Tesi sul tema "Disclosure of information Law and legislation Australia"
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Golding, Greg. "The reform of misstatement liability in Australia's laws". Connect to full text, 2001. http://setis.library.usyd.edu.au/adt/public_html/adt-NU/public/adt-NU20040206.161344/index.html.
Testo completoCupido, Robin Vicky. "Misrepresentation by non-disclosure in South African law". Thesis, Stellenbosch : Stellenbosch University, 2013. http://hdl.handle.net/10019.1/80261.
Testo completoBibliography
ENGLISH ABSTRACT: This thesis investigates the approach to non-disclosure as a form of misrepresentation in South African law. The primary focus is the question of liability, and whether parties should be able to claim relief based on non-disclosure. In order to determine this, attention is also paid to the standards which have traditionally been employed in cases of non-disclosure, and it is questioned whether a general test can be formulated which could be used in all such instances. The point of departure in this discussion is a general historical and comparative overview of the law relating to non-disclosure. This overview places the position in modern South African law in context, and highlights some of the similarities between our current position regarding non-disclosure and the position in other jurisdictions. The overview also sets out the provisions relating to non-disclosure in international legal instruments, which could be of use in interpreting concepts used in our law. The study then shifts to an exploration of the specific situations, such as the conclusion of insurance agreements, or agreements of sale involving latent defects, where South African law automatically imposes a duty of disclosure. These instances are the exception to the general rule against imposing duties of disclosure on contracting parties. The study reveals that certain principles are applied in more than one of these exceptional cases, and attention is paid to each in order to determine which principles are most prevalent. It is suggested that the nature of the relationship between the parties is the underlying reason for always imposing duties of disclosure in these circumstances. Attention is then paid to the judicial development of the law relating to non-disclosure, specifically in those cases which fall outside the recognised special cases referred to above. The remedies available to a party when they have been wronged by another’s non-disclosure are identified and investigated here, namely rescission and damages. A distinction is drawn between the treatment of non-disclosure in the contractual sphere and the approach taken in the law of delict. The different requirements for each remedy are explored and evaluated. A detailed examination of the key judgments relating to non-disclosure shows us that the judiciary apply similar principles to those identified in the discussion of the exceptional instances when deciding to impose liability based on non-disclosure. Reliance is also placed on the standards set out in the earlier historical and comparative discussion. The most prevalent of these standards are the nature of the relationship between the parties and the good faith principle. It is then considered whether all of these principles and elements could be used in order to distill one general standard that could be used to determine whether non-disclosure could give rise to relief. The conclusion is drawn that it may not be advisable to adopt such a standard, and that the seemingly fragmented treatment of non-disclosure in South African law thus far has enabled its development and will continue to do so. A number of key considerations have been identified as possible standards, and these considerations can be applied by the judiciary on a case by case basis.
AFRIKAANSE OPSOMMING: Hierdie tesis ondersoek wanvoorstelling deur stilswye in die Suid-Afrikaanse kontraktereg. Die primêre fokus is op wanneer stilswye aanleiding gee tot aanspreeklikheid, en watter remedies daaruit voortvloei. Om dit vas te stel, word aandag geskenk aan die standaarde wat tradisioneel gebruik word in gevalle van stilswye, en word veral bevraagteken of 'n algemene toets formuleer kan word wat in al sulke gevalle toepassing sou kon vind. Die ondersoek begin met ‘n algemene historiese en regsvergelykende oorsig, wat die konteks verskaf vir die analise van die posisie in die moderne Suid-Afrikaanse reg, en ooreenkomste tussen hierdie posisie en die benadering in ander jurisdiksies na vore bring. Die bepalings van sekere internasionale regsinstrumente wat spesifiek met stilswye handel, word ook ondersoek om te bepaal hulle van nut kan wees by die uitleg van konsepte wat in die Suid- Afrikaanse reg gebruik word. Die fokus van die studie verskuif dan na spesifieke, uitsonderlike gevalle waar die Suid- Afrikaanse reg outomaties ‘n openbaringsplig tussen partye erken. Prominente voorbeelde is versekeringskontrakte en koopkontrakte waar die merx ‘n verborge gebrek het. Hierdie gevalle is uitsonderings op die algemene reël dat kontrakspartye nie openbaringspligte het nie. Dit kom voor dat sekere gemeenskaplike beginsels van toepassing is in sekere van die uitsonderingsgevalle, en dit word ondersoek hoekom hierdie beginsels gereeld na vore tree. Dit word ook voorgestel dat die aard van die verhouding tussen die partye die onderliggende rede is waarom ons reg openbaringspligte in hierdie spesifieke omstandighede oplê. Aandag word dan geskenk aan die regterlike ontwikkeling van die regsposisie ten opsigte van stilswye in gevalle wat nie by een van die bogenoemde erkende uitsonderings tuisgebring kan word nie. Die remedies beskikbaar aan partye wanneer hulle deur ‘n ander se stilswye benadeel is, word hier geïdentifiseer en ondersoek. Hierdie remedies is die kontraktuele remedie van aanvegting (moontlik gevolg deur teruggawe) en die deliktuele remedie van skadevergoeding. ‘n Onderskeid word ook getref tussen die hantering van stilswye in die kontraktereg en die benadering wat in die deliktereg gevolg word. Aan die hand van hierdie onderskeid word die vereistes vir albei remedies bepreek. Die belangrikste uitsprake van die howe in gevalle wat nie by die spesifieke, uitsonderlike kategorieë tuisgebring kan word nie, word dan oorweeg. Dit is duidelik dat die howe in die konteks van hierdie residuele gevalle soortgelyke beginsels geïdentifiseer het as dié wat voorgekom het by gevalle soos versekering en koop. Uit hierdie uitsprake blyk dit ook duidelik dat die howe ag slaan op soortgelyke standaarde as dié wat in die historiese en vergelykende oorsig na vore getree het. In dié verband is die aard van die partye se verhouding en die goeie trou beginsel veral prominent. Ten slotte word oorweeg of die beginsels en elemente wat hierbo geïdentifiseer is, gebruik kan word om ‘n algemene standaard te ontwikkel wat gebruik sal kan word om te bepaal of ʼn openbaringsplig ontstaan. Die gevolgtrekking word bereik dat so ‘n algemene standaard nie noodwendig die beste oplossing is nie. Die oënskynlik gefragmenteerde hantering van stilswye in die Suid-Afrikaanse het tot dusver tog regsontwikkeling bevorder, en sal waarskynlik ook voortgaan om dit te doen. ʼn Aantal kernoorwegings kan wel geïdentifiseer word, wat dan sou kon dien as moontlike standaarde wat regsontwikkeling verder sou kon bevorder, en wat deur die howe toegepas sou kon word na gelang van die spesifieke omstandighede van elke saak.
Lehmann, Caron Mary. "An evaluation of the time frame of the disclosure process in the evidence of 97 child witnesses in cases in the Belville sexual offences court". Thesis, Nelson Mandela Metropolitan University, 2010. http://hdl.handle.net/10948/1279.
Testo completoLin, Devin Sen, e 林森. "Regulation of sales descriptions and information disclosure in off-plan sales in Hong Kong". Thesis, The University of Hong Kong (Pokfulam, Hong Kong), 2012. http://hub.hku.hk/bib/B50491283.
Testo completo廖志漢. "論澳門保密制度的刑事立法保護及其完善". Thesis, University of Macau, 2012. http://umaclib3.umac.mo/record=b2537980.
Testo completo錢程. "中國海上保險法中告知義務與英美法系最大誠信原則下相關內容之比較". Thesis, University of Macau, 2005. http://umaclib3.umac.mo/record=b1643664.
Testo completoHonigsberg, Colleen Theresa. "The Surprising Benefits of Mandatory Hedge Fund Disclosure". Thesis, 2016. https://doi.org/10.7916/D83T9HFP.
Testo completoBagwandeen, Lynelle. "A critical analysis of the role of disclosure in strengthening corporate governance and accountability". Thesis, 2010. http://hdl.handle.net/10413/5565.
Testo completoThesis (LL.M.)-University of KwaZulu-Natal, Durban, 2010.
"Market supervision by Hong Kong regulators on disclosure of interests and insider dealing". 1999. http://library.cuhk.edu.hk/record=b5889471.
Testo completoThesis (M.B.A.)--Chinese University of Hong Kong, 1999.
Includes bibliographical references (leaves 92-95).
ABSTRACT --- p.iv
ACKNOWLEDGEMENT --- p.v
TABLE OF CONTENTS --- p.vi
Chapter
Chapter I. --- INTRODUCTION --- p.1
Objectives of Securities Regulations --- p.3
Regulatory Framework of the Hong Kong Securities Market --- p.5
Objectives of This Study --- p.6
Methodology --- p.7
Chapter II. --- DISCLOSURE OF INTERESTS --- p.8
Development of Securities (Disclosure of Interests) Ordinance in HK --- p.8
Disclosure of Interests in Shares --- p.9
Commentary --- p.17
Recommendations --- p.23
Chapter III. --- INSIDER DEALING --- p.29
Development of Securities (Insider Dealing) Ordinance in HK --- p.29
Overview of the Supervision of Insider Dealing Activitiesin Hong Kong and Singapore --- p.30
Circumstances of Insider Dealing --- p.32
Consequences of Insider Dealing --- p.36
Case Studies --- p.39
Commentary --- p.51
Recommendations --- p.55
Chapter IV. --- CONCLUSION --- p.60
APPENDICE --- p.63
Appendix 1 --- p.64
Appendix 2 --- p.68
Appendix 3 --- p.72
Appendix 4 --- p.76
Appendix 5 --- p.77
Appendix 6 --- p.85
Appendix 7 --- p.90
Appendix 8 --- p.91
Appendix 9 --- p.92
BIBLIOGRAPHY --- p.93
"Disclosure standards of Chinese companies: a comparative study of companies with both A and H shares Listings". Chinese University of Hong Kong, 1997. http://library.cuhk.edu.hk/record=b5889002.
Testo completoThesis (M.B.A.)--Chinese University of Hong Kong, 1997.
Includes bibliographical references (leaves 41-42).
ABSTRACT --- p.ii
ACKNOWLEDGEMENTS --- p.iii
TABLE OF CONTENTS --- p.iv
Chapter
Chapter I. --- INTRODUCTION --- p.1
Purpose of Study --- p.3
Chapter II. --- METHODOLOG --- p.4
Approach --- p.4
Time Horizon Covered in the Paper --- p.5
Assumption --- p.5
General Problems of Studies in China --- p.5
Chapter III. --- CHINESE SHAREHOLDING REFORM AND OPERATING ENVIRONMENT --- p.6
Chinese Legal System --- p.6
Hong Kong Stock Market - H Shares Profile --- p.7
Chinese Stock Market - A Shares Profile --- p.8
Chapter IV. --- THEORIES RELATED TO STOCK MARKET REGULATION --- p.12
Market Failure Theory --- p.14
Public Choice Theory --- p.15
COMPARATIVE ANALYSIS --- p.17
Information Disclosure Related to Important Transactions --- p.18
Information Disclosure Related to Takeover and Merger --- p.20
Financial Information --- p.23
Disclosure of Directors' and Substantial Shareholders' Interests --- p.24
Chapter V. --- EVALUATION --- p.25
Depth and Breadth of Information --- p.25
The Quality of Information --- p.26
Difficulties that Issuers Confront --- p.27
Cultural Influence --- p.27
Lack of Motivation --- p.28
Lack of Education and standards --- p.28
The Importance of Information in a Speculative Market --- p.29
Nature of Reform --- p.30
Chapter VI. --- CONCLUSION --- p.31
APPENDIX --- p.34
BIBLIORGRAPHY --- p.41
De, Kock Susan Yvonne. "The bank's duty of confidentiality and secrecy with reference to money laundering and terror financing legislation in South Africa". Thesis, 2015. http://hdl.handle.net/10210/14010.
Testo completoIsparta, Louise Dorothy. "The position of the whistle-blower in South African law". Thesis, 2014. http://hdl.handle.net/10500/19106.
Testo completoMercantile Law
LLD
Nkwe, Itumeleng Marcia Mamagase. "Compliance with freedom of information legislation by public bodies in South Africa". Diss., 2020. http://hdl.handle.net/10500/27338.
Testo completoIn South Africa, freedom of information (FOI) or the right of access to information (ATI) is entrenched in section 32 of the Constitution. Section 32 guarantees every citizen the right of access to any information held by the state or held by any other person that is to be used for the protection or exercise of any right. The Promotion of Access to Information Act (PAIA) is the law that gives effect to section 32 of the Constitution. Regardless of a remarkable trend towards the adoption of FOI laws globally, international trends have shown this does not automatically translate into fulfilment of people’s right to information, as access to information by citizens remains a challenging factor. This study utilised mixed method research through the explanatory sequential design to assess compliance with FOI legislation by public bodies in South Africa with the view to ensure transparency, accountability and good governance. In this regard, the study first conducted a quantitative study by analysing the reports of the South African Human Rights Commission from the reporting years 2006/07 to 2016/07 to assess compliance with sections 14, 17 and 32 of the PAIA. The compliance trends were identified and thereafter a qualitative study was conducted to answer the question why the situation was the way it was. In this regard, interviews were conducted with a purposively chosen sample from complying and non-complying public bodies. The targeted participants were records managers, deputy information officers or officials responsible for PAIA in each chosen public body. The mixing strategy for the current study was at the data analysis, presentation and reporting level. Key results suggest that over the years, there were problems in the implementation of the FOI legislation in South Africa and its use was limited. Where implementation has taken place, it has been partial and inconsistent. The responsibility for implementation of FOI legislation in most public bodies is assigned to legal departments that do not have knowledge of what records are created, where and how they are kept. With regard to compliance, in terms of the degree of comparison, the situation was better in national departments, worse in provincial departments (with full compliance from the Free State, Limpopo, Western Cape and, to some extent, KwaZulu-Natal) and worst in municipalities. The study recommends the establishment of an information governance unit to implement FOI in public bodies. This unit will also be responsible for other information functions such as records management and information technology. Failure to assign responsibility to a relevant unit would perpetuate the non-compliance with FOI legislation in South Africa. As a result, accountability, transparency and good governance preached by the public sector to advance democracy in South Africa would be a mirage. A model for the implementation of PAIA within a public body is suggested.
Information Science
M. Inf.
London, Ray William. "Comparative data protection and security : a critical evaluation of legal standards". Thesis, 2013. http://hdl.handle.net/10500/13859.
Testo completoLL. D.
London, R. W. "Comparative data protection and security : a critical evealuation of legal standards". Thesis, 2013. http://hdl.handle.net/10500/13859.
Testo completoLL.D. (Laws)
Ndeley, Martha Ebenyne. "The effect of Wikileaks on freedom of expression globally". Thesis, 2014. http://hdl.handle.net/10210/10849.
Testo completoBefore 2006, there had been some movement to expose conspiracy and injustices in government and corporate life but the emergence of Julian Assange and wikileaks would set a new standard in this kind of investigative probe into what the political leaders and heads of major corporations did behind the scenes. Assange’s initial revelations and release of incriminating documents was about to launch his debut as an ‘international man of mystery’ as people who are globally and politically curious will forever wonder what else he would reveal to the world. The first target of his disclosures was Africa then the United States but his actions would unleash a wave of leaks with corporate and government conspiracy at a volume that the world as we know it was previously unaccustomed to. Although some doubted the authenticity of his disclosures, and others criticized his methods, none doubted his right to freedom of expression as enshrined in national, regional and international instruments. Assange’s organization proposes that governments and corporations should be transparent in their dealings, and policies. Although tumultuous at first, leaks from Assange have helped expose some corrupt practices that would not otherwise have come to light. The impact of wikileaks on freedom of expression in the world has been massive and far reaching, the viral way in which the leaks spread are evidence to the fact that people have always been curious about this kind of conspiracy theories and are eager for transparency. It shows also that it is unwise to underestimate the impact that an event in one country could trigger globally. But what does it really mean to global stability and freedom of expression when one man chooses to go against conventional methods and probe into the powers that be? How will this change how the world does business in the area of what people are allowed to freely say or disclose without persecution and how this disclosure affect the laws that govern this kind of freedom of expression?
Struwig, Petrus Johannes Dirkse. "Toegang tot getuieverklarings in strafsake". 1998. http://hdl.handle.net/10500/16131.
Testo completoText in Afrikaans
In the past, witness statements obtained by or on behalf of a party to a criminal case were protected, from disclosure to the opponent, by privilege. The purpose of this dissertation is to investigate whether such claims to privilege are justified and whether openness before and during the trial is not perhaps more important to the interests of justice. The disclosure of witness statements to the defence is a commonly recognized practice all over the world. This practice enhances openness before and during the criminal trial. The arguments against and in favor of such a practice are many, but investigation into these has shown that it is in the interests of justice to disclose such statements to the defence, rather than to deny access. Furthermore, the writer investigates whether it would be in the interests of justice to compel the defence to assist the court in determining the truth.
In die verlede is getuieverklarings wat deur of ten behoewe van 'n party tot 'n strafsaak bekom is deur privilegie beskerm, teen openbaarmaking aan die teenstander. Verskeie argumente is aangevoer om die beroep op getuieverklaring privilegie te regverdig. Die doel van hierdie verhandeling is om ondersoek in te stel of sulke aansprake geregverdig is en of openheid voor en gedurende die verhoor nie meer belangrik vir die belang van geregtigheid is nie. Die openbaarmaking van getuieverklarings aan die verdediging is 'n algemeen erkende praktyk regoor die wereld. Hierdie praktyk bevorder openheid voor en tydens die strafverhoor. Die argumente vir en teen so 'n praktyk is baie en 'n ondersoek daarvan dui daarop dat dit in die belang van geregtigheid is om sulke verklarings aan die verdediging te openbaar, eerder as om toegang daartoe te weier. Die vraag is nou of dit nie ook in die belang van geregtigheid is dat die verdediging verplig word om die hof by te staan om die waarheid vas te stel nie. Ten slotte het die skrywer aan die hand gedoen dat partye tot 'n straf saak getuieverklarings gelyktydig voor die verhoor uitruil en ondersoek ingestel of so 'n praktyk in ooreenstemming met die Grondwet van Suid-Afrika 108 van 1996 kan wees.
Law
LL.M.
Njotini, Mzukisi Niven. "The verification and exchange of customer due diligence (CDD) data in terms of the Financial Intelligence Centre Act 38 of 2001". Diss., 2009. http://hdl.handle.net/10500/3202.
Testo completoJurisprudence
LL. M.