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1

Lo, Chih-Cheng. « International trade disputes in intellectual property : Taiwanese cases in the United States International Trade Commission ». Thesis, University of Manchester, 2007. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.626852.

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Section 337 of the Tariff Act in the United States International Trade Commission (USITC) has been recognised as a mechanism for further strengthening patent protection and competitiveness of US firms (Aoki and Prusa, 1993; Mutti and Yeung 1996). Section 337 has an effective deterrent, the Exclusive Order, which prohibits the imports and lor distribution of imported products based on one or more patents held by US firms that have been infringed. Several studies have shown that there is a strategic motivation behind patent litigation (Lerner, 1995; Somaya, 2003; Harhoff and Reitzig, 2004; Lanjouw and Schankerman, 2004). However, a fuller understanding of how firms react to the enforcement environment has not been fully explored. After reviewing the relevant literature in highlighting the issue of cross-border patent litigation, the contribution of this thesis is to take the viewpoint of a foreign firm from a newly industrialised country to illustrate the issue of the strategic use of trade-relevant patent protection. With this in mind, the main research questions in this thesis are as follows: (1) What issues and interactions have taken place in the trade-relevant patent dispute between Taiwan and the US? (2) What patterns of cross-border patent dispute emerge from the USITC protection mechanism involving in Taiwanese firms? (3) What are the strategic responses of Taiwanese firms to defending a lawsuit in US jurisdiction? For the empirical part of the thesis, a patent litigation dataset was constructed with records extracted from the ITC investigation achieve and LEXIS-Nelson database; and descriptive statistics were computed to uncover the overall patterns of Taiwanese trade-relevant patent litigations and infringed patents. The findings illustrate sharply the characteristics of Information and Communication Technologies (ICT) relevant products' competition between American and Taiwanese firms. This was particularly the case after the year 2000 as Taiwanese firms became involved in patent infringement cases as direct defendants rather than as a third party as occurred in the 1980s and 1990s. Specifically, half of the infringed patents in Section 337 investigation cases were located in the classifications of computer hardware and semiconductor devices. Further empirical studies to evaluate how Taiwanese firms respond to the risk of litigation and its various impacts reported is based on a research design that combined insights gained from interviews with in-depth case studies. Following an analysis of interviewee responses, potential impact of US patent disputes of two significant USITC investigations associated with Taiwanese firms were analysed using firm level performance data. The findings appear to support those from other empirical literature about the industry-specific importance of a patent. The case studies illustrate that the role of patent litigation is perceived as a strategic manipulation rather than a protection mechanism in leT industries. Finally, the finding casts doubt on the effectiveness of discriminatory regulation to protect patent rights in the US due to the distortionary effects caused by the strategic motivations of both complainant and defendant.
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McKenzie, Francine. « The Commonwealth, the United States and international trade negotiations, 1942-1948 ». Thesis, University of Cambridge, 1994. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.360845.

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3

Mathieu, Josue. « Fighting unfair trade, leveling the playing field, enforcing trade rights. The construction of trade protection in the United States and the European Union ». Doctoral thesis, Universite Libre de Bruxelles, 2019. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/284624.

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The PhD dissertation studies the construction of trade protection in the United States and the European Union. It focuses in particular on measures of contingent protection, comprising anti-dumping duties, countervailing duties and safeguards. The dissertation adopts a constructivist approach based on narrative analysis: broadening the conventional scope of political economy research on trade, the analysis combines the study of narratives with the concept of ‘discourse coalition’. The period under investigation spans over the period 2010-2014, covering the Obama Administration and the mandate of European Commissioner for trade Karel De Gucht. Adopting a comparative approach of the US and EU trade policy, the dissertation provides a detailed analysis of the US administration’s and the European Commission’s discourses on trade protection, and includes an analysis of a large array of other actors’ alternative, or competing constructions of contingent protection. The dissertation demonstrates that a specific type of unilateral enforcement plays an underestimated role in the construction of contingent protection. It also emphasizes that policy actors consider contingent protection as necessary to convince people that the trading system is fair; the research proposes the concept of ‘discursive embedded liberalism’ to account for this specific construction of trade protection. The research underlines elements of continuity and change, showing that many elements of the current crisis within the international trade regime were already in the making in the period under investigation.
Doctorat en Sciences politiques et sociales
info:eu-repo/semantics/nonPublished
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4

Milligan, Joseph E. « The determinants Of United States government policy And practice towards offsets in international trade / ». Thesis, Monterey, Calif. : Springfield, Va. : Naval Postgraduate School ; Available from National Technical Information Service, 2003. http://library.nps.navy.mil/uhtbin/hyperion-image/03Dec%5FMilligan.pdf.

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Thesis (M.S. in Program Management)--Naval Postgraduate School, December 2003.
Thesis advisor(s): Richard Doyle, Raymond Franck. Includes bibliographical references (p. 111-120). Also available online.
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5

Perone, Francesco. « Settlement of anti-dumping cases by price undertaking : the European Community and United States practice ». Thesis, McGill University, 1995. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=23963.

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The GATT Anti-Dumping Code provides that anti-dumping proceedings may be concluded without the imposition of duties if the exporters of the dumped product offer undertakings which the authorities of the importing country consider acceptable. Undertakings are, in essence, formal commitments by exporters under anti-dumping investigation to abstain from dumping or to ensure that their exports will not injure the domestic producers of the product concerned. In accordance with the GATT rules, he anti-dumping laws of the European Community and the United States contain provisions allowing the anti-dumping authorities to accept price undertakings. In practice, however, the use of undertakings in the two jurisdictions has been considerably different. This thesis analyzes and compares the law and practice of the European Community and the United States with regard to price undertakings.
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6

Wilcox, Joseph Morgan. « Trafficking in women : International sex services ». CSUSB ScholarWorks, 2005. https://scholarworks.lib.csusb.edu/etd-project/2754.

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This research looks to identify precursors to women becoming involved in trafficking for prostitution and/or sexual services in the United States. The failure to find patterns or trends regarding why women are trafficked or what types of women are trafficked most often, helps dispel some myths regarding the stereotypical victim of trafficking.
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7

Milton, Thomas James. « The effects of international trade on income inequality in the United States, 1979-1992 ». ScholarWorks, 1995. http://scholarworks.waldenu.edu/hodgkinson/3.

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The primary purpose of this study was to find out if international trade was a cause of the increase in income inequality that occurred in the United States after 1979. The secondary purposes were to test the predictions of international trade theory regarding the effects of trade on income distribution within nations and to see if trade is a cause of diverging productivity growth between economic sectors. The general hypothesis was that international trade affects income inequality through its effects on wage structure and employment structure. With the relationship between income inequality and the labor market variables established by definition, the general hypothesis had to be tested only for possible relationships between the labor market variables and trade variables. Specific hypotheses, based on trade theory, were used to examine such relationships with quantitative data from government sources and statistical methods of data analysis. The results supported the general hypothesis, indicating that international trade contributed to changes in wage structure and employment structure that increased income inequality from 1979 to 1992. The results indicated that trade performance affected the labor market variables through its effects on product demand, rather than through its effects on productivity. The results supported an alternative hypothesis that industry productivity affects trade performance. At the same time, the results indicated that trade raised the average level of productivity for the trading sector, thereby increasing the productivity gap between this sector and the nontrading sector. The results further indicated that technology affected wages through its effect on trade performance. Generally, the results supported the main predictions of international trade theory as well as some modified predictions regarding the effects of trade on income distribution within nations. The policy implication of this study is that as U.S. trade shifts toward developing countries, its effects on income inequality will accelerate, resulting in a more widely polarized society. Instead of trying to prevent these effects by reimposing trade barriers, the government should try to remedy them by supporting a private sector system of retraining and job placement. This system would be financed by a national tax on consumption.
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8

Shen, Chyi. « Great power trade competition in East Asian markets / ». free to MU campus, to others for purchase, 2000. http://wwwlib.umi.com/cr/mo/fullcit?p9988699.

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9

Larivee, David Rene. « The interaction between foreign direct investment and voluntary export restraints : with an application to the United States automobile industry ». Thesis, University of Oxford, 1992. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.333358.

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10

Cartwright, Madison Karl. « State, market, and corporate power in the international political economy : The case of copyright standard setting by the united states, 1980 to today ». Thesis, The University of Sydney, 2018. http://hdl.handle.net/2123/19835.

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Intellectual property, including copyright specifically, has been a cornerstone of the United States’ (US) international trade policy over the past three decades at the bilateral, regional and multilateral level. Meanwhile, the past three decades has also been a period of intense disruption of copyright law due to the emergence of new technology. This includes home-taping devices, the internet and online file-sharing services. In response, the US’s domestic laws on copyright have also changed dramatically during this time. Applying a historical institutionalist analysis, this thesis examines how processes of domestic institutional change on copyright influenced, and were influenced, by the US’s international trade agenda. In particular, it analyses how the emergence of new technology changes the balance of power between local commercial interests and their preferences, and the impact this has on state preferences in international negotiations. However, the thesis does not limit its analysis to copyright owning interests such as film studios and software publishers. It also includes the commercial interests behind these new technologies themselves. Additionally, the thesis does not accept that the discursive strategies of these interests were pivotal in making copyright a major trade priority, or that they determine state preferences through institutional capture of the US’s trade negotiator’s office. Instead, the thesis argues that it is the confluence of commercial interests and state interests, particular on economic nationalist and security grounds, which has determined the international negotiating agenda of the US. As a result, the US international copyright standard setting efforts have been determined by a combination of the state’s economic nationalist and security interests, and how these align with those of local commercial constituents. US preferences have thus evolved with changes in these state and commercial interests due to new technology, and shifting power asymmetries in the international political economy. This approach is referred to as ‘embedded nationalism’.
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11

Mobula, Meta Lidoga. « The impacts of United States agricultural policies on the world price of corn ». Diss., The University of Arizona, 1989. http://hdl.handle.net/10150/184724.

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The US government has been actively involved in the production and trade of agricultural products in the world market. Corn as an agricultural product has not been spared. The minimum price for corn has been set above the domestic and world market prices. Such pricing policies have naturally generated surpluses that have been traded in the world market at subsidized prices. At times, the US has used acreage control policy to help reduce the level of excess supply. Price and income subsidies also have been used to complement acreage control policy when surpluses are immense. The empirical results have shown that these interventions have impacted on the world price of corn and subsequently on the foreign exchange earnings of the competing exporting countries. However, the issue of how significant these instabilities have been still remains and is more of a normative issue. The measure of the opportunity costs of these policies has provided an idea of the size of compensation to the competing countries of Argentina and Thailand. The last part of the dissertation investigates on the possible effects of the US policies on the behavior of Argentina and Thailand. The results obtained cannot confirm nor reject the premisses of US policies' harmful impacts. Such inconclusive outcome may be tied back to the inconsistency of the trading policy setting in Argentina and Thailand. Based on economic theory, suggestions have been made regarding the establishment of international stabilization and compensatory schemes to help move the world corn economy toward a Pareto optimal production level.
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12

Das, Kartik. « American Trade Influence : Across Foreign Markets, Exports to the United States, Not Total Exports, Drive Stock Returns ». Scholarship @ Claremont, 2015. http://scholarship.claremont.edu/cmc_theses/1207.

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This paper explores the relationship between lagged stock returns and export growth in a panel of worldwide markets. Previous studies have focused on analyzing the effect of future economic output growth on stock returns. This study finds that annualized changes in a foreign country’s exports to the United States five to seven years in the future, defined as long-term, positively predict the annual stock market returns while the nation’s total export changes are already priced-in. An additional percentage point increase in long-term exports to the United States growth results in a 0.1 to 3.5 percentage point rise in annual stock returns. However, both growth in total exports and those to the United States do not predict equity returns over the short-term, defined as average annual growth from year 0 to year 4. Thus, establishing a foothold and cracking the highly competitive and homogeneous United States market is not guaranteed and unpredictable, requiring 5 years of investments before successful foreign firms are able convert it into earnings. Alternatively, investors may be shortsighted, uninformed, and pay limited attention about a foreign country’s exports to the United States beyond their forecast horizon, for example, five years. Moreover, the analysis finds that GDP growth at both the foreign country and United States level does not affect lagged foreign stock returns and could be priced-in, unlike long-term growth in the nation’s exports to United States.
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Dulude, François. « Le libre-échange Canada-Etats-Unis : l'importance du contexte international et la complexité du support social ». Thesis, McGill University, 1995. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=23211.

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Many analyses from the New Political Economy (NPE) perceive the Free Trade Agreement (FTA), either from the narrow angle of Canada-United States relationship, or as the result of pressures from dominant monolithic social forces. The present thesis offers a different angle of analysis by demonstrating the importance of the international context in shaping changes in domestic politics such as those relating to the FTA. The thesis also puts emphasis on the complexity of social support and political bargaining that resulted in the adoption of the FTA.
Building of Peter Gourevitch's framework, which evaluates the impact of international crises on domestic politics, the thesis focuses on five possible factors that could explain the free trade outcome. Firstly, constraints and opportunities arising from the international system are assessed to evaluate if the government might have adopted the FTA to protect the "raison d'Etat": it rather appears that it is through the mediation of social actors that the post 1970 international crisis was felt. Secondly, a sectorial analysis finds that two coalitions, each one with two sets of preferences, were opposed on the FTA issue. Thirdly, the role of intermediate associations (business groups, unions and farmers associations) is assessed to see if their impact went beyond the sectorial interest they defended. Fourthly, the influence of economic ideologies is analyzed. Fifthly, the state structure is taken into account to show essentially that the Mulroney government had a double and complementary agenda with the FTA and the Meech Lake negotiations, both of which had a degree of independence from domestic economic and social pressures. (Abstract shortened by UMI.)
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14

Mead, Amber. « Assessing the Integration of Domestic Fair Trade into Consumer Food Cooperatives in the United States ». OpenSIUC, 2011. https://opensiuc.lib.siu.edu/theses/585.

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The Domestic Fair Trade (DFT) movement is based on the idea that family farms and small-to -mid-scale farms in the global north are facing many of the same pressures that producers in the global south are facing. Therefore, those participating in food, fiber, and fuel systems in North American should also benefit from fair trade practices. Through the formation of the Domestic Fair Trade Association in the United States, there are now a variety of stakeholders that have come together to find a viable and progressive solution to issues related to fair prices and wages, human rights, environmentally harmful agricultural practices, and food safety and traceability through the framework of fair trade. This study examines how the Domestic Fair Trade movement has been realized in one of the participating groups of stakeholders; consumer food cooperatives. Five cooperatives are assessed to determine their experiences with integrating Domestic Fair Trade into their business practices. Research includes interviews with co-op managers, surveys taken by co-op shoppers, and document analysis of Domestic Fair Trade Association meetings. The research methods provide insight into how DFT intersects with this group of stakeholders and how their experiences relate to what is being discussed at the organizational level of DFT. The research reveals that with the help of the DFTA and the ongoing participation of its members, the United States DFT movement has the potential to create ethical linkages within the food system.
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Kei, Wendy Wai Yee. « Exploring the linkages between Open Skies agreements signed by the United States and international trade development ». Thesis, University of British Columbia, 2011. http://hdl.handle.net/2429/30817.

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This paper uses panel regression techniques and trade gravity models to explore the linkages between Open Skies agreement (OSA) signed by the United States and recent bilateral trade development. US bilateral trade in services data is not available; thus only US merchandise trade by air data is used as dependent variable in this paper’s econometric analysis. US merchandise trade by air series has not experienced significant growth since the implementation of numerous Open Skies agreements in 2007. Few studies have analyzed the relationship between OSAs and trade. These provide the motivation for exploring if signing more Open Skies agreements continues to benefit recent US merchandise trade by air development, and if the performance of these policies depends on other macroeconomic factors and on the properties of the agreement itself. Using data between years 2004 and 2009, panel regression models suggest that the performance of Open Skies agreements are not robust to market volatilities. Reductions in air cargo costs and expansions of air markets resulting from OSAs are not strong enough to combat trade declines when the recession hits. On the other hand, free trade agreements exert large, positive influences to US trade by air even during times of economic slowdown. Yet, the duration of the Open Skies agreements and the economic power of the trading partners do influence the performance of these policies. The preferred model specifications are different for exports and imports by air data, which confirms that the performance of OSAs on exports is different from that on imports. Finally, model results indicate that the impact of Open Skies policies on passenger traffic flows indirectly improves US trade by air figures. OSAs have stimulated passenger traffic growth, and model results suggest that lagged passenger traffic is positively related to trade value. Increased business travel opportunities conducted prior to the delivery of the goods help lower information asymmetries and develop trust among the supply chain partners. Combination of these effects aids expansion of trade by air, as well as trade by other modes of transportation.
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Boodhoo, Niala. « The United States and the politics of trade : the banana war with Europe and the Caribbean ». FIU Digital Commons, 2000. http://digitalcommons.fiu.edu/etd/1729.

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This thesis examines the involvement of the United States in the decade-long trade dispute before the World Trade Organization (WTO) over the European Union's preferential banana regime. Washington's justification for bringing this case to the WTO comes from Section 301 of the U.S. trade act, which allows for disputes to be undertaken if U.S. "interests" are violated; however, this is the first case ever undertaken by the United States that does not directly threaten any American banana industry, nor affect any American jobs. Why, then, would the United States involve itself in this European-Caribbean-Latin American dispute? It is the contention of this thesis that the United States thrust itself headlong into this debate for two reasons: domestically, the United States Trade Representative came under pressure, via the White House and Congress, from Chiquita CEO Carl Lindner, who in the past decade donated more than $7.1 million to American politicians to take the case to the WTO. Internationally, the United States used the case as an opportunity to assert its power over Europe, with the Eastern Caribbean islands being caught in the economic crossfire. According to existing literature, in undertaking this case, the United States did as any nation would: it operated within both domestic and international levels, satisfying at each level key interests, with the overall goal of maintaining the nation's best interests.
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Mendez, Lopez Carlos Fradique. « Chapter 18 of the Canada-United States Free Trade Agreement : A comprehensive analysis and the NAFTA dimension ». Thesis, University of Ottawa (Canada), 1993. http://hdl.handle.net/10393/10831.

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The provisions set out in Chapter 18 of the C-U.S. FTA created a complex structure of bilateral institutions and designed a general system to assist in the avoidance and the resolution of bilateral trade disputes. In the first chapter of the thesis, I will look at the provisions of Chapter 18 in a broad context. From this departure point, I will go through the dispute management and settlement techniques available in the Agreement and the institutional structure designed for its management. I will attempt to present a systematic analysis of the overall system created in the bilateral treaty, by referring to the various aspects and features of the regime created by virtue of Chapter 18. This first part includes a detailed examination of the techniques available to the Parties, such as notification, the request for information and consultation, and the resort to arbitration and advisory panels. With respect to the institutional framework, attention will be given to the general structure and functioning of the bodies involved in the dispute resolution process. Within the second chapter, an analysis of the current status of the Chapter 18 cases establishes a background to facilitate a further evaluation of the mechanism to date. A brief and general examination of the procedural and substantive issues related to the panel experience is provided to present a global picture of the actual functioning of the dispute settlement provisions of the Agreement. Finally, in the third chapter, I will focus on the perspectives and options available to improve the dispute settlement regime, with special regard to the current process of establishing a North American Free Trade Agreement between Canada, Mexico and the United States. Once a basic analysis of the structure and the functioning of the Agreement is provided for in the two preliminary chapters, I will study the alternatives for the management of a more complex trade relationship. At this last stage of the research, I will examine the main issues embodied in a NAFTA dimension, such as the adjudicative alternative to solve international trade disputes, the formal right of individuals to become part of the process of settlement of commercial conflicts and the enhancement of a more rule-based regime to manage the broader North American framework.
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Kim, Insook. « Toshiba crisis : U.S. Congress threatens sanctions for violating COCOM regulations ». Thesis, Boston University, 1988. https://hdl.handle.net/2144/38056.

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Thesis (M.S.)--Boston University
PLEASE NOTE: Boston University Libraries did not receive an Authorization To Manage form for this thesis or dissertation. It is therefore not openly accessible, though it may be available by request. If you are the author or principal advisor of this work and would like to request open access for it, please contact us at open-help@bu.edu. Thank you.
This case study explores how Toshiba Corporation, a Japanese electronics company, managed the crisis caused by its subsidiary. Toshiba Machine Co. (TMC)'s illegal exporting activities to the Soviet Union. Between 1981 and 1984, TMC sold eight military sensitive machine tools to the Soviet Union. It was a violation of COCOM (Coordinating Committee on Export Controls) regulations that monitor the sales of sensitive military equipment to the Communist countries. Because the sales allegedly damaged the U.S. national security, the Congress accused TMC as well as its parent company, Toshiba, and threatened sanction to ban importing an Toshiba products. How did Toshiba identify and confront the crisis? What was the impact and the effect of tactics and strategies employed by Toshiba? The major discussions focus on Toshiba's crisis management efforts. This study is based on articles from American and Japanese newspapers and magazines as well as documents and news releases obtained from Toshiba. Furthermore, interviews with two managers of Toshiba's public communications office, one in charge of domestic and the other in charge of overseas public communications, were conducted in order to get Toshiba's insights and perspectives towards the crisis. The results of this study show some influential factors which arise from the diversity of infrastructures and characterize the public relations strategies of a Japanese company manufacturing its product in the United States. Moreover. the interdependency of the multinational corporations is clarified through the study.
2031-01-01
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Butler, David Alan. « Does "independent" mean "free from influence?" : Escape clause decision making at the United States International Trade Commission / ». New York [u.a.] : Garland, 1995. http://www.gbv.de/dms/spk/sbb/recht/toc/278509002.pdf.

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Horne, Cynthia Michalski. « Are NMEs our enemies ? : non-market economies and western trade policies / ». Thesis, Connect to this title online ; UW restricted, 2001. http://hdl.handle.net/1773/10703.

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Base, Jessica. « Using International Trade as an Economic Development Tool : A Case Study Analysis and Applied Framework for Cleveland, Ohio ». University of Cincinnati / OhioLINK, 2010. http://rave.ohiolink.edu/etdc/view?acc_num=ucin1277123604.

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Mendoza, Choque Luis Enrique. « Main Labor Breaches of the Peruvian State in the Framework of the Free Trade Agreement with the United States ». Derecho & ; Sociedad, 2017. http://repositorio.pucp.edu.pe/index/handle/123456789/118733.

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The following article begins with the old and close relationship between labor rights and international trade, a relationship that has become more important given the creation of new instruments, mechanisms and sanctions. The labor chapter of the Peru-US Trade Promotion Agreement and its application can be analyzed from different perspectives. The following article sets its focus on three distinct facets: the principle of progressivity of social rights; the legal nature of free trade agreements; and two of the current promotional labor regimes in Peruvian legislation. The article references two complaints of non-compliance with the labor chapter presented by Peruvian unions during the period since the Free Trade Agreement entered into force. Finally, the report presents conclusions that aim to contribute to the debate on this subject.
El siguiente artículo parte de antigua y cercana vinculación entre Derecho del Trabajo y el comercio internacional, relación que en los últimos años ha recobrado importancia debido a la aparición de nuevos instrumentos, mecanismos y sanciones. El contenido laboral del TLC con los Estados Unidos y su aplicación se pueden analizar desde distintos ángulos, en el siguiente trabajo nos limitaremos a estudiarlo a la luz de tres elementos: el Principio de Progresividad de los derechos sociales, la naturaleza jurídica del TLC y dos de los regímenes laborales promocionales vigentes en la legislación peruana. Los incumplimientos a los que haremos referencia son los referidos a las dos quejas presentadas por organizaciones sindicales peruanas en el marco de los mecanismos de cumplimiento del TLC. Finalmente, se presentan algunas conclusiones que pretenden contribuir al debate sobre la materia.
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Sadi, Muhammad A. « International business expansion through franchising : the case of fast-food industry ». Diss., Virginia Tech, 1994. http://hdl.handle.net/10919/39038.

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The purpose of this research project was threefold: 1) to establish a set of research questions , propositions and hypotheses about the nature of international fast-food franchising; 2) to identify the distinctive strategies employed by fast-food franchise firms in foreign markets and 3) to provide a set of guidelines for managers which will assist them in dealing with the challenges of initiating and expanding a fast-food franchise system in a foreign country. A multiple-case study approach was used focusing on how U. S . franchise firms have adapted their domestic business practices to the Canadian, Japanese, and Russian Markets. Special attention was given to the degree to which their firms have modified franchise objectives, expansion strategies, marketing mix elements, control system and support services. A principal finding of this research project is that fast-food companies do in fact extend domestic franchise strategies to foreign markets when expanding internationally. However, they do make certain alterations in their domestic method of doing business. The alterations are in the areas of expansion strategies, franchise objectives, control systems and support services. These alterations do not follow a consistent pattern. They vary from country to country and from firm to firm.
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Woll, Cornelia. « The politics of trade preferences : business lobbying on service trade in the United States and the European Union ». Paris, Institut d'études politiques, 2004. http://www.theses.fr/2004IEPP0027.

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La littérature sur la politique de libéralisation internationale présuppose généralement que les entreprises dominantes sur leurs marchés domestiques s'opposent à l'ouverture aux concurrents étrangers. Ceci devrait être particulièrement vrai pour les marchés de services de réseaux, qui étaient traditionnellement gérés par des monopoles, souvent publics. Or les entreprises dominantes, s'opposent-elles vraiment à la libéralisation de leurs marchés domestiques ? Cette thèse examine le lobbying des entreprises dominantes à l'égard de la libéralisation internationale de leurs secteurs dans le domaine des services de télécommunications et de transport aérien et s'intéressant à deux pays, les Etats-Unis et l'Union européenne. Nous démontrons que ces entreprises se sont en fait exprimées en faveur de la libéralisation, à l'exception des compagnies aériennes américaines. Afin de comprendre ce soutien, nous nous interrogeons sur le poids de quatre variables qui peuvent déterminer les préférences politiques : (1) les incitations économiques, (2) les traditions réglementaires au niveau domestique, (3) le régime international qui gouverne le secteur et (4) le processus politique auquel participent les entreprises. Nous observons que les incitations économiques jouent un rôle important, mais nous soulignons également les effets du processus politique sur la formation des préférences. En particulier, nous montrons que le système à plusieurs niveaux de l'UE encourage un lobbying en faveur de la libéralisation alors que le processus américain permet des demandes politiques plus variables.
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Labre, Nathalie Sandra. « An instance of the trade between the United States and Latin America applied to the playground industry ». CSUSB ScholarWorks, 2001. https://scholarworks.lib.csusb.edu/etd-project/1960.

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This project presents the marketing strategy that should be developed in order to be successful in the Latin American market. Therefore, it is necessary to analyze the market's opportunities and threats linked to the customers/consumers expectations by using the SWOT (strengths, weaknesses, opportunities and threats) analysis.
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Petronzio, Edward. « Talking trade over wine assessing the role of trade associations, bureacratic agencies and legislative bodies in the United States-European Union and Canada-European Union wine trade disputes / ». Oxford, Ohio : Miami University, 2007. http://rave.ohiolink.edu/etdc/view?acc%5Fnum=miami1192736566.

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Colson-Duparchy, Alexia. « Bridges, hoops and pools : international film co-production : the interface between culture and trade ». Thesis, McGill University, 2002. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=78210.

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International film co-productions are sometimes thought of by the Americans as a form of financing providing the U.S. with the ability to sell works to its most important export market, Europe. Europe prefers thinking of it as way to provide its market with works that reflect European culture and ideals. This thesis questions the reality of such a statement, using the examples of the EU, the U.S. and Canada.
The author first explains the mechanism of co-production within the framework of a presentation of the methods of film financing. Follows a twofold discussion on the current nature of international co-productions, on both the international and national levels.
A considerable portion of this work examines the terms of the debate about the interplay between culture and trade. As an instrument used in the audiovisual industry, therefore strongly connected to cultural industries, international co-production is indeed an ideal model to represent the tensions existing between culture and global trade. This thesis sets international co-production up as a symbol of the interface between culture and trade.
Follows a debate on the congruity of the existing global and regional trade agreements for the protection of a culture always weaker in its diversity and propagation. With the prospect of the imminent phasing out of the sectoral exemptions allowed by the GATS, the inadequacy of the NAFTA cultural exemption and current quota policy systems, what would be best to calm down the tensions between culture and trade? Three solutions are discussed here: the New International Instrument on Cultural Diversity; a powerful competitor to the American majors such as Vivendi-Universal, and the technique of co-ventures.
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Yuvaci, Abdullah. « International Politics, Special Interests and Foreign Trade Policy : A Study of Turkish-American Textile Trade Relations ». Oxford, Ohio : Miami University, 2010. http://rave.ohiolink.edu/etdc/view?acc%5Fnum=miami1271800423.

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Giroux, André François. « The settlement of international environmental trade dispute in GATT : a case study of the European Union - United States gas guzzler tax Dispute ». Thesis, McGill University, 1994. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=26446.

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This thesis addresses the issue of international trade and environmental protection, more particularly within the framework of the GATT dispute settlement system. In May 1993, the European Union took issue with the U.S. taxes on automobiles aimed primarily at environmental concerns. The European Union claims that the gas guzzler tax, the luxury tax and the corporate average fuel economy (CAFE) payment are discriminatory and therefore contrary to the principles of GATT Article III.
The study of this dispute and the prospective analysis of its outcome show that both the gas guzzler tax and the luxury tax do not constitute a violation of the General Agreement. However, the CAFE payment violate the national treatment obligation and is not justified under the GATT general exceptions. The CAFE payment, despite that it is primarily aimed at fuel conservation, constitute a means of arbitrary and unjustifiable discrimination.
The outcome of this dispute confirms the permissiveness and limits of the GATT rules toward legitimate environmental policies.
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Mills, Jason. « Sino-American economic relationship after the global economic slowdown ». Thesis, Georgia Institute of Technology, 2010. http://hdl.handle.net/1853/33994.

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The continued funding of America's persistent trade and fiscal deficits has sparked debate among international economists. One controversial explanation argues that East Asia is pursuing "Bretton Woods II" and funding American deficits as part of a greater development policy. This paper examines the Chinese policy response to the global economic crisis and finds that China's policy actions provide evidence for "Bretton Woods II." Furthermore, the Sino-American relationship is now characterized by codependence which has implications for the policy decisions of each country.
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Wagner, Donald Mark. « Essays on the mobility of goods and people ». Thesis, National Library of Canada = Bibliothèque nationale du Canada, 2000. http://www.collectionscanada.ca/obj/s4/f2/dsk1/tape2/PQDD_0018/NQ56638.pdf.

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32

Valúchová, Kristína. « Přístupy členských zemí k NAFTA (s důrazem na pozici Mexika) ». Master's thesis, Vysoká škola ekonomická v Praze, 2011. http://www.nusl.cz/ntk/nusl-113570.

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This diploma thesis deals with the North American Free Trade Agreement. The aim of this work is to describe and evaluate the importance and impact of developing country and two developed economies of Canada and the United States on the Mexican economy. I deal with trade relations within NAFTA (Mexico - U.S. and Mexico - Canada). I analyze international trade of Mexico. The result of the thesis is to evaluate the impact of NAFTA to the Mexican economy with an emphasis on economic relations with other member states.
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Kimura, Keiki 1955. « An analysis of the Japanese voluntary export restraint upon automobiles to the U. S. and Canada : an investigation of its impacts upon international, bilateral and domestic legal frameworks for safeguard measures ». Thesis, McGill University, 1985. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=65419.

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Larson, Aron N. « The Effects of NAFTA and Domestic Reforms on the Development of Mexico’s Agriculture Sector ». Scholarship @ Claremont, 2014. http://scholarship.claremont.edu/cmc_theses/926.

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For my thesis, I analyze effects of recent political developments on the development of Mexico’s agriculture sector. In 1994, Mexico joined NAFTA, sparking major change in many of Mexico’s major industries as a result of lifted trade restrictions. In addition to joining NAFTA in 1994, Mexico has implemented domestic programs over the last thirty years with the goal of expanding its agriculture sector. While some of the effects of Mexico’s domestic policies are concurrent with the effects of NAFTA, I separately evaluate the effects of NAFTA and these domestic agriculture policies. Specifically, I analyze the effects of these political developments on Mexico’s agricultural sector by evaluating changes to the trade balances of four major categories of commodities: vegetables, fruits & nuts, dairy and cereals. I compare the changes to Mexico’s trade position with the changes to trade positions of a selected group of six countries, which I call the “comparison countries.” The trade data covers the time period of 1975-2012, enabling the analysis to adequately evaluate the changes to trade “before and after” these political developments intervened. I find that NAFTA had mixed effects on Mexico’s agriculture sector’s development. Some commodities experience growth and increased exports to NAFTA countries, suggesting that NAFTA effected these industries positively. On the other hand, I find that NAFTA marred the development of other commodities as a result of domestic policies in the US distorting trade. Finally, I find that the effects of Mexico’s domestic programs either aided in the growth of some commodities or simply enabled producers to remain in the competitive NAFTA markets.
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Douglas, Aaron Jack 1940. « THE ECONOMIC DETERMINANTS OF U.S.A. SOFTWOOD LOG EXPORTS FROM THE PACIFIC NORTHWEST REGION TO JAPAN ; INTERNATIONAL ECONOMIC COOPERATION IN THE POSTWAR ERA (INVESTMENT, REGRESSION, ECONOMETRIC, CAPITAL, ELASTICITY, UNITED STATES) ». Thesis, The University of Arizona, 1986. http://hdl.handle.net/10150/275573.

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Matinyenya, Patience. « South frica’s non-ratification of the United Nations convention on Contracts for the International Sale of Goods (CISG), wisdom or folly, considering the effect of the status quo on international trade ». University of the Western Cape, 2011. http://hdl.handle.net/11394/2926.

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Magister Legum - LLM
The United Nations Convention on Contracts for the International Sale of Goods 1980 (CISG) seeks to provide a standard uniform law for international sales contracts. This research paper analyses the rationale behind South Africa’s delay in deciding whether to ratify the CISG, and its possible effect on trade with other nations. The CISG drafters hoped that uniformity would remove barriers to international sales thereby facilitating international trade. Ratification of the convention is only the beginning of uniformity; uniformity must then be extended to its application and interpretation. Not all countries have ratified the Convention yet they engage in international trade in goods: this state of affairs presents challenges since traders have to choose a national law that applies to their contract where CISG does not apply. This takes traders back to the undesirable pre-CISG era. On the other hand, those States that have ratified the convention face different challenges, the biggest one being a lack of uniformity in its interpretation. The problem of differing interpretations arises because some CISG Articles are vague leading to varied interpretations by national courts. Further, the CISG is still largely misunderstood and some traders from States that have ratified CISG exclude it from application. South Africa can only ratify an international instrument such as the CISG, after it has been tabled before Parliament, and debated upon in accordance with the Constitution. CISG’s shortcomings, particularly regarding interpretation, make it far from certain that CISG would pass the rigorous legislative process. Nonetheless, the Constitution of South Africa requires the South African courts and legislature to promote principles of international law. The paper, therefore, examines, whether the Legislature has a constitutional obligation to ratify CISG. South Africa’s membership of the WTO requires that it promote international trade by removing trade barriers. It is, therefore, vital for South Africa to be seen to be actively facilitating international trade. Even though the trade benefits which flow from ratification are not always visible in States that have ratified the CISG, there is some doubt whether South Africa can sustain its trade relations without ratifying the CISG. The paper shows that the formation of contracts under the South African common law is very similar to formation as set out under Part II of the CISG and if the CISG were to be adopted in South Africa, no major changes would be needed in this regard. International commercial principles as an alternative to the CISG still require a domestic law to govern the contract and would, therefore, leave South African traders in the same position they are in currently, where their trading relations are often governed by foreign laws. Ratifying CISG would certainly simplify contract negotiations particularly with regard to governing law provisions. Overall the advantages of ratification for South Africa far outweigh the shortcomings of the CISG, and ratification will assist in ensuring that South African traders get an opportunity to enter the international trade arena on an equal platform with traders from other nations.
South Africa
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37

Pavese, Carolina B. « Level-linkage in European Union-Brazil relations : an analysis of cooperation on climate change, trade, and human rights ». Thesis, London School of Economics and Political Science (University of London), 2014. http://etheses.lse.ac.uk/917/.

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This thesis explores EU-Brazil relations and answers the question of why these two actors have failed to use the bilateral level of their cooperation as a platform to enhance their coordination in multilateral arenas. The thesis develops a framework to explain the linkage between levels of cooperation within a particular bilateral relationship that focuses on both agents and issues. The argument of “level-linkage” is empirically tested in three case-studies: climate change, trade, and human rights. The thesis finds that the greater the openness of a regime to influences from other levels of cooperation, the more likely level-linkage is to occur. However, level-linkage is restricted to where the approaches of the two partners towards multilateralism are compatible. Preferences for partners were also not the main constraint to the promotion of an EU-Brazil strategic partnership in multilateral arenas. Instead, as this thesis reveals, the degree of coordination in national foreign policy-making institutions is the key determinant of level-linkage. These findings support the argument that the dynamics between agents and the specificities of issues do matter in explaining the relation between bilateral and multilateral levels of cooperation. In this light, this thesis contributes to the analysis of bilateral relationships within a multi-level structure, ultimately advancing academic research in international cooperation. It also contributes to the literature on foreign policy analysis and to an emerging body of scholarship in EU-Brazil relations.
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Arrieta, Gabriel. « New Protectionism ? : The role of Free Trade Agreements in Latin America ». Politai, 2017. http://repositorio.pucp.edu.pe/index/handle/123456789/92718.

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After the accession of Donald Trump as president of the United States, the recent protectionist trade environment is guarantee that the American trade policy could affect Latin American countries, due to the importance of United States as trading partner. These policies would not only affect Latin American countries, but also their main trading partners as China, that could respond with other protectionist policies, which could lead to the beginning of a domino effect, where the biggest loser could be Latin America. Taking into account the current international context, in this article it will be making policy recommendations on Free Trade Agreement issues aimed to reducing the possible impacts of American trade policies in Latin American countries (especially, considering the recent United States’ withdraw from the Trans-Pacific Partnership deal).
Dado el reciente ambiente comercial proteccionista suscitado tras el ingreso de Donald Trump como presidente de Estados Unidos, se presenta una gran posibilidad de que las políticas comerciales que se puedan aplicar en Estados Unidos repercutan sobre los países de América Latina, dada la importancia de Estados Unidos como socio comercial. Estas políticas no solo afectarían a los países latinoamericanos, sino también a sus principales socios comerciales (i.e. China), los cuales podrían responder con mayores políticas proteccionistas; esto podría llevar al inicio de un efecto dominó donde el gran perdedor sea América Latina. Por tal motivo, tomando en cuenta el actual contexto internacional, se buscará, en el presente artículo, realizar recomendaciones de políticas en temas de Acuerdos de Libre Comercio, orientadas a reducir los posibles impactos de las políticas comerciales norteamericanas en la región de América Latina (especialmente considerando la reciente salida del Trans-Pacific Partnership).
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39

Al-Suwaidi, Ahmed A. Mohamed. « The finance of international trade in the Gulf Arab States : a comparative study between the conventional and Islamic banking systems with special emphasis on the United Arab Emirates ». Thesis, University of Exeter, 1991. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.292402.

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40

Warnholtz, Perez Edgar G. « From NAFTA to USMCA : A Comprehensive Analysis of the Forces Producing North America's Regional Trade Agreements ». Scholarship @ Claremont, 2019. https://scholarship.claremont.edu/cmc_theses/2245.

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On October 1, 2018, Mexican President Enrique Peña Nieto, U.S. President Donald Trump, and Canadian Prime Minister Justin Trudeau signed the United States-Mexico-Canada Agreement (USMCA), concluding 13 months of negotiations that concerned economies totaling 27.88% of world GDP. The recentness, magnitude, and relevance of the USMCA invokes a comprehensive analysis of the multidimensional factors that led to this agreement. Explaining the USMCA of 2018 requires insight of the continent’s political and economic forces that bound Canada, the United States, and Mexico with the North American Free Trade Agreement (NAFTA) of 1994. After doing so, this study then compiles a variety of works in a meta-analysis on NAFTA’s effects during the past 25 years. This paper finds that NAFTA achieved its intended goals, but failed to anticipate many negative repercussions for which it is criticized today. Then, this study investigates the demand for renegotiation of NAFTA which was triggered by Donald Trump calling it “the worst trade deal in history maybe ever” during his presidential campaign. However, when presenting the new USMCA to the press, he described it as a “wonderful new trade deal.” Therefore, study analyzes how different the USMCA is from NAFTA, and finds that the few changes are explained by a modernization of certain chapters to adapt the treaty to the digital era. These modifications heavily resonate the Trans-Pacific Partnership, a regional free trade agreement that included the U.S. until President Trump withdrew from it. What then results to be a rebranding of other agreements is predicted here to bring more political repercussions than economic change, as elections in Canada dawn later this year and in the U.S. in 2020. Ultimately, each party succeeded per its own renegotiation objectives; Mexico and Canada sought market penetration in the U.S., whereas the U.S. sought concessions and an end to NAFTA. Ratification of the USMCA is pending at the domestic level of each country, which this paper predicts will occur successfully, perhaps even before the end of 2019. Nonetheless, despite the modernization efforts involved in producing the USMCA, this paper questions whether the agreement equips these three member states to face the challenges of tomorrow.
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Kim, Younsik. « Challenges and opportunities for the national constitutional system in dealing with the global investment regime : a case study of the indirect expropriation doctrine and investor-state arbitration under the free trade agreement between the Republic of Korea and the United States of America ». Thesis, University of Edinburgh, 2012. http://hdl.handle.net/1842/7575.

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In 2011, Korea ratified the Korea-US Free Trade Agreement (KORUS-FTA). This treaty remains controversial in Korean society, particularly because many Koreans claim that the indirect expropriation doctrine under investor-state arbitration in the investment chapter will allow global investors to challenge governmental regulation justified by the Korean constitution. Despite such criticism, the KORUS-FTA indirect expropriation doctrine and the Korean constitutional property doctrine share more than might be expected in practice. However, this substantive doctrinal convergence between national and global legal systems does not eliminate all risks of conflict between the nation-state and global investors; conflicts can occur whenever two actors interpret the same text differently. Once an investment dispute happens, independent investor-state arbitration reviews governmental action according to independent interpretative rules. Systems theory suggests that nation-states can turn such global challenges into opportunities by taking contextual control over global investment in relying on the global investment legal system of the global investment regime. The nation-state can convince global investors that the nation-state respects transnational investment mechanisms, whilst indirectly imbuing norm-making with minimum national interest without incurring serious damage to its reputation. To be specific, the nation-state can attract more foreign investors by accepting the indirect expropriation doctrine and the investor-state arbitration respected by global investors. Simultaneously, the nation-state can secure minimum control over global investment under legitimate regulatory power reflected in the same indirect expropriation clause. In addition, the nation-state can guide the investment tribunal to secure a balance between investment protection and the regulatory power of the host state by prescribing the proportionality principle. Contextual control can be a sub-optimal choice for the nation-state in the sense that it avoids a worst-case scenario by securing proportionality and predictability. In order to make this measure more effective, the current global investment legal system needs to secure more commensurate autonomy or autopoiesis by furthering simultaneous and balanced structural coupling with a greater variety of social powers. In this context, global constitutionalism provides national constitutional tools for the nation-state; specifically, democratic participation in national treaty-making procedures and autopoietic structuralisation of the investment arbitration mechanism can make the substantive contents and application of global investment law fairer and more acceptable, not only to global investors and strong states, but also to social movements and smaller countries. In the context of the KORUS-FTA, the Korean government needs to make the treaty terms of indirect expropriation clearer through democratic participation. At the same time, the Korea should pay attention to making arbitration process reflexive to more various social interests, whilst protecting its operation from inappropriate influences. Such measures can prevent KORUSFTA tribunals from making extremely unacceptable decisions to actors of the global investment regime, including the Korean government, although they could not guarantee ideal decisions that stratify all actors perfectly.
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42

Fohler, Gernot. « Fraud in the letter of credit transaction and its possible arbitration ». Thesis, McGill University, 1999. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=30297.

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The letter of credit continues to play an indispensable role in the financing and securing of international commercial transactions. Its usefulness and efficacy derives primarily from the fact that it is independent from the underlying relationship between buyer and seller. In a considerable number of cases, however, the independence of the letter of credit has been challenged as a result of fraud in the underlying transaction. After analyzing recent reforms of the regulatory framework governing letters of credit, this fraud exception to the independence principle will be reappraised in the light of current developments in Canada and the United States. Finally, the author argues that arbitration can and indeed should play an increasingly important role in the resolution of international letter of credit disputes involving fraud in the transaction.
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43

Lalanne, Stéphane. « Aspects juridiques du commerce international des propriétés intellectuelles à l’aube du XXIème siècle ». Thesis, Paris 10, 2013. http://www.theses.fr/2013PA100120.

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Souvent perçue comme un droit d’exclure, la propriété intellectuelle est aussi un objet de commerce. Son importance croissante dans les échanges internationaux semble sous estimée. Des blocages conceptuels (matérialisme économique, idéalisme personnaliste) semblen s’opposer à son organisation. Néanmoins de plus en plus de standards et disciplines relatives aux licences et transferts de droits de propriété intellectuelles sont inclus dans les accords de commerce (ADPIC, ADPIC plus), les unions économiques régionales (UE, ALENA), accords d’investissement et fiscaux. Les pays dévelopés en particulier les États-Unis d’Amérique sont les acteurs clés de ce phénomène normatif. Il montre que la propriété intellectuelle n’est pas une simple marchandise mais un bien en capital d’abord échangeable à l’intérieur de groupes, partenariats et coopérations alternatives. Même si le droit international évoluait vers un régime plus codifié de leur commerce, les propriétés intellectuelles ne seront pas tranformées en simple droit à rémunération
Sometimes reduced to a right to exclude, intellectual property is also a tradeable item whose increasing importance in international trade seems to be underestimed. Dogmatic conceptions (economic materialism, personnalist idealism) still blocking a proper organisation of this trade. But more and more international standards and disciplines for licences and transfer of intellectual property are included in international trade agreements (TRIPS, TRIPS plus), economic régional unions (UE, NAFTA), tax and investment treaties. Developped countries specially the United States of America are key actors of this normative phenomenon. It shows that intellectual property is not just a stock commodity for the market but a strategic capital tradeable first in transnational groups, partnerships and alternative cooperations. Even if international law evolves towards a more codified regime of their trade, intellectual properties will be not transformed in simple rights for compensation
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44

Smith, Parker T. « The Rise of China : Assessing "Revisionist" Behavior in the Global Economy ». Ohio University Honors Tutorial College / OhioLINK, 2019. http://rave.ohiolink.edu/etdc/view?acc_num=ouhonors1556282376960416.

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Fitzloff, Chad L. « The limits of American labor‘s influence on the cold war free labor movement : a case study of Irving Brown and the International Confederation of Free Trade Unions in Tunisia and Algeria ». Thesis, Kansas State University, 2010. http://hdl.handle.net/2097/4187.

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Master of Arts
Department of History
David A. Graff
Michael Ramsay
In 1988, Irving Brown received the Medal of Freedom from President Ronald Reagan for playing a crucial role in breaking the hold of international communism over postwar Western Europe. By doing so, he can truly be called one of the architects of Western democracy. Brown also made extraordinary efforts to fight international Communism in French North Africa during the 1950s. This paper seeks to answer the question of why these efforts in North Africa failed, and it will show the limits of American labor‘s international influence during the Cold War, in particular in French North Africa. Irving Brown successfully strengthened anti-Communist unions in Europe, and had the financial backing of the Truman Administration for those projects. However, Brown‘s efforts to build anti-Communist trade unions in Tunisia and Algeria did not have the backing of the U.S. government under the Eisenhower Administration. Instead, the AFL-CIO, with Brown as its representative, attempted to use the non-Communist International Confederation of Free Trade Unions (ICFTU) to influence the nationalist movements of Tunisia and Algeria through their respective national unions, the Union générale tunisienne du travail (UGTT) and the Union générale des travailleurs algériens (UGTA). Disagreements within the ICFTU severely inhibited Brown‘s effectiveness and prevented him from fully realizing the AFL-CIO‘s policy goals in North Africa. Brown was overly dependent on Tunisia for his operations with the Algeria labor movement, and the ICFTU was incapable of providing adequate support to the Algerians to compete with its Communist rival, the World Federation of Trade Unions. To the extent that independent Tunisia was Western-oriented, Brown was successful in his efforts. However, in the long run, Brown failed as an architect of Western democracy, as Tunisia became a dictatorship with a socialist economy. In Algeria, the state of war forced the UGTA to turn to the Eastern bloc despite Brown‘s personal dedication to North African independence and development. Furthermore, in independence, Algeria‘s government embraced socialism and single party rule.
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46

Kuevey, Folly Kuevey. « Tariffs Eliminations and Exchange Rate Fluctuations Relationships to Trade Elasticity ». ScholarWorks, 2017. https://scholarworks.waldenu.edu/dissertations/3696.

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The enactment of the North America Free Trade Agreement (NAFTA) was intended to reduce tariffs on most goods by 2008 among Canada, the United States, and Mexico, and to create the largest regional market outside the European Union. Early research conducted to investigate the relationships between tariffs elimination and trade volume focused mainly on macrolevel effects with mixed results, without acknowledging the possible influence from exchange rate fluctuations. After 20 years, NAFTA has provided the opportunity to observe a significant reduction in tariffs between 1994 and 2013. Skepticism regarding the relationship between trade liberalization and the regional economy, and the controversy still surrounding NAFTA, suggests that other factors might influence trade, making the current study relevant. The purpose of this study was to investigate possible relationships between exchange rate fluctuations and trade volume during a period when tariffs were eliminated. This study focused on 2 basic theories of preferential trade and the exchange rate, and data were collected on imports-exports between Mexico and the United States. Regression analyses showed a relationship between exchange rate fluctuation and trade volume when tariffs are eliminated. The findings may help exporters and unions understand the implications of other factors affecting trade. The findings may also help union leaders understand how other economic factors may have implication on global economy rather than focusing solely on trade agreements, and to better strategize in addressing social issues of concern related to globalization.
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Callaway, Rhonda L. « Is the Road to Hell Paved with Good Intentions ? The Effect of U.S. Foreign Assistance and Economic Policy on Human Rights ». Thesis, University of North Texas, 2001. https://digital.library.unt.edu/ark:/67531/metadc2911/.

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Theories in the international political economy literature, economic liberalism and dependency, are explored in order to test the effect of U.S. aid, trade, and investment on human rights conditions in recipient states. Two measures of human rights conditions serve as dependent variables: security rights and subsistence rights. The data cover approximately 140 countries from 1976-1996. Pooled cross-sectional time series analysis, utilizing ordinary least squares (OLS) with panel corrected standard errors, is employed due to the temporal and spatial characteristics of the data. The results indicate that foreign assistance and economic policy may not be the best approaches to altering poor human rights practices in the area of security rights. Economic and military aid is negatively associated with levels of security rights, supporting the traditional dependency perspective. While the results from trade and investment are generally in the positive direction, the lack of consistent statistical evidence suggests that increased trade and investment relationships do not dramatically improve security rights. We can conclude, however, that trade and investment fail to have the negative effect on security rights in less developed countries which critics of globalization suggest. Economic aid has a statistically significant negative effect on subsistence rights, while military aid seems to benefit the human condition in recipient states. However, extreme negative effects on security rights accompany any benefit realized in the area of subsistence rights from military aid. Trade and investment have a positive and statistically significant effect on basic human needs providing support for the liberal perspective. It appears that American businesses and politicians can forge ahead with seemingly self-interested motivations and economic policies as American economic gain ironically serves to benefit the well being of citizens in other states. However, in spite of political rhetoric and even sincere intentions regarding foreign assistance policy, it appears that the road to human rights hell is paved with good intentions.
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Thomaz, Laís Forti [UNESP]. « As coalizões de defesa e as mudanças na política externa comercial e energética dos Estados Unidos para o etanol em 2011 ». Universidade Estadual Paulista (UNESP), 2016. http://hdl.handle.net/11449/137930.

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Fundação de Amparo à Pesquisa do Estado de São Paulo (FAPESP)
No final de 2011, o Congresso dos Estados Unidos encerrou suas atividades sem renovar os principais subsídios federais à produção de etanol, criados nos anos 1970 e ampliados nas décadas seguintes. A pesquisa demonstra que esse resultado decorreu principalmente de mudanças nas coalizões de defesa dos subsídios, embora fatores externos às coalizões também tenham contribuído. Entre os fatores internos, destacam-se alterações nas estratégias e recursos das coalizões de defesa, bem como nos interesses, percepções e valores dos membros que são autoridades legais e podem influenciar na mudança de determinado programa. Entre os fatores externos destacam-se a conquista da liderança mundial na exportação do etanol pelos Estados Unidos em 2011, mudanças de coligações de governo advindas das eleições de 2010, mudanças na opinião pública no debate sobre biocombustíveis e alimentos, surgimento de novas alternativas energéticas e decisões de outros subsistemas, como os cortes orçamentários para diminuir o déficit público. A pesquisa se apoia no quadro analítico da advocacy coalitions framework, que oferece referências adequadas para a análise de mudanças em coalizões de defesa inseridas no subsistema político. Com base nesse quadro analítico, a metodologia da pesquisa destaca: mapeamento das estratégias das coalizões, entrevistas, análise documental e do conteúdo das leis, comparação de dados relativos às eleições e votações legislativas, comportamento das coalizões, doações a campanhas e ações de lobby. Embora apoiada em dados quantitativos, a análise é qualitativa, com ênfase na compreensão dos mecanismos causais, identificando ações desenvolvidas a partir dos estímulos externos para mudança nas coalizões. As análises desenvolvidas demonstram a prevalência dos fatores internos sobre os externos na mudança de posição do Congresso sobre o etanol.
The U.S. Congress created key federal incentives for ethanol production in the 1970s and expanded them throughout the following decades. In late 2011 they ended the legislative mandate without renewing these incentives. The research demonstrates that this result was mainly due to changes in coalitions defenses incentives, although external factors have also contributed to the coalitions. Among the internal factors, we highlight changes in the strategies and resources of advocacy coalitions, as well as the interests, perceptions and values of the members who are influential legal authorities who can change a program. Among the external factors we highlight the global leader in ethanol exports, reached in 2011, coalitions of government changes arising from the 2010 elections, changes in public opinion on the debate on biofuels and food, emergence of new energy alternatives and decisions generated in other subsystems, such as budget cuts to reduce the public deficit. The research is based on the theoretical framework of advocacy coalitions framework that provides appropriate references for the analysis of changes in advocacy coalitions entered into the political subsystem. Based on this theoretical framework, the methodology of the research highlight: mapping strategies and initiatives of coalitions; document analysis and legislative content; interviews, analysis of election contributions to campaigns and lobbying during the legislative polls. Although supported by quantitative data, the analysis is based in qualitative research, with emphasis on understanding the causal mechanisms, in order to identify actions developed from external stimuli for change in coalitions. The information and analyses demonstrate the prevalence of internal factors over the external events on the position change Congress on ethanol.
FAPESP: 2012/21975-7
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Michaels, Paul J. « New England Slave Trader : The Case of Charles Tyng ». DigitalCommons@CalPoly, 2019. https://digitalcommons.calpoly.edu/theses/2083.

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Charles Tyng has been heralded as an American hero after the posthumous publication of his memoir, Before the Wind: The Memoir of an American Sea Captain, 1808-1833, in 1999. Recent research involving British Treasury report books from the nineteenth century suggest otherwise – that Tyng actively promoted and was engaged in the illicit trade of African captives. A Boston Brahmin, Tyng applied the lessons of his time at sea with Perkins & Company, the opium trading firm, to his occupation as an agent of notorious slave trading firms in Havana. This paper uses as evidence records of the captures of several vessels that implicate Tyng directly in equipping ships for the slave trade to correct the historical record and exposing a supposed hero as a predatory capitalist ignoring ethics for financial gain.
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50

Paiva, Alexandre Magno Ramos. « A contenda do algodão entre Brasil e Estados Unidos na Organização Mundial do Comércio : considerações acerca de seus efeitos para a inserção do Brasil no mundo ». Universidade Estadual da Paraíba, 2013. http://tede.bc.uepb.edu.br/tede/jspui/handle/tede/2603.

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CAPES
After the Cold War, Brazil and United States started a new phase concerning the international commerce, in which Brazil established itself as a global trader, competing with the US products in the world market, mainly in respect to the commodities sector. Cotton, an important raw-material, makes part of in this scenario, and it was the reason for the greatest contend involving the two countries. The process by which Brazil contests the American subsidies toward their local producers dates back to 2002 and had a favorable outcome to the Latin- American country in 2005, when the World Trade Organization recognized the damaging effects resulting from the American practices in the world market of this product. Afterwards, there was a retaliation plead from Brazil and its subsequent authorization, being permitted to cross-retaliate, by which Brazil could break copyrights, for instance, in its compensating efforts. The two countries, ever since, keep a dialogue agenda about the best solution to the case, with a frame-work signed in 2010. The research aims to comprehend how this contentious trespassed the limits of the countries involved, bringing about some sort of international appeal and collaborating for the Brazilian insertion in the World as a global player. The first chapter deals with the reformulation of the domestic scenario, putting the Brazilian State closer to its internal productive sectors, as well as the changings occurred in the international commerce. In the second chapter, there's en explanation about the rules which involves the OMC disputes and how the case between Brazil and USA was conducted, with special highlight for the cotton contentious. Finally, in the last chapter, it is given a major emphasis in the external scenario and how it swayed the decisions of the two contenders for achieving the up-to-date result. The Brazilian victory in the cotton dispute reveals a greater Brazilian protagonist role in the developing world and the rising of its power in the commercial discussions.
Com o final da Guerra Fria, Brasil e Estados Unidos entram numa nova fase em termos de comércio internacional, na qual o Brasil se estabelece como um global trader e passa a concorrer com os produtos norte-americanos no mercado mundial, principalmente no que diz respeito ao setor de commodities. O algodão, importante matéria-prima, se insere nesse novo cenário, e foi motivo da maior contenda envolvendo esses dois países. O processo pelo qual o Brasil contestava os subsídios concedidos pelos norte-americanos aos seus produtores locais data de 2002 e ganhou um desfecho favorável ao país sul-americano em 2005, quando a Organização Mundial do Comércio reconheceu o efeito funesto resultante das práticas norte-americanas no mercado internacional desse produto. Posteriormente, houve o pedido de retaliação por parte do Brasil e sua consequente autorização, sendo-a permitida sob a forma cruzada, ou seja, podendo envolver quebras de patentes, por exemplo, nos seus esforços de ressarcimento. Os dois países, desde então, vêm mantendo uma agenda de diálogo acerca da melhor maneira de solucionar esse contencioso, havendo um acordo sido assinado em 2010. A pesquisa visa compreender como essa contenda ultrapassou os limites dos países envolvidos, ganhando apelo internacional e contribuindo para a inserção do Brasil no mundo como um global player. O primeiro capítulo trata da reforma no cenário doméstico, aproximando o Estado brasileiro dos setores produtivos locais, bem como as mudanças ocorridas no comércio internacional. No segundo capítulo, há uma explanação sobre as regras que circunscrevem as disputas na OMC e como o caso entre Brasil e Estados Unidos foi conduzido, com especial ênfase para o contencioso do algodão. Por fim, no último, dá-se um destaque maior ao cenário externo e como ele influenciou as decisões dos dois contendores para que se chegasse ao desfecho atual. A vitória obtida pelo Brasil no contencioso do algodão aponta para um maior protagonismo brasileiro no mundo em desenvolvimento e um aumento do seu poder nos debates sobre comércio internacional.
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