Dissertations / Theses on the topic 'Judicial power – European Union countries'

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1

Nanopoulos, Eva Eustasie Ermina. "Judicial review of anti-terrorism measures in the EU." Thesis, University of Cambridge, 2012. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.610483.

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DAVITER, Falk. "The power of initiative : framing legislative policy conflicts in the European Union." Doctoral thesis, European University Institute, 2007. http://hdl.handle.net/1814/7044.

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Defence date: 13 July 2007
Examining Board: Prof. Adrienne Héritier, (European University Institute/SPS/RSCAS) ; Prof. Stefano Bartolini, (European University Institute/RSCAS) ; Prof. Ellen M. Immergut, (Humboldt University Berlin) ; Prof. Claudio Radaelli, (University of Exeter)
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This thesis asks how the framing of policy issues in EU legislative politics influences the way issues are processed, how it affects which interests play a role during policy drafting and deliberation, and what type of political conflicts and coalitions emerge as a result. Focusing in particular on the European Commission’s role in EU policy-making, this thesis goes on to investigate how actors in EU politics define and redefine the issues at stake according to their shifting policy agendas and in doing so attempt to shore up support and marginalise political opposition. Drawing on the empirical investigation of two decades of EU biotechnology policy-making, the thesis finds that the framing of policy issues systematically affects how the complex and fragmented EU political decision-making process involves or excludes different sets of actors and interests from the diverse political constituencies of the Union. It argues that the Commission’s role in structuring the EU policy space can at times be substantial. Yet the longitudinal perspective adopted in this study also reveals how the structuring and restructuring of the biotechnology policy space led to the increasing politicisation of the EU decision-making process. Eventually, the empirical investigation concludes, the Commission was unable to control the political dynamics set off by the reframing of the policy choices, and the resulting revision of the EU biotechnology policy framework ran counter to the Commission’s original policy objectives. This study thus provides fresh insights into the dynamics of policy-level politicisation and its effects on political conflict and competition in the EU. The framing perspective allows students of EU politics to trace how political agents and institutions interact to shape and at times exploit the complexities of EU policy-making in pursuit of their often conflicting agendas. Finally, the findings suggest that the key to conceptualising the scope of Commission agency in terms of systematic policy dynamics lies in exploring the interlocking effects of policy framing and EU politicisation in the political construction of interests at the supranational level.
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Xu, Zi Wei. "Legal standing of private parties within judicial reviews in the European Community : the missing piece in a complete system of remedies?" Thesis, University of Macau, 2009. http://umaclib3.umac.mo/record=b2099272.

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CORKIN, Joseph. "A manifesto for the European Court : democracy, decentred governance and the process-perfecting judicial shadow." Doctoral thesis, European University Institute, 2007. http://hdl.handle.net/1814/7030.

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Defence date: 29 January 2007
Examining Board: Prof. Christian Joerges, (EUI) ; Prof. Damian Chalmers, (London School of Economics) ; Prof. Alec Stone Sweet, (Yale University) ; Prof. Neil Walker, (EUI)
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Zhu, Feng. "EU energy policy after the Treaty of Lisbon : breakthroughs, interfaces and opportunity." Thesis, University of Macau, 2012. http://umaclib3.umac.mo/record=b2580185.

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Gu, Hong Fei. "Analysis of creating a new type of great power relations between China and the European Union." Thesis, University of Macau, 2015. http://umaclib3.umac.mo/record=b3335207.

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7

Wesley, Tiffani. "The locus of power in the European Union: determining whether judicial power will remain at the nation state level or if the European Union will merge into a federal institution." Master's thesis, University of Cape Town, 2014. http://hdl.handle.net/11427/6805.

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Larry Backer opines that 'Most of the academic work regarding the "lessons" offered by American federalism for the European Union ("EU") and other supra-national systems has predominantly focused on an understanding of post-Civil War American federalism. It remains, on that account, extremely superficial.' Backer notes that there are important lessons to learn from Calhoun's marginalized understanding of federalism that provide emerging supra-national unions like the European Union with a powerful conceptual foundation for the construction of non-national federal systems of government. The research question seeks to test this debate, first by following the theoretical arguments that took place within the United States on the issue surrounding states' rights versus federalism, and second through the various court cases that have occurred within the European national courts and the European Court of Justice. In essence, the research question seeks to determine where the locus of power currently resides, or will tend to reside, between to the European Union and its member nations.
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8

Macdonald, Anna Maria. "Green Normative Power? Relations between New Zealand and the European Union on Environment." Thesis, University of Canterbury. National Centre for Research on Europe, 2009. http://hdl.handle.net/10092/3161.

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The relationship between the European Union (EU) and New Zealand has expanded considerably since the protracted trade negotiations of the 1970s and now includes dialogue and cooperation on a range of policy issues. In recent years, environment has become an increasingly high priority matter and is increasingly referenced as playing an important part in EU-New Zealand relations. At the same time, the EU has been praised for its leadership role in climate change negotiations, and some scholars have described it as a “green” normative power with the ability to influence other actors internationally on environmental policy. Taking the EU-New Zealand relationship on environment as its case study, this thesis attempts to address a gap in the academic literature concerning relations between New Zealand and the EU on environmental issues. It compares and contrasts the concept of EU normative power with that of policy transfer, arguing that both address the spread of ideas, but finding that what might appear to be normative power and the diffusion of norms, can in fact be best explained as policy transfer and the diffusion of policy or knowledge.
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Yan, Ya Xue. "Interests & interdependency in Sino-EU renewable energy cooperation." Thesis, University of Macau, 2012. http://umaclib3.umac.mo/record=b2595814.

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10

Weyembergh, Anne. "Le rapprochement des législations: condition de l'espace pénal européen et révélateur de ses tensions." Doctoral thesis, Universite Libre de Bruxelles, 2004. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/211208.

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11

Schilcher, Daniela, and n/a. "Supranational governance of tourism : aid, trade and power relations between the European Union and the South Pacific island states." University of Otago. Department of Tourism, 2007. http://adt.otago.ac.nz./public/adt-NZDU20080508.150955.

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This thesis examined the role of supranational organisations (SOs) in the governance of tourism in a North-South context. Focusing on the issue area of development cooperation, this thesis investigated the question of how and why SOs got involved in tourism in developing countries, and more specifically, in small island developing states. Such involvement may occur either directly through aid funded projects or indirectly through international trade regimes that impact on tourism in the aid recipient countries. The thesis adopted a case study approach focussing on the European Union�s (EU�s) involvement in the governance of tourism in South Pacific island states. Grounded in a history of colonialism, the EU has been involved in the �development� of the South Pacific for more than three decades, which allowed to track changes in development philosophy over time. Focusing on the concept of power, the case was assessed in a multi-scalar manner, analysing the EU�s involvement from the global down to the local level. Never before has an entire multilevel polity been assessed in one coherent case study, incorporating actors situated at all levels and ranging from supranational organisations to national governments, businesses, communities, and individuals. The methods employed in this thesis included interviews, participant observation, document analysis (policy documents and newspapers), and subsequently critical discourse analysis. The latter served to highlight the so-called �third face of power� (Lukes 1974), which is closely related to the concept of ideological hegemony. Interviews were conducted in Fiji and Samoa with officials of the South Pacific Delegations of the EU, officials of tourism authorities, NGOs, tourism operators and community members. Elite interviews in Brussels were conducted with officials of the European Commission and the European Parliament. Under all scales and �faces� of power the EU was found to be the dominant actor, while the issue of self-interest appeared to play a key role. At a macro-level, the EU clearly dominated in most overt decision-making situations during negotiations on aid and trade agreements. As concerned the inclusion of tourism in the agreements, the relative importance of the sector was clearly dependent on the European Commission�s prevailing attitude on �tourism and development� at any point in time. At a meso- and micro-level, the EU�s influence was less obvious yet nonetheless existent, for example through funding rules and the use of European consultants. Indirect influence also occurred at the national level. In particular the substitution of a preferential trade regime with a free trade agreement (the Economic Partnership Agreements), which is currently being negotiated between the EU and the Pacific Islands, is likely to have a significant impact on the economic importance of tourism, as well as public policy in the South Pacific. In a mini case study of Samoa, it was found that the resulting changes in tourism policy would have a significant impact �on the ground�, in particular with regard to rates of local ownership and control. Overall, power relations were found to be highly unequal and self-determination and empowerment have largely not been achieved. However, more research is needed to examine the ability to generalise the findings to other geographic regions or other types of SOs. The key contribution of this thesis in the theoretical realm constitutes its bridging of agency and structure within multi-level governance, which may be conceived as a �third way� to either dependency theory-influenced studies (global/structure) or community approaches (local/agency).
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12

Cebulak, Pola. "Judicial activism of the Court of Justice of the EU in the pluralist architecture of global law." Doctoral thesis, Universite Libre de Bruxelles, 2014. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/209172.

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Judicial activism implies a hidden politicization of the Court. The legal arguments and the methods used by the Court of Justice of the European Union (CJEU) might seem coherent. However, an inquiry into judicial activism means looking beyond the legal reasoning of the Court and trying to “connect the dots” of an alternative narrative that can explain the Court’s long-term approach to certain issues. In the case of judicial activism of the CJEU in the case-law concerning public international law, the veil for the politicization of the Court is provided by the pluralist architecture of global law. The heterarchical structure of relations among legal orders in the international arena activates the CJEU as an actor of global governance. Simultaneously, it results in the Court adopting a rather internal and defensive approach, undermining legal security.

Judicial activism of the CJEU finds its particular expressions in the case-law concerning public international law. The pro-integrationist tendency of the CJEU often raised in the literature concerning the Court’s role in the process of EU integration, translates into a substantial and an institutional dimension of judicial activism. The substantial articulation of judicial activism in the case-law concerning international law is the Court’s emphasis on the autonomy of the EU legal order. This internal perspective is adopted not only for virtuous reasons, but also in defense of definitely not universal European interests. The institutional dimension refers to the Court’s position within the EU structure of governance. The case-law concerning international law is marked by a close alignment with the European Commission and the integration of the EU goals in external relations. Moreover, the pluralist veil can cover the extent to which the Court’s decisions concerning international law are influenced by considerations completely internal to the EU.

In my analysis I proceed in three steps that are reflected in three chapters of the thesis. There is no clear and prevalent definition of judicial activism, but instead rather multiple possibilities of approaching the concept. While the general intend of the research project is to critically reflect on the concept of judicial activism of the highest courts within a legal order, the particular focus will be on the CJEU dealing with international law. I proceed in three steps. First, I assess different understandings of the role of the judge and the concept of judicial activism in legal literature in view of ascertaining the relevance of the debate and distilling some general components of a possible definition. Secondly, I identify the factors particular for the position of the CJEU within the EU legal order and with regard to international law. The particular characteristics of the CJEU result in a limited applicability of the general definitions of judicial activism. Finally, I analyze the case-law in view of identifying examples as well as counter-examples of the particular symptoms/attributes. Because judicial activism broadens the scope of the factors guiding judicial decision-making, it enables us to better understand the contingencies in the Court´s jurisprudence.
Doctorat en Sciences juridiques
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13

Baranava, Tatiana. "EUROPEAN UNION - BELARUS: A FRIENDLIER, WARMER RELATIONSHIP ? THE CASE OF THE EASTERN PARTNERSHIP." Thesis, Malmö högskola, Fakulteten för kultur och samhälle (KS), 2010. http://urn.kb.se/resolve?urn=urn:nbn:se:mau:diva-23956.

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After 12 years of isolation, the relations between Brussels and Minsk have been thawing starting in the last year. One of the components of the policy of re-engagement is the new initiative adopted by the EU called Eastern Partnership (EaP). This thesis sought to answer following question: what were the main reasons for the change in the EU policy towards Belarus after 2008? In order to answer the research question I formulated two hypotheses. The first hypothesis argues that while the EU has acted according to the normative power expectations up until 2008, after that date a more pragmatic approach in the foreign policy has been at work. The second hypothesis explains this change by the increasing influence of Eastern European countries in realm of decision-making processes within the EU, which resulted in a reformed EU foreign policy towards Belarus.These hypotheses are tested in a qualitative case study of the launching of the Eastern Partnership initiative, seen as the most important instrument that defines the new policy of EU. I will focus on the process of decision–making in regards to the adoption of the new initiative towards the Eastern European countries, using the rational actor model and the theory of formal leadership. The results of the paper point out that the main reason for changing the EU foreign policy towards Belarus were connected to pragmatic interests in the economic and energy areas, which weakened the EU normative claims. However, EU values are still counted as political conditionality has recently re-entered the agenda. Thus, the current foreign policy is two-fold: based on rational model of acting and normative power. Moreover, the EaP is the result of the strengthened position of Eastern European countries in terms of the power hierarchy among EU members, with Poland, and the Baltic States playing an increasingly larger role.
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14

Deerness-Plesner, Gina Eleanor Mary. "The Final Frontier? New Zealand engagement with the European Union in the field of research, science and technology." Thesis, University of Canterbury. National Centre for Research on Europe, 2008. http://hdl.handle.net/10092/2697.

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This dissertation endeavours to address an identified gap in literature concerning the relationship between New Zealand and the European Union (EU) in the field of research, science and technology (RS&T). Examination of the partnership begins with the creation of the Science and Technological Cooperation (STC) Arrangement in 1991 and comes to a close in 2008, following the Arrangement’s ‘upgrade’ to an STC Agreement on 16 July. During this time, the intensification of the EU’s activities in RS&T is evident. The Seventh Framework Programme (FP7) currently constitutes the most internationalised Programme to date. Identifying the complementary nature of New Zealand and EU research priorities thus suggests that now, more than ever, the New Zealand research community stands to gain from participation within such an inclusive venture. Aiming to assess the current status of New Zealand-EU research collaboration, the research identifies a number of recurring themes, both positive and negative, that influence the nature of the RS&T relationship. These themes focus on problems concerning visibility within the EU, geographical isolation from this important market, an absence of targeted domestic funding for New Zealand-EU RS&T collaboration and the unwieldy bureaucratic process of the Framework Programme. The research also determines the importance of both ‘official’ and ‘informal’ mechanisms’ in combating the outlined collaborative bottlenecks. Taking these themes into account, the thesis ultimately looks to provide recommendations concerning the future of New Zealand-EU engagement in this field.
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15

Hilmes, Christian. "Die Europäische Union als Partei völkerrechtlicher Verträge : zugleich ein vergleichender Blick auf die primärrechtlichen Bestimmungen über das auswärtige Unionshandeln nach Nizza 2001 und Rom 2004 /." Baden-Baden : Nomos, 2006. http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&doc_number=015476686&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA.

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16

Zhang, Xiaotong. "The EU's trade relations with China, 1975-2008: a linkage power at work ?" Doctoral thesis, Universite Libre de Bruxelles, 2010. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/210151.

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The EU’s Trade Relations with China (1975-2008):

A Linkage Power at Work?

(Summary)

The central aim of this thesis is to improve our understanding of the EU’s power, in particular in its external trade relations/negotiations. Our hypothesis is that the EU is a distinctive kind of linkage power, defined as an actor relying on linkage as a crucial modus operandi in its external relations. We explored how, to what extent and in which distinctive ways the EU is such a linkage power.

Our analysis was based on three logically interrelated concepts – power resources, linkage and linkage power. Linkage refers to a leveraging strategy, with an aim of packaging relevant power resources, so as to increase leverage in bargaining, or more generally attain a policy objective. I identified seven types of linkages that the EU used: political-economic issue linkage, economic-economic issue linkage, conditionality, contextual linkage, linkage with a third party, cognitive linkage and synergistic linkage. Linkage can hardly work without proper power resources. The latter, as Dahl (1970) defined, refers to all the resources-opportunities, acts, objects etc – that an actor can exploit in order to affect the behaviour of another. So, linkage is a bridge between power resources and impacts – meaning affecting or changing the behaviour of another party. By putting linkage and power together, we created a new term – “linkage power”, referring to a power based on linkages. The EU, the US, China or any other power can all be such labelled, though these actors may diverge in power resources, linkage strategies and the variables affecting linkage effectiveness. When applying such an analytical framework to the EU, we gave particular attention to the implications of the EU’s sui generis nature on its linkage power.

Our case study is the EU’s trade relations with China (1975-2008), which were punctuated by two critical historical junctures – the Tian’anmen Square Incident in 1989 and the EU-China Textile Crisis in 2005. In 1975, The EEC’s successful strategy by linking political issues (Europe-China balancing the Soviet Union and recognising China’s sovereignty over Taiwan) with economic issues (signing the EEC-China Trade Agreement) played a crucial role in securing the establishment of diplomatic relations between the EEC and China. Different types of linkages were then applied to the EEC’s negotiations with Beijing on the 1978 Trade Agreement and the 1979 textile agreement, which effectively prompted the Chinese side to agree to the EU’s terms.

Immediately after the 1989 Tian’anmen Square Incident, the EC imposed economic sanctions with an aim of coercing China to accept Western world’s human rights conditions. This linkage did not last long or pay off due to divergent political and economic interests among the Member States and the EC’s institutional handicaps (foreign policy competence was largely in the hands of Member States, collective foreign policy action was non-binding), and soon de-linked.

Having realised that confrontational approach did not work well, the EC/EU and its Member States started to change their China policies in 1993-95. The period of 1993-2004 witnessed the EC/EU’s power through partnership. The strategic partnership was seen as a complex of different pairs of issue linkages, ranging from political-strategic issues to economic and human rights issues. The partnership, once established, had fostered new linkages and consolidated old ones. China’s WTO accession was seen as a once-in-a-century opportunity for the EU to exercise linkage through conditionality, so as to extract market access concessions from the Chinese side. Moreover, by linking with China could the European Commission garnered international support for advancing the Galileo project within the Union and ward off some of the US pressure in 2003.

The Year 2005 was singled out since an unprecedented trade row on textiles broke out, confronting the EU against China’s export prowess resulting from globalisation and China’s WTO accession. Linkages were used as a predominant strategy to help the EU to persuade and press the Chinese side firstly accept voluntary export restrictions and then share the burden of allowing the blocked textiles in European ports to be released. In 2006-08, the trade deficit problem emerged, coupled with a series political spats between Europe (France and Germany) and Beijing on the Tibet issue. As the EU-China honeymoon was over, the Commission toughened its approach towards China. Although linkage was again used to redress the trade deficit, its effects were not satisfactory, as the EU power resources were eroded.

Our conclusions are (1) linkage is a crucial modus operandi in the EU’s internal bargain and its external relations with China; (2) Linkage was generally effective vis-à-vis China, but with variations, either over time or across different linkage types; (3) The EU is a sui generis linkage power, resulting from its institutional characteristics and heterogeneity of interests among the Commission and Member States. We find that the EU’s increased institutionalisation (both regional and bilateral) and competences generally facilitated its use of linkage strategies. The EU’s sui generis structure and its internal interest divergences have mixed implications on its linkage effectiveness. On one hand, the EU’s linkage power was weakened accordingly. But on the other, the Commission could tactically make use of some Member State government’s row with Beijing and advance its own economic agenda (such as the EU-China High-level Economic and Trade Dialogue, HED). Moreover, our research also confirmed Andrew Moravcsik’s argument that issue linkage is more easily made within an issue-area than across issue-areas. But we differ from him on the reason behind that. We find that this was largely attributable to the EU’s pillar structure and competence divisions.

The theoretical contributions include: (1) Linkage power provides a distinctive prism to look into the EU’s concrete strategies in internal bargains, and external commercial negotiations. Linkage serves as a crucial strategy for the EU to handle its relations with a far-abroad country like China, including establishing diplomatic relations, negotiating trade deals, forging strategic partnerships and holding high-level dialogue. (2) Giving some insights to the EU’s actorness. We find that the EU, though institutionally not a unitary actor, was somehow able to present its power to the extent like a sovereign state on some occasions using linkage strategies. (3) Contributing to the understanding of the EU’s means to spread its governance model. We find that the EU’s norm-setting goals have often been achieved through non-normative ways – such as interest exchange and trade-off, and other deliberate ways of persuasion and even coercion, mainly based on linkage. (4) Shedding light on the interactions between the Commission and the Member State governments and on the Commission’s autonomy in external trade relations.

Two future directions of research have been identified: (1) comparative studies: the EU’s linkage practices vis-à-vis the US, Russia and middle powers, or other actors’ linkage strategies vis-à-vis China; (2) post-Lisbon linkage strategies used by the EU.


Doctorat en Sciences politiques et sociales
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Belyi, Andrei. "La dimension énergétique de la Sécurité pan-européenne et son impact sur la politique extérieure de l'Union européenne." Doctoral thesis, Universite Libre de Bruxelles, 2004. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/211092.

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18

Kuznia, Aleksandra. "Between altruism and self-interest: Beyond EU’s normative power. An analysis of EU’s engagement in sustainable ocean governance." Thesis, Malmö universitet, Fakulteten för kultur och samhälle (KS), 2019. http://urn.kb.se/resolve?urn=urn:nbn:se:mau:diva-23742.

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With the majority of the oceans lying outside the borders of national jurisdiction, it is not easy to preserve them healthy and secure as the ‘shared responsibility’ is not recognized unambiguously in the global world. The recent turn to the maritime sphere is visible in the UN 2030 Agenda on Sustainable Development that has been widely advocated by the EU. The latter’s commitment to sustainable ocean governance involves action beyond borders, which has a considerable impact on the global maritime sphere as well as on developing countries depending on the seas. On the one hand, the EU’s pursuit of sustainable ocean governance is informed by the norms and values that the organization possesses and tries to promote in its response to global challenges. On the other, the normative principles and the EU’s flowery rhetoric serve as a mean to rationalize Union’s pursuit of self-interest. This study analyses both dimensions of the organization’s engagement in the maritime sphere, considering oceans as a ‘placeful’ environment that has to be treated in the same way as the land is. By exploring the external dimension of EU’s action in the field, the thesis allows to see that EU’s pursuit of sustainable ocean governance has to be understood as a process in which the strategic aims are imbued with genuine moral concerns. Nevertheless, those can sometimes be undermined by the material policy outcomes visible in the West African coastal states such as Mauritania and Senegal.
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Barani, Luca. "Cour européenne de justice et les limites de son autonomie supranationale." Doctoral thesis, Universite Libre de Bruxelles, 2008. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/210478.

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La thèse effectue une revue de la littérature scientifique sur la Cour dans le processus d’intégration juridique, en classant les différentes positions selon qu’ils définissent le rôle de la Cour comme réactif ou pro-actif. En faisant cette revue de la littérature, cinq facteurs sont mis en exergue pour ce qui concerne la problématique de l’autonomie de la Cour, qui feront l’objet d’une analyse approfondie dans la suite de la thèse :

I) Limites inhérentes à l’interprétation juridique des Traités tels qu’ils se retrouvent dans les règles institutionnalisées du raisonnement de la Cour ;

II) L’interaction, au niveau européen, entre la Cour et les autres institutions ;

III) Les pressions et les stratégies d’influence des Etats membres vis-à-vis de la Cour comme agent de leurs préférences ;

IV) La dépendance structurelle de la Cour supranationale vis-à-vis ses interlocuteurs judiciaires au niveau national ;

V) Le degré d’obéissance que les appareils administratifs et exécutifs des Etats membres démontrent vis-à-vis la jurisprudence de la Cour.

Par rapport à ces facteurs, et leur importance relative dans la détermination de la ligne d’action de la Cour de Justice, la thèse évalue les changements et les défis auxquels est soumise la fonction de la Cour de justice au niveau de l’Union européenne, en particulier par rapport à l’environnement de plus en plus critique ou évolue la trajectoire jurisprudentielle de la Cour par rapport aux acteurs politiques et juridiques, l’érosion du caractère sui generis du droit communautaire dans le contexte du droit international, le rôle de plus en plus affiché des cours nationales, et le contexte institutionnel dans lequel se trouve à agir cette juridiction.
Doctorat en Sciences politiques et sociales
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Fahlbusch, Markus. "European integration in the field of human rights protection: the interaction on the basis of different constitutional cultures." Doctoral thesis, Universite Libre de Bruxelles, 2014. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/209162.

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The present thesis suggests that judicial interaction can benefit constructive solutions of concrete human rights problems as a specific way of integrating European human rights protection. This affirmation is substantiated by case studies examining the interaction of the European Court of Human Rights with the UK House of Lords and Supreme Court on the one hand and with the German Federal Constitutional Court on the other. Yet, the manner in which the courts proceed in their interaction, notably in view of their potentially conflictual stances, can deflect from the concentration on constructively solving the substantive human rights problem with which the courts are confronted. Accordingly, the courts might be inclined to preserve the status quo of their initial positions and to resort to a mere compromise between the different interests involved.

This thesis identifies two major factors in the courts’ reasoning that inhibit the fruitful discussion of the substantive human rights questions brought up by the cases: the reference to “culture” and the focus on their institutional relationship with the balancing of possibly conflicting interests. By way of analysing practical cases against a legal- and political-theoretical backdrop, this work develops how these two factors contribute to the obstruction of a constructive interaction between the courts and to the shielding of controversial views from being discussed and challenged. In response, also by reference to the concrete practice of the courts, this thesis puts forward an approach to the interaction which avoids this inhibiting effect and therefore allows for a comprehensive, deep and critical discussion on how to solve the specific human rights problems raised by the cases./La présente thèse soutient que l’interaction judiciaire peut bénéficier à des solutions constructives des problèmes concrets de droits de l’homme comme une forme spécifique d’intégration de la protection européenne des droits de l’homme. Cette affirmation est corroborée par des études de cas qui examinent l’interaction de la Cour européenne des droits de l’homme avec la House of Lords et la Cour suprême du Royaume-Uni d’un côté et avec la Cour constitutionnelle fédérale de l’Allemagne de l’autre. Pourtant, la manière dont les cours procèdent dans leur interaction, notamment au vu de leurs points de vue potentiellement conflictuels, peut détourner l’attention de la solution constructive des problèmes substantiels des droits de l’homme auxquels les cours font face. En conséquence, il se peut que les cours soient susceptibles de préserver le statu quo de leurs positions initiales et d’avoir recours à un simple compromis entre les différents intérêts en cause.

Cette thèse identifie deux facteurs majeurs dans le raisonnement des cours qui entravent la discussion fructueuse des questions substantielles soulevées par les cas :la référence à la « culture » et la concentration sur leur relation institutionnelle avec le balancement des intérêts possiblement conflictuels. Au moyen de l’analyse des cas pratiques sur le fond de la théorie juridique et politique, ce travail fait ressortir comment ces deux facteurs contribuent à l’obstruction d’une interaction constructive entre les cours et à la protection des opinions controversées contre leur discussion et défi. En réponse, également en se fondant sur la pratique concrète des cours, cette thèse avance une approche quant à l’interaction qui évite cet effet inhibant et, par conséquent, permet une discussion complète, profonde et critique de comment résoudre les problèmes spécifiques de droits de l’homme posés par les cas.


Doctorat en Sciences juridiques
info:eu-repo/semantics/nonPublished

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Kelling, Ingrid. "Knowledge is power? : a market orientation approach to the global value chain analysis of aquaculture : two cases linking Southeast Asia and the EU." Thesis, University of Stirling, 2012. http://hdl.handle.net/1893/12941.

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This thesis adds the market orientation approach to a global value chain analysis of four farmed seafood value chains from two Asian countries to the EU. The overall aim of the research is to critically evaluate whether, and to what extent, access to market information is the key to unlocking the potential of developing countries to create greater value: whether knowledge is power. The objectives of the thesis are therefore to explore the process of generating market information in seafood value chains from Asia to the EU; understand under what conditions market information is, is not or is only partially disseminated; and, evaluate the role of market information in responses by chain agents that create value. In order to achieve these objectives, fieldwork was conducted along the length of shrimp (Penaeus monodon) and prawn (Macrobrachium rosenbergii) from Bangladesh, and shrimp (Penaeus vannamei) and tilapia (Oreochromis niloticus) from Thailand to the EU. The EU is the world’s largest single market for imported fish and fishery products. France, Germany and the UK were selected for fieldwork as they are primary importers of the species from the selected countries. The research found that although increased knowledge is necessary, it is not a sufficient condition for increased value creation. Instead, the research advances existing understanding of seafood value chains by revealing that successful integration of developing country producers into global markets is partly dependent on governance and industry development in the exporting country. Weaknesses in these structures and relationships undermine supplier power by reducing access to market information, lessening incentives for sharing information, and restricting response capabilities. A number of methods for overcoming these constraints were found in the chains examined, focusing on direct links between market and value chain agents. Importantly, the research found that integration is also dependent on the willingness of those with a market presence in importing countries to share knowledge and power. Critically, the research has led to the conclusion that the possession of market information is one way for value chain agents, particularly those downstream, to guard knowledge and power for themselves. A better understanding of seafood markets and an improved analysis of aquaculture value chains from Asian countries to the EU revealed through the research will facilitate public and private responses that focus on the competitive advantage of the whole chain as a means to more sustainable development. This may well promote new chain configurations that place a premium on stronger and more collaborative linkages, increasing coordination between weak and strong suppliers and contribute to private sector development assistance. Only when knowledge is shared and suppliers gain power, will the market orientation of seafood value chains be improved, if not optimised.
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Alakbarov, Gurban. "Die Energieressourcen der kaspischen Region und ihre Auswirkungen auf die Energiesicherheit der Europäischen Union." Bochum [u. a.] : Europäischer Univ.-Verl, 2008. http://www.gbv.de/dms/zbw/568950232.pdf.

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Haydar, Samer. "Le partenariat Euromed : contribution à l'étude du soft-power de l'Union Européenne." Thesis, Bordeaux, 2016. http://www.theses.fr/2016BORD0433/document.

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Cette thèse étudie la contribution assez complexe du partenariat euro-méditerranéen au soft powerde l’UE. Nous avons procédé à l’examen de l’articulation entre les objectifs, les instruments, lesprogrammes, les accords et l’efficacité de l’action de l’Euromed. Il ne s’agit pas d’évaluer lepartenariat en tant que tel mais plutôt son utilisation par l’Union européenne comme instrument desoft power pour instaurer une démocratie libérale dans les pays sud-méditerranéens. Les quatreaspects fondamentaux de la démocratie libérale ont été donc examinés. Dans le domaineéconomique, il y eu des améliorations économiques dans les pays sud-méditerranéens del’Euromed, surtout par la mise en oeuvre de réformes économiques et institutionnelles, mais la zonede libre-échange prévue pour 2010 n’a pas été établie. L’intégration régionale et internationale, deces pays partenaires a connu des avancées qui demeurent encore modestes. La promotion de labonne gouvernance occupe une place centrale au sein des objectifs politiques du Partenariat.Ciblant principalement le renforcement des capacités des institutions et l’indépendance du systèmejudiciaire, les efforts menés dans le cadre de l’Euromed ont apporté une amélioration globale, maisinsuffisante, de la bonne gouvernance dans les pays sud-méditerranéens. Les actions menées dansle cadre du partenariat sur le terrain des droits de l’Homme ont mis surtout l’accent sur les questionsde sécurité, de la lutte antiterroriste et du contrôle des migrations, tandis que les questions relativesaux droits de l’Homme et à la démocratisation étaient plus ou moins passées sous silence. Mêmel’action civile est insuffisamment renforcée
This thesis studies the rather complex contribution of the Euro-Mediterraneanpartnership to the EU’s soft power. We have examined the link between the objectives,instruments, programs, agreements and effectiveness of the euro-Mediterraneanpartnership’s action. It is not a matter of evaluating the partnership as such but rather itsuse by the European Union as a soft power instrument to establish liberal democracy inthe South Mediterranean countries. The four fundamental aspects of liberal democracywere therefore examined. In the economic field, there have been economicimprovements in the southern Mediterranean countries, mainly through theimplementation of economic and institutional reforms, but the free trade areaanticipated for 2010 was not established. The regional and international integration ofthese partner countries has made some progress that remains however modest. Thepromotion of good governance is central to the political objectives of the Partnership.Focusing mainly on institutional capacity building and the independence of the judicialsystem, Euromed efforts have brought about a global but insufficient improvement ingood governance in the southern Mediterranean countries. Actions in the framework ofthe Human Rights Partnership have focused on security issues, counter-terrorism andmigration control, while human rights issues and democratization were more or lessignored. Even civil action is not sufficiently strengthened
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Menuet, Laetitia. "Le discours sur l'espace judiciaire européen : analyse du discours et sémantique argumentative." Phd thesis, Université de Nantes, 2006. http://tel.archives-ouvertes.fr/tel-00133442.

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La recherche menée dans cette thèse traite du discours de l'Union européenne sur l'espace judiciaire européen entre 1996 et 1999. En convoquant l'analyse du discours et la lexicométrie dans un cadre théorique de la sémantique argumentative, elle analyse le sens des mots autour de l'expression « espace de liberté, de sécurité et de justice ». L'objectif est de définir comment s'élabore la réappropriation de valeurs universelles au profit du discours et de l'identité européenne véhiculée par les procédés argumentatifs utilisés pour représenter l'espace judiciaire européen. Le contexte politique et les théories linguistiques de la méthode d'analyse exposés, cette thèse porte sur les conditions de communication du discours et de sa particularité sémantique, en montrant qu'il construit une identité en triade renvoyant aux trois valeurs de son emblème triptyque (« liberté, sécurité et justice ») : les institutions, la criminalité organisée et les citoyens. Elle révèle les indices linguistiques de cette construction identitaire avec ses enjeux politiques et de légitimation en introduisant la notion de « normalisation discursive ». Celle-ci adopte un schéma linguistique très marqué conduisant à la mise en œuvre d'un processus de « manipulation argumentative » défini et démontré dans ce travail. Les résultats illustrent que la normalisation et la manipulation engendrent une circularité du discours reposant sur le conflit de deux orientations discursives : celle d'un discours sécuritaire et celle d'un discours sur l'État de droit et la démocratie.
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CROON, Johanna. "Reconceptualizing European equality law : a comparative institutional analysis." Doctoral thesis, 2013. http://hdl.handle.net/1814/28033.

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Defence date: 5 June 2013
Examining Board: Professor Miguel Maduro, European University Institute (Supervisor) Professor Mattias Kumm, European University Institute Professor Neil Komesar, University of Wisconsin Professor Christoph Möllers, Humboldt Universität, Berlin.
PDF of thesis uploaded from the Library digital archive of EUI PhD theses
The thesis seeks to widen our understanding of the general principle of equality within European Union law. In its approach it is theoretically ambitious yet grounded in case law analysis. After an introduction into the origins of the notion of equality, the thesis sets out to deconstruct the adjudication by the European Court of Justice as well as by selected Member State courts on some of the most pressing issues of European equality law via the means of comparative institutional analysis. More specifically, it examines the diversity of applied standards of testing by the European Court of Justice, its handling of reverse discrimination and its dealing with affirmative action. Moreover, it looks at the Austrian and German case law on reverse discrimination. Through this exercise, the thesis illustrates that the judges are in their decisions both guided by reaching a 'fair' outcome to the cases and by reflections on their ability to rule on egalitarian issues. The work describes in detail how institutional considerations inform judicial decisions in matters of equality. Building on the finding that institutional thinking influences judicial decision making, the thesis continues to ask whether this practice is desirable. Its concluding chapter argues for an adaptation of the existing equality doctrine in European Union law in order to provide judges, practitioners and academics with tools to merge institutional considerations along with legalist interpretation of equality guarantees in an open and comprehensible manner.
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SCHMIDT-KESSEN, Maria José. "IP competition conflicts in EU law through five judicial lenses." Doctoral thesis, 2018. http://hdl.handle.net/1814/55264.

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Defence date: 21 May 2018
Examining Board: Prof. Giorgio Monti, EUI (EUI Supervisor) ; Prof. Urska Šadl, EUI ; Prof. Inge Govaere, College of Europe, Bruges ; Prof. Alison Jones, King's College, London
This PhD thesis deals with IP-competition conflicts and how the EU Courts have addressed them over time. It seeks to answer the question of how the reasoning of EU Courts in these cases has been affected by three crucial evolutionary moments in EU law: (1) the Europeanization of IP law (2) the modernization of EU competition law and (3) the elevation of the Charter of Fundamental Rights of the European Union to a primary source of EU law. The first two chapters provide the theoretical framework of the thesis. The first chapter provides a detailed overview of the three crucial evolutionary moments in EU law mentioned above. The second chapter provides an overview of theories about the legal reasoning of EU Courts and about the different approaches that the courts have adopted when deciding IP-competition conflicts. Five such approaches, or judicial lenses, are identified: an economics, a conflict of laws, a conflict of competences, a constitutional and a private law approach. It is shown that these five different approaches can be linked to the three evolutionary moments at the IP-competition interface in EU law. Chapters three to five trace the theoretical insights from the first two chapters in three case studies on specific business methods having given rise to IP-competition conflicts before EU Courts: (i) selective distribution systems, (ii) digital platforms and restrictions of access, and (iii) lock-in strategies on aftermarkets, in particular in the online environment. The case studies analyse how these comparable factual situations of IP-competition conflicts have been treated on the one hand under EU competition law and on the other under EU IP law. In each case study, the legal reasoning is identified and compared between EU competition and IP law. The main finding in the case studies is that EU Courts treat the spheres of EU competition law and IP law as wholly separate. This has led to quite diverging approaches in comparable cases of IP-competition conflicts depending on whether the cases are brought under EU competition law or IP law, jeopardizing the systemic coherence of EU law and disturbing the CJEU’s dialogue with national ii courts. This situation is not sustainable. In an economic environment where the EU’s economies are increasingly depending on e-commerce and digital assets often protected by IP, IP-competition conflicts are bound to increase. To ensure a legal environment that provides legal certainty and equal conditions for firms to thrive across EU Member States without hurting consumers, a more coherent and improved methodological guidance on how to address IP-competition conflicts is needed. The aim of this thesis is to provide a first step in this direction.
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STORSKRUBB, Eva. "Judicial cooperation in civil matters : a policy area uncovered." Doctoral thesis, 2006. http://hdl.handle.net/1814/6367.

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Defence date: 9 October 2006
Supervisor: Prof. Jacques Ziller
Awarded the Mauro Cappelletti Prize for the best comparative law doctoral thesis, 2007.
PDF of thesis uploaded from the Library digitised archive of EUI PhD theses completed between 2013 and 2017
This dissertation examines a burgeoning policy area of the EU - the regulation of cross border civil and commercial litigation. The dissertation analyses the EU's specific legislative measures regulating civil procedure and assesses their impact on litigation, particularly due process rights. The policy is then placed in the broader contexts of European integration and the international codification of civil procedure.
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DE, LA MARE Thomas. "Judicial cross-fertilisation in the European Community." Doctoral thesis, 1995. http://hdl.handle.net/1814/5569.

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BRITO, BASTOS Filipe. "Beyond executive federalism : the judicial crafting of the law of composite administrative decision-making." Doctoral thesis, 2018. http://hdl.handle.net/1814/55824.

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Defence date: 13 June 2018
Examining Board: Professor Deirdre Curtin, European University Institute (Supervisor) ; Professor Miguel Poiares Maduro, European University Institute ; Professor Paul Craig, St. John's College, Oxford ; Professor Herwig Hofmann, University of Luxembourg
The thesis examines how EU courts have addressed the rule of law challenges of composite procedures. Composite procedures are pervasive administrative processes which involve joint decision-making by national and EU authorities. Such procedures fit poorly into the EU’s traditional model of administrative law, EU executive federalism, which is designed for an administrative system where decisional power is exercised separately by the two levels of administration. This mismatch would make it difficult to observe several key requirements of the rule of law in EU administrative law – such as the right to be heard, the right to a reasoned decision, judicial protection, and the control of legality. The thesis argues that EU courts have crafted a series of unprecedented implicit principles that specifically aim at ensuring the observance of rule of law requirements in composite decision-making. In doing so, EU case law has departed from the old doctrine of EU executive federalism. This was however not an easy transition. Indeed, since the EU’s foundational period, EU executive federalism was considered to be a constitutional doctrine, i.e., to immediately flow from the Treaties. Given the almost complete lack of references to administrative issues in the Treaties, this reading was entirely question-begging. Its espousal in the case law is explained in the dissertation as the likely result of a shared federalist conception of the European Union and of the administrative order created under its aegis. The thesis further argues that, just as the doctrine of EU executive federalism, the judge-made law of composite procedures relies on a series of assumptions on the relations between national and EU administration. The principles of composite decision-making do not treat national and EU authorities as two strictly separate spheres of power. Rather, they handle the two levels as a single, integrated administration, where national authorities are treated as an extension of the Commission – as the EU administration’s ancillary bureaucracy.
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HERMANIN, Costanza. "Europeanization through judicial enforcement? : the case of race equality policy." Doctoral thesis, 2012. http://hdl.handle.net/1814/22689.

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Defence date: 23 May 2012
Examining Board: Professor Adrienne Heritier (EUI/RSCAS) (Supervisor); Professor Lisa Conant (Univ. Denver); Professor Bruno De Witte (formely EUI/Univ. Maastricht); Professor Daniel Sabbagh (CERI, Sciences Po, Paris).
First made available online on 7 November 2019
Ten years after its enthusiastic adoption in 2000, the Race Equality Directive (RED) - a deeply innovative and indeed overall far-reaching piece of equal treatment legislation – seems to be still little enforced at the level of European courts. Why? Neither a sudden retrenchment of race discrimination in Europe, nor the inaptitude of the policy to generate European Union (EU)-law litigation, can easily explain the scarce signs of the extensive judicial enforcement that characterise other EU equal treatment policies, such as those on EU-nationality, gender and age. This study zooms in on the realm of domestic politics and judicial enforcement to inquire into cross-sectional and cross-national variations in the implementation of EU equal treatment policy. To do so, I rely upon analytical tools developed by three branches of EU studies scholarship — Europeanization, compliance and judicial politics literature — and I apply them to the yet unexplored domain of race equality policy. Tracing the process of transposition, in the first place, and analysing case law databases and expert interviews with legal practitioners, in the second place, I inquire into compliance and judicial enforcement in three EU countries: France, Germany and Italy. The findings of this comparative study confirm a very limited judicial enforcement of the RED, especially as domestic patterns of adversarial litigation in the domain of race equality are concerned. I explain this divergence looking at the ‗containment‘ action that domestic policymakers may exert on directives at the moment of transposition. In the case of the RED, this action crucially impinged on aspects likely to determine enforcement dynamics, such as those elements of the process regulating access to judicial redress. This work shows that in the case of a policy measure such as the RED, focused on individual judicial redress and mainly targeted towards disadvantaged end-users, the harmonization of some process elements is crucial to determining converging implementation dynamics. If Europeanization is contained at the moment of transposition, judicial enforcement can be seriously hindered at the national as well as the supranational levels even in presence of domestic legal mobilization. In addition to that, the thesis shows how limited raceconsciousness is to be found in contemporary European jurisprudence as well as in the claims filed by antidiscrimination law applicants.
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RYALL, Aine. "Effective judicial protection" and the environmental impact assessment directive in Ireland"." Doctoral thesis, 2003. http://hdl.handle.net/1814/6353.

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FERNANDES, Jorge Miguel. "Power sharing in legislatures : mega seats in twenty European parliamentary democracies." Doctoral thesis, 2013. http://hdl.handle.net/1814/29625.

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Defence date: 17 September 2013
Examining Board: Professor Stefano Bartolini, EUI (Supervisor) Professor Mark N. Franklin, MIT/EUI Professor Kaare Strøm, University of California, San Diego (External Supervisor) Professor Shane Martin, University of Leicester.
PDF of thesis uploaded from the Library digital archive of EUI PhD theses
Recent contributions in legislative studies field have coined the term mega-seats to denote committee systems and leadership bodies. The significance of viewing the internal bodies of legislatures as mega-seats is that they are conceived as part of the democratic delegation chain. Consequently, such an approach adds a political bargaining dimension to the allocation of mega-seats. During the internal organization process of the legislature, plenary legislators become principals, who delegate power to internal bodies, mainly to enhance labor division, tackle information asymmetries, and channel party demands. This thesis examines the process of payoff distribution in legislatures, using an original dataset containing 350 parties, in 12 Western European parliamentary democracies. The analysis is carried out at the party level as well as at the legislature level. Moreover, I conduct two case studies - Portugal and the United Kingdom - to further disentangle the causal mechanisms used to explain mega-seats allocation in parliamentary democracies. The empirical analysis starts with an examination of whether the division of payoffs (i.e., mega-seats) follows a proportionality logic. The proportionality assumption is borrowed from coalition studies, which have long established that institutional payoffs are distributed in a 1:1 proportionality. Using a new index to gauge disproportionality in the allocation of legislative mega-seats, the first finding of this thesis is that mega-seats allocation in parliamentary democracies is not proportional. Subsequently, I adduce a model that explains this counterintuitive finding at the party and legislature levels. The second main finding is that a party’s degree of disproportionality is a function of its power. Parties are conceived as having a number of resources to spend on mega-seats distribution. The way they spend these resources is constrained by the existence of proportionality protection rules within an institution and incentivized by the value of the payoff. Regarding the former, I find that rules matter in protecting proportionality whilst for the latter I find that the amount of resources parties are willing to spend on a mega-seat depends on the mega-seat’s power. Finally, the third main finding is that, at the aggregate level, the overall power of the legislative branch vis-à-vis the executive branch is important in determining the degree of disproportionality. Powerful legislatures tend to be more disproportional, as executive members seek control of its internal bodies.
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WARD, Angela. "Effective judicial protection in European Community law and the individual : a constitutional analysis." Doctoral thesis, 1997. http://hdl.handle.net/1814/4821.

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DALY, Angela. "Mind the gap : private power, online information flows and EU law." Doctoral thesis, 2015. http://hdl.handle.net/1814/35407.

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Defence date: 3 March 2015
Examining Board: Professor Giorgio Monti, European University Institute (EUI Supervisor); Professor Giovanni Sartor, European University Institute; Professor Lilian Edwards, University of Strathclyde; Professor Chris Marsden, University of Sussex.
This thesis examines how European Union law and regulation address concentrations of private economic power which impede free information flows on the Internet to the detriment of Internet users' autonomy. In particular, competition law, sector specific regulation (if it exists), data protection and human rights law are considered and assessed to the extent they can tackle such concentrations of power for the benefit of users. Illustrative case studies - of Internet provision, search, mobile devices and app stores, and the cloud – are chosen to demonstrate the gaps that exist in current EU law and regulation when applied to concentrations of private power online. It is argued that these gaps exist due, in part, to current overarching trends guiding the regulation of economic power, namely neoliberalism, by which only the situation of market failures can invite ex ante rules, buoyed by the lobbying of regulators and legislators by those in possession of such economic power to achieve outcomes which favour their businesses. Given this systemic, and extra-legal, nature of the reasons as to why the gaps exist, some 'quick fixes' from outside the system are proposed at the end of each case study, namely the potential for applying regulation and/or applying 'self-help' solutions, which are mainly technical measures using peer-to-peer design.
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CARATELLI, Irene. "The Political impact of the EU's international trade : EU trade power, policy and influence." Doctoral thesis, 2010. http://hdl.handle.net/1814/13296.

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Defence date: 18 January 2010
Examining Board: Marise Cremona (EUI, Law Department); Christopher Hill (University of Cambridge); Erik Jones (Johns Hopkins, Bologna); Pascal Vennesson (EUI/RSCAS, Supervisor)
PDF of thesis uploaded from the Library digital archive of EUI PhD theses
The aim of the PhD Thesis is to ascertain whether the EU is able to exert a political influence through its international trade agreements. Since the Union has always been considered as an economic giant and a political dwarf at the global level, the objective is to evaluate whether the EU external trade may be considered as a useful tool to address the gap between its economic and political relevance. If the EU is effectively able to wiled a political influence through trade also beyond the neighbourhood area, where it uses the membership card chip, the EU might have a greater global role. The conceptual analysis of the Thesis is based on the distinction between the EU trade Power (i.e. Resources, Institutions and Values), EU trade Policy activity and its final Influence in order to disentangle the 'levers' from the 'leverage' exercised by the EU through its external trade policy. The potential for political influence of the EU ultimately relies on the ability to change the norms, beliefs, rules and regulations in EU partner countries, during and after the trade negotiations. The empirical side of the research focuses on two bilateral agreements: the EU-Mexico Partnership Agreement (2000), and the Free Trade Agreement (FTA) between the EU and South Korea (2009). Despite the strong differences between the case studies (in terms of their geographic location, production and export patterns, timing of the negotiations, etc.), Mexico and South Korea share four basic similarities: i) neither is an EU neighbouring country (i.e. the EU cannot use the membership card); ii) both are strongly dependant and receive their primary influence in economic, political and security terms from the United States; iii) both have strongly endorsed neoliberal and free market principles; and finally iv) each of them might be a potential gateway for the EU in its macro-region. Furthermore, Mexico and South Korea share also a more specific strategic value for the EU in three main respects. First, in both cases the rationale for EU to conclude the agreements was the same: economic and defensive vis-à-vis US previous trade agreements (the NAFTA and the US-South-Korea FTA). Second, the basic objectives of the EU in both countries tend to correspond to a great extent: the achievement of the commercial parity treatment of EU for its exporters vis-à-vis US’ exporters. Third, the overall political influence of the EU in the countries might thus be not only limited, but also fairly comparable. The theoretical structure and the empirical work highlight interesting indications. First, in terms of Power, neither the EU trade power, nor the conclusion of trade agreements is sufficient for the EU to exert, by default, a political influence in the countries considered. Second, in terms of Policy, during Peter Mandelson’s tenure as EC Trade Commissioner, the Union downsized the normative and political ambition of its external trade action in respect to the past, focusing on the achievement of commercial-parity objectives vis-à-vis other major global actors (i.e. a defensive trade strategy in relation to that of the US). Finally, in terms of Influence, both cases indicate that the EU has still a limited capacity to exert a political influence via its trade policy in nonneighbouring countries. Four main reasons help to explain this: 1) Internal institutional constraints within the EU; 2) The bilateral level of trade negotiation; 3) The weakness of EU’s Common Foreign and Security Policy and of its Common Security and Defence Policy; 4) The defensive rather than proactive global projection of the EU. The Thesis concludes that although the EU foreign economic policy can be a means to address the capability-expectations gap that affects the EU as an international actor, there is still ample scope to improve the EU political influence through trade in countries beyond the neighbourhood area in economic, political and/or normative terms.
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RÉVEILLÈRE, Vincent. "Le juge et le travail des concepts juridiques : le cas de la citoyenneté de l'Union européenne." Doctoral thesis, 2017. http://hdl.handle.net/1814/49104.

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Defence data: 28 November 2017; Examining Board: Professor Loïc Azoulai, University of Paris (Supervisor); Professor Myriam Benlolo Carabot, Paris Nanterre University; Professor Jean-Yves Chérot, Aix-Marseille University; Professor Urška Šadl, European University Institute
The thesis is awarded the Pierre-Henri Teitgen Prize 2018
By introducing the terms “citizens of the Union”, the drafters of the Maastricht Treaty inscribed a new concept in European Union law. The denomination of the new concept coincides with that of national legal concepts and of a concept widely discussed in political theory. More than twenty years later, the legal concept of citizenship of the Union has been widely constructed by the case law of the European Court of Justice. This case law then offers a particularly rich field of study for the development of a new perspective on judicial activity. My thesis proposes an investigation on the judge and the work of legal concepts; that is, an investigation on the practice of the judge – the work on concepts – and on the role of concepts in legal reasoning – the concepts at work. This inquiry should be distinguished from classical studies on the judge, mainly dealing with interpretation, as well as from works focusing on power relations between legal actors. In this thesis, I argue that EU law must be understood in its own terms, through an inquiry on the conceptual practices of the judge and I propose a non-formalist account of legal forms.
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TESOKA, Sabrina. "A public policy by default? : judicial activism in the 'Community social space', the case of sex equality." Doctoral thesis, 1999. http://hdl.handle.net/1814/4803.

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Defence date: 13 February 1999
Examining board: Prof. Carol Harlow (London School of Economics, London) ; Prof. Yves Mény (Robert Schuman Centre, EUI) (Supervisor) ; Prof. Silvana Sciarra (Department of Law, EUI)(Co-supervisor) ; Prof. Martin Shapiro (University of California, Berkeley)
PDF of thesis uploaded from the Library digitised archive of EUI PhD theses completed between 2013 and 2017
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PAPAIOANNOU, Anna. "The discretionary power of the Commission of the European Communities in the field of state aids : aspects of the application of articles 92-94 EC." Doctoral thesis, 1994. http://hdl.handle.net/1814/4742.

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BROCKA, Zuzanna. "Dissertation on vertical aspects of power-sharing in the European Union and in the canditate countries." Doctoral thesis, 2001. http://hdl.handle.net/1814/5577.

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40

SCHERR, Kathrin Maria. "The principle of state liability for judicial breaches : the case Gerhard Köbler v. Austria under European Community law and from a comparative national law perspective." Doctoral thesis, 2008. http://hdl.handle.net/1814/13165.

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Defence date: 23 October 2008
Examining Board: Prof. Jacques Ziller, (European University Institute, Supervisor);Prof. Bruno de Witte, (European University Institute); Prof. Walter Van Gerven, (Professor emeritus KU Leuven, U Maastricht, U Tilburg); Judge Horstpeter Kreppel, (President of the First Chamber of the European Civil Service Tribunal)
Awarded the Mauro Cappelletti Prize for the best comparative law doctoral thesis, 2009.
First made available online 16 December 2014.
This thesis examines the principle of Member State liability for breaches of European Community law committed by a national court adjudicating at last instance as established in the European Court of Justice's ruling of September 2003 in Gerhard Köbler v. Republic of Austria (C-224/01). It focuses on the ECJ's assessment in the case of the various approaches to Member State liability for judicial breaches under the national laws of the (then) fifteen EU Member States and extends the analysis to an enlarged Europe of 27. In an attempt to verify the Court's conclusions, namely that the concept of State liability for judicial breaches constitutes a common principle that has been accepted in most EU Member States, the thesis embarks on a comparative analysis of the prevailing national legal concepts in the area of State liability for judicial breaches. The categorisation of the different systems into four groups allows for the creation of a general taxonomy of the various national approaches to the question. An in-depth analysis of one national system per category then sheds light on the general concepts of public liability in the 27 Member States. The prototypes representing the four groups are the United Kingdom, Austria, France and Belgium. Apart from the analysis of the framework and composition of the respective State liability regimes, special attention is directed to the interaction of the Köbler-principle on the Community level with the effective framework of State liability in the national prototypes. Against this background, the thesis provides a general reflection on the substantive and procedural difficulties arising in the course of the application of the Köbler-principle under each national remedial framework. In doing so, several issues are addressed, including the impact of liability à la Köbler on the principles of legal certainty and the impartiality of the judiciary, as well as the question of a possible violation of the principle of res judicata. Furthermore, the study addresses the claim that Köbler triggers the development of an indirect appellate procedure to the ECJ giving it the role of a 'quasi-final court of appeal'. In addition, the thesis seeks to unravel past and present problems of communication between the ECJ and the national supreme courts and discusses a possible change from the ECJ's traditional cooperative approach towards incompliant national supreme courts to a more assertive stance which suggests that non-compliance by the national court in question, with its obligation to make a reference for a preliminary ruling under Article 234(3) EC, might incur the liability of the Member State in question.
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41

PIERDOMINICI, Leonardo. "Mimetic evolution : new comparative perspectives on the Court of Justice of the European Union in its federal judicial architecture." Doctoral thesis, 2016. http://hdl.handle.net/1814/40347.

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Defence date: 29 February 2016
Examining Board: Professor Loïc Azoulai, European University Institute; Professor Bruno De Witte, European University Institute; Professor Giuseppe Martinico, Scuola Superiore Sant'Anna - Pisa; Professor Laurent Pech, Middlesex University London.
The dissertation aims at studying the historical institutional evolution of the Court of Justice of the European Union, the judicial arm of the supranational European community. The Court has been largely analysed, in the multidisciplinary field of European studies, particularly because of its central role in the process of continental integration, for the role played for the evolution of the European Union legal order. The perspective I would like to suggest and to develop in this work tries to differentiate itself by taking a somehow reverse standpoint. First, I will focus on the evolution of the Court itself, more than on the impressive evolution of the EU legal order and its judge-made nature. Naturally, this last aspect will be the background of my analysis. In this respect, I will not be much concerned with the evolution of case law, jurisprudence or the interpretative activity of the European Court but more on the structure and the organization of the Court itself, taken as an institution. Finally, I will try to develop this approach by making use of the precious insights provided by the comparative analysis of law. I will select some specific yet central aspects of the structural, organizational, institutional development of the Court in the decades since its foundation and will do this with a purpose. My aim is to show, through a comparative analysis, how the development and institutional evolution of the Court of Justice of the European Union can be considered mimetic - able to engage and somehow internalize the solicitations which came from EU Member States influences of different legal traditions (with increasing strain as the EU grew dimensionally) and responding to global challenges in relation to the increasing role of the international forms of judicial review and of the international judicial review bodies. This proved decisive, I argue, for strengthening the authority of the Court of Justice in its federal judicial architecture.
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42

DOMINGUEZ, GARCIA Fernando. "Las regiones con competencias legislativas : estudio comparado de su posición constitucional en sus respectivos Estados y en la Unión Europea." Doctoral thesis, 2004. http://hdl.handle.net/1814/4612.

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Defence date: 6 December 2004
Examining board: Mercè Barceló i Serramalera, Directora externa (Universitat Autònoma de Barcelona) ; Bruno de Witte (Instituto Universitario Europeo de Florencia) ; Luciano Vandelli (Università degli Studi di Bologna) ; Jacques Ziller, Driector (Instituto Universitario Europeo de Florencia)
PDF of thesis uploaded from the Library digitised archive of EUI PhD theses completed between 2013 and 2017
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43

BONAFÉ, MARTÍNEZ Ernesto. "Towards a European energy policy : resources and constraints in EU law." Doctoral thesis, 2010. http://hdl.handle.net/1814/14979.

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Defence Date: 11 October 2010
Examining Board: Prof. Jacques Ziller, University of Pavia (EUI Supervisor); Prof. Pippo Ranci, Catholic University of Milan; Prof. Leigh Hancher, University of Tilburg; Mr. Jorge Vasconcelos, MIT/Portugal Programme, Lisbon University
PDF of thesis uploaded from the Library digital archive of EUI PhD theses
The European Union (EU) has set the objective to achieve a secure, sustainable and competitive energy. The development of a European energy policy is constantly emphasised in the declarations of EU political leaders. This thesis provides an assessment of the legal feasibility of an EU energy policy in the areas of industrial restructuring, institutional reform and security of supply. The first chapter looks into the Endesa saga, which offers a paradigmatic case concerning the tensions between energy champions and energy markets. Successive national and ‘foreign’ takeover bids for Endesa are examined at national and EU level by different authorities according to different legal regimes, which show the ambivalent contribution of the merger control to the development of an energy policy. The persistence of monopolistic structures despite energy liberalisation requires the reinforcement of the role of regulatory authorities, as analysed in chapter two. However, one cannot expect that national regulatory authorities and the newly created European Agency for the Cooperation of Energy Regulators enjoy the same powers and level of independence as their integration within Member States and the EU operates on the basis of different legal and institutional principles. Chapter three addresses security of energy supply, which is in principle a responsibility of the Member States (which often used it as a pretext to promote national champions), but it has also a European dimension in terms of external dependence and solidarity. The absence of a specific legal basis on energy in the treaties has not prevented the EU from dealing with security of supply by having recourse to legal bases in the fields of environmental policy, crisis management and trans-European networks. A more coherent approach to energy policy is expected with the new legal basis on energy in the Lisbon Treaty. Beyond future developments, this thesis measures the integrity of the commitment repeatedly expressed by European Heads of Governments and States to build up a European energy policy.
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44

BALLI, Volker. "Power and Gestalt of political concepts : a study of the emergence, nature and self-understanding of the Europe Union Polity." Doctoral thesis, 2009. http://hdl.handle.net/1814/11973.

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Defence date: 7 February 2009
Examining Board: Prof. Peter Wagner, University of Trento and formerly EUI (Supervisor); Prof. Richard Bellamy, University College London; Prof. Claus Offe, Hertie School of Governance, Berlin; Prof. Neil Walker, University of Edinburgh and formerly EUI
PDF of thesis uploaded from the Library digital archive of EUI PhD theses
This thesis proposes a new way of addressing two central questions in the study of the European Union: What is the nature of the European Union as a political entity and how does it emerge? The point of departure is the, by now widely accepted, conceptualisation of the EU as a polity and the extensive discussions, not least in normative and prescriptive terms, that this process implied. Judging that many of the debates have reached dead-ends, the thesis proposes a novel way of conceptualising the concept ‘polity’ in its application to the European Union. It argues that the European Union polity should be understood as a configuration of agreements to collectively address common problems. The thesis then offers an analysis of three such fields of agreed upon common activities over the period 1992 to 2005 which are constitutive of the European Union polity and construct its boundedness: ‘Enlargement to the East’; ‘Immigration policy’; and ‘Europe as an actor in the world.’ Under scrutiny includes: the context in which these policies emerged; the normative ideas through which the problems at stake were identified; and the agreed-upon mechanisms for addressing common problems. To understand the emergence and nature of these common activities, the thesis proposes a concept-centred approach. It argues that concepts are constitutive for the European Union polity. The concepts constitute the agreements to address problems in common and thus ‘form’ the European Union polity. Thereby, the thesis shows the ways in which five key concepts - human rights, democracy, diversity, prosperity and security - are effective (‘their power’ or ‘efficacy’) and which Gestalt (‘meaning’) they take on in these specific problem-ridden situations. Particular attention is paid to the relationship and, specifically, tensions between the different normative concepts as well as the compromises that they form and the re-configuration of the respective policy fields they bring about. The thesis concludes that these findings should be interpreted as a self-understanding of the European Union. This self-understanding encompasses the commitment to a set of ideas, the decision to take action in certain political domains and, not least, the selfidentification as a political actor and entity. Thus, focusing on the power and Gestalt of concepts without falling into an abstract idealism, the thesis combines an approach of a historical sociology, cultural sociology and the history of concepts with key concerns of European Union studies.
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45

SIMBLET, Stephen. "Task flexibility in employment : injunctions, Community law and judicial review in English labour law." Doctoral thesis, 1990. http://hdl.handle.net/1814/5638.

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46

DE, ALMEIDA Lucila. "Integration through self-standing European private law : insights from the internal point of view to harmonization in energy market." Doctoral thesis, 2017. http://hdl.handle.net/1814/46666.

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Defence date: 23 May 2017
Examining Board: Prof. Hans-W. Micklitz, European University Institute (EUI Supervisor); Prof. Stefan Grundmann, European University Institute; Prof. Daniela Caruso, Boston University; Prof. Kim Talus, University of Helsinki and University of Eastern Finland
This thesis analyses the impact of the European Integration Project on private law. While the impact of EU law on private law throughout negative integration created European Private Meta-law, and throughout positive integration evolved to European Private law, this thesis claims that EU law has recently moved a step further in regulated markets by creating selfstanding European Private law. Self-standing European Private law is a normative system of rules at supranational level in which its semantically rigid legal norms suggests the intrusion of EU law into the private order of contractual parties with minor divergences within and among national legal systems. This analytical model explains the legal phenomenon of intrusion and substitution, which is different than the phenomenon of divergence, what has so far been the main focus of legal scholars in comparative private law and approaches to Harmonization. To define and identify self-standing European private law, this thesis proposes a systematic understanding of EU law from what H.L.A. Hart conceptualizes as the Internal Point of View. It contextualizes the private law dimension of EU energy law through a discussion of primary and secondary rules and, most importantly, the linguistic framework of analytic philosophy. In so doing, this thesis claims the constitutive element of self-standing European Private law takes shapes when EU law, through governance modes of lawmaking and enforcement at the EU level, creates a set of mandatory rules applied to private relationships, of which the semantic texture of its language leaves minor space for divergent interpretation and implementation by legal official and market actors. To prove the emergence of a self-standing European Private Law, EU energy Law is the blueprint to test the claim. The thesis pursues a socio-legal investigation on how the private law dimension of EU energy law has changed over three decades of market integration and affected two key market transactions in energy markets: transmission service contracts in electricity, and natural gas supply contracts.
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HAGHIGHI, Sanam Salem. "Energy security. The external legal relations of the European Union with energy producing countries." Doctoral thesis, 2006. http://hdl.handle.net/1814/6359.

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Defence date: 16 June 2006
Examining board: Prof. Bruno de Witte (Supervisor, European University Institute) ; Prof. Marise Cremona (European University Institute) ; Prof. Giacomo Luciani, part time professor, EUI ; Prof. Thomas Wälde, University of Dundee
PDF of thesis uploaded from the Library digitised archive of EUI PhD theses completed between 2013 and 2017
This dissertation offers the first comprehensive assessment of the various internal and external measures undertaken by the European Union to guarantee security of oil and gas supply. It sets out and analyzes in a coherent and thorough manner those aspects of EU external policy that are relevant in establishing a framework for guaranteeing energy security for the Union. What makes the book unique is that it is the first of its kind to bridge the gap between EU energy and EU external policy. The dissertation discusses EU policy towards the major oil and gas producing countries of Russia, the Mediterranean and the Persian Gulf at the bilateral as well as regional and multilateral level. It brings together not only the dimensions of trade and investment but also other important aspects of external policy, namely development and foreign policy. The author argues that the EU's energy security cannot be achieved through adopting a purely internal approach to energy issues, but that it is necessary to adopt a holistic approach to external policy, covering efficient economic relations as well as development co-operation and foreign policies towards energy producing countries. The dissertation will be a valuable resource for students of EU law, WTO law or international energy law, as well as scholars and practitioners dealing with energy issues.
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48

MARKETOU, Afroditi. "Local meanings of proportionality : judicial review in France, England and Greece." Doctoral thesis, 2018. http://hdl.handle.net/1814/58864.

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Defence date: 19 September 2018
Examining Board: Prof. Bruno De Witte, Maastricht University/EUI (Supervisor); Prof. Loïc Azoulai, Sciences Po Paris; Associate Prof. Jacco Bomhoff, LSE; Prof. Guillaume Tusseau, Science Po Paris
The author was awarded the Mauro Cappelletti Prize for the best doctoral thesis in the field of comparative law (June 2019)
Proportionality increasingly dominates legal imagination. Initially conceived of as a principle that regulates police action, today it is progressively established as an advanced tool of liberal constitutional science. Its spread, accompanied by a global paradigm of constitutional rights, appears to be an irresistible natural development. This thesis was inspired by the intuition that even though courts and lawyers around the world reason more and more in proportionality terms, proportionality can mean very different things in different contexts, even within the same legal system. While the relevant literature has paid little attention to differences in the use of proportionality, identifying the local meanings of proportionality is crucial to making sense of its spread, to assessing its success, and to appraising the possibility of convergence between legal systems. Through an in-depth study and comparison of the use of proportionality by legal actors in France, England and Greece, this work shows that the local meanings of proportionality are not simply deviant applications of a global model. Instead, they reflect the legal cultures in which they evolve, local paths of cultural change and local patterns of Europeanisation. La proportionnalité a progressivement pris une place centrale dans l’imaginaire juridique. Initialement conçue comme un principe qui régit l’utilisation des pouvoirs de police, elle est aujourd’hui considérée comme un outil avancé de science constitutionnelle. Sa généralisation, accompagnée par le paradigme du droit constitutionnel global, est perçue comme irrésistible et naturelle. Cette recherche a été guidée par l’intuition que, même si les juristes à travers le monde raisonnent de plus en plus en termes de proportionnalité, celle-ci peut avoir des sens très différents, et ce, même au sein d’un seul système juridique. Les différentes utilisations du langage de la proportionnalité sont rarement étudiées en tant que tels. Pour autant, l’identification des sens locaux de la proportionnalité est cruciale si l’on veut comprendre sa propagation, apprécier son succès et évaluer les possibilités de convergence entre systèmes juridiques. Ce travail consiste en une étude approfondie et comparative de l’utilisation du langage de la proportionnalité parmi les acteurs juridiques en France, en Angleterre et en Grèce. Il cherche à montrer que les sens locaux de la proportionnalité ne sont pas simplement des applications imparfaites d’un modèle global. Au contraire, ils reflètent les cultures au sein desquelles ils évoluent, des chemins d’évolution culturelle propres à chaque système et des trajectoires locales d’européanisation.
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49

GOMEZ, Luis Alfonso. "A rhapsody of European regions : legal variations on a theme of power ; an institutional analysis of regions in the Community structure." Doctoral thesis, 1993. http://hdl.handle.net/1814/5551.

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50

NOWAK, Bartlomiej. "Electricity and gas market liberalization in the EU as a part of the Internal Energy Market strategy: a cross-country study - and a lesson for Poland." Doctoral thesis, 2009. http://hdl.handle.net/1814/12013.

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Defence date: 18/05/2009
Examining board: Wladyslaw Czaplinski (Polish Academy of Science, Warsaw); Leigh Hancher (Tilburg University); Heike Schweitzer (EUI); Jacques Ziller (Supervisor, EUI)
PDF of thesis uploaded from the Library digital archive of EUI PhD theses
In many EU countries, the infrastructure for supplying electricity and gas (electricity networks, gas pipelines, and storage facilities) are still properties of the so-called vertically integrated undertakings (VIU) responsible for the extraction or generation, supply, and transmission and distribution of the energy. While competition can be promoted in the generation/production and supply side of the vertical integration, transmission and distribution segments remain natural monopolies that hinder market mechanisms. Vertical integration simply raises the possibility for incumbents to favor their own divisions and to block new entrants. As a result, the Electricity and Gas Directives of the European Commission proposed several measures to foster competition in politically delicate structures of the electricity and gas markets. These measures involve non-discriminatory third party access to the gas and electricity infrastructure, independent regulation of the natural monopolies and the unbundling of the VIU. Unfortunately, my research shows that there are still many obstacles to fulfilling the potential of the internal market in electricity and gas. What is more since substantial delays have occurred in implementing the Directives, it is difficult to clearly evaluate what the final effect will be; nevertheless, it is possible to argue that the steps already taken are insufficient to create functional market.
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