Academic literature on the topic 'Trade regulation – Australia'

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Journal articles on the topic "Trade regulation – Australia"

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Kiefel, Susan, and Gonzalo Villalta Puig. "The Constitutionalisation of Free Trade by the High Court of Australia and the Court of Justice of the European Union." Global Journal of Comparative Law 3, no. 1 (May 29, 2014): 34–49. http://dx.doi.org/10.1163/2211906x-00301002.

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Together with matters of multilateral and bilateral regulation, domestic regulation affects the law and policy of economic relations between the European Union (eu) and Australia. This article discusses the constitutional determinants of the Australian single market and the significance to its development of the free trade jurisprudence of the Court of Justice of the European Union. When Australia was federated, free trade between the States and the removal of barriers at the borders were at the forefront of constitutional objectives. They find expression in Section 92 of the Australian Constitution. It took some time for the jurisprudence to develop by reference to principles of competition. Recent decisions of the High Court of Australia highlight the need to prove that a law or measure may have anti-competitive effects within a market to hold it invalid. Application of this (unacknowledged) test of proportionality invites comparison with eu law and opens to question the usefulness of protectionism as a criterion of constitutional invalidity for trade without borders in the ‘new economy’.
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Markey, Raymond, and Joseph McIvor. "Regulating casual employment in Australia." Journal of Industrial Relations 60, no. 5 (June 5, 2018): 593–618. http://dx.doi.org/10.1177/0022185618778084.

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The rise of precarious and non-standard working arrangements has received substantial attention in recent times. In Australia precarious work has been particularly associated with the phenomenon of casual work, defined as employment without the leave benefits provided by the National Employment Standards. Casual employment status is at the employers' discretion. It may be long term and involve short shifts of less than 4 hours. In the recent Modern Awards Review by the Australian Fair Work Commission, the Australian Council of Trade Unions submitted proposals to limit employers' ability to unilaterally determine the employment relationship and to reduce the degree of precariousness associated with casual employment. The Australian Council of Trade Unions sought the right for long-term casuals to convert to permanent employment and to extend minimum hours for shifts. This article surveys the evidence, primary and secondary, regarding the extent and nature of Australian casual employment, including its impact on flexibility, earnings security and productivity. In this context, we explore the implications of the Australian Council of Trade Unions claims and Fair Work Commission decision, and present data from a survey of casual employees regarding employment preferences. Whilst some employees prefer casual status, we find that many would benefit from protective regulations, and that most casuals support such regulation.
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Campbell, Iain. "Casual Employment, Labour Regulation and Australian Trade Unions." Journal of Industrial Relations 38, no. 4 (December 1996): 571–99. http://dx.doi.org/10.1177/002218569603800404.

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This article explores the implications for trade unions of the rapid expansion in Australia of casual employment—a distinctive form of non-standard employment characterized by a lack of entitlement to most employment benefits and forms of employment protection. The article summarizes the main features of casual em ployment and the evidertce for its growth since 1982. It highlights the role of award regulation in shaping casual employment. Casual employment is identified as unprotected employment, which survived within the award system and indeed flourished in the gaps created by officially sanctioned exemptions from protection and limits in the enforcement and reach of award regulation. Labour market deregulation in the 1990s has in turn widened these gaps and facilitated both an expansion of casual employment and an extension of some casual conditions of employment into sections of the permanent workforce. These developments offer a major challenge to Australian trade unions. They underline the failure of tradi tional trade union policies, oriented to a simple rejection of all forms of non- standard employment. They pose a threat both to the set of employment rights and benefits slowly built up by trade union action in the course of past decades and to the legitimacy of trade unions as representative institutions. Australian trade unions are still struggling to come to grips with this threat. Traditional policies remain dominant, but recent trade union policy and practical efforts point towards a new approach that builds on a less hostile and more discriminating attitude to non-standard employment. In relation to the crucial issue of labour regulation the new approach pivots on the important theme of decasualization. The direction of change is promising. But the article argues that the new approach remains weak and underdeveloped as a result of its narrow orientation to the redesign of agreements within the shrinking sphere of effective regulation, its focus on casual status rather than casual conditions of employment and its inability to find effective levers for implementation
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Healey, Deborah J. "Strange Bedfellows or Soulmates: A Comparison of Merger Regulation in China and Australia." Asian Journal of Comparative Law 7 (2012): 1–40. http://dx.doi.org/10.1017/s219460780000065x.

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AbstractChina and Australia are extremely significant trade partners and investors. Australia has a very well established competition law, now called the Competition and Consumer Law 2010, with a well-established merger regime. China has a relatively new competition law, the Anti-Monopoly Law 2007. This article compares merger control in the two jurisdictions. The Ministry of Commerce (MOFCOM) has already referred to an Australian decision in rejecting a merger, the only reference to a foreign decision to date, which confirms the utility of the comparison. This article critically evaluates the determinations of MOFCOM and compares the approach of the Australian Competition and Consumer Commission (ACCC), the Australian regulator. It assesses the transparency and predictability of procedures and decision-making in the two jurisdictions.
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Griff, Catherine, and Drew MacRae. "Flexible Vision: Emerging Audiovisual Technologies and Services, and Options to Support Australian Content." Media International Australia 111, no. 1 (May 2004): 23–33. http://dx.doi.org/10.1177/1329878x0411100105.

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The Australian audiovisual industry is facing two significant policy challenges — rapid technological change and trade liberalisation — both of which have the potential to limit the scope of government regulatory action to support local content. The Australia–United States Free Trade Agreement (AUSFTA) brought into focus both of these challenges, with Australia's ability to regulate future audiovisual delivery services becoming a central issue of the services negotiations. This article draws upon recent research by the Australian Film Commission on regulatory options to ensure the ongoing availability of Australian content via new media. Internationally, many new media technologies are now regulated to support local content, and many governments are reviewing content regulation options on digital and interactive delivery systems. This article discusses the merits of the key policy levers available to government in order to support the continued presence of Australian content in new services and delivery technologies.
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Susanto, Danar Agus. "Isu Standar Pada Perdagangan Indonesia-Australia Dalam Kerja Sama IACEPA." Buletin Ilmiah Litbang Perdagangan 13, no. 1 (July 31, 2019): 21–46. http://dx.doi.org/10.30908/bilp.v13i1.334.

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Abstrak Salah satu isu penting terkait kerja sama perdagangan Indonesia - Australia Comprehensive Economic Partnership Agreement (IACEPA) adalah ‘standar’. Isu standar berhubungan dengan kepentingan konsumen, kesehatan dan keamanan, perlindungan lingkungan dan manajemen, sehingga berkaitan dengan hubungan perdagangan dan internasionalisasi produk. Isu standar pada IACEPA perlu diperhatikan dan dianalisis karena dapat menjadi kendala atau hambatan dalam hubungan perdagangan Indonesia dan Australia. Penelitian bertujuan untuk menganalisis pola perdagangan Indonesia-Australia termasuk membahas isu standar yang mungkin akan menjadi hambatan dan kendala dalam IACEPA. Hasil penelitian menunjukkan bahwa Australia merupakan rekan perdagangan yang penting bagi Indonesia dan begitu juga sebaliknya. Antara kedua negara, proses perdagangan bersifat saling melengkapi atau komplementer. Keterlibatan dan partisipasi Australia dalam forum pengembangan standar internasional lebih besar daripada Indonesia. Australia juga memiliki posisi tawar dan pengaturan yang lebih kompleks, baik dari segi kuantitas maupun kualitas dalam perdagangan bilateral pada sektor electrotechnology, energy, manufacturing, processing, building dan construction. Semua sektor ini memiliki 64% dari 1743 standar di Australia yang dapat berpotensi menjadi hambatan perdagangan bagi Indonesia. Penelitian ini merekomendasikan bahwa Indonesia dan Australia perlu melakukan kesepakatan terkait penerapan standar terhadap suatu produk dan perjanjian saling pengakuan dan saling keberterimaan atas hasil sertifikasi. Kata Kunci: IACEPA, Standar, Regulasi Teknis, Standardisasi dan Penilaian Kesesuaian Abstract One of the important issues on the Indonesia - Australia Comprehensive Economic Partnership Agreement (IACEPA) is a standard. Standard relates to consumer interests, health and safety, environmental protection and management, therefore its relates to trade and product internationalization. The standard issue is important to be considered and analysed as it can be an obstacle in trade relations between Indonesia and Australia. The purpose of the study was to analyze Indonesia-Australia trade patterns and to discuss the standardization issue that might become constraints in IACEPA. The results showed that Australia is an important trading partner for Indonesia and vice versa. Between the two countries, the trade process is complementary. Australia's involvement and participation in the forum for developing international standards is greater than that of Indonesia. Australia also has a more complex bargaining position and arrangements, both in terms of quantity and quality in bilateral trade in the sector of electrotechnology, energy, manufacturing, processing, building and construction. All of these sectors have 64% of the 1743 standards-based technical regulations in Australia that could potentially be a trade barrier for Indonesia. The study recommended Indonesia and Australia need to agree the implementations of standards on particular products and mutual recognition arrangements on certifications. Keywords: IACEPA, Standard, Technical Regulation, Standardization and Conformity Assessment JEL Classification: F12, F13, F63, G18, L15
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Faunce, Thomas, Jimmy Bai, and Duy Nguyen. "Impact of the Australia–US Free Trade Agreement on Australian medicines regulation and prices." Journal of Generic Medicines 7, no. 1 (January 2010): 18–29. http://dx.doi.org/10.1057/jgm.2009.40.

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Gunst, Andrew. "Carbon pollution (greenhouse gas) measurement and reporting." APPEA Journal 50, no. 1 (2010): 649. http://dx.doi.org/10.1071/aj09042.

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Carbon reporting and emissions trading in Australia—both of which, in 2007, seemed unlikely—came into effect with the implementation of mandatory data reporting from July 2008 (Australia) and January 2010 (USA); the onus lies with emitting corporations to determine whether they must report. At the time of writing it is also likely that Australia and the USA will join Europe in placing a price on carbon by 2013. The background to the Australian regulations will be explored in this paper, along with comparisons made to regulations in other jurisdictions, including the new reporting scheme in the USA. To date, much of the public discussion in these countries has centred on the financial aspects of a carbon tax or emissions trading scheme; however, significant challenges exist in identifying and quantifying the emissions that the financial community seeks to trade, and business community understanding of the details of greenhouse emissions is not strong. Case studies from the Australian oil and gas and related industries will be used to explain counter-intuitive aspects of greenhouse gas emissions and their regulation, and to illustrate challenges in emissions measurement and reporting.
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Chursina, Tatyana I. "SOME ASPECTS OF LEGAL REGULATION OF DIGITAL TRADE IN AUSTRALIA." Public international and private international law 1 (February 5, 2020): 46–48. http://dx.doi.org/10.18572/1812-3910-2020-1-46-48.

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Faunce, Thomas A., Kellie Johnston, and Hilary Bambrick. "The Trans-Tasman Therapeutic Products Authority: Potential AUSFTA Impacts on Safety and Cost-Effectiveness Regulation for Medicines and Medical Devices in New Zealand." Victoria University of Wellington Law Review 37, no. 3 (September 1, 2006): 365. http://dx.doi.org/10.26686/vuwlr.v37i3.5574.

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Australia and New Zealand have agreed in principle to the creation of a single agency for the regulation of pharmaceuticals and other therapeutic products in a trans-Tasman market. The Australia New Zealand Therapeutic Products Authority (ANZTPA) is being developed to replace both the Australian Therapeutic Goods Administration (TGA) and the New Zealand Medicines and Medical Devices Safety Authority (Medsafe). This article explores the possibility that the ANZTPA, by inheriting significant obligations imposed on the TGA under the Australia-United States Free Trade Agreement (AUSFTA), may significantly impact upon the regulation of medicines and medical devices (as well as blood products) in New Zealand. It explores the related legal obligations and their likely consequences for New Zealand: particularly quality, safety, efficacy and cost-effectiveness evaluation processes in this area, such as those of the New Zealand Pharmaceutical Management Agency (Pharmac).
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Dissertations / Theses on the topic "Trade regulation – Australia"

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Welsman, Sandra June. "Laws regulating business facilitation, control, or overload?: a consideration of Australian business regulation in the early 1990s." Thesis, The University of Sydney, 2001. https://hdl.handle.net/2123/28066.

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This thesis examines interactions of business, government and the judiciary in Australia through regulatory law. This arena of policy, lawmaking and regulatory practice is explored from a number of integrated perspectives, to a depth not pursued in general reviews.
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Spencer, Elizabeth Crawford. "The regulation of the franchise relationship in Australia: a contractual analysis." Gold Coast, QLD : Bond University, 2007. http://epublications.bond.edu.au/theses/spencer.

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Moore, Gregory Allison Business Law &amp Taxation Australian School of Business UNSW. "A theory-based description of Australian franchising regulation." Publisher:University of New South Wales. Business Law & Taxation, 2008. http://handle.unsw.edu.au/1959.4/41223.

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This paper examines franchising regulation in Australia as a case study for the analysis of regulation based on established regulatory theory. A literature review is conducted to establish and critique the theory of regulation based on the four main areas of established theory; regulatory purpose, regulatory strategies, rulemaking and enforcement. Case study data is drawn from primary source material and academic commentary on franchising regulation and presented according to the eras of franchising regulation in Australia, moving from the first proposals for legislation in the 1970s to the prescribed mandatory Franchising Code of Conduct model adopted in 1998 and refinements made to that scheme up to 2006. An analysis is then conducted on each major aspect of Australian franchising regulation using the established theoretical principles and analytical constructs available in the literature. The study concludes that the Franchising Code of Conduct regime, as a culmination of the experience gained and study undertaken in the preceding eras, is characterised by the availability of a broad range of enforcement options from harsh deterrence-oriented measures to more gentle and cooperative compliance-oriented options constituting an effective regulatory pyramid. The effectiveness of the regime is further bolstered by the presence of a credible regulatory strategy pyramid which emphasises the real possibility of escalated intervention, coupled with skilful deployment by the Australian Competition and Consumer Commission as enforcement agency. The principal weakness of the scheme is identified as unnecessarily ambiguous drafting in some areas, which compromises the quality of the otherwise highly transparent ruleset. It is suggested that the choice of regulatory strategy, often a focus of superficial examinations of regulation, is largely irrelevant to the nature of the regulation, with other features such as enforcement strategy, legitimacy, and availability of credible sanctions proving much more important. A proposal for an analytical framework based on the established theory is developed based on the experience of applying that theory to the case study. While this outlined framework assists in broadening focus across the entire regulatory regime to encourage assessment of the component parts, a lack of cohesion and linkage amongst the components highlights a shortcoming in the development of regulatory theory and an opportunity for further research.
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Young, Douglas Arthur. "Restrictions on the trade of biological resources : the case of Australian merino genes /." Title page, contents and abstract only, 1991. http://web4.library.adelaide.edu.au/theses/09ECM/09ecmy69.pdf.

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Potter, Anna. "Internationalising Australian Children's Television Drama: The Collision of Australian Cultural Policy and Global Market Imperatives." Thesis, Queensland University of Technology, 2005. https://eprints.qut.edu.au/16016/1/Anna_Potter_Thesis.pdf.

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When considering the effects of cultural policy on international trade in television programming there is an area that is frequently overlooked, that of classification and censorship. The role that classification and censorship play as tools of cultural policy is poorly understood, as is their impact on the ease with which television programs can be traded. A broad definition of cultural policy has been used here, in order to encompass both its theoretical and practical elements. Cultural policy as expressed through television classification and censorship is seen here as having three layers. These layers are legislative policy such as local content quotas, the content gate keeping carried out by television producers prior to production, and program classification, that is the implementation of local programming codes by broadcasters. It is important to understand the effects of television regulatory regimes, including those that govern content classification, on the international trade in programs for two reasons. One is the precedence international economic agreements generally take over cultural policy, because classification and censorship can quietly undermine this precedence in a way which currently receives little attention. The second is the importance of the export market to the Australian television production industry, which is unable to fully fund its program output from local markets. Australian children's drama and its export to the UK are the focus of this research as this provides an excellent example of the current tensions between cultural policy and economic imperatives. Australian children's drama is tightly regulated through government policy, particularly the demands of the 'C' (children's) classification. It is argued here that the demands of current Australian cultural policy are making it extremely difficult for Australian producers to internationalise their product and thus cultivate a competitive advantage in international markets. With the advent of digital technology and the end of spectrum scarcity, the television landscape is changing rapidly. Australian producers of children's programming are facing commercial challenges that have been created by the proliferation of children's channels in the UK and particularly the popularity on those channels of American animation. While the need to cultivate a competitive advantage is pressing, Australian producers of children's programming are also having to accommodate the three layers of cultural policy described earlier, that is the demands of government policy regarding the 'C' classification, the local programming codes of their export market, in this case the United Kingdom, and their own internalised cultural values as expressed through their gate keeping roles. My Industry experience in a senior compliance role in the pay television industry led to an awareness of the impact of local classification procedures on international trade in programming and provided the initial starting point for this research. Through scholarly investigation and interviews with three key producers of Australian children's programs and a senior UK programmer, certain findings regarding the impact of regulatory regimes on the export of Australian children's programs have been reached. The key findings of this research are firstly, that the rationales and operations of national classification schemes seem to be fundamentally untouched by supranational trade agreements and arguably are able to act as restraints on international trade. Additionally, programs that do not conform to the societal values of the countries to which they are being exported, will not sell. Secondly, multi-channelling is having the unexpected effect of driving down prices achieved for children's programs which is a cause for concern, given the importance of international sales to Australian producers. Part of this decline in pricing may be attributed to the rise in popularity of inexpensive animation, which now dominates children's channels in the UK. Thirdly, this research finds that Australian cultural policy is preventing Australian producers cultivating a competitive advantage in international markets, by making demands regarding content and quality that render their programs less attractive to overseas channels. If the Australian government believes that certain culturally desirable forms of television such as high quality, children's programming should continue to exist, it may in future have to modify its cultural policy in order to attain this objective.
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Potter, Anna. "Internationalising Australian Children's Television Drama: The Collision of Australian Cultural Policy and Global Market Imperatives." Queensland University of Technology, 2005. http://eprints.qut.edu.au/16016/.

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When considering the effects of cultural policy on international trade in television programming there is an area that is frequently overlooked, that of classification and censorship. The role that classification and censorship play as tools of cultural policy is poorly understood, as is their impact on the ease with which television programs can be traded. A broad definition of cultural policy has been used here, in order to encompass both its theoretical and practical elements. Cultural policy as expressed through television classification and censorship is seen here as having three layers. These layers are legislative policy such as local content quotas, the content gate keeping carried out by television producers prior to production, and program classification, that is the implementation of local programming codes by broadcasters. It is important to understand the effects of television regulatory regimes, including those that govern content classification, on the international trade in programs for two reasons. One is the precedence international economic agreements generally take over cultural policy, because classification and censorship can quietly undermine this precedence in a way which currently receives little attention. The second is the importance of the export market to the Australian television production industry, which is unable to fully fund its program output from local markets. Australian children's drama and its export to the UK are the focus of this research as this provides an excellent example of the current tensions between cultural policy and economic imperatives. Australian children's drama is tightly regulated through government policy, particularly the demands of the 'C' (children's) classification. It is argued here that the demands of current Australian cultural policy are making it extremely difficult for Australian producers to internationalise their product and thus cultivate a competitive advantage in international markets. With the advent of digital technology and the end of spectrum scarcity, the television landscape is changing rapidly. Australian producers of children's programming are facing commercial challenges that have been created by the proliferation of children's channels in the UK and particularly the popularity on those channels of American animation. While the need to cultivate a competitive advantage is pressing, Australian producers of children's programming are also having to accommodate the three layers of cultural policy described earlier, that is the demands of government policy regarding the 'C' classification, the local programming codes of their export market, in this case the United Kingdom, and their own internalised cultural values as expressed through their gate keeping roles. My Industry experience in a senior compliance role in the pay television industry led to an awareness of the impact of local classification procedures on international trade in programming and provided the initial starting point for this research. Through scholarly investigation and interviews with three key producers of Australian children's programs and a senior UK programmer, certain findings regarding the impact of regulatory regimes on the export of Australian children's programs have been reached. The key findings of this research are firstly, that the rationales and operations of national classification schemes seem to be fundamentally untouched by supranational trade agreements and arguably are able to act as restraints on international trade. Additionally, programs that do not conform to the societal values of the countries to which they are being exported, will not sell. Secondly, multi-channelling is having the unexpected effect of driving down prices achieved for children's programs which is a cause for concern, given the importance of international sales to Australian producers. Part of this decline in pricing may be attributed to the rise in popularity of inexpensive animation, which now dominates children's channels in the UK. Thirdly, this research finds that Australian cultural policy is preventing Australian producers cultivating a competitive advantage in international markets, by making demands regarding content and quality that render their programs less attractive to overseas channels. If the Australian government believes that certain culturally desirable forms of television such as high quality, children's programming should continue to exist, it may in future have to modify its cultural policy in order to attain this objective.
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Mieldazys, Judita A., and Judita mieldazys@dpcd vic gov au. "The International Development of Performance-Based Building Codes and Their Impact on the Australian Construction Industry in Offshore Trade." RMIT University. Property, Construction and Project Management, 2005. http://adt.lib.rmit.edu.au/adt/public/adt-VIT20090724.120856.

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The interplay of forces behind globalisation, promoting trade and prosperity, and the desire for offshore trade are not fully understood. This is further complicated by the role of the political economy, global sovereignty versus national boundaries, economic status of a country and community needs. The literature found that 'one size does not fit all'. Globalisation results in the consideration of global similarities such as standards, harmonisation of laws, international codes and the growth of international organisations. In addition, there is international pressure to adopt 'performance-based' designs by members of the World Trade Organization countries in order to promote trade. This research examines the development of performance-based building codes at the international level, its benefits and issues and whether it will achieve a positive impact on trade for the Australian construction industry.
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Marshall, Brenda. "Regulating access to essential facilities in Australia : review and reform of Part IIIA of the Trade Practices Act." Thesis, Queensland University of Technology, 2004. https://eprints.qut.edu.au/15912/1/Brenda_Marshall_Thesis.pdf.

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This dissertation critically evaluates the rationale for, and implementation of, the regulatory scheme governing third party access to essential infrastructure services (the 'national access regime') set out in Part IIIA of the Trade Practices Act 1974 (Cth). The analysis and synthesis of background reports, economic and legal theory, statutory provisions, existing case law, academic commentary and regulatory guidelines contained herein represents a useful and necessary contribution to this nascent area of Australian competition law. In particular, the comprehensive nature of the research has permitted informed assessment of the Productivity Commission's recent review of the national access regime and the Commonwealth Government's response to that inquiry. While the dissertation endorses both the Productivity Commission's finding that retention of the Part IIIA access regime is warranted and many of the (notably light-handed) recommendations advanced by the Commission to improve aspects of the regime's operation, it takes issue with the Commission's failure to propose a more substantial refashioning of the regime's architecture. Stepping into this breach, the dissertation specifies the systemic changes to Part IIIA that are imperative to enhancing the efficacy of the national access regime.
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Marshall, Brenda. "Regulating Access To Essential Facilities In Australia : Review And Reform Of Part IIIA Of The Trade Practices Act." Queensland University of Technology, 2004. http://eprints.qut.edu.au/15912/.

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This dissertation critically evaluates the rationale for, and implementation of, the regulatory scheme governing third party access to essential infrastructure services (the 'national access regime') set out in Part IIIA of the Trade Practices Act 1974 (Cth). The analysis and synthesis of background reports, economic and legal theory, statutory provisions, existing case law, academic commentary and regulatory guidelines contained herein represents a useful and necessary contribution to this nascent area of Australian competition law. In particular, the comprehensive nature of the research has permitted informed assessment of the Productivity Commission's recent review of the national access regime and the Commonwealth Government's response to that inquiry. While the dissertation endorses both the Productivity Commission's finding that retention of the Part IIIA access regime is warranted and many of the (notably light-handed) recommendations advanced by the Commission to improve aspects of the regime's operation, it takes issue with the Commission's failure to propose a more substantial refashioning of the regime's architecture. Stepping into this breach, the dissertation specifies the systemic changes to Part IIIA that are imperative to enhancing the efficacy of the national access regime.
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Buchan, Jennifer Mary. "Franchisor failure : an assessment of the adequacy of regulatory response." Thesis, Queensland University of Technology, 2010. https://eprints.qut.edu.au/39027/1/Jennifer_Buchan_Thesis.pdf.

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Franchisor failure is one of the most problematic areas of the franchise relationship. It impacts negatively on landlords and other suppliers, but the contracting parties that are currently without legal rights to respond when a franchisor fails, and thus without consumer protection, are its franchisees. In this thesis I explore the current contractual, regulatory and commercial environment that franchisees inhabit, within the context of franchisor failure. I conclude that ex ante there are opportunities to level the playing field through consumer protection legislation. I also conclude that the task is not one solely for the consumer protection legislation; the problem should also be addressed ex post through the Corporations Act.
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Books on the topic "Trade regulation – Australia"

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Marsh, Ian. Business regulation in Australia: Recent developments and their implications for regulatory change, business, and the two-party system. Kensington, Australia: University of New South Wales, Australian Graduate School of Management, 1986.

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Attorney-General, Victoria, and International Trade Law Conference (1974- ) (12th : 1985 : Beijing, China and Shanghai, China), eds. Australia-China Trade and Investment Law Conference: Incorporating the 12th International Trade Law Conference : Beijing/Shanghai, October 1985. Canberra: Australian Govt. Pub. Service, 1986.

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Australia. Trade Practices Act 1974. 2nd ed. Chatswood, NSW: LexisNexis Butterworths, 2007.

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Economic relations between Australia and the European Union: Law and policy. Alphen aan den Rijn, The Netherlands: Wolters Kluwer Law & Business, 2014.

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Richard, Whitwell. The application of anti-dumping and countervailing measures by Australia. Rockhampton, Qld: Central Queensland University Press, 1997.

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Snape, Richard H. Australian trade policy, 1965-1997: A documentary history. St. Leonards, NSW., Australia: Allen & Unwin, 1998.

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Kurakin, Roman. Stock markets in Asia, Australia and the Pacific. ru: INFRA-M Academic Publishing LLC., 2020. http://dx.doi.org/10.12737/1041929.

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The monograph describes the basic institutions of exchange rights of States Asia, Australia and the Pacific, analyzes the basic legal acts constituting the exchange legislation of the States, Asia, Australia and the Pacific; examined the procedure of state regulation of the exercise of economic activities on the stock market in Asia, Australia and the Pacific; describes the features of self-regulation of economic activities on the stock market in Asia, Australia and the Pacific. For students and teachers, and anyone interested in world trade issues and the stock markets of individual regions and States.
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Clark, E. Eugene. Australian marketing law. Sydney: Law Book Co., 1994.

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Williams-Wynn, Marina. Enhancing Australia's competitiveness--the impact of government regulations. [Australia]: Committee for Economic Development of Australia, 1996.

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Wong, James C. K. K. Marketing and commercial law in Malaysia: With a comparison to Australian law. Kuala Lumpur: International Law Book Services, 1998.

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Book chapters on the topic "Trade regulation – Australia"

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Su, Chunmeizi. "Regulating Chinese and North American Digital Media in Australia: Facebook and WeChat as Case Studies." In Palgrave Global Media Policy and Business, 173–90. Cham: Springer International Publishing, 2022. http://dx.doi.org/10.1007/978-3-030-95220-4_9.

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AbstractAs the Australian government has legislated for a ‘News Media and Digital Platforms Mandatory Bargaining Code’ to compel Google and Facebook to pay for news content, platform regulation in Australia has prompted a heated discussion worldwide. Questionable business practices have incited issues such as anti-competition behaviour, online harms, disinformation, algorithmic advertising, trade of data, privacy breaches and so on. Consequently, these technology tycoons are reinscribing industries and societies alike, posing a threat to digital democracy. This chapter examines how Facebook and WeChat are (or should be) regulated in Australia, the current regulatory frameworks, and the overall effectiveness of self-regulation. Through the lenses of comparative research, this study is focused on infrastructuralisation, techno-nationalism (censorship), and civil society (media diversity), to identify distinct features and common themes in platform regulation and explore possible solutions to regulating global platforms in Australia.
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Reinhold, Philipp. "European Trade Policy and the Regulation of Subsidies: What Can We Expect from the EU-Australia FTA?" In The Australia-European Union Free Trade Agreement, 203–19. Cham: Springer International Publishing, 2022. http://dx.doi.org/10.1007/978-3-030-91448-6_10.

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Marshall, Shelley. "Expansion and Layering of Labour Regulation." In Living Wage, 73–97. Oxford University Press, 2019. http://dx.doi.org/10.1093/oso/9780198830351.003.0005.

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Workers in developed economies have not been immune to the dynamics of global trade and economic liberalization that have stranded vulnerable workers in poorer countries. This chapter tracks the informalization of apparel production in Australia throughout the 1980s and 1990s, asking how national and international factors converged to leave a migrant group stranded, without the employment conditions and protections that Australia prided itself on providing to its working population. It then examines the subsequent attempts to re-formalize work by the creation of innovative legislation and ethical initiatives that add levers and regulatory agents. This study is important because Australia’s novel regulation combines market and non-market forms of regulation, with a successful ethical labelling system at the heart of the model.
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"Regulation of postal services in a changing market environment: Lessons from Australia and elsewhere." In WTO Domestic Regulation and Services Trade, 13. WTO, 2009. http://dx.doi.org/10.30875/09853c82-en.

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McLean, Ian W. "Shocks, Policy Shifts, and Another Long Boom." In Why Australia Prospered. Princeton University Press, 2012. http://dx.doi.org/10.23943/princeton/9780691154671.003.0009.

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This chapter explains how the higher level of prosperity attained during the second “golden age” was threatened during the late 1960s and early 1970s. Pressures for a significant restructuring in the economy arose from a boom in mineral production, the onset of Asian industrialization, and a spike in world energy prices. These forces eventually led to the adoption of more outward-oriented policies with respect to trade and capital flows and a more market-oriented approach to the regulation of the domestic economy—policies more akin to those pursued in the nineteenth century. In pursuit of enhanced levels of prosperity, the policy reforms during the 1980s and 1990s were numerous and significant, requiring the abolition or adaptation of some key economic institutions.
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"The Waste Trade and Environmental Regulation in France, Australia, and Japan." In Waste Trading among Rich Nations. The MIT Press, 2000. http://dx.doi.org/10.7551/mitpress/7165.003.0010.

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"When regulation goes ‘too far’: a comparative analysis of environmental regulatory expropriation under the Australia-United States Free Trade Agreement." In International Trade and Business Law Review: Volume XI, 132–86. Routledge-Cavendish, 2012. http://dx.doi.org/10.4324/9780203060605-9.

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Creighton, Breen, Catrina Denvir, Richard Johnstone, Shae McCrystal, and Alice Orchiston. "Pre-Strike Ballots in Comparative Perspective." In Strike Ballots, Democracy, and Law, 60–89. Oxford University Press, 2020. http://dx.doi.org/10.1093/oso/9780198869894.003.0003.

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Chapter 3 contains a comparative review of pre-strike ballot requirements, describing the principal forms adopted around the world. It demonstrates that pre-strike ballot requirements can range from ‘light touch’ regulation specifying that union rules must contain provisions requiring the conduct of pre-strike ballots but attaching almost no consequence to failure to do so, through to highly prescriptive requirements which can have the effect of making it exceedingly difficult lawfully to take strike action. Chapter 3 then examines in detail the pre-strike ballot requirements that have been adopted in four jurisdictions: the United States, where there are no formal pre-strike ballot requirements; South Africa, where formerly stringent ballot requirements were replaced by light touch regulation in 1995; Canada, where there are formal requirements for the conduct of pre-strike ballots, but where they appear to be of only very marginal inconvenience to trade unions; and the United Kingdom which has adopted exceedingly complex provisions which betoken an almost obsessive desire to regulate the circumstances and manner in which strike action can lawfully be taken. The chapter also points to the case of Australia, which has adopted an approach that is, in many respects, similar to that of the United Kingdom—albeit with some significant differences. The similarities are such that the detailed study of the operation of the Australian provision affords many insights into the operation of the British provisions, and into the role of law as a means of regulating industrial behaviour more generally.
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Kartika, Rayna. "Financial Technology Innovation - Peer-to-Peer (P2P) Lending in the RCEP Member States." In Regional Comprehensive Economic Partnership, 93–112. BENTHAM SCIENCE PUBLISHERS, 2023. http://dx.doi.org/10.2174/9789815123227123010010.

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Regional Comprehensive Economic Partnership (RCEP) aims to strengthen the economy and the free trade agreement among 10 ASEAN member states (Brunei Darussalam, Cambodia, Indonesia, Lao PDR, Malaysia, Myanmar, Philippines, Singapore, Thailand, and Vietnam) and five partner states (China, Japan, South Korea, Australia, and New Zealand). One of the ways to improve economic growth is to enhance the investment sector into start-ups and SMEs. Peer-to-peer lending platforms exist to ease the mechanism of funds lending and borrowing from investors to start-ups and SMEs. Currently, the rise of P2P lending, particularly in RCEP member states, has boosted the economic growth and development of technology. The government assistance in setting up the regulation regarding the mechanism of P2P lending has been carried out in order to create a clean and transparent practice of P2P lending among borrowers and lenders. Therefore, this chapter describes the introduction of RCEP member states and P2P lending and the mechanism for adopting P2P lending platforms in RCEP member states. P2P is indeed a platform that RCEP members can practice. However, the risks must be considered and addressed in order to prevent threats to their economic growth.
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Guillaume, Joseph H. A., Alvar Closas, and Andrew McCallum. "Groundwater allocation in New South Wales, Australia." In Water Resources Allocation and Agriculture, 143–58. IWA Publishing, 2022. http://dx.doi.org/10.2166/9781789062786_0143.

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Abstract New South Wales has more than 100 years of history of water licensing and allocation. This chapter reflects on the approach to water allocation in the current groundwater sharing plans, including general principles and underlying reasoning for application elsewhere. Focus is on groundwater-specific issues for transition from open to regulated access, while embedded within broader water regulations and connections to surface water management. Water allocation is built around water sharing plans that determine extraction limits, with community consultation. Water rights are differentiated in terms of water sources and priority, separated from land ownership, and from time-varying water allocations, subject to available water determinations. Both water entitlements and allocations can be traded, with rules governing impact of trade. Water sharing plans are state-level instruments explicitly connected in applicable regions to the Commonwealth-level Murray-Darling Basin Plan and associated extraction limits. Compliance is based firstly on metering of water extractions. Future prospects are also discussed.
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Reports on the topic "Trade regulation – Australia"

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Bracke, Marc B. M., Herman M. Vermeer, and Rick A. van Emous. Animal welfare regulations and practices in 7 (potential) trade-agreement partners of the EU with a focus on laying hens, broilers and pigs : Mexico, Chile, Indonesia, Australia, New Zealand, Turkey and the Philippines. Wageningen: Wageningen Livestock Research, 2019. http://dx.doi.org/10.18174/475497.

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