulted in 3 themes: (a) organizational performance analysis for improvements in food safety, (b) strategies applied to improve food safety, and (c) stability of new strategies for food safety. The key strategies identified included adhering to the guidelines of food code and regulation, conducting employee training and awareness building, and working closely with food safety inspectors. The implications for positive social change include the potential to add knowledge to businesses, employees, and communities on the use of effective food safety strategies to minimize foodborne illnesses. Such results may lead to the improvement of service performance and long-term growth and sustainability of food service establishments.
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Petersen, Sara, and Hilda Lundin. "The Pitfalls of Communicating the Implementation of Environmental Regulations." Thesis, Linköpings universitet, Företagsekonomi, 2020. http://urn.kb.se/resolve?urn=urn:nbn:se:liu:diva-167717.

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In the light of a market that showcases increased hesitation and skepticism over green marketing and environmental communication, is the necessity of a well executed corporate communication greater than ever. What can be seen on the market is corporations that are unintentionally using motive greenwashing as a tool for attracting and persuading consumers to favour the corporations image. Prior research within green marketing has put a large focus on greenwashing in product context and the effects of it on consumer behaviour. In this study greenwashing is examined in a communication context and its effect on different aspects of consumer behaviour and attitude.
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Books on the topic "Implementation of EU regulations"

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Carrera, Sergio. Implementation of EU Readmission Agreements. Cham: Springer International Publishing, 2016. http://dx.doi.org/10.1007/978-3-319-42505-4.

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Stelkens, Ulrich, Wolfgang Weiß, and Michael Mirschberger, eds. The Implementation of the EU Services Directive. The Hague, The Netherlands: T. M. C. Asser Press, 2012. http://dx.doi.org/10.1007/978-90-6704-840-8.

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EU immigration and asylum law: Commentary on EU regulations and directives. München: Beck, 2010.

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Clenaghan, Conor. Phosphorus regulations national implementation report, 2003. Johnstown Castle Estate: Office of Environmental Enforcement, Environmental Protection Agency: An Ghníomhaireacht um Chaomhnú Chomhshaoil, 2003.

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Sarzeaud, Patrick, Andie Dimitriadou, and Milan Zjalic, eds. EU beef farming systems and CAP regulations. The Netherlands: Wageningen Academic Publishers, 2007. http://dx.doi.org/10.3920/978-90-8686-630-4.

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1955-, Wettestad Jørgen, ed. EU emissions trading: Initiation, decision-making and implementation. Aldershor, Hampshsire, England: Ashgate, 2008.

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Inc, ebrary, ed. Reforming rules and regulations: Laws, institutions, and implementation. Cambridge, MA: MIT Press, 2010.

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Graham, Virginia. EU and GM foods: Current regulations and future trends. London: Chadwick House Group, 2000.

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Downes, Chris. The Impact of WTO SPS Law on EU Food Regulations. Cham: Springer International Publishing, 2014. http://dx.doi.org/10.1007/978-3-319-04373-9.

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Welch, Jane. Comparative implementation of EU directives (I): Insider dealing and market abuse. London: Published by the Corporation of London for the British Institute of International and Comparative Law, 2005.

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Book chapters on the topic "Implementation of EU regulations"

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Voigt, Paul, and Axel von dem Bussche. "Practical Implementation of the Requirements Under the GDPR." In The EU General Data Protection Regulation (GDPR), 245–49. Cham: Springer International Publishing, 2017. http://dx.doi.org/10.1007/978-3-319-57959-7_10.

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Sum, Katarzyna. "Post-Crisis EU Banking Regulation: Assessment and Challenges to Implementation." In Post-Crisis Banking Regulation in the European Union, 75–132. Cham: Springer International Publishing, 2016. http://dx.doi.org/10.1007/978-3-319-41378-5_3.

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Lopes, Isabel Maria, Teresa Guarda, and Pedro Oliveira. "EU General Data Protection Regulation Implementation: An Institutional Theory View." In Advances in Intelligent Systems and Computing, 383–93. Cham: Springer International Publishing, 2019. http://dx.doi.org/10.1007/978-3-030-16181-1_36.

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Montemaggiori, Flaminia. "Considering the IDD Within the EU Legal Framework on ADR Systems." In AIDA Europe Research Series on Insurance Law and Regulation, 327–47. Cham: Springer International Publishing, 2020. http://dx.doi.org/10.1007/978-3-030-52738-9_13.

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AbstractThis chapter will analyse the role of IDD as the new EU legal framework for enforcing consumer ADR system in the insurance sector. After a brief examination of the main EU initiatives aimed at promoting the use of ADR for consumer’s disputes, it will consider the position of the IDD rules. Then, it will try to imagine the impact of the IDD framework on out-of-court redress for the insurance sector, with an overview of the main items that could be faced in the implementation of article 15 of the directive.
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Lazaridou, Dimitra, Anastasios Michailidis, Stefanos Nastis, Efstratios Loizou, and Aikaterini Paltaki. "How to start or be in a Union or Coperative?" In Manuali – Scienze Tecnologiche, 34. Florence: Firenze University Press, 2020. http://dx.doi.org/10.36253/978-88-5518-044-3.34.

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Cooperatives in the EU Member States are subject to the provisions of the Council Regulation 1435/2003. However, cooperative legislation is different among the EU states and most countries have specific rules applicable to cooperatives. There are some steps for setting up a cooperative, which are summarized in: Identification of a common economic goal for potential members, decision about the number of members recruited, their rights and responsibilities, determination of business feasibility, development of a business plan, preparation of legal papers and implementation of the business plan. In many European countries, cooperatives can have a legal status either as a cooperative society with limited or unlimited liability, as an economic interest grouping or as a joint-stock company. Most EU Member have no mandatory provision regarding the minimum capital stock or the minimum number of members for setting up a cooperative.
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Hoppe, Nils. "The Regulation of Biobanking in Germany." In GDPR and Biobanking, 277–90. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-49388-2_15.

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AbstractBiobanking in Germany is currently not subject to sui generis regulation. Instead, a plethora of norms from differing areas of law form the bundle of regulation that applies to biobanking. The exact shape and extent of the bundle depends on the exact configuration of the biobank. In the context of data protection, the rather fragmented nature of the regulation is to a certain extent alleviated by the direct impact of the EU General Data Protection Regulation (GDPR). In particular, the federalized system of data protection in Germany is simplified by an overarching set of norms that apply equally across the board. Whilst this is a welcome systematization of this part of the regulation of biobanking in Germany, the exact nature of the implementation of the Regulation raises novel issues in its own right. In this paper, I will outline the fragmented nature of biobank regulation in Germany, illustrate the issues on the basis of Germany’s population biobank NaKo and then discuss some of the more significant issues raised by the GDPR in the context of biobanking.
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Chassang, Gauthier, Michael Hisbergues, and Emmanuelle Rial-Sebbag. "Research Biobanking, Personal Data Protection and Implementation of the GDPR in France." In GDPR and Biobanking, 257–76. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-49388-2_14.

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AbstractSince 1978 and the initial French data protection law (Loi n°78-17 du 6 Janvier 1978), consecutive modifications regarding the protection of personal health data, especially in 2004, 2016 and 2018, set up a strict legal regime for processing sensitive personal data, including for research purposes. In recent years, French law has evolved proactively and in parallel with the work of the European Union (EU) on the preparation of what became the General Data Protection Regulation (GDPR), which has been in force since May 2018. This Chapter performs a state-of-art analysis (as of 1 July 2019) of the French legal framework for research biobanks and data protection rules applying to biobanking, in particular those related to data subjects’ rights and Article 89 of the GDPR. Firstly, it provides updated information about the national landscape of active research biobanks in France (Sect. 1). Secondly, it explores how the French law embodies the developments brought by the GDPR and how it envisages individuals’ rights in the context of research biobanking (Sects. 2 and 3). Thirdly, this Chapter analyses existing and potential national exemptions to individuals’ rights, including with regard to Article 89 GDPR, and how France conceives of processing activities of ‘public interest’ (Sect. 4). Finally, the authors address ongoing debates around bioethics law in France and argue for the creation of a specific Act focused on biobanking as a means of integrating, clarifying and developing not only data protection rules but also other activities related to samples, human or not, in a unique, operational and compact act (Sect. 5).
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Krimmer, Robert, Andriana Prentza, Szymon Mamrot, and Carsten Schmidt. "The Once-Only Principle: A Matter of Trust." In The Once-Only Principle, 1–8. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-79851-2_1.

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AbstractThe Single Market is one of the cornerstones of the European Union. The idea to transform it into a Digital Single Market (DSM) was outlined several years ago. The EU has started different initiatives to support this transformation process. One of them is the program Horizon 2020 to support the process from a technical point of view. In parallel to this, initiatives were started to set up a sound legal framework for the DSM. The Single Digital Gateway Regulation (SDGR) is an outcome of these initiatives. The key aspect of the SDGR is the underlying Once-Only Principle (OOP), outlining that businesses and citizens in contact with public administrations have to provide data only once. “The Once-Only Principle Project (TOOP)” is the EU-funded project initiated for research, testing, and implementation of the OOP in Europe. The authors give an overview of the research questions of the different parts of TOOP. Besides that, they introduce the other chapters of this book and what the reader can expect as the content of them.
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Noussia, Kyriaki. "The IDD and Its Impact on the Life Insurance Industry." In AIDA Europe Research Series on Insurance Law and Regulation, 75–112. Cham: Springer International Publishing, 2020. http://dx.doi.org/10.1007/978-3-030-52738-9_4.

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AbstractThe life insurance sector not only pertains to a variety of distributors, such as for example, ‘bancassurance’ entities combining investments services, investment and insurance products, but also to the large portion of unit-linked/investment based life insurance products. Major legal changes introduced by Directive (EU) 2016/97 (“IDD”) will therefore need to be carefully considered and anticipated by the life insurance industry, including specific professional and organizational requirements, specific information standards for insurance-based investment products, which will include the provision of appropriate information and requirements for advice to be suitable, restrictions on remuneration, and special requirements relating to the advice to be provided to the customer by any distributor related to costs and charges or to the distribution of the product—including the cost of advice. The international character of the Life Insurance has an important impact on the work to the implementation of IDD which aims at a so-called minimum harmonization. No doubt that the implementation may appear wide and burdensome, but it is a unique opportunity for all entities involved to achieve a good balance of liabilities between the professionals involved, review risk management options and look for sustainable business alternatives. This chapter examines the impact of IDD on life insurance and addresses the harmonization impact and effect of the IDD in the insurance industry.
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Zhelyazkova, Asya, and Eva Thomann. "Policy implementation." In Environmental Policy in the EU, 220–40. 4th ed. Fourth edition. | Milton Park, Abingdon, Oxon; New York, NY: Routledge, 2021.: Routledge, 2021. http://dx.doi.org/10.4324/9780429402333-16.

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Conference papers on the topic "Implementation of EU regulations"

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BERMANIS, Raimonds, Inga STRAUPE, and Andra ZVIRBULE. "EUROPEAN UNION FRAMEWORK FOR FORESTRY SUPPORT AND ITS IMPLEMENTATION IN LATVIA." In RURAL DEVELOPMENT. Aleksandras Stulginskis University, 2018. http://dx.doi.org/10.15544/rd.2017.177.

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The Paper covers an analysis of most significant European Union (EU) legal acts regulating financial support granted for private forestry over the period of 2014-2020, coherence to support measures implemented in Latvia for a certain period. The review consists of two main legal acts from the EU - Forest Strategy for forests and the forest-based sector and the EU regulation No. 1305/2013 of the European Parliament and the Council on support for rural development by the European Agriculture Fund for Rural development, while from the national perspective, the review was prepared for Latvia’s Rural development programme (NRDP) for the period 2014-2020 and national regulations issued by the Cabinet of Ministers of the Republic of Latvia. The paper focuses on the support measures intended to foster and develop forestry sector, evaluating priorities and expected results laid down in the EU documents, versus measures implemented in Latvia through the NRDP 2014-2020, related to national regulations and rules of the responsible state authorities. The analysis contains several groups of measures applicable for private forestry: 1) Information, advice, knowledge and efficiency; 2) Forestry activities; 3) Investments in forestry; 4) Nature care. Not all the measures which may be introduced according to the EU regulations No. 1305/2013 were implemented for private forestry support in Latvia, also several in the NRDP 2014-2020 affordable measures were not introduced practically till November 2017, but regarding those which have already been implemented, their impact on forestry development should be further estimated.
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Zdravkova, Katerina. "Compliance of MOOCs and OERs with the new privacy and security EU regulations." In Fifth International Conference on Higher Education Advances. Valencia: Universitat Politècnica València, 2019. http://dx.doi.org/10.4995/head19.2019.9063.

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Since their appearance in the early 2000s, Massive Open Online Courses (MOOCs) and Open Educational Resources (OERs) arose among the most important educational priorities. Many top universities worldwide have been involved in the research and direct implementation of this innovative pedagogical approach. Simultaneously with the development and massive deployment of the new learning and teaching method, European regulations responsible for data privacy and protection, and information security have significantly evolved. This paper assesses the compliance of the ten most popular MOOCs and OERs with the General Data Protection Regulation (GDPR) and the Directive on security of network and information systems (NIS Directive). In order to systematically examine their online platforms, a few privacy indicators were outlined and thoroughly observed. Alongside this, the involvement of the open education providers in the NIS Directive was examined. Research findings are presented and elaborated in a way that it makes easy to generate recommendations on how to anticipate the future of open education as a reasonable reaction to global change in the era of rapid technological growth, and at the same time to obey the crucial ethical principles defined by this development.
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Dobrić Jambrović, Dana. "CROATIAN CITIES DURING THE COVID-19 CRISIS: CHALLENGES, RESPONSES AND ADJUSTMENTS." In EU 2021 – The future of the EU in and after the pandemic. Faculty of Law, Josip Juraj Strossmayer University of Osijek, 2021. http://dx.doi.org/10.25234/eclic/18359.

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The main research question of the paper is related to the identification and analysis of the challenges that Croatian local units face during the crisis caused by the COVID-19 pandemic. First, the regulatory framework of the civil protection system was presented to determine a direction of research of organizational and functional adjustments of local units for effective crisis management. Empirical research was conducted using the data content analysis (legal regulations, strategic documents, soft law documents, and web sourced data). Research findings have shown that local units face challenges in the areas of political governance, administrative and professional affairs, local budget, and the implementation of local democracy mechanisms. Therefore, in each of the identified areas, the author has analyzed elements that are subject to adaptation to national recommendations to reduce the spread of coronavirus. In doing so, attention is focused on large cities and county centers and their adjustments during crisis management were analyzed.
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Witt, Irena E., and Clifford Earl Kirchof. "Preparing For Implementation Of New International Chemical Regulations: REACH In EU And NSNR 2005 In Canada." In SPE International Conference on Health, Safety, and Environment in Oil and Gas Exploration and Production. Society of Petroleum Engineers, 2008. http://dx.doi.org/10.2118/111812-ms.

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Nikač, Željko, and Božidar Forca. "MEĐUNARODNI I NACIONALNI LEGISLATIVNI OKVIR PRIVATNE BEZBEDNOSTI U ZAŠTITI LICA, IMOVINE I POSLOVANJA." In XVII majsko savetovanje. Pravni fakultet Univerziteta u Kragujevcu, 2021. http://dx.doi.org/10.46793/uvp21.831n.

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The paper discusses the legal status, organization and activities of the Private Security Sector in the Republic of Serbia in the function of protection of persons, property and business. The introductory part talks about private security, which in developed countries has an enviable place in the security system. In countries in transition, private security has accompanied social and economic changes and has gained in importance in recent years. After the disintegration of the SFRY for a full twenty years, this sector was not legally regulated by the main law in Serbia, but general regulations were applied, which fragmentarily deal with the issue of FTO and regulate economic business, work and employment. In the second part, the central part, the most important international legal sources and solutions from our national framework are presented. At the end of 2013, the Law on Private Security and the Law on Detective Activity were adopted, as well as bylaws for their implementation. Adequate legal regulations in this area are especially important due to Serbia's application for EU accession and harmonization of regulations with EU law. The concluding part emphasizes the need for further harmonization of norms with the EU, building good practice and the need to strengthen the control and supervision of the private security sector by the state.
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Vitez Pandžić, Marijeta, and Jasmin Kovačević. "REGULATORY SYSTEMS OF SELECTED EUROPEAN UNION MEMBER STATES IN COVID-19 PANDEMIC MANAGEMENT AND LESSONS FOR THE FUTURE." In EU 2021 – The future of the EU in and after the pandemic. Faculty of Law, Josip Juraj Strossmayer University of Osijek, 2021. http://dx.doi.org/10.25234/eclic/18360.

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The European Union (EU) actively responded to the pandemic and the consequences of the pandemic in different areas of human activity (health, economic, social, etc.) adopting a series of regulations, measures and guidelines in different fields. EU member states acted in accordance with EU regulations and within their own legal system and the management structures. The aim of this paper was to analyze ten selected EU member states and their regulatory responses in the approach to pandemic control in relation to the mortality rate per million inhabitants on January 15, 2021. The following hypothesis was set: The regulatory systems and management structures of selected EU member states in the framework of the management of the COVID-19 pandemic have been successfully set up and implemented and have contributed to the lower mortality rate per million inhabitants until January 15, 2021. Ten EU countries were selected for the study according to their mortality rate per million inhabitants on January 15, 2021. Besides Croatia (average mortality), research included three member states with high (Belgium, Slovenia, Czechia), three with average (Hungary, Austria, Slovakia) and three with low mortality rate per million inhabitants (Ireland, Denmark, Finland). All available data from EU and ten selected countries were collected and analysed: about legal framework for crisis management, regulatory powers, level of decentralization in the health care system and whether the timeline of the pandemic control criteria according to the Institute for Health Metrics and Evaluation (IHME) was adequately set. Data were analysed in Microsoft Office Excel. Given the obtained results, hypothesis can be considered only partially proven. The legal framework used by studied EU countries for adopting pandemic control measures was not consistently associated with morality rate in this research. All studied EU countries used legal framework that existed prior to the COVID-19 pandemic, four of them had states of emergency provided in the Constitution (Czechia, Hungary, Slovakia and Finland), four of them effectively declared statutory regimes (Slovenia, Hungary, Croatia, Slovakia), and Belgium adopted pandemic control measures using special legislative powers. Three studied countries (Austria, Denmark, Finland) had high level of decentralised decision making in health sector and lower COVID-19 mortality rate. In the first pandemic wave (start in March, 2020) all studied countries respected the timeline in adopting pandemic control measures according to the IHME criteria. In the second pandemic wave (start in October, 2020) only four countries (Czechia, Ireland, Denmark, Finland) respected the timeline in adopting pandemic control measures and three (Ireland, Denmark, Finland) were in low mortality group. Within the concluding considerations of the studied countries and in their pandemic management models, Finland and Denmark were recognised as the most successful with lowest COVID-19 mortality rates. Long tradition of Public Health, decentralized health care decision-making, high level of preparedness in crisis management and adequate timeline in implementation of the pandemic control measures led to lower mortality in COVID-19 pandemic. In the future EU could take even more active role within its legal powers and propose scientific based approach in crisis management to help countries implement measures to preserve lives of EU citizens.
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Pejović, Aleksandar-Andrija. "“WOULD MONEY MAKE A DIFFERENCE?”: HOW EFFECTIVE CAN THE RULE-OF-LAW-BASED PROTECTION OF FINANCIAL INTERESTS IN THE EU STRUCTURAL AND ENLARGEMENT POLICY BE?" In EU 2021 – The future of the EU in and after the pandemic. Faculty of Law, Josip Juraj Strossmayer University of Osijek, 2021. http://dx.doi.org/10.25234/eclic/18362.

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In recent years, the rule of law and, especially, its “proper” implementation has become one of the most debated topics in Europe in recent years. The “Big Bang Enlargement” marked the beginning of dilemmas whether the new EU Member States fulfil the necessary rule of law criteria and opened the way for divergent views on how to implement TEU Article 2 values in practice. Furthermore, constant problems and difficulty of the candidate countries to fulfil the necessary rule of law criteria added to the complexity of the problem. In turn, the European institutions have tried to introduce a series of mechanisms and procedures to improve the oversight and make the states follow the rules - starting from the famous Treaty on the European Union (TEU) Article 7, the Rule of Law Mechanism, annual reports on the rule of law and the most recent Conditionality Regulation. The Conditionality Regulation was finally adopted in December 2020 after much discussion and opposition from certain EU Member States. It calls for the suspension of payments, commitments and disbursement of instalments, and a reduction of funding in the cases of general deficiencies with the rule of law. On the other hand, similar provisions were laid out in the February 2020 enlargement negotiation methodology specifying that in the cases of no progress, imbalance of the overall negotiations or regression, the scope and intensity of pre-accession assistance can be adjusted downward thus descaling financial assistance to candidate countries. The similarities between the two mechanisms, one for the Member States, the other for candidate countries shows an increased sharing of experiences and approaches to dealing with possible deficiencies or breaches of the rule of law through economic sanctioning, in order to resolve challenges to the unity of the European union. The Covid-19 pandemic and the crisis it has provoked on many fronts has turned the attention of the Member States (i.e. the Council) away from the long running problematic issues. Consequently, the procedures against Poland and Hungary based on the Rule of Law Mechanism have slowed down or become fully stalled, while certain measures taken up by some European states have created concerns about the limitations of human rights and liberties. This paper, therefore, analyses the efforts the EU is making in protecting the rule of law in its Member States and the candidate countries. It also analyses the new focus of the EU in the financial area where it has started to develop novel mechanisms that would affect one of the most influential EU tools – the funding of member and candidate countries through its structural and enlargement policy. Finally, it attempts to determine and provide conclusions on the efficiency of new instruments with better regulated criteria and timing of activities will be and how much they would affect the EU and its current and future member states.
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Ciucci, Mariano, Alessandra Marino, Fabrizio Paolacci, and Oreste S. Bursi. "Integrated Smart Seismic Risks Management." In ASME 2019 Pressure Vessels & Piping Conference. American Society of Mechanical Engineers, 2019. http://dx.doi.org/10.1115/pvp2019-94027.

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Abstract Recent events outlined the relevance of the interactions between industrial and natural hazards (NATECH) particularly for that concern seismic risk. EU regulation, namely Directive 2012/18/EU, among its new elements explicitly requires the analysis of NATECH hazards. The development of a risk analysis methodology for major hazard industrial plants allows the individuation of critical elements of the plants with regard to seismic actions. The following implementation of smart technologies (sensors, actuators, innovative systems for seismic protection) to the critical elements allows a relevant reduction of major hazards and related consequences.
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Marino, Alessandra, Mariano Ciucci, and Fabrizio Paolacci. "Smart Technologies for Integrated Natural Risk Management: Innovative Methodologies and Remote Sensing." In ASME 2017 Pressure Vessels and Piping Conference. American Society of Mechanical Engineers, 2017. http://dx.doi.org/10.1115/pvp2017-66198.

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Recent events outlined the relevance of the interactions between industrial and natural hazards (NaTech) particularly for what concerns seismic risk. EU regulation, namely Directive 2012/18/EU, explicitly requires risk analysis for NaTech events. The development of a risk assessment methodology for major hazard industrial plants allows the individuation of the critical elements of a plant in seismic-prone areas. The following implementation of smart technologies (sensors, actuators, innovative systems for seismic protection) to the critical elements allows for a relevant reduction of major hazards and related consequences.
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Mitkus, Sigitas, and Dalia Averkienė. "Legal significance of construction documents: consequences of non-implementation of contractual regulations for the client and the contractor in Lithuania." In Contemporary Issues in Business, Management and Economics Engineering. Vilnius Gediminas Technical University, 2019. http://dx.doi.org/10.3846/cibmee.2019.068.

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Purpose – the article discusses the construction documents and their significance enshrined in Contractual Regulations and aims to disclose the consequences of the preparation or non-preparation of the construction documents for the client and the contractor. For this purpose, the general features of construction documents shall be reviewed first, and the certificate of acceptance of construction work and reports shall be analyzed separately. Findings – the results of the study state that in client/contractor relationship, the rights and duties between the participants to a construction project and the preconditions for the cooperation between the parties in a legal relationship in construction are determined and provided in the construction documents. All construction documents that have been analyzed are drawn up specifically for construction work. On the one hand, the law gives the right or imposes an obligation on to the client and the contractor to sign and deliver the construction documents to another party in a legal relationship in construction. On the other hand, signing (non-signing), submission (non-submission) of the acceptance certificate of construction work and reports can lead to a division of responsibilities between the client and the contractor (who are often business entities), the obligation to eliminate the defects in the work, to compensate for the damage, and to pay for work. Research limitations – though Lithuania has similarities with other EU countries in terms of the legal environment of construction, the generalisation of these results to another context is limited. Practical implications – the findings could be directly applied in practice. Understanding and using the findings could prevent disputes between owners and contractors in practice. Originality/Value – there is a lack of publications on the subject. Construction documents regulate the contractual relationship (performance of work, settlement, elimination of defects, etc.) between the client and the contractor. Therefore, proper and timely preparation of these documents is an important part of the implementation of contractual relationship both for business entities and the public using construction results.
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Reports on the topic "Implementation of EU regulations"

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Colomb, Claire, and Tatiana Moreira de Souza. Regulating Short-Term Rentals: Platform-based property rentals in European cities: the policy debates. Property Research Trust, May 2021. http://dx.doi.org/10.52915/kkkd3578.

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Short-term rentals mediated by digital platforms have positive and negative impacts that are unevenly distributed among socio-economic groups and places. Detrimental impacts on the housing market and quality of life of long-term residents have been particular contentious in some cities. • In the 12 cities studied in the report (Amsterdam, Barcelona, Berlin, Brussels, Lisbon, London, Madrid, Milan, Paris, Prague, Rome and Vienna), city governments have responded differently to the growth of short-term rentals. • The emerging local regulations of short-term rentals take multiple forms and exhibit various degrees of stringency, ranging from rare cases of laissez-faire to a few cases of partial prohibition or strict quantitative control. Most city governments have sought to find a middle-ground approach that differentiates between the professional rental of whole units and the occasional rental of one’s home/ primary residence. • The regulation of short-term rentals is contentious and highly politicised. Six broad categories of interest groups and non-state actors actively participate in the debates with contrasting positions: advocates of the ‘sharing’ or ‘collaborative’ economy; corporate platforms; professional organisatons of short-term rental operators; new associations of hosts or ‘home-sharers’; the hotel and hospitality industry; and residents’ associations/citizens’ movements. • All city governments face difficulties in implementing and enforcing the regulations, due to a lack of sufficient resources and to the absence of accurate and comprehensive data on individual hosts. That data is held by corporate platforms, which have generally not accepted to release it (with a few exceptions) nor to monitor the content of their listings against local rules. • The relationships between platforms and city governments have oscillated between collaboration and conflict. Effective implementation is impossible without the cooperation of platforms. • In the context of the European Union, the debate has taken a supranational dimension, as two pieces of EU law frame the possibility — and acceptable forms — of regulation of online platforms and of short-term rentals in EU member states: the 2000 E-Commerce Directive and the 2006 Services Directive. • For regulation to be effective, the EU legal framework should be revised to ensure platform account- ability and data disclosure. This would allow city (and other ti ers of) governments to effectively enforce the regulations that they deem appropriate. • Besides, national and regional governments, who often control the legislative framework that defines particular types of short-term rentals, need to give local governments the necessary tools to be able to exercise their ‘right to regulate’ in the name of public interest objectives.
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Hermann, Ludwig, Ralf Hermann, and Oscar F. Schoumans. Report on regulations governing anaerobic digesters and nutrient recovery and reuse in EU member states. Wageningen: Wageningen Environmental Research, 2019. http://dx.doi.org/10.18174/476673.

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Keesstra, S. D., M. Muro, L. Maring, B. Arellano Jaimerena, M. van Eupen, B. Elbersen, A. McNeill, T. Tugran, and A. Markowska. Providing support in relation to the implementation of soil and land related Sustainable Development Goals at EU level : final report. Wageningen: Wageningen Environmental Research, 2020. http://dx.doi.org/10.18174/531395.

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Stupka, R. C. Implementation plan for Title 40 Code of Federal Regulations Parts 280 and 281; Final rules for underground storage tanks. Office of Scientific and Technical Information (OSTI), April 1989. http://dx.doi.org/10.2172/6349551.

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Morton, M. Implementation plan for Title 40 Code of Federal Regulations Parts 280 and 281: Final rules for Underground Storage Tanks. Office of Scientific and Technical Information (OSTI), November 1989. http://dx.doi.org/10.2172/5206317.

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Corson, Lynn. Identification and Implementation of Best Management Practices for Erosion and Sediment Control That Conform to Indiana Storm Water Quality Regulations and Guidance. West Lafayette, Indiana: Purdue University, 2011. http://dx.doi.org/10.5703/1288284314269.

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Terzyan, Aram. Failed Europeanization? Belarus and Armenia Between Russia and the EU. Eurasia Institutes, November 2020. http://dx.doi.org/10.47669/eea-1-2020.

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This paper explores the core challenges and opportunities of the Europeanization processes taking place in Belarus and Armenia. It argues that despite the constraining effects of “competing governance provider” Russia, the interests, perceptions, and preferences of the domestic elites are critical to the implementation of the EU policies in Belarus and Armenia. Thus, it offers a more dynamic structure- agency interplay approach to account for the dynamics of Europeanization in the EU-Russia contested neighbourhood. The article enquires into integration without membership dynamics between the EU and Eastern neighbours in the light of the Russian-dominated Eurasian integration.
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Bracke, Marc B. M., Herman M. Vermeer, and Rick A. van Emous. Animal welfare regulations and practices in 7 (potential) trade-agreement partners of the EU with a focus on laying hens, broilers and pigs : Mexico, Chile, Indonesia, Australia, New Zealand, Turkey and the Philippines. Wageningen: Wageningen Livestock Research, 2019. http://dx.doi.org/10.18174/475497.

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Warwick, William M. American Recovery and Reinvestment Act (ARRA) FEMP Technical Assistance U.S. Army ? Project 214 Analysis of Regulations Associated with Implementation of a Rocky Mountain Secure Smart-Grid. Office of Scientific and Technical Information (OSTI), September 2010. http://dx.doi.org/10.2172/1000173.

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Jones, Emily, Beatriz Kira, Anna Sands, and Danilo B. Garrido Alves. The UK and Digital Trade: Which way forward? Blavatnik School of Government, February 2021. http://dx.doi.org/10.35489/bsg-wp-2021/038.

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The internet and digital technologies are upending global trade. Industries and supply chains are being transformed, and the movement of data across borders is now central to the operation of the global economy. Provisions in trade agreements address many aspects of the digital economy – from cross-border data flows, to the protection of citizens’ personal data, and the regulation of the internet and new technologies like artificial intelligence and algorithmic decision-making. The UK government has identified digital trade as a priority in its Global Britain strategy and one of the main sources of economic growth to recover from the pandemic. It wants the UK to play a leading role in setting the international standards and regulations that govern the global digital economy. The regulation of digital trade is a fast-evolving and contentious issue, and the US, European Union (EU), and China have adopted different approaches. Now that the UK has left the EU, it will need to navigate across multiple and often conflicting digital realms. The UK needs to decide which policy objectives it will prioritise, how to regulate the digital economy domestically, and how best to achieve its priorities when negotiating international trade agreements. There is an urgent need to develop a robust, evidence-based approach to the UK’s digital trade strategy that takes into account the perspectives of businesses, workers, and citizens, as well as the approaches of other countries in the global economy. This working paper aims to inform UK policy debates by assessing the state of play in digital trade globally. The authors present a detailed analysis of five policy areas that are central to discussions on digital trade for the UK: cross-border data flows and privacy; internet access and content regulation; intellectual property and innovation; e-commerce (including trade facilitation and consumer protection); and taxation (customs duties on e-commerce and digital services taxes). In each of these areas the authors compare and contrast the approaches taken by the US, EU and China, discuss the public policy implications, and examine the choices facing the UK.
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