Dissertations / Theses on the topic 'Racism – Law and legislation – France'

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1

Clarke, Tamsin Law Faculty of Law UNSW. "Racism, pluralism and democracy in Australia : re-conceptualising racial vilification legislation." Awarded by:University of New South Wales. School of Law, 2005. http://handle.unsw.edu.au/1959.4/20530.

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Australian debates about racial vilification legislation have been dominated by mainstream American First Amendment jurisprudence and popular American notions of 'free speech' to the exclusion of alternative Europeans models. This can be seen from notions of Australian racial vilification legislation as inconsistent with 'free speech' rights as well as the influence of some of the basic assumptions of First Amendment jurisprudence on political speech cases in the Australian High Court. Despite the widespread existence of legislation that penalises racial vilification at State and Federal levels, there has been a rise in Australia over the past 10 years of divisive 'race' politics. Against that background, this thesis considers the scope and limits of racial vilification legislation in Australia. It is argued that First Amendment jurisprudence is inadequate in the Australian context, because it is heavily dependent upon economic metaphors, individualistic notions of identity and outdated theories of communication. It assumes that 'free speech' in terms of lack of government intervention is essential to 'democracy'. It ignores the content, context and effect of harmful speech, except in extreme cases, with the result that socially harmful speech is protected in the name of 'free speech'. This has narrowed the parameters within which racial vilification is understood and hindered the development of a broader discourse on the realities of racist harms, and the mechanisms necessary for their redress. The author calls for the development of an Australian jurisprudence of harmful speech. Failing an Australian Bill of Rights, that jurisprudence would be grounded upon the implied constitutional right of free political speech, informed by an awareness that modern structures of public speech favour a very limited range of speech and speakers. The jurisprudence would take advantage of the insights of Critical Race Theory into the connections between racial vilification and racist behaviour, as well as the personal and social harms of racial vilification. Finally, it is argued that the concepts of human dignity and equality, which underpin European discrimination legislation and notions of justice, provide a way forward for Australian jurisprudence in this area.
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2

Krüger, Rósaan. "Racism and law : implementing the right to equality in selected South African equality courts." Thesis, Rhodes University, 2009. http://hdl.handle.net/10962/d1003192.

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Racism has informed South African society since colonial times. Racist beliefs found expression in the laws of colonial and apartheid South Africa and shaped both state and society. The constitutional state that South Africa has become since 1994, is based on the values of ‘human dignity’, ‘the achievement of equality’ and ‘nonracialism’, among others. Law formed the basis of the racist state prior to 1994, and now law has a fundamental role to play in the transformation of the state and society in an egalitarian direction by addressing socio-economic inequalities on the one hand, and by changing patterns of behaviour based on racist beliefs forged in the past, on the other. This thesis examines one of the legal instruments that is intended to contribute to transformation in the latter sense, namely the Promotion of Equality and Prevention of Unfair Discrimination Act 4 of 2000 (the Equality Act), with specific reference to the issue of racism. The provisions of this Act and the framework for its operation against the background of South Africa’s racist past, and within the broader framework of international and constitutional law, are examined. These two legal frameworks are analysed for the purpose of determining the standards set by international and constitutional law regarding racial equality in order to determine whether the Equality Act measures up. This thesis also incorporates an analysis of the practical application of the provisions of the Equality Act to complaints of racism in selected equality courts. The theoretical analysis of the Act’s provisions and their application in the equality courts point to various problematic formulations and obstacles which negatively affect the application of the provisions and thus hamper social change. The thesis concludes with recommendations for refining the Act’s provisions and its application.
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3

Abi, Chacra Charbel. "L'influence de l'évolution du gouvernment d'enterprise sur les dirigeants des sociétés : essai de droit comparé (France et Angleterre)." Thesis, McGill University, 2006. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=101811.

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The essence of running an enterprise which is defined as a system by which the companies are lead and compared is generally set in priority terms. For some, they favour in the first instance to secure the economic efficiency then to scope with the social problems at a later stage---'Shareholder model'. Others are inclined to consider that the priority lies into an environmental, sharing and caring society etc.---'Stakeholder model'.
Where the evolution of the corporate governance is going to lead to? And how does it affect the directors' responsibility?
After a thorough study of its European evolution in particular in France and England, we figure out that raising the black flag of the stakeholder theory will end up into an ideology completely false dislodging the concept of the natural reality around us. On the other side, claiming the predominance of the sole shareholder system will become a dangerous apprehension opposing the objective of this theory: In our perspective we see that the ultimate global wealth of the enterprise in the long run is closely linked to the consideration and the deep satisfaction of the needs and the interests of the different parties joining the enterprise.
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4

Buckingham, Donald E. "Feeling the squeeze National food labelling legislation in a WTO World: Case studies from France, Canada and Ghana." Thesis, University of Ottawa (Canada), 2005. http://hdl.handle.net/10393/29202.

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Legal regulation shapes the form and content of food labels. Whether in developed or developing countries, national laws outline obligations for labelling that reflect a combination of safety, commercial, and proprietary objectives based on a country's unique circumstances. This dissertation mines one particular dimension of the interplay between national and international law. While focusing on the narrow issue of food labelling legislation, it canvasses the national and international obligations affecting food labels that arise from intellectual property law, trade regulation and consumer protection. National food labelling regimes share some similar legislative provisions. French, Canadian, and Ghanaian law all recognize three categories of food labelling elements for pre-packaged foods: (1) mandatory labelling elements; (2) prohibited elements; and (3) reserved elements. As well, failure to comply with food labelling laws can result in criminal or civil liability, although implementation varies from country to country, with "food-centred" cultures more apt to vigorously enforce food labelling laws. Yet, it not simply national law that dictates the final form of food labels. International legal obligations increasingly play a pivotal role. While early international agreements were driven by States' desires to harmonize certain commercial and intellectual property laws, a shift occurred with the GATT 1947. This Agreement did not look to harmonize private law regimes amongst trading partners, but rather it set out general obligations that prohibited certain national measures which inhibited trade. The pendulum has swung even further with the establishment of the WTO. National governments, in light of their WTO obligations, must now (a) undertake positive law reform; (b) make national measures WTO-compatible; and (c) submit to compulsory trade dispute resolution, all of which can affect national food labelling laws. Clear international obligations established to address commercial or health concerns permit States to maintain national measures while still pursuing trade liberalization. However, international obligations applied to discipline national measures like the marking of food quality and the provision of new consumer information tread on national cultural sensitivities. Until further consensus evolves concerning how international obligations should be applied to such national food labelling measures, significant conflicts between national and international obligations will continue.
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5

Andreeva, Androva Raïa. "Le regime de l'arbitrage dans les litiges de consommation en droit français /." Thesis, McGill University, 2004. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=81468.

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For some time now, Article 2061 of the French Civil Code had laid down the general principle that arbitration clauses were invalid. In 2001, an amendment to Article 2061 reversed the concept, so that the former principle became the exception and the law was made to favour arbitration. While the reform was a progressive step, it did leave some ambiguity especially concerning the consumer disputes. Arbitration is indeed a very convenient alternative dispute resolution method in this arena. The purpose of this thesis is to address some of the issues related to consumer disputes. It seeks to demonstrate that by adopting the concept of "inefficiency" of the arbitration clause, whose sanction depends on the will of the consumer, French law will not only reconcile its domestic provisions but also be in accordance with the other judicial systems.
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6

Bocquet, Brian. "Dominant Ideology and Racism in the French Media: a Critical Discourse Analysis on the Case of the Denaturalization Law." Thesis, Uppsala universitet, Statsvetenskapliga institutionen, 2016. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-302025.

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This study focuses on how minorities are stigmatized in the French media. It limits itself to the case of the proposal of the denaturalization law and the consequent discourse about it. The subject is introduced through a short background on the law and its relevance to the possible racist nature of the debate, followed by some background on racism in France, an overview of the theory on new racism and how it can explain stigmatizating discourses. Critical Discourse Analysis is used as the method to uncover said discourses as it is a method related to the in-depth analysis of implicit dominant ideologies and power-structures. The study analyzes twenty articles from two French newspapers in order to determine how stigmatizing discourses are expressed. The results in the discussion show recurrent racist narratives that systematically denigrate and stereotype Muslims and immigrants. They also show a pattern of the dominant culture negating space to minorities.
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7

de, Plevitz Loretta R. "The failure of Australian legislation on indirect discrimination to detect the systemic racism which prevents Aboriginal people from fully participating in the workforce." Thesis, Queensland University of Technology, 2000. https://eprints.qut.edu.au/29025/1/Loretta_de_Plevitz_Thesis.pdf.

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Government figures put the current indigenous unemployment rate at around 23%, 3 times the unemployment rate for other Australians. This thesis aims to assess whether Australian indirect discrimination legislation can provide a remedy for one of the causes of indigenous unemployment - the systemic discrimination which can result from the mere operation of established procedures of recruitment and hiring. The impact of those practices on indigenous people is examined in the context of an analysis of anti-discrimination legislation and cases from all Australian jurisdictions from the time of the passing of the Racial Discrimination Act by the Commonwealth in 1975 to the present. The thesis finds a number of reasons why the legislation fails to provide equality of opportunity for indigenous people seeking to enter the workforce. In nearly all jurisdictions it is obscurely drafted, used mainly by educated middle class white women, and provides remedies which tend to be compensatory damages rather than change to recruitment policy. White dominance of the legal process has produced legislative and judicial definitions of "race" and "Aboriginality" which focus on biology rather than cultural difference. In the commissions and tribunals complaints of racial discrimination are often rejected on the grounds of being "vexatious" or "frivolous", not reaching the required standard of proof, or not showing a causal connection between race and the conduct complained of. In all jurisdictions the cornerstone of liability is whether a particular employment term, condition or practice is reasonable. The thesis evaluates the approaches taken by appellate courts, including the High Court, and concludes that there is a trend towards an interpretation of reasonableness which favours employer arguments such as economic rationalism, the maintenance of good industrial relations, managerial prerogative to hire and fire, and the protection of majority rights. The thesis recommends that separate, clearly drafted legislation should be passed to address indigenous disadvantage and that indigenous people should be involved in all stages of the process.
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8

de, Plevitz Loretta R. "The failure of Australian legislation on indirect discrimination to detect the systemic racism which prevents Aboriginal people from fully participating in the workforce." Queensland University of Technology, 2000. http://eprints.qut.edu.au/29025/.

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Government figures put the current indigenous unemployment rate at around 23%, 3 times the unemployment rate for other Australians. This thesis aims to assess whether Australian indirect discrimination legislation can provide a remedy for one of the causes of indigenous unemployment - the systemic discrimination which can result from the mere operation of established procedures of recruitment and hiring. The impact of those practices on indigenous people is examined in the context of an analysis of anti-discrimination legislation and cases from all Australian jurisdictions from the time of the passing of the Racial Discrimination Act by the Commonwealth in 1975 to the present. The thesis finds a number of reasons why the legislation fails to provide equality of opportunity for indigenous people seeking to enter the workforce. In nearly all jurisdictions it is obscurely drafted, used mainly by educated middle class white women, and provides remedies which tend to be compensatory damages rather than change to recruitment policy. White dominance of the legal process has produced legislative and judicial definitions of "race" and "Aboriginality" which focus on biology rather than cultural difference. In the commissions and tribunals complaints of racial discrimination are often rejected on the grounds of being "vexatious" or "frivolous", not reaching the required standard of proof, or not showing a causal connection between race and the conduct complained of. In all jurisdictions the cornerstone of liability is whether a particular employment term, condition or practice is reasonable. The thesis evaluates the approaches taken by appellate courts, including the High Court, and concludes that there is a trend towards an interpretation of reasonableness which favours employer arguments such as economic rationalism, the maintenance of good industrial relations, managerial prerogative to hire and fire, and the protection of majority rights. The thesis recommends that separate, clearly drafted legislation should be passed to address indigenous disadvantage and that indigenous people should be involved in all stages of the process.
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9

Marquet, Jeannine M. "Les céréaliers français et l'Europe." Doctoral thesis, Universite Libre de Bruxelles, 1988. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/213307.

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10

Benihoud, Yasmina. "Regard critique sur le droit français du harcèlement sexuel au travail à la lumière du droit américain et du droit canadien." Thesis, McGill University, 2000. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=42288.

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A few months after having enacted a criminal statute creating the general offence of sexual harassment, the French Parliament enacted the Statute n° 92-1179 "relative a l'abus d'autorite en matiere sexuelle dans les relations de travail". In this statute, as in the criminal statute, the French legislator considers sexual harassment in a peculiar way, and departs from the North-American position on three points:
First, while American law and Canadian law understand clearly sexual harassment as a form of sex discrimination, the French approach is more ambiguous. It appears that the French legislator understands sexual harassment more as an infringement to freedom than a form of sex discrimination.
Second, the French legislator has defined sexual harassment in a more restrictive way than in North America. While American law and Canadian law prohibit hostile harassment and sexual harassment by colleagues, these forms of sexual harassment are not prohibited in French law. Finally, on the question of the employer's liability, the French approach is more "timid" than in American law and in Canadian law.
The French legislator has justified its more restrictive approach to the problem of sexual harassment in comparison with the North-American position by two arguments: the fear of the "American 'drift'" and the peculiarity of the relationships between women and men in France. However, it is argued that the choice of the French legislator is not convenient because it leaves a significant number of victims outside the scope of the law, and is not clear enough on the employer's obligations. Furthermore, it is maintained that both arguments of the legislator are more caricatural than real.
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11

Catoia, Cinthia de Cassia. "De ‘coisa’ a sujeito : o processo de construção da legislação antirracismo no Brasil e a luta política do movimento negro." Universidade Federal de São Carlos, 2016. https://repositorio.ufscar.br/handle/ufscar/8041.

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Among the political struggle strategies of the Black Social Movement, which has been characterized by their dynamism and elaboration of each historic moment, thedisputes in the brazilian juridical field can be pointed out, mainly those ones related to the construction of ananti-racism legislation, a set of rules which has a goal of the deconstructingracism, prejudice and social discrimination that cross the brazilian political and social institutions and the subjectivity of the subjects. In this way, according to Discourse Analysis, data analysis method used, and the reflections upon the methodological and theoretical approach of the subaltern studies, particularly the postcolonial studies, I seek to analyze in this reseach the process of construction of this anti-racism legislation/ anti-racial discrimination legislation/anti- discrimination legislation. The specific objectives of the research were, therefore, to analyse: a) which discourses were raised in the normative and juridical field about the racial and ethnic issue making possible the construction of anti-racism legislation from 1950 on; b) which events and debates, ocurred between 1940 and 1988, were outlining the three dimensions of the anti-racism legislation presentin the brazilian legal order, and, finally, c) the importance of Black Movement in this process. The disputes of the normative and juridical field to the construction of the anti- racism legislation and to the deconstruction (still unfinished) of the racial and ethnic relations in Brazil, underlined, on one hand, by an institucional racism and, on the other, by the myth of a racial democracy, represented, at the same time: the problem of brazilian law limits in relation to the racial and ethnic issue, ressignifying, therefore, the own notion of State and brazilian nation; and, a political process in which blacks, being political subjetcs/actors, became subjetcs of rigths, a denied status by brazilian law, during the colonization process and slavery, that marked our history until the 19th century, and still in dispute in the contemporary brazilian society.
Entre as estratégias de luta do movimento social negro, que ao longo do século XX, por meio de diversas mobilizações e ações, vem se caracterizando pelo dinamismo e elaboração, em cada momento histórico, de diferentes estratégias de combate ao racismo, ao preconceito racial e à discriminação racial, estacam-se as disputas no campo jurídico-normativo brasileiro para a construção de uma legislação antirracismo, ou seja, um conjunto de normas que tem como objetivo a desconstrução do racismo, do preconceito e da discriminação racial que atravessam as instituições políticas e sociais brasileiras e as subjetividades dos sujeitos. Assim, por meio das reflexões do referencial teórico-metodológico dos estudos subalternos, e, em especial, dos estudos pós-coloniais busco, nesta pesquisa, analisar o processo de construção dessa legislação antirracismo. Os objetivos específicos da pesquisa foram, portanto, analisar: a) quais discursos foram mobilizados no campo jurídico-normativo acerca da temática étnico-racial possibilitando a construção da legislação antirracismo, a partir de 1950; b) quais eventos e debates, ocorridos nos períodos de 1940 a 1988, foram delineando as três dimensões da legislação antirracismo presentes no ordenamento jurídico brasileiro, e, por fim, c) a importância do movimento negro neste processo. As disputas do campo jurídico-normativo para a construção da legislação antirracismo e para desconstrução (ainda inacabada) das relações étnico-raciais brasileiras, marcadas, de um lado, por um racismo institucional, e de outro, pelo mito de uma democracia racial, representaram ao mesmo tempo: a problematização dos limites do direito brasileiro no que concerne a questão étnico-racial, ressignificando, portanto, a própria noção de Estado e de nação brasileira; e, um processo político em que os(as) negros(as), ao constituírem-se enquanto sujeitos políticos, tornaram-se sujeitos de direitos, status negado pelo direito brasileiro, ao longo do processo de colonização e escravidão, que marcaram nossa história até o século XIX, e ainda em disputa na sociedade brasileira contemporânea.
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12

Rutayisire, Paul. "La faute lourde du travailleur: étude comparative des droits burundais, belge et français du travail." Doctoral thesis, Universite Libre de Bruxelles, 1988. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/213302.

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13

Janse, van Rensburg Leanne. "The violence of language : contemporary hate speech and the suitability of legal measures regulating hate speech in South Africa." Thesis, Rhodes University, 2013. http://hdl.handle.net/10962/d1001866.

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This thesis unites law and social science so as to give a comprehensive account of the phenomenon of racial hate speech in South Africa as an obstacle to transformation. Hate speech is presented as a form of violent language and an affront to the constitutional rights of freedom of speech, equality and dignity. To establish the nature of hate speech, the fluid quality of language is explored so as to show how language can be manipulated, on the one hand, as a means to harm, and employed, on the other hand, as a tool to heal and reconcile. This double gesture is illustrated through the South African linguistic experience of past hate and segregation and the current transformation agenda. It is through this prism that hate speech regulation is discussed as an uneasy fit in a country where freedom of expression is constitutionally protected and where language plays an important role in bringing about reconciliation, and yet words are still being employed to divide and dehumanise. This reality necessitates a clearly articulated stance on the regulation of language. The thesis accordingly interrogates the current legal standards in relation to hate speech with reference to international law that binds South Africa and the constitutional standard set for the regulation of language and the prohibition of hate speech. Thereafter, the current and proposed legislative prohibitions on hate speech, the residual common law provisions governing expression and the regulation of language in the media are outlined and analysed. These legal frameworks are explored in terms of their content and their application in various fora so as to ascertain what the South African approach to hate speech prohibition is, whether it is consistent and, ultimately if it is indeed suitable to the South African experience and the realities of language. This thesis concludes that contemporary hate speech measures lack a coherent understanding of what hate speech entails and a general inconsistency in approach as well as application is found in the treatment of hate speech complaints in South Africa. This is explained through the fallibility of language as a medium to regulate expression and solutions are offered to not only taper current and proposed hate speech provisions but to also consider alternative forms of resolving hate speech complaints
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14

Gobert, Perle. "La genèse de la propriété industrielle en France." Thesis, Bordeaux, 2015. http://www.theses.fr/2015BORD0136/document.

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Le droit de la propriété industrielle peut apparaître comme un droit assez récent dans le pay-sage juridique français, mais ce présupposé n’est qu’un leurre. Sa présence est attestée dès le commencement des pratiques artistiques et artisanales pendant l’Antiquité. La prise de conscience de son existence et de son utilité au sein de la société a toutefois été exacerbée au XVIIIe siècle, notamment lors de la révolution française de 1789, moment de sa construc-tion et de sa reconnaissance juridiques.Le droit de la propriété industrielle, à partir des événements révolutionnaires devient en effet l’enjeu d’une élaboration aussi bien intellectuelle que juridique. De nombreux débats de la part des créateurs et inventeurs font rage auprès des institutions politiques afin que ce droit soit reconnu et normalisé. L’aboutissement de ces combats intellectuels, grâce aux multiples ré-flexions de la doctrine et de la jurisprudence transforme le droit de la propriété industriel en un droit normatif s’inscrivant dans l’ordonnancement juridique.Au-delà de cette organisation législative, le droit de la propriété industrielle est également le sujet de nombreuses interrogations quant aux circonstances politiques et économiques qui ont permis son éclosion. Le droit de la propriété industrielle se module selon l’ensemble des lois, des jurisprudences, de la doctrine, de la politique et de l’économie qui tente de lui donner des structures juridiques stables. Il s’affirme comme un droit protéiforme, dont la portée na-tionale relative aux inventeurs et aux créateurs dans la reconnaissance de leur droit, prend une dimension internationale, aspirant à organiser et harmoniser les relations économiques des Nations
: The right of the industrial property seems like a recent right in the French legal landscape, but this assumption is wrong. Its presence was confirmed as of the beginning of the artistic and artisanal practices during the Antiquity. The awakening of its existence and its utility wi-thin the company however was intensified at the XVIIIth century, in particular at the time of the French revolution of 1789, during the moment of its legal construction and its recognition.The right of the industrial property, starting from the revolutionary events became the chal-lenge of an intellectual development as well as a legal development. Many debates on behalf of the creators and inventors show rage regarding the political institutions, so that this right is acknowledged and standardized. The result of these intellectual combats, thanks to the mul-tiple reflections of the doctrines and jurisprudence transforms the patent right into a normative right falling under legal scheduling.Next to this legislative organization, the right of the industrial property is also the subject of many interrogations as for the political and economic circumstances, which allowed it's blos-soming. The right of the industrial property modulated according to the whole set of laws; ju-risprudences; the doctrines; politics and economics, tries to give him stable legal structures. He affirms himself as a protean right, whose national range relating to the inventors and the creators in the recognition of their right, takes an international dimension, trying to organize and harmonize the economic relations of the Nations
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Kim, Lauren J. "French royal acts printed before 1601." Thesis, University of St Andrews, 2008. http://hdl.handle.net/10023/463.

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This thesis is a study of royal acts printed in French before 1601. The kingdom of France is a natural place to begin a study of royal acts. It possessed one of the oldest judicial systems in Europe, which had been established during the reign of St Louis (1226-1270). By the sixteenth century, French kings were able to issue royal acts without any concern as to the distribution of their decrees. In addition, France was one of the leading printing centres in Europe. This research provides the first detailed analysis of this neglected category of texts, and examines the acts’ significance in French legal, political and printing culture. The analysis of royal acts reveals three key historical practices regarding the role of printing in judiciary matters and public affairs. The first is how the French crown communicated to the public. Chapters one and two discuss the royal process of dissemination of edicts and the language of royal acts. The second is how printers and publishers manoeuvred between the large number of royal promulgations and public demand. An overview of the printing industry of royal acts is provided in chapter three and the printers of these official documents are covered in chapter four. The study of royal acts also indicates which edicts were published frequently. The last two chapters examine the content of royal decrees and discuss the most reprinted acts. Chapter five explores the period before 1561 and the final chapter discusses the last forty years of the century. An appendix of all royal acts printed before 1601, which is the basis of my research for this study, is included. It is the first comprehensive catalogue of its kind and contains nearly six thousand entries of surviving royal acts printed before 1601.
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Gremaud, William. "La régularisation en droit administratif." Thesis, Paris 2, 2019. http://scd-rproxy.u-strasbg.fr/login?url=https://www.dalloz-bibliotheque.fr/pvurl.php?r=http%3A%2F%2Fdallozbndpro-pvgpsla.dalloz-bibliotheque.fr%2Ffr%2Fpvpage2.asp%3Fpuc%3D5442%26nu%3D236%26selfsize%3D1.

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La régularisation est une technique ancienne du droit administratif français. D’abord cantonnée à une pratique administrative limitée, relative seulement aux situations de fait découlant de l’exécution des actes unilatéraux, elle a connu un développement considérable au cours des deux dernières décennies, en jurisprudence et en législation. Les techniques de consolidation par correction des vices concernent aujourd’hui des actes, des normes et des situations divers et nombreux. La sécurité juridique, principe cardinal du droit contemporain, est l’instigatrice de cette évolution en ce qu’elle exige que les normes et les situations ne soient pas fragilisées pour des irrégularités dont la commission résulte souvent d’une complexification excessive du droit et auxquelles il est possible de remédier a posteriori. L’essor de la régularisation, et notamment son introduction dans le cours de l’instance en prévention des annulations juridictionnelles, concerne de multiples domaines de l’action administrative — polices de l’urbanisme et de l’environnement, passation des contrats, édification des ouvrages publics, subvention, recouvrement des créances, collecte de données personnelles. La régularisation n’a cependant pas encore fait l’objet d’une consécration générale et demeure un phénomène profondément hétérogène, adapté aux nécessités concrètes de l’action administrative. Dans un tel contexte, la présente étude consiste en une analyse comparée des règles auxquelles chaque technique correctrice est soumise dans le but d’identifier s’il existe — et s’il peut exister — un régime de juridique de la régularisation en droit administratif français
Regularisation is an former technique in French administrative law. At first confined as an administrative practice, which could only concern factual situations arising from the execution of public decisions, regularisation has known a considerable growth over the last two decades. The techniques by which decisions, norms and factual situations are getting rid of their defects are nowadays numerous and diverse. Legal certainty, which is one of the most fundamental principle of contemporary law orders, has caused this evolution. It implies indeed that norms and situations should not be removed when their irregularity is caused by the unreasonable intricacy of law and when it is possible to reform it. The expansion of regularisation techniques, especially during the trial, concerns multiple areas of administrative action –e.g. planning and environmental policies, public contract, public building, subsidy, debt collection, personal data. However, regularisation remains an heterogeneous phenomenon, adapted to the necessities of the public action. This study consists of a comparative analysis of the rules to which each regularisation technique is subjected. It aims to identify whether regularisation has a unique legal regime in French administrative law
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Le, Gal Sébastien. "Origines de l'état de siège en France (Ancien Régime-Révolution)." Thesis, Lyon 3, 2011. http://www.theses.fr/2011LYO30098.

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En France, à la suite de précédentes constitutions, la Constitution de la Ve République consacre l’état de siège (art. 36) ; à l’étranger, de nombreux pays l’ont adopté. Ce constat laisse béant un paradoxe suivant : si la France adopte, la première, une législation d’exception, elle n’offre pas pour autant de réflexion approfondie sur ce qu’est l’état d’exception. L’étude des origines et de l’histoire de l’état de siège met au jour les raisons d’un tel paradoxe.L’état de siège est originellement une disposition technique du droit militaire (loi des 8-10 juillet 1791), qui prévoit que, dans certaines circonstances, l’ordre public et la police passent de l’autorité civile, compétence par principe, à l’autorité militaire. Ainsi, la loi prévoit le renversement du principe selon lequel l’autorité civile prime sur le militaire. Au cours de la Révolution, cette disposition est utilisée afin de réprimer les troubles violents qui se multiplient à l’intérieur du territoire. Durant le XIXe siècle, les régimes successifs y recourent également, jusqu’à ce que la Cour de cassation, en 1832, donne un coup d’arrêt à cette pratique. Le législateur est donc contraint d’adopter un texte – la loi du 9 août 1849 – qui encadre précisément son usage. Cette loi est, véritablement, une législation d’exception, au sens où elle contrevient à un principe consacré par l’ordre constitutionnel, en fonction de circonstances déterminées, pour un temps et un lieu circonscrits. Elle accorde également à l’autorité militaire des pouvoirs étendus qui restreignent les libertés publiques, et consacre la compétence des juridictions militaires pour juger les non-militaires
In France, following previous Constitutions, the state of siege gained acceptance under the Constitution of the Fifth Republic (art. 36); many countries abroad adopted it. This fact leaves a gaping paradox: even if France adopts the first emergency legislation, it does not mean that it provides an in depth reflection on what is the state of emergency. The study of the genesis and history of the state of siege reveals the reasons for such a paradox. Originally, the state of siege was a technical measure of military law (law of July 8-10, 1791), which provided that in certain circumstances, public order and police would transfer from the civil authority, competent on principle, to the military authority. Thus, law foresaw the reversal of the principle according to which the civil authority takes precedence over the military. During the Revolution, this measure was used to suppress the violent unrest that became more frequent inside the territory. Throughout the nineteenth century, successive governments had also recourse to it until the Supreme Court put an end to this practice in 1832. Consequently ,the legislator was forced to pass a bill - the Law of August 9, 1849 - which would frame precisely its use. This law truly is an emergency law, which means that it contravenes a principle enshrined in the constitutional order, depending on specific circumstances, for a circumscribed time and place. It also gives to the military authority enlarged powers which restrict civil liberties, and establishes the jurisdiction of military courts to judge non-military courts
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18

Andersson, Sofie. "Anti-terrorlagstiftning och mänskliga rättigheter : En studie av Frankrikes och Storbritanniens anti-terrorlagstiftning och hur den riskerar att kränka Europakonventionen för skydd av mänskliga rättigheter." Thesis, Uppsala universitet, Teologiska institutionen, 2017. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-331550.

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2000-talet markerade födelsen av en ny sorts terrorism. Sedan dess har Europa fått utstå frekventa terrorattacker vilket resulterat i att länder antagit strängare lagar och kontrollåtgärder för att bekämpa terrorismen. Mot bakgrund av detta är uppsatsens syfte att försöka svara på om strängare anti-terrorlagstiftning i Frankrike och Storbritannien kan medföra omfattande begränsningar i människors grundläggande fri-och rättigheter. Genom att använda sig utav en rättsdogmatisk metod och en komparativ metod har uppsatsen kritiskt granskat internationella konventioner, lagstiftningar, rättsfall, vetenskapliga artiklar och doktrin i syfte att besvara följande frågeställningar; vad krävs för att länder ska kunna deklarera allmänt nödläge och således ha en lagstadgad rättighet att derogera från eller begränsa vissa mänskliga rättigheter? Vilka rättsliga åtgärder gällande preventiv häktning och andra kontrollåtgärder har Frankrike och Storbritannien tagit i syfte att bekämpa terrorism och riskerar dess inskränkningar att kränka artikel 5 EKMR? Hur regleras rätten till icke-diskriminering i artikel 14 EKMR?  Uppsatsen har också försökt att svara på om de eventuella begränsningarna av människors rättigheter kan försvaras genom John Finnis rättsteori och tankar om mänskliga rättigheter.                             Den första slutsatsen som nås i uppsatsen är att terrorism kan utgöra ett accepterat allmänt nödläge enligt artikel 15 EKMR då det uppfyller artikelns rekvisit. Därmed är både Frankrikes och Storbritanniens deklarerande av allmänt nödläge accepterat och lagligt enligt artikel 15 EKMR. Uppsatsens andra slutsats slår fast att Frankrikes och Storbritanniens lagstiftningar gällande preventiv häktning kan utgöra en möjlig kränkning av artikel 5 EKMR då lagstiftningarna saknar kravet på förutsägbarhet. Studien har också påvisat att lagstiftningarna gällande preventiva häktningar riskerar att användas för generella misstankar om terrorism vilket också kan utgöra en möjlig kränkning av artikel 5 EKMR. Uppsatsen sista slutsats är att dessa lagstiftningar riskerar att diskriminera vissa samhällsgrupper om de tillämpas på ett felaktigt sätt, t.ex. endast mot icke-medborgare.
The 21st century marked the birth of a new kind of terrorism. Since then, Europe has suffered frequent terrorist attacks, resulting in countries adopting stricter laws and control measures to combat terrorism. The aim of this thesis is therefore to investigate if stricter anti-terrorist legislation in France and Great Britain can lead to unlawful limitations on human rights. The thesis critically examines international conventions, legislation, case law, articles, and doctrine by using an investigative approach and a comparative method to answer the following questions; what is required for countries to declare a state of emergency and thus have a statutory right to derogate from or limit certain human rights? What legal measures regarding preventive detention and other control measures have France and Great Britain adopted to combat terrorism and does the limitations violate Article 5 of the ECHR? How is the right to non-discrimination regulated in Article 14 of the ECHR? The thesis also aims to clarify if any limitations of human rights can be justified by the legal theories of John Finnis.                                                                                                                               In conclusion, the thesis reveals that terrorism can constitute a state of emergency according to Article 15 of the ECHR.  Thus, both France and Great Britain's declarations of states of emergency are accepted and legal in accordance with Article 15 of the ECHR. Furthermore, the thesis states that the legislation in France and Great Britain, which regulate preventive detention, may constitute a possible violation of article 5 ECHR, due to its lack of predictability. The thesis has also shown that the legislation regarding preventive detention may constitute a violation of article 5 ECHR if its applied wrongfully and thus, may also constitute a violation of article 14 ECHR.
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Paternotte, David. "Sociologie politique comparée de l'ouverture du mariage civil aux couples de même sexe en Belgique, en France et en Espagne: des spécificités nationales aux convergences transnationales." Doctoral thesis, Universite Libre de Bruxelles, 2008. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/210404.

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Cette thèse de doctorat étudie les mouvements LGBT en Belgique, en France et en Espagne à travers une double comparaison (entre les cas et à travers le temps) qui intègre également les échanges et influences transnationaux et internationaux. Elle examine l’émergence et le développement de la revendication d’ouverture du mariage civil aux couples de même sexe dans ces pays, analysant les convergences en termes de contenu des demandes et de timing des mobilisations. Par conséquent, elle porte sur des convergences au niveau des mouvements sociaux, à l’inverse de la majeure partie de la littérature, qui se concentre sur les convergences de politiques publiques. Cette situation impose de construire une grille d’analyse basée sur la littérature sur les mouvements sociaux, les politiques publiques et les relations internationales (influence des normes internationales). Le développement des revendications relatives au droit au mariage a été retracé de manière généalogique depuis la fin des années 1980. La comparaison repose sur la méthode du most different systems design et un travail empirique important combinant analyse documentaire et entretiens a été réalisé. Cette thèse confirme l’importance de l’étude des échanges et des influences internationaux et transnationaux pour comprendre la politique domestique et insiste sur l’influence cruciale du réseautage transnational sur les revendications des mouvements sociaux. Elle révèle aussi quelques cas de diffusion entre mouvements sociaux et montre comment des caractéristiques et des contraintes communes peuvent inciter les mouvements sociaux à formuler des revendications similaires. Par ailleurs, les discours en faveur du droit au mariage ont été analysés avec soin. L’émergence de cette revendication a aussi été mise en perspective sur le plan historique, ce qui implique de réfléchir aux modalités de transformation des mouvements LGBT au cours des trente dernières années. Pour terminer, la notion de citoyenneté sexuelle a été interrogée et la manière dont l’accès à la citoyenneté a été posé a été examinée à partir du concept de resignification proposé par Judith Butler.

This dissertation looks at LGBT movements in Belgium, France and Spain through a double comparison (between cases and through time), which also takes into account transnational and international exchanges and influences. It investigates the simultaneous emergence and development of same-sex marriage claims in these countries, examining convergences in the content of the claims and the timing of protest. Therefore, it looks at convergences at the level of social movements, unlike most of the literature, which focuses on convergences in public policies. This specific research interests implies building an analytical model based on the literature on social movements, public policies and international relations (influence of international norms). It has also required a genealogical account of the development of same-sex marriage claims in each country from the end of the eighties until now. The comparison is based on the most different systems design method, and an extensive field work combining archives analysis and interviews has been carried out. This dissertation confirms the importance of taking into account international and transnational exchanges and influences to understand domestic politics, and insists on the crucial influence of transnational networking on social movements claims. It also discloses some cases of diffusion between social movements and shows how common characteristics and constraints may induce social movements to make similar but independent decisions. Discourses in favour of same-sex marriage have been carefully analysed, and the emergence of this claim has been put into a historical perspective. This implies a reflection on the transformations of the LGBT movement over the last thirty years. Finally, this dissertation interrogates the notion of sexual citizenship and examines the specific mechanisms through which access to citizenship has been proposed, discussing Judith Butler’s concept of resignification.


Doctorat en Sciences politiques et sociales
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Kenderes, Andrea. "Conceptions et techniques du droit de la consommation : comparaison des droits français et hongrois." Thesis, Paris 1, 2019. http://www.theses.fr/2019PA01D006.

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L'émergence du droit de la consommation en tant que discipline autonome, peut être analysée dans les effets qu'elle a produits dans le discours juridique dans sa globalité, de diverses manières. Lors des célébrations de l’anniversaire de la signature du Traité de Rome qui a jeté les bases de l'Union Européenne actuelle, on doit souligner que « L'UE a largement amélioré la vie quotidienne de ses citoyens». Qu'en est-il plus précisément de la protection des consommateurs? Sans l’Europe, le droit de la consommation ne se serait pas développé aussi solidement qu'il ne l’a fait aux cours des quarante dernières années. Le droit européen de la consommation trouve sa source essentielle dans le programme préliminaire d'avril 1975 pour une politique de protection et d’information des consommateurs qui a énoncé cinq droits fondamentaux : droit à la protection de la santé et de la sécurité, droit à la protection des intérêts économiques des consommateurs, droit à la réparation des dommages, droit à l’information et à l'éducation, droit à la représentation. Le E-commerce (achat et vente de services et produits via Internet) a transformé notre manière de consommer, offrant aux consommateurs plus de choix qu'auparavant. Mais il soulève également de nouveaux problèmes, qui doivent être réglés. Les conditions de protection des consommateurs différent encore beaucoup d’un pays à l'autre. Si dans certains pays, 76% des consommateurs déclarent se sentir suffisamment protégés par les mesures existantes, dans d'autres ce chiffre tombe à 28%. Or, depuis qu’ils ont rejoint l’Union européenne, les pays de l'Est de l'Europe, généralement situés assez bas sur l’échelle de satisfaction, ont vu ces pourcentages s'améliorer de façon importante
In regulatory jurisdictions that provide for this consumer protection is a group of laws and organizations designed to ensure the rights of consumers, as well as fair trade, competition, and accurate information in the marketplace. The laws are designed to prevent the businesses that engage in fraud or specified unfair practices from gaining an advantage over competitors. Furthermore the importance of the consumer protection is to safeguard the consumer from exploitation. In the absence of consumer protection, consumers were exploited in many ways for example sale of unsafe products, adulteration and hoarding of goods, using wrong weights and measures, charging excessive prices and sale of inferior quality goods. Through various Consumer Protection Acts, business organizations are under pressure to keep away from exploiting consumers. Consumer protection law is considered an area of law that regulates private law relationships between individual consumers and the businesses that sell those goods and services. In 2018, the European Commission is proposing a New Deal for Consumers to ensure that all European consumers fully benefit from their rights under Union law. A study on transparency in online platforms, also published, supports the New Deal’s proposals on online market places. Finally, the different theories show the sophisticated aspects of the French consumer law which has been developing since the Code Napoleon
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21

Bzowski, Guillaume. "L'instrumentalisation fiscale du droit de propriété." Thesis, Paris 2, 2011. http://www.theses.fr/2011PA020029/document.

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Le droit de propriété est un pilier sur lequel s’appuie le droit fiscal et autour duquel s’articule la fiscalité patrimoniale. Il apparaît que l’optimisation fiscale n’est que l’amélioration des conséquences fiscales d’une opération juridique se fondant sur l’instrumentalisation du droit de propriété. Les techniques juridiques utilisées pour façonner le droit de propriété influent donc sur le traitement fiscal.Cette instrumentalisation du droit de propriété à des fins fiscales répond-elle cependant à une règle générale ? Cette règle générale permet -elle de classer les éléments d’instrumentalisation fiscale du droit de propriété ? Il apparaît que ces éléments ne constituent que des mécanismes juridiques consistant , soit en une déconstruction du droit lui-même ou de sa valeur, soit en une affectation juridique ou spatio-temporelle du droit de propriété
Legal ownership is one of the main pillars on which tax law is based and around which property taxation revolves. It appears that tax optimisation is merely about improving the tax consequences of a legal operation based on the manipulation of legal ownership. The means used to shape the property rights affect the legal and tax consequences. Is such manipulation of legal ownership for tax purposes subject to a fixed rule? Does this rule allow to draw a categorisation of all instruments used in order to exploit legal ownership for tax purposes? It appears that these instruments are but legal mechanisms. They consist either in a deconstruction of ownership itself or of its value, or in a specific ownership assignment in legal or spatiotemporal terms
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22

Alarcon-Henriquez, Alejandra. "Etre ou ne pas être cet Autre (exclu)? choisir d'ignorer ou de combattre le racisme à travers la loi." Doctoral thesis, Universite Libre de Bruxelles, 2011. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/209780.

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Notre dissertation investigue les actions individuelles et légales de contestation des discriminations raciales ou ethniques par ses victimes, objet rarement étudié en psychologie sociale. Alors que les actions collectives s’inscrivent dans un cadre des relations intergroupes, nos études montrent que les actions individuelles restent plutôt dans le cadre de relations perçues endogroupales par les acteurs qui contestent les discriminations. Les implications en termes d’identité sociale dans ce type d’action sont différentes et nous postulons qu’une catégorisation à un niveau supra-ordonné (ex. comme membre de la société hôte ou être humain) facilite l’entreprise des actions individuelles de contestation des discriminations par la voie légale. L’égalitarisme qui rend saillant ce niveau de catégorisation supra-ordonné, et en tant que croyance qui délégitime le statut désavantagé des individus stigmatisés, faciliterait la remise en question du statu quo en augmentant la perception de la discrimination ainsi que la tendance à s’engager dans des actions de lutte contre les discriminations par la voie légale. De plus, motivés par des démarches qui rentabilisent le rapport coûts-bénéfices, les individus portés par l’égalitarisme et qui perçoivent la discrimination s’engageraient plus facilement dans des actions de contestation lorsqu’ils pensent qu’ils peuvent le faire au bénéfice de la collectivité plutôt que dans leur propre intérêt uniquement. D’autre part, l’entreprise d’actions contre les discriminations par la voie légale nécessite une connaissance relative de ces lois qui fonctionnent comme des normes injonctives indiquant aux individus ce qui est admis ou non en société (ex. caractère interdit de la discrimination). Une source experte (ex. organisme de lutte contre le racisme) qui véhicule ce type de normes injonctives anti-racistes serait particulièrement influente dans l’entreprise d’actions légales pour lutter contre les discriminations.
Doctorat en Sciences Psychologiques et de l'éducation
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Roudier, Karine. "Le contrôle de constitutionnalité de la législation antiterroriste : Étude comparée des expériences espagnole, française et italienne." Phd thesis, Toulon, 2011. http://tel.archives-ouvertes.fr/tel-00694035.

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Le juge constitutionnel est au cœur de la problématique de la conciliation de l'ordre et de la liberté. Cette problématique est bouleversée par le terrorisme, qui frappe l'État dans son essence et provoque des réactions normatives plus restrictives pour les libertés. L'analyse comparée du contrôle de constitutionnalité de la législation antiterroriste révèle l'exercice d'un contrôle sur la mesure d'une législation construite comme un droit parallèle.
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24

Apsokardou, Eirini. "Le domaine de la loi et du règlement dans le droit des contrats administratifs." Thesis, Paris 2, 2012. http://www.theses.fr/2012PA020004.

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Tant pour la jurisprudence (constitutionnelle et administrative) que pour une partie de la doctrine, l’encadrement de la passation et de l’exécution des contrats administratifs de l’État et de ses établissements publics ainsi que des marchés des collectivités territoriales et de leurs établissements relève du domaine du règlement. Et ce, car à l’origine, l’association du droit de la commande publique aux matières relevant traditionnellement du pouvoir réglementaire autonome, telles que la procédure administrative non contentieuse et l’organisation des services publics est un fait établi. Pourtant, le désordre normatif dans les sources législatives et réglementaires du droit des contrats de la commande publique est largement dû à la place marquée du pouvoir réglementaire. Malgré la consolidation jurisprudentielle de cette dernière, des textes législatifs destinés à s’articuler avec les textes réglementaires se sont multipliés, accentuant la complexité de la matière. En général, le mouvement ascendant des sources du droit des contrats administratifs de la commande publique dans la hiérarchie des normes ces dernières années, y compris sa dimension communautaire, exige l’intervention préalable du législateur. De la sorte, la réorganisation des sources textuelles du droit des contrats de la commande publique s’impose avec la plus grande acuité par la ré-détermination des fondements constitutionnels des compétences normatives en la matière et, consécutivement, des rapports entre la loi et le règlement en faveur de la première dans l’encadrement du régime de la passation et d’exécution des contrats respectifs. L’unification du fondement constitutionnel de la compétence de la loi en matière contractuelle sur le fondement de l’article 34 qui attribue au législateur le soin de déterminer les principes fondamentaux des obligations civiles contribuera décisivement à la cohérence et à la systématisation des sources du droit de la commande publique. Une fois la compétence de la loi sauvegardée, le règlement se limitera à son rôle habituel, à savoir, un rôle secondaire et subordonné à l’égard de celle-ci
According to the case law of the Constitutional Council and the administrative courts as well as to some public law theorists, the definition of the rules governing the award and the performance of Government administrative contracts, administrative contracts of State-depended public bodies and public contracts of local authorities falls within the scope of the regulatory powers of Government. More specifically it is argued that public procurement law is part of the rules governing the procedure of administrative decision making and the organisation of public services which are matters traditionally reserved to the autonomous regulatory power. The lack of coherence within the legislative and regulatory sources of public procurement law is mainly due to the predominant role of regulations. Despite the latter’s consolidation by the French courts, the growing number of legislative texts intended to build a coherent set of rules in this field has become a source of complexity. The transformation of the sources of the law of administrative contracts in the last few years – including the Community law dimension – requires the prior intervention of the Legislature. Therefore, the provisions governing the law of public procurement contracts should necessarily be restructured. This could be achieved through the redefinition of the constitutional basis of legislative and regulatory powers in the field of public contract law and consequently through a new balance between law and regulation with the intention of safeguarding the predominance of the former. Drafting the rules on the basis of Article 34 of the French Constitution which enables the Legislature to define the fundamental principles of civil obligations will clearly contribute to a more coherent and systematic approach regarding the sources of public procurement law.. Should the powers of the Legislature be safeguarded, the regulations will then be confined to their usual role, which is secondary and subordinate to Parliamentary Acts
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Quinart, Emilien. "L'émancipation du pouvoir réglementaire (1914-1958)." Thesis, Lille 2, 2019. http://www.theses.fr/2019LIL2D008.

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La République parlementaire s’enracine, à la fin du XIXe siècle, dans l’exaltation des principes de 1789 et le rejet du pouvoir personnel. Dans cet idéal, le pouvoir réglementaire fait figure de hantise. Il n’est admis qu’à condition d’être étroitement subordonné à la loi. Au XXe siècle, cette situation change. Les guerres et les crises économiques, financières ou sociales sont à l’origine d’une mutation profonde des activités de l’Etat, qui bouleversent l’exercice des fonctions de législation et heurtent les idéaux républicains. Cette étude entend démontrer comment, entre 1914 et 1958, l’Exécutif retrouve un pouvoir réglementaire non réductible à l’exécution des lois. Né d’un dérèglement des pratiques, et des violations (souvent assumées) des textes constitutionnels, ce processus d’émancipation se trouve progressivement – sous l’influence de la doctrine universitaire et des sections administratives du Conseil d’Etat – rapatrié sous l’empire du droit. Sur la période considérée, la législation gouvernementale apparaît effectivement nécessaire à la sauvegarde et à la continuité de l’Etat. Elle acquiert alors un fondement autonome et gagne en discrétionnalité. Sous les IIIe et IVe Républiques déjà, l’exécution des lois ne justifie plus l’existence et ne définit plus l’étendue du pouvoir réglementaire. Les innovations – supposées – de la Constitution de 1958 doivent donc être relativisées. Loin d’innover, le dispositif des articles 16, 21, 34, 37, 38, 41 et 92 du texte constitutionnel de la Ve République formalise, et systématise, les acquis du droit constitutionnel antérieur
At the end of the 19th century, the Parliamentary Republic took root by exalting the principles of 1789 French Revolution and rejecting personal power. Following this ideal, the Executive’s power to make regulations is dreaded – only allowed when strictly subordinate to the law supremacy. In the 20th century, the situation has changed. Wars and crises caused an essential transformation of the activities of the State, which disturbed the exercise of legislative functions and republican ideals. This thesis aims to explain how, between 1914 and 1958, the Executive Branch recovered a power to make regulations, that exceeds the mere implementation of legislation. The data show that this emancipation process stemmed from both disruption of practices and constitutional violations, gradually establishing a new law – thanks to the influence of law professors and advisory departments of the Conseil d’Etat. This dynamic relied on the need for Executive regulation to protect the security and the continuity of the State. Progressively, that kind of regulation got an autonomous constitutional basis, and the Executive enjoyed an increased level of discretion to enact it. The result is that, already under the Third and Fourth French Republics, the implementation of legislation no longer defined the source and the scope of the power to make regulations. Finally, these findings allow to challenge the current understanding of the Constitution of the Fifth Republic : the articles 16, 21, 34, 37, 38, 41 and 92 should no longer be considered as “innovations”, but only as a formalisation and a systematisation what previous constitutional law introduced
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Pimiento-Echeverri, Julian-Andres. "Les biens d'usage public en droit colombien." Thesis, Paris 2, 2011. http://www.theses.fr/2011PA020025.

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Les biens d'usage public sont la catégorie centrale de la construction du droit administratif des biens. L'absence d'une analyse d'ensemble de la catégorie, en droit colombien, pousse à revoir les bases sur lesquelles elle repose et ses conséquences. Plus que toute autre catégorie juridique, les biens d'usage public sont tributaires de leur histoire, c'est dans l'étude de cette dernière que se trouvent les clés d'interprétation de tout le système. Le modèle utilisé par le code civil colombien a été calqué sur la division des biens publics, opérée par le droit espagnol colonial – inspirée à son tour du droit romain. Une mise à jour s'avère nécessaire. À partir de la notion de propriété publique, et de son régime constitutionnel, il est possible de construire une définition matérielle des biens d'usage public, permettant de comprendre les caractéristiques de l'usage public. Cela implique, aussi, une révision complète du régime juridique à la lumière de l'exploitation sociale et économique – valorisation – de la propriété publique. À une triple protection, celle de la propriété publique, du bien d'usage public et de l'usager, s'ajoute une nouvelle approche des occupations privatives. Cette idée d'exploitation sociale et économique anime un nouveau régime des titres habilitant l'occupation privative, des redevances pour occupation des biens d'usage public et des droits réels administratifs
Regulation of public property available for public use is at the core of administrative law. The Colombian Civil Code has copied colonial Spanish law in the matter, which in turn was inspired by Roman law. However, the absence of an exhaustive and coherent regulation in Colombia has forced the interpreter to study its foundation and further developments to interpret it. An update of this legal system is, therefore, imperative. Beginning with the concept of public property and its constitutional regulation, it is poss ible to analyze the elements of its public use, which will allow proposing a definition of those assets. It is necessary to analyze the regulation of these public properties under the light of their social and economic value. The protection granted by the law to the concepts of public property, public use and public user, has to be assessed under the new approach of the administrative authorizations pertaining to such public property. This notion of social and economic value will also allow scholars/people to have a new vision of the regulation of administrative authorizations, the exclusive rights (in rem) they confer and the income they produce
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27

Haugommard, Stéphane. "L'Église et le monument religieux : le diocèse de Nantes pendant la période concordataire (1802-1905)." Phd thesis, Université Rennes 2, 2011. http://tel.archives-ouvertes.fr/tel-00639504.

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Le Concordat, qui permet le retour à la paix civile et le rétablissement du culte, est accueilli avec soulagement dans un diocèse de Nantes durement éprouvé par la décennie révolutionnaire. Il instaure un régime neuf dans lequel la religion catholique, de même que les autres cultes reconnus, est protégée et financée par l'État mais également placée sous la surveillance du pouvoir civil. Les édifices et les objets religieux nationalisés en 1789 sont mis à la disposition du clergé et des fidèles mais demeurent des propriétés publiques. L'affectation exclusive à l'exercice du culte place néanmoins l'Église dans un rôle qui lui permet de faire prévaloir les besoins religieux sur le droit de propriété ou sur les considérations archéologiques qui apparaissent au cours du XIXe siècle. Le système concordataire crée les conditions d'une transformation spectaculaire des édifices religieux, agrandis, modifiés ou remplacés pour répondre aux besoins du culte, laissant peu de place à la conservation des monuments anciens et prenant dans le diocèse de Nantes le caractère d'unevéritable table rase. L'Église semble pourtant adhérer au mouvement général de reconnaissance des monuments religieux, apportant son concours aux politiques publiques et contribuant aux initiatives du milieu érudit. Cette participation reste cependant superficielle et révèle des motivations inconciliables avec les préoccupations archéologiques. L'engouement pour un passé monumental largement idéalisé provoque, au lieu de la conservation de ses vestiges matériels, la naissance d'une architecture et d'un art religieux nouveaux, inspirés des formes médiévales mais répondant aux besoins contemporains du culte et à des constructions symboliques propres à l'Église du XIXe siècle
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28

Cyna, Esther. "Shortchanged: Racism, School Finance and Educational Inequality in North Carolina, 1964-1997." Thesis, 2021. https://doi.org/10.7916/d8-1h15-bw36.

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This dissertation examines inequality in school funding in North Carolina from 1964 to 1997. It highlights local, county and state decisions about the distribution of educational funds, and shows that public officials have created and maintained school funding mechanisms that exacerbated inequalities between racial groups to preserve White capital and advantage White communities. Discriminatory taxation schemes, district-line gerrymandering and voter suppression ensured White control of school boards and boards of county commissioners, which presided over school budgets, resulting in uneven revenue distribution. I analyze these mechanisms as instances of theft—theft of civil rights and financial resources—within a tradition of kleptocracy in the state.I first focus on four case studies, including two rural and two urban and suburban counties, where I examine the correlation between financial inequities and racial segregation through quantitative and qualitative analysis. I ask how historical actors have addressed educational inequalities over time, and how local governments, courts and legislatures responded to these intertwined challenges. This study investigates the discrepancy between the legacies of Jim Crow in school finance and racially neutral arguments in education reform and school finance litigation. All four case-study counties became involved in the 1994 Leandro v. State lawsuit, which challenged the state’s school funding formula. The urban-rural plaintiff coalition highlighted contradictions in arguments about the root causes of resource inequalities in public schools. The Leandro case did not address racial discrimination, and I question and historicize this silence.
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29

Martin, Geraldine. "The reproduction of racism in the private recruitment industry." Thesis, 2002. http://hdl.handle.net/10413/3749.

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"But you've got to make sure you communicate in the right way [laughs] so that no one else knows what you're talking about. [Laughing]" (Interview I) The study examines the rhetoric of 'racial' exclusion used by South African private recruitment consultants to justify racist practice, criticise employment equity and deny racism. The dilemmatic nature of clients racially based requests is understood in a context that socially and legally forbids "unfair discrimination" and racist practice. The reader is provided with an overview of the legislation as it pertains to recruitment and the psychological study of 'race' in order to locate this study within its historical context. An historical context of segregation and resistance to changes in employment practices. We examine how South African psychology has investigated 'race' and racism - past and present. Psychology has traditionally explained 'white' resistance to transformation in terms of 'racial' prejudice. These attitudinal approaches fail to explicate the role of language in the reproduction and conservation of these historical patterns. By providing the reader with an historical overview "interpretative connections" (Wetherell and Potter, 1992) will be established that assist in the analysis of the text. Transcribed interviews with nine private recruitment consultants in two urban centres in South Africa serve as textual evidence. The analysis demonstrates the rhetorical strategies employed by consultants in their conversations, discussions, negotiations, criticism and justification of the conservation of historical employment patterns. Private recruitment consultants engage in a number of rhetorical manoeuvres that appeal to 'white' norms and construct' black' as a requirement and deficient. The construction of' white' and' black' serves as a platform for justifying the historically established 'racial' hierarchy and conserving 'racial' privilege. Consultants construct their practice as a 'reasonable' response to clients' blatant 'racially' based requests for candidates. This is done by splitting racism into 'reasonable' and 'unreasonable' racism. 'Unreasonable' racism is defined as explicit I blatant acts that are located externally and in the past. This splitting functions to distance recruitment consultants from the racist practices of their clients and to counter potential accusations of racism. Their arguments function ideologically to defend the historical status quo in employment and criticise social transformation in South Africa. The study concludes with recommendations for the private recruitment industry in South Africa and suggests future areas of study using a discursive approach. The analysis highlights the need for external auditing of the private recruitment agencies to ensure the enactment and successful implementation of the Employment Equity Act of 1998 and the Promotion of Equality and Prevention of Unfair Discrimination Act of 2000. Furthermore, more detailed analysis of the object of racism, namely the construction of 'whiteness', could be useful in understanding resistance to transformation in the private sector and the (re)production of racism.
Thesis (M.A.)-University of Natal, Pietermaritzburg, 2002.
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30

"Die regsgevolge van die wyse van bevoegdheidsverlening aan plaaslike owerhede." Thesis, 2015. http://hdl.handle.net/10210/14382.

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LL.D.
Powers are granted to local authorities in South Africa by way of the specification of each power in the empowering legislation. The possibility has been mooted to change this way of empowerment to a specification of powers, combined with an additional general grant of powers to the effect that local authorities be authorized to do anything which may be required in order to perform their functions. Such a general form of authorization is in accordance with the situation in France and other continental systems as well as the majority of the federal states comprising the United States of America...
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31

Hardy, David McGrath. "Comparative population policy." Thesis, 2011. http://hdl.handle.net/2152/ETD-UT-2011-05-2908.

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In the last thirty years an increasing number of governments are taking an interest in the growth rate and age structure of their populations. The chief concern among advanced economies is that pay-as-you-go pension and health care systems for the elderly will be unsustainable as the ratio of younger workers to older beneficiaries shrinks from aging populations. Resistance to reforms such as reduced or delayed benefits, or higher taxes has focused attention on a third option, growing the working-age population. There is a growing consensus on the economic benefits of population growth, a reversal from the 1960s through 80s. Governments try to grow the population through incentives for more children and/or accepting more immigrants. This report compares the population policies of Singapore, the United States, France, and Japan to analyze governments' motives and policy outcomes. Middle-income nations like China and Brazil can learn from the experiences of developed nations to avoid the same predicament in the future. Each government's mix of fertility incentives, immigrants, and guest workers is a product of their economic and political circumstances. The surest way to grow the population, accepting immigrants, is usually the least popular. The most popular is the most unproven, providing benefits for larger families. There is no consensus what the most effective fertility incentives are. Population policy has never been just about the economy, it is steeped in political and cultural visions. Shedding that political baggage is a prerequisite to a more rational, sustainable policy approach to demography.
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32

Dr, Kenderes Andrea. "Conceptions et techniques du droit de la consommation : comparaison des droits français et hongrois." Thesis, 2019. http://www.theses.fr/2019PA01D006.

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L'émergence du droit de la consommation en tant que discipline autonome, peut être analysée dans les effets qu'elle a produits dans le discours juridique dans sa globalité, de diverses manières. Lors des célébrations de l’anniversaire de la signature du Traité de Rome qui a jeté les bases de l'Union Européenne actuelle, on doit souligner que « L'UE a largement amélioré la vie quotidienne de ses citoyens». Qu'en est-il plus précisément de la protection des consommateurs? Sans l’Europe, le droit de la consommation ne se serait pas développé aussi solidement qu'il ne l’a fait aux cours des quarante dernières années. Le droit européen de la consommation trouve sa source essentielle dans le programme préliminaire d'avril 1975 pour une politique de protection et d’information des consommateurs qui a énoncé cinq droits fondamentaux : droit à la protection de la santé et de la sécurité, droit à la protection des intérêts économiques des consommateurs, droit à la réparation des dommages, droit à l’information et à l'éducation, droit à la représentation. Le E-commerce (achat et vente de services et produits via Internet) a transformé notre manière de consommer, offrant aux consommateurs plus de choix qu'auparavant. Mais il soulève également de nouveaux problèmes, qui doivent être réglés. Les conditions de protection des consommateurs différent encore beaucoup d’un pays à l'autre. Si dans certains pays, 76% des consommateurs déclarent se sentir suffisamment protégés par les mesures existantes, dans d'autres ce chiffre tombe à 28%. Or, depuis qu’ils ont rejoint l’Union européenne, les pays de l'Est de l'Europe, généralement situés assez bas sur l’échelle de satisfaction, ont vu ces pourcentages s'améliorer de façon importante
In regulatory jurisdictions that provide for this consumer protection is a group of laws and organizations designed to ensure the rights of consumers, as well as fair trade, competition, and accurate information in the marketplace. The laws are designed to prevent the businesses that engage in fraud or specified unfair practices from gaining an advantage over competitors. Furthermore the importance of the consumer protection is to safeguard the consumer from exploitation. In the absence of consumer protection, consumers were exploited in many ways for example sale of unsafe products, adulteration and hoarding of goods, using wrong weights and measures, charging excessive prices and sale of inferior quality goods. Through various Consumer Protection Acts, business organizations are under pressure to keep away from exploiting consumers. Consumer protection law is considered an area of law that regulates private law relationships between individual consumers and the businesses that sell those goods and services. In 2018, the European Commission is proposing a New Deal for Consumers to ensure that all European consumers fully benefit from their rights under Union law. A study on transparency in online platforms, also published, supports the New Deal’s proposals on online market places. Finally, the different theories show the sophisticated aspects of the French consumer law which has been developing since the Code Napoleon
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