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1

Burlacioiu, Cristina. "Online Commerce Pattern in European Union Countries between 2019 and 2020". Societies 13, n. 1 (22 dicembre 2022): 4. http://dx.doi.org/10.3390/soc13010004.

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The development of information technology, along with the high growth and diversification of consumer needs, has revolutionized the way in which business-to-consumer transactions occur. All this progress was boosted by the COVID-19 pandemic period in a different manner in each EU country, depending on different local aspects. The main goal of this paper is to determine the key characteristics of e-commerce in European Union countries in a pandemic context, based on Eurostat Digital Economy data for 2019–2020. Therefore, for an easier visualization, based on PCA, using 27 analyzed variables, new unique dimensions were revealed: 1. heavy online purchasers, 2. triggers for embracing digital purchasing, 3. perceived barriers against buying online (privacy concerns, security, or not having a card), 4. dynamics of online interaction with public authorities, and 5. enterprise online sharing. Moreover, clustering techniques set four groups of countries with different online commerce patterns that might require attention, according to their specificities, both from a government level and from a business perspective. Special attention is paid to Romania, which has one of the biggest e-commerce industries in Southeastern Europe, but with the share of e-commerce in total retail still quite low, despite this great increase. The models of other countries could be important in helping Romania to catch up with the most successful economies in terms of e-commerce.
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2

Lebedeva, Irina, Larisa Nоrіk e Stepan Lebedev. "Government expenditure on education in the light of the paradigm of sustainable development: Econometric spatial models and models of dynamics". Development management 21, n. 3 (5 luglio 2023): 43–56. http://dx.doi.org/10.57111/devt/3.2023.43.

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The knowledge economy is a paradigm of the post-industrial stage of the development of society, therefore research on the relationship between the level of the main economic indicators and state spending on education is relevant. The purpose of this article was to assess the impact of the main economic indicators on the state spending on education both in total and per capita. Econometric models based on spatial data as well as dynamics models were constructed, and the Goldfeld-Quandt test was performed. The study was conducted on the example of the most influential countries of the world and the member states of the European Union. It is shown that the growth of the total volume of gross domestic product and purchasing power parity is accompanied by the growth of the total volume of state education deductions and education deductions per capita. For countries with relatively low purchasing power parity, the correlation between these indicators is tight, and the dispersion of empirical data relative to theoretical data derived from the econometric model is not statistically significant. On the contrary, for countries with high purchasing power parity, the dependence between these indicators does exist, but there is a significant dispersion of empirical data relative to theoretical data. The Goldfeld-Quandt test showed that the countries that were selected for the study should be classified according to this feature to different sample populations. It was found that the volume of deductions for education per capita has little effect on the effectiveness of the educational process. Studies of the dynamics of education expenditures have shown that although Ukraine belongs to countries with a relatively low purchasing power parity and during 2015-2022 the growth rate of education expenditures significantly lagged behind the growth rate of economic indicators, the effectiveness of education remains relatively high. The obtained research results should be taken into account in practice in order to optimize the costs of financing the educational sector
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Csáki, Csaba, Clifford P. McCue e Eric Prier. "Utilizing Open Data: A Primer for Public Procurement Research". European Journal of Public Procurement Markets 1, n. 2 (dicembre 2019): 19–36. http://dx.doi.org/10.54611/lhov1465.

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Numerous open data initiatives by governments around the globe ostensibly promote better transparency and accountability, yet questions have arisen regarding the immediate usability of these datasets. This research reports on an attempt to utilize purchasing data published under the open data program of the European Union, which provides all expenditure data over certain thresholds from 33 European countries. However, the data and its informational quality as it has been published in CSV format leaves holes in trying to close that accountability gap across countries. This case study offers a recursive model which clearly conceptualizes the quality of data and information, and the research serves as a functional primer warning for users of the experientially-based issues of utilizing this and other open data. Key findings illuminate potential issues when working with open data and provide eight specific caveats on how to navigate the open data initiatives by governments.
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Bobeshko, A. V. "Emigration of Hungarians to Great Britain at the beginning of the 21st century in the context of the migration policy under the V. Orban government". Гуманитарные и юридические исследования 10, n. 2 (2023): 198–204. http://dx.doi.org/10.37493/2409-1030.2023.2.2.

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Introduction. The complex processes taking place in the European Union after Brexit and COVID-19 as well as the outbreak of conflict in Ukraine in 2022 have once again drawn the attention of the academic community and the public to the development problems of Central and Eastern Europe. One of these problems is the migration process taking place in the region and their economic, cultural and political consequences. The V. Orban government pursues a cautious policy of accepting Ukrainian refugees. Such actions are both politically and economically motivated. Materials and Methods. In the process of working on the topic, the author used the publications of Russian and foreign researchers on the Hungarian emigration, as well as historical sources, including statistical materials, documents reflecting the life of the Hungarian community in the UK and journalism. When working on the topic, the theoretical and methodological developments of migrationology in Russia and foreign countries were used. Analysis. The article raises the issue of emigration of Hungarians after the 2008 economic crisis to Great Britain, which, unlike other European Union countries, including Germany and France, pursued a liberal migration policy. The article points out that the economic recovery of the late 1990s and early 21st century slowed down emigration of Hungarians to the EU states. Therefore, it was classified as “belated migration”. The article stresses that the main reason for the emigration of Hungarians to the UK and other European Union states has been the increase in unemployment in the country since 2008 and the falling purchasing power of Hungarians at home. The coming to power of Orban’s government did not contribute to Hungarian emigration, except for a group of liberal intellectuals. The author analyses the gender, educational and regional specifics of Hungarian emigration to the UK. The article pays special attention to the peculiarities of the life of the Hungarian community in the UK, its desire to maintain contacts with the homeland and its national identity. In the conclusion of the article, the author examines the migration policy of the V. Orban government aimed at returning emigrants to the country and reducing potential emigration among Hungarians. Results. The author concludes that the actions of the Orban government did not find support among most Hungarians living in Great Britain. Part of the emigrants returned to their home country concerned about Brexit and influenced by the spread of the COVID-19 epidemic. Most Hungarians are happy with their life in the UK and do not consider returning to Hungary.
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5

Zimon, Grzegorz, Marek Sobolewski e Grzegorz Lew. "An Influence of Group Purchasing Organizations on Financial Security of SMEs Operating in the Renewable Energy Sector—Case for Poland". Energies 13, n. 11 (7 giugno 2020): 2926. http://dx.doi.org/10.3390/en13112926.

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European countries are increasingly using renewable energy. Poland is an outsider of such solutions. The Polish energy sector is primarily based on energy produced from coal. However, environmental changes and regulations of the European Union are forcing the increased use of energy from renewable sources. Renewable energy is an industry that is still developing in Poland. At the same time, Poland is a country where the political decisions of the government over the last few years have resulted in a significant limitation of the possibilities of renewable energy development. These actions have also resulted in lowering the profitability of the currently operating renewable energy enterprises, especially those from the sector of small and medium-sized enterprises. An opportunity for SMEs operating in the renewable energy sector is to merge into industry purchasing groups. The aim of the article—and at the same time the research question—is: Is it financially safer for renewable energy companies to operate within purchasing groups compared to companies operating independently in this industry? Traditional ways of purchasing can be transferred to integrated purchasing systems, which will be created by purchasing groups associating renewable energy companies. For this purpose, the financial effects of the implementation and functioning of the purchasing groups in the renewable energy sector in relation to entities operating independently were examined. In the research of renewable energy SMEs, a comparative analysis of key indicators determining the possibility of continuing the activity of these entities was made. The following indicators were examined: current financial liquidity ratio, return on sales, operating cycle, cash conversion cycle, share of receivables in current assets, share of inventory in current assets, turnover ratios, level of receivables, liabilities and profitability. The scientific literature is dominated by studies on purchasing groups in the pharmaceutical and construction industries. Thanks to the research conducted, it has been indicated that the renewable energy industry can also improve its profitability, and thus the possibility of safe continuation of operations by extending the business model to inter-entity cooperation within purchasing groups. Increasing the efficiency of individual entities of the renewable energy industry within purchasing groups becomes particularly important during the COVID-19 pandemic. Statistical analyses and their graphic presentation present the significant impact on the safety and profitability of renewable energy entities in the form of purchasing groups.
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Derevyanko, B., e O. Turkot. "LEGAL SUPPORT FOR COMPENSATION OF THE FINANCIAL LOSSES EXPERIENCED BY UKRAINIAN AGRICULTURAL PRODUCERS: ROLE OF THE STATE, THE EUROPEAN UNION, INTERNATIONAL ORGANIZATIONS". Vìsnik Marìupolʹsʹkogo deržavnogo unìversitetu. Serìâ: Pravo 13, n. 25 (2023): 5–15. http://dx.doi.org/10.34079/2226-3047-2023-13-25-5-15.

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The aim of the article is to identify the role of the state, the European Union, and international organizations in the processes of legal support for reimbursement of the financial losses experienced by Ukrainian agricultural producers because of hostilities and aggression of the Russian federation against Ukraine, and to outline prospects by analyzing the current situation, regulatory, scientific and other sources. The conducted research confirms important position of the state in providing legal support for financial loss compensation, however, proves its mainly advisory and assisting character. The government has shaped the minimum necessary legal basis regulating the order of documenting losses caused by Russian aggression to citizens and business entities. The state has also initiated the process of exemption from taxes on the property and lands which are temporary occupied, located in the zones of active hostilities, are mined or poisoned, etc. It is confirmed that the EU member-states are objectively interested in effective work of Ukraine’s AIC enterprises, because otherwise there is a hazard of migration crisis from the poorest countries of Africa and Asia. These EU states have launched a program of humanitarian mine clearance and specific aid for some regions and business entities on their area. Thus, entities of Ukraine’s AIC receive support for purchasing and repairing agricultural machinery, fuel and lubricants, seeding material, fertilizers, etc. Significant support is also provided by international organizations. The amount of aid which is provided by the government, the EU member-states and international organizations and which is intended to compensate financial losses for Ukrainian agricultural producers can be increased by the state performing as a guarantor under agreements of loan, rent, leasing, as well as by proper informing other countries and international organizations about Ukrainian AIC entities which are potential recipients of the aid. It is proposed to delegate such liabilities to local territorial communities and chambers of commerce and industry. Key words: agro-industrial complex, farmers, losses, movable and immovable property, land, military invasion, EU member-states, international organizations, humanitarian mine clearance, taxation, deoccupied area, food safety.
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7

Ferrari, Giuseppe Franco. "La complessitŕ dei mercati energetici e la necessitŕ di una regolazione multilivello". ECONOMICS AND POLICY OF ENERGY AND THE ENVIRONMENT, n. 3 (luglio 2009): 121–52. http://dx.doi.org/10.3280/efe2008-003006.

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- The energy markets are very complex, because, on the one hand, they imply several different activities and, on the other hand, they involve various levels of govern- 183 ment. The energy market is divided indeed in different segments: supply (generation or purchasing), transmission, distribution and sale, which are allocated at different levels of government, from the international and European level (with reference to the security of energy supply), to the local level (with specific regard to the distribution and sale). This complexity makes the energy sector particularly critical, under the pressure of political interests and economical needs. Another sensitive point is linked with the environmental protection, since the consumption of energy is one of the most polluting human activities, and the demand of energy is growing up together with the economical growth of the developing Countries. This problem is increasingly discussed at the international level, with reference to the climate change issue, in order to plan a sustainable development for the whole globe: because of it, the Kyoto Protocol was issued within the United Nation Framework Convention on Climate Change. It establishes legally binding commitments for the reduction of four greenhouse gases for all the 183 ratifying Countries, according the principle of common but differentiated responsibilities, and provides for the promotion of renewable energy. The European Union ratified the Protocol implementing the relative obligations through, for instance, the creation of the EU Emissions Trading Scheme (ETS). The European Union most of all addressed the competitive issue, since the 70s, in order to achieve the result to create a free energy market in Europe. The last results of the European energy policy were the directives on electricity and natural gas in 2004, that imposed the complete opening of the energy markets in almost all the European Countries (with few exceptions). The implementation of the European directives requires the intervention of the national level, since each Country has to modify its own regulatory framework, in order to comply with the directives. Everywhere in Europe, this process faces with several difficulties, but it is particularly hard in Italy, since the energy sector is traditionally public owned. Indeed, in our Country, the privatization and liberalization processes are strictly linked to another trend: the decentralization of legislative and administrative powers from the State to the Regions and Local Communities. Thus it is evident that the global governance of the energy sector, for its complexity and its sensibility, can only derive from a network of interventions by several levels of government, and different international, national and local actors, which realize a typical case of multilevel governance.Key words: Energy markets, competition, sustainable development, multilevel governance.JEL classifications: K21, K23.Parole chiave: Mercato energetico, concorrenza, sviluppo sostenibile, multilevel Governance.
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8

Bogacki, Sylwester, Wińczysław Jastrzębski e Agnieszka Laskowska. "Housing policy in the social and economic sphere. Housing policy relationships and other specific policies". Journal of Modern Science 54, n. 5 (18 dicembre 2023): 677–97. http://dx.doi.org/10.13166/jms/176399.

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Abstrakt Housing policy aspiring to have a general social impact, subtracting from the scale of the state, like any other policy in this scope, is conducted in the European Union countries by the public sector. This sector remains a significant point of reference for this policy. The activity of the public sector in the countries of post-war Western Europe varies in intensity over time and is carried out at different spatial levels - also in relation to housing. The public sector has been subject to a tendency towards apparent self-limitation for at least the last four decades. This occurs mainly by reducing the importance of the state and its agencies in socio-economic development. Housing policy is one of the important sectoral policies of the state - including the government and local authorities - engaging public entities, political and social organizations and private entities to achieve the main and long-term goals in the area of housing, which are: creating conditions for purchasing or renting apartments by all citizens; ensuring the availability of the housing stock, i.e. implementing an appropriate scale of housing investments using primarily the market mechanism, and supporting the appropriate quality of the housing stock throughout the entire period of use of the property.
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9

Kuruvilla, Sarosh. "Shifting Modes of Labor Regulation in Global Supply Chains". Asia Policy 19, n. 1 (gennaio 2024): 77–94. http://dx.doi.org/10.1353/asp.2024.a918873.

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executive summary: This essay outlines the changing modes of regulation of labor conditions in global apparel supply chains, which are mostly concentrated in Asia; assesses the effectiveness of 25 years of private voluntary regulation by global firms; and examines critically the implications of new European regulation now mandating what was previously a voluntary corporate activity. main argumentAsia is the global center of apparel production, with Bangladesh, Cambodia, China, India, Indonesia, Pakistan, and Vietnam all being major exporters. Since the 1990s, activist pressure in developed country markets has forced global apparel and footwear companies to adopt voluntary methods to ensure that their products are not made under sweatshop conditions. Companies developed codes of conduct for the first-tier factories in their supply chains and found ways to audit whether supplier factories were in compliance. However, this voluntary private-regulation model has not been adequate to alleviate labor and workplace concerns in global apparel supply chains. A shift from private regulation to public regulation—the beginning of which may be currently underway in the European Union with the recent introduction of mandatory due diligence legislation—may prove to be a more effective means of bettering labor rights and conditions. policy implications• If the recent EU legislation allows global companies to be legally liable for violations of mandatory due diligence requirements regarding labor rights and conditions in supply chains, a sea change in worker rights and labor practices could occur. • The new legislation would require global companies to adopt more responsible purchasing practices so that their practices are not responsible for labor violations. • The EU legislation could have an impact on sourcing locations, as companies compete for locations that are more likely to provide institutional environments with lower risk of violations. Global suppliers would have a greater incentive to take the high road in terms of employment practices to obtain more business from European buyers. National governments in apparel-exporting countries may be motivated to improve enforcement of labor regulations.
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Nehrey, M., e O. Trofimtseva. "Analysis of the agriculture sector of Ukraine during the war". Bulletin of V. N. Karazin Kharkiv National University Economic Series, n. 102 (30 giugno 2022): 49–56. http://dx.doi.org/10.26565/2311-2379-2022-102-06.

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Russia's war against Ukraine has significantly increased food security risks and caused disruptions in agricultural production, supply chains, and trade, leading to unprecedented levels of global food and fertilizer prices. The current situation in the world agricultural markets by the middle of 2022 has shown the importance of the Ukrainian agricultural sector for the global market of agricultural products in general and the economy of the European Union, in particular. The article examines the place of the Ukrainian agriculture sector in the world agricultural market. The structure of export and import of agricultural products was analyzed. The dynamics of agrarian exports of Ukraine have been studied and the main reasons for its negative change have been determined. It has been established that the main problems during the war for the Ukrainian agrarian sector were: the occupation of Ukrainian territories, breaking of logistic chains inside and outside the country, reduction of the volume of the domestic market, and decreasing purchasing power of the Ukrainian population, insufficient resources for agricultural production, problems with labor force and theft of Ukrainian agricultural machinery and products. The domestic agricultural sector needs support from both the state and foreign funds, organizations, and countries. The Ukrainian government created several programs to support agricultural producers during military operations. In the tax, the support took place at the expense of VAT reduction, payment of taxes for FLP of 1 and 2 groups at will, payment of ERU by the state for the mobilized workers, cancellation of excise tax on oil products, etc. State support of the agrarian sector in the financial sphere is realized by providing access to cheap credits and the opening of new grant programs. Deregulation processes also took place at the state level: cancellation of business inspections, the introduction of the declarative system of business operation, and simplification of customs procedures. The prospects of the agricultural sector in the post-war economy have been studied. In particular, it was found that the key factor of agrarian sector development is people. Important for the recovery of the agricultural sector is the development of agricultural education and science, creation of sustainable chains in the regions, integration with competitive products into world markets, adaptation to the climate, sustainable and ecological agriculture, technological development, and digitalization of the agricultural sector.
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Rodríguez-Gulías, María Jesús, Vítor Manuel de Sousa Gabriel e David Rodeiro-Pazos. "Effects of governance on entrepreneurship: European Union vs non-European Union". Competitiveness Review: An International Business Journal 28, n. 1 (15 gennaio 2018): 43–57. http://dx.doi.org/10.1108/cr-06-2016-0035.

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Purpose The purpose of this paper is to analyse the effect of six governance indicators on the rate of creation of new companies between countries that are members of the European Union (EU) and those that are not. H1 states that the various dimensions of governance help to explain the immediate creation of new businesses in European and non-European countries. H2 states that the various dimensions of governance help to explain the deferred creation of new businesses in European and non-European countries. Design/methodology/approach The paper uses two types of analyses: firstly, univariate analysis, which is a descriptive statistics of the dependent, independent and control variables, and the results of a t-test; and secondly, multivariate analysis, which estimates using the fixed-effects estimator under the specifications previously raised for the subsample of 28 EU countries and for the subsample of 103 non-EU countries during the period 2004-2014. Findings The results show that the variables of governance are not significantly higher in the EU, although the density of the enterprises is. Within the governance indicators, government effectiveness is significant in the EU. The results obtained for the EU confirmed H1and H2, with a significant positive effect of government effectiveness on entrepreneurship, while the other governance variables were not significant in the EU subsample. The results obtained for non-EU countries suggest no significant immediate effects (H1) and a slightly significant delayed effect of rule of law on the entrepreneurship (H2) concerned. Research limitations/implications Future research in this area could consider introducing another regional division or other types of methodology as variables affect models. Practical implications Governance can be defined as the ability of a government and its public institutions to provide services and design, and implement rules, which is a factor that affects the creation of new companies. However, the effect of governance could differ depending on the country and its economic environment. This paper analyses the effect of six governance indicators on the rate of creation of new companies considering two different geographic regions as countries are presumably heterogeneous. Therefore, these results indicate that the effect of governance variables on entrepreneurship differs according to the region. Social implications The effect of governance variables on entrepreneurship according to the region is also known. Originality/value This study applied panel data analysis to two samples of countries during the period 2004-2014, one formed by 28 countries of the EU and the other by 103 non-EU countries. No other paper considers this number of countries for this period. To assess the impact of governance on the creation of new companies, this paper considered the existence of immediate and deferred effects of governance on entrepreneurship.
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Gregor, Jiří. "Political Budget Cycles in the European Union". Acta Universitatis Agriculturae et Silviculturae Mendelianae Brunensis 64, n. 2 (2016): 595–601. http://dx.doi.org/10.11118/actaun201664020595.

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This paper provides research on the theme of the political budget cycles. The goal is to find out whether or not the government tries to manipulate the state budget and its components for the purpose of re-election across the countries of the European Union. In order to verify this theory a dynamic panel data model was used. The results were significant, but only if predetermined elections were not counted into the estimations. In that case, the theory of the political budget cycles could be accepted as valid for the EU countries. The main driving force of the political budget cycles across the countries of the European Union is fluctuation of the government expenditures. During the election year, the government expenditures are higher, and a year after the election, government expenditures are lower. This is reflected into the state budget balance.
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Serban, Florica Mioara, e Carmen Elena Stoenoiu. "The Analysis of Government Expenditures in the European Union". Problemy Ekorozwoju 15, n. 2 (1 luglio 2020): 143–51. http://dx.doi.org/10.35784/pe.2020.2.15.

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This article analyses data on general government expenditure, at the level of the European Union (EU 28) according to the Classification of the Functions of Government – COFOG over the 2008-2017 period. Data shows that the expenditures increased at the beginning of the economic crisis in all EU countries, being followed by a slowdown in expenditures growth. All countries have adopted policies in order to reduce government expenditures towards the end of the period, aiming to increase their efficiency. Usually in high-income countries, compared with low-income countries, government expenditures are much larger as percent of gross domestic product (GDP), but the relations are not very strong though.
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Kudła, Janusz. "Determinants of Public Indebtedness in European Union Countries". e-Finanse 14, n. 3 (1 settembre 2018): 76–86. http://dx.doi.org/10.2478/fiqf-2018-0021.

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AbstractThe paper strives to determine the impact of fiscal variables on factors determining the dynamics of public debt in European Union countries. Based on the literature, the dynamics of public debt are determined by changes of three elements: the primary balance, interest-rate-growth-differential and the change of government assets. Therefore, it seems reasonable to estimate the dynamics of these three values to find the variables crucial for limiting the growth of public debt. Three groups of dynamic panel regressions were estimated based on the one-step Generalized Method of Moments. The data was collected for the 1995-2015 period for 27 EU countries. Dependent variables included: primary balance, interest-rate-growth-differential and change of government assets. Independent variables consisted of: interest payable to GDP ratio, unemployment rate, squared unemployment rate, FDI stock to GDP, net FDI inflow to GDP, general government expenditures to GDP, share of social security expenditures and openness of the economy measured by the ratio of export and import to GDP. On the basis of statistical data, three components of debt changes were distinguished, and estimations of the dynamic panel regressions were applied to find the impact of independent variables. According to the basic models, the primary balance is lower for: countries with higher unemployment, greater FDI stock and higher general government expenditures. The interest-rate-growth-differential is lower in the case of: high subsidies and for a more open economy. However, unemployment and FDI remain the most important determinants of this variable. The change of government’s assets ratio decreases as FDI net inflows or the share of expenditures to GDP increase as well as in the case of very high unemployment.
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Sophia Yuliantini, Lisa, e Achmad Nurmandi. "The The Impact of the E-Government Development Index (EGDI) on the Worldwide Governance Indicator (WGI) in European Union Countries". Policy & Governance Review 7, n. 2 (16 giugno 2023): 140. http://dx.doi.org/10.30589/pgr.v7i2.732.

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This study aims to analyze the impact of the e-Government Development Index (EGDI) on the Worldwide Governance Indicator (WGI) in European Union member countries. The EGDI is an index measurement that displays conditions related to the development of e-Government implementation in the member country of the United Nations, while the WGI is a series of governance indicators issued by the world bank that measures six dimensions of governance. The research method used in this research is a mixed method with collecting and analyzing data quantitatively by using Smart PLS 0.3 version, then collecting qualitative data analysis data by using qualitative methods collecting data from relevant scientific articles. The data sources for this research were obtained from the official website of the EGDI, the official website of the WGI, and literature studies of relevant scientific articles. The result of this study shows that the implementation of e-Government based on EGDI data in European Union countries has no impact on the six indicators of WGI as a whole. This is based on the results showing that the influence of the EGDI of European Union member countries on corruption control, government effectiveness, and voice of accountability is accepted, while the impact of the EGDI of European Union member countries on political stability and the absence of violence/terrorism, the quality of regulation and the rule of law is rejected. This research contributes to complement existing research by looking at the impact of implementing e-Government in European Union countries. This research is expected to be a reference in studying the implementation of e-Government in European Union countries so that it can be implemented effectively and efficiently.
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Dafni, Urania, Zoi Tsourti e Ioannis Alatsathianos. "Breast Cancer Statistics in the European Union: Incidence and Survival across European Countries". Breast Care 14, n. 6 (2019): 344–53. http://dx.doi.org/10.1159/000503219.

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The current status and time trends in breast cancer incidence and survival in the 28 European Union countries (EU-28) is presented here. Rates reported are age adjusted and standardized (ASR). A high incidence and high survival rates were observed in the Northern and Western European countries, with the exception of the Baltic countries. The higher incidence is partly attributed to the higher prevalence of lifestyle risk factors, while the higher survival is attributed to better access to beneficial treatments and general health care. Most of the countries in Southern Europe or the former Eastern Bloc have not yet reached the high GDP per capita status (2017 purchasing power parity; PPP) of the earlier established Western democracies. The breast cancer incidence and survival are associated with the PPP level (both higher for the higher PPP category; 2017 PPP above USD 40,000). Overall, a trend toward higher survival rates was observed throughout this first period of the 21st century, with the incidence for most countries either stabilizing at the 2010 levels or decreasing further.
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van Os, Jim, e Jan Neeleman. "European Union government legislation affecting psychiatric practice". Psychiatric Bulletin 18, n. 7 (luglio 1994): 390–94. http://dx.doi.org/10.1192/pb.18.7.390.

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Although the process of psychiatric reform is taking place across Europe, national political, economic and historical factors determine to a large extent the manner and pace of its implementation as well as its final shape. The degree of centralisation of health care systems and the degree of prominence of primary care affect how efficiently change can be achieved. Various forms of professional resistance may, in different degrees in European countries, hamper the implementation of community care. The widely varying contexts in which psychiatric reform takes place throughout Europe, should provide a fertile area for future comparative research.
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Plošinjak, Jelko, e Mejra Festić. "Empirical Testing of Purchasing Power Parity Validity in Selected European Union Countries". Naše gospodarstvo/Our economy 67, n. 4 (1 dicembre 2021): 13–32. http://dx.doi.org/10.2478/ngoe-2021-0019.

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Abstract In this article, the authors carried out an empirical analysis of the validity of purchasing power parity (PPP) in Slovenia, Croatia, the Czech Republic, Slovakia and Austria. The results provide mixed support for PPP, which is typical for extransition economies. In the first phase of the empirical part of the research, the authors tested the stationarity of the real exchange rate in a logarithm, while in the second phase, the cointegration of nominal exchange rate, domestic and foreign price levels was tested.The Vector Error Correction Model (VECM) was used in the third phase to test if the signs of variables are in accordance with economics and econometrics theories, while in the final phase, restrictions were imposed for the symmetry and proportionality of coefficients. Slovenia is subject to limitations on the symmetry and proportionality of coefficients, which means the validity of both the absolute and relative versions of the PPP theory. Croatia is subject to a limitation on symmetry, but not to a limit on the proportionality of coefficients, which means the validity of the relative version of the PPP theory. In the case of the Czech Republic, Slovakia and Austria, restrictions on the symmetry and proportionality of the coefficients do not apply, which consequently constitutes an invalidity of both versions. However, to the authors’ knowledge, and taking into account Liu (1992), who states that it is more important to check the presence of co-integration than to check the symmetry and proportionality of the coefficients, since there is a cointegratation between the nominal exchange rate, foreign prices and domestic prices, the theory of PPP is valid for all the selected countries. The empirical results suggest that all the real exchange rate time series are stationary, additionally, cointegration exists among all the variables for all countries, and the signs of coefficients are statistically significant for all variables in all countries, however, the coefficient restrictions are only statistically significant in Slovenia and Croatia.
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19

Wardana, Adhi. "UPAYA PEMERINTAH TURKI UNTUK BERGABUNG DENGAN UNI EROPA". Global Political Studies Journal 1, n. 2 (31 ottobre 2017): 107–23. http://dx.doi.org/10.34010/gpsjournal.v1i2.2015.

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Abstract (sommario):
The European Union is an inter-governmental organization whose members are European countries. Since July 1, 2013 already has 28 member countries, many countries of the European region who want to join the European Union, one of which is Turkish, the extent to which the Turkish government's efforts to join the European Union? This study aims to determine the extent of the Turkish Government Efforts To Join The European Union (2004-2008). To be able to Turkey joining the European Union must meet the Copenhagen criteria which consists of the political criteria, economic and acquis, Turkey must conform to all the regulations of the European Union so researchers try to analyze from the effort, constraints, and prospects for Turkey to join the European Union. This type of research is a qualitative research method used is descriptive analysis techniques. aims to describe the facts related to the problem under study. Most of the data that is collected through library research, online data retrieval, and documentation, data were then analyzed with a theoretical approach to dealing with International Relations. The results showed that the Turkish government has made progress in meeting the criteria candidates are awarded by the European Union, Turkey showed promising economic growth, recorded during the year 2004-2008 Turkish economic growth averaged 7%. Turkey managed to adopt new chapters in the Acquis criteria, although there are many other chapters that have not adapted to the European Union, in the political aspects of the Turkish government has been working hard to solve the problem of ham with the Kurds, Armenia and Cyprus, but in line with the efforts that have been The Turkish government in its application, there are still many obstacles that eventually make Turkey's accession to EU membership back hampered..
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20

Pumpure, Elizabete, Elina Ozola e Ronalds Mačuks. "Costs of medical manipulations and funding of medical staff across the Europe". International Journal of Reproduction, Contraception, Obstetrics and Gynecology 6, n. 1 (20 dicembre 2016): 1. http://dx.doi.org/10.18203/2320-1770.ijrcog20164629.

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The Clinical University hospitals in European Union, including those from new European countries, are providing medical services according to high quality standards; however there are significant differences in medical service payment from the government. There are also differences in the amount of the payment for in- and outpatient services. According to World Bank’s assessment several of new European Union members are ranked as high-income countries alongside to old European member countries, but the payment gap of medical services between these countries is very relevant. Health insurance costs vary a lot across the European Union countries, with the highest percentage in Germany (15.5%) and the lowest in France (100 Euro per year). In most countries the government finances the costs of surgical manipulations, but by contrast in Latvia patients have to pay fixed payment of EUR 43 for treatment even in case of malignancy and additional payments for staying in hospital. The salary of surgeons in field of gynecological oncology for the full workload ranges from 500 Euro in Macedonia to 4000 Euro in Denmark per month after the taxes. Reward from government varies a lot for the same manipulations in different countries. Despite the fact World Bank ranks new European countries as high-income countries there is tremendous difference in the manipulation costs covered by government and payment of medical stuff.
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21

BAHARUMSHAH, Ahmad Zubaidi, Siew-Voon SOON, Stilianos FOUNTAS e Nurul Sima MOHAMAD SHARIFF. "PERSISTENCE OF REAL EXCHANGE RATES IN THE CENTRAL AND EASTERN EUROPEAN COUNTRIES". Journal of Business Economics and Management 17, n. 3 (7 giugno 2016): 381–96. http://dx.doi.org/10.3846/16111699.2015.1101396.

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Abstract (sommario):
We investigate the mean reversion in real exchange rates for Central and Eastern European countries. We use point and confidence interval estimates from the Phillips et al.’s (2001) local-persistent model as our preferred measures of the persistence of real exchange rates. We find that the adjustment to purchasing power parity is more rapid after accounting for structural breaks, with half-life deviation from parity below 18 months, which is consistent with the explanation based on nominal rigidities. The estimated narrow confidence intervals for the half-lives invalidate the purchasing power parity puzzle for transition and some core European Union countries. The novelty of our results lies in the finding of strong evidence for purchasing power parity as the local-persistent model produces shorter half-lives and much narrower corresponding confidence intervals than those obtained by standard Dickey-Fuller and local-to-unity models. Our evidence for PPP suggests that the transition countries have maintained their long-run competitiveness against their trading partners.
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22

Dudzevičiūtė, Gitana, Agnė Šimelytė e Aušra Liučvaitienė. "Government expenditure and economic growth in the European Union countries". International Journal of Social Economics 45, n. 2 (12 febbraio 2018): 372–86. http://dx.doi.org/10.1108/ijse-12-2016-0365.

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Abstract (sommario):
Purpose The purpose of this paper is to provide more reliable estimates of the relationship between government spending and economic growth in the European Union (EU) during the period of 1995-2015. Design/methodology/approach The methodology consisted of several different stages. In the first stage for an assessment of dynamics of government spending and economic growth indicators over two decades, descriptive statistics analysis was employed. Correlation analysis helped to identify the relationships between government expenditures (GEs) and economic growth. In the third stage, for modeling the relationship and the estimation of causality between GE and economic growth, Granger causality testing was applied. Findings The research indicated that eight EU countries have a significant relationship between government spending and economic growth. Research limitations/implications This study has been bounded by general GE and economic growth only. The breakdowns of general GE on the basis of the activities they support have not been considered in this paper, which is the main limitation of the research. Despite the limitation, it might be maintained that the research highlights key relationships in the EU countries. Originality/value These insights might be useful for policy makers. In countries with unidirectional causality running from GE to economic growth, the government can employ expenditure as a factor for growth. The governments should ensure that resources are properly managed and efficiently allocated to accelerate economic growth in the countries with unidirectional causality from GDP to GE.
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23

Górniewicz, Grzegorz. "General government debt in European Union countries and economic growth". Nierówności społeczne a wzrost gospodarczy 55, n. 3 (2018): 112–24. http://dx.doi.org/10.15584/nsawg.2018.3.6.

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24

Ramescu, Doriana Andreea, e Nicoleta Sirghi. "THE PRICE EVOLUTION IN THE CONTEXT OF ECONOMIC CRISIS". Oradea Journal of Business and Economics 2, n. 1 (marzo 2017): 72–80. http://dx.doi.org/10.47535/1991ojbe019.

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The economic crisis is a negative macroeconomic phenomenon with consequences both at European Union level and worldwide. The main objective of this paper is to analyse the variation of price levels in Romania, during the economic crisis until the end of 2015, compared with the Member States of the European Union and the countries of the European Free Trade Association. For this research, information provided by EUROSTAT was used, such as price level indices for actual individual consumption per capita, and for different goods and services, calculated based on purchasing power parity. The aim is to identify solutions to rising living standards, compared with more developed countries of the European Union. This paper presents possible solutions for avoiding a future economic crisis, caused by overconsumption. The paper is divided into four sections: introduction, part two which presents aspects of the economic crisis in Romania and in the European Union, the third part presents price level indices for different products and services in 2015, and the last part, the conclusions of the research.
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25

Parszewski, Kazimierz. "CONTEMPORARY LOCAL GOVERNMENTS IN POLAND AND THE EUROPEAN UNION". sj-economics scientific journal 8 (30 giugno 2011): 183–99. http://dx.doi.org/10.58246/sjeconomics.v8i.488.

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This work presents modern local governments in Poland and selected European countries. This paper shows the local power structure, organizations and their competences as well as tasks and Government control. There are also indicated values of local democracy of the European Charter of local self government and legal problems of territorial self – government in Italy, France, Germany, Spain, Austria and Belgium.
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26

Owoye, Oluwole, e Olugbenga A. Onafowora. "The Relationship between Tax Revenues and Government Expenditures in European Union and Non-European Union OECD Countries". Public Finance Review 39, n. 3 (31 dicembre 2010): 429–61. http://dx.doi.org/10.1177/1091142110386211.

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27

Kovtun, Svitlana, Ilya Shutak, Solomiya Denys, Yurii Semchuk e Sofiia Kostytska. "Systems of Advocates’ Self-Governance Bodies in European Union Countries". Cuestiones Políticas 40, n. 75 (29 dicembre 2022): 603–14. http://dx.doi.org/10.46398/cuestpol.4075.36.

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The purpose of the article was to study the experience of self-governance of lawyers in the countries of the European Union EU. On the basis of this material recommendations aimed at improving the advocacy system are provided. Achieving the set goal involved the resolution of the following tasks: a) to reveal the mechanism of functioning of the system of self-government of lawyers in the EU countries and identify its universal features, and; b) to determine the main models of the system of self-government of lawyers in the EU countries. The scope of the study was constituted by public rules, regulated by law, arising in the provision of legal services in the application of the legal profession and the implementation by representatives of its bodies of the right to self-government. The methodological basis of the study consists of general and specific research methods. It is concluded that, the manifestation of the principle of independence of the legal profession and the guarantee of full functioning of the self-governing bodies of bar associations in the EU countries consists in ensuring the freedom of their activities within the legality and its implementation in practice.
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28

Hindle, Don, e Anne-Marie Yazbeck. "Clinical pathways in 17 European Union countries: a purposive survey". Australian Health Review 29, n. 1 (2005): 94. http://dx.doi.org/10.1071/ah050094.

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We undertook a survey of clinical pathways across the 25 European Union countries. Fiftyone questionnaires were completed by largely self-selected experts from 17 countries. Respondents reported that pathways were important and were becoming increasingly widely used (although the rate of progress was highly variable). One important constraint was reported to be a cultural aversion among doctors that arises at least in part from the implication that pathways require multidisciplinary teamwork which will prejudice medical autonomy. In other words, pathways challenge clinical professional sub-cultures. Other constraints included lack of encouragement by external parties, such as purchasers, with limited financial support for pathway development and implementation and service purchasing that did not reward care providers who use pathways. The obvious implication of the survey is that more needs to be done to achieve a common understanding of pathways. In spite of the large quantity of published papers, survey respondents reported that there are many health professionals who have only a superficial understanding at best.
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29

Lamfalussy, Alexandre. "Challenges ahead for the European Union". Competitio 4, n. 2 (12 dicembre 2005): 7–12. http://dx.doi.org/10.21845/comp/2005/2/1.

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It is a mild understatement that nowadays the EU is navigating in rough waters. Close to half of the member countries of the Euro area are in breach of their fiscal stability commitment – and some of them very substantially. Quite a few heads of government publicly criticise the ECB’s monetary policy. Germany and France are determined to water down the Bolkenstein directive on the implementation of a genuine single market for services (which amount to about two-thirds of the EU’s GDP), to which, incidentally, no major objections had been raised by the governments of the member states during the drafting stage. There is no agreement on the longer term EU budget. Only Ireland, the UK and Sweden accept the free movement of the residents of the ten countries which became members of the EU in May last year.
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30

Franek, Sławomir. "Konsekwencje kryzysu COVID-19 dla finansów jednostek samorządu terytorialnego w krajach UE". Optimum. Economic Studies, n. 3(109) (2022): 55–68. http://dx.doi.org/10.15290/oes.2022.03.109.05.

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Purpose – The purpose of this paper is to determine the consequences of the pandemic crisis for the financial situation of the local government subsector in individual European Union countries. Research method – The research is based on comparative analysis of the dynamics and structure of such budget figures as budget revenue (including transfers), expenditure (including COFOG classification), budget balance and debt. The comparisons covered the local government subsector in the 27 countries of the European Union for the years 2019–2021. The source of data for analysis is the Eurostat database. Results – The research indicates that local government finances in the EU countries did not suffer significantly because of the impact of the COVID-19 pandemic, which, however, was essentially due to the fact that the main source of funding for additional tasks and covering tax revenue shortfalls were transfers from the government subsector. At the same time, there was a change in the structure of local government spending in most EU countries by increasing the share of spending on health care, social protection and economic affairs and decreasing the share of spending on recreation, culture and religion, housing and community amenities and education. Originality/value/implications/recommendations – The originality of the presented approach is due to the comprehensive presentation of the consequences of the pandemic crisis for local government budget parameters for 2020–2021 in all the European Union countries.
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31

Luboslav, Szabo, Grznar Miroslav e Zelina Michal. "Agricultural performance in the V4 countries and its position in the European Union". Agricultural Economics (Zemědělská ekonomika) 64, No. 8 (30 agosto 2018): 337–46. http://dx.doi.org/10.17221/397/2016-agricecon.

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The paper is devoted to an analysis of the development of agrarian farms in Visegrad Group (V4) countries, primarily in terms of results and the most important production inputs of production factors and their efficiency in the period from 2004 to 2013 based on the EU Farm Accountancy Data Network (FADN). The results of the analysis show that if farms in the V4 countries want to achieve the same performance as developed countries, they must invest more in purchasing intensification factors and adjust the structure of assets production specification. It will be necessary to stop the reduction in the numbers of livestock and to strive for growth in gross farm income, mainly through the processing of agricultural raw materials.
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32

Sáez, Marta Pascual, Santiago Álvarez-García e Daniela Castañeda Rodríguez. "Government expenditure and economic growth in the European Union countries: New evidence". Bulletin of Geography. Socio-economic Series 36, n. 36 (1 giugno 2017): 127–33. http://dx.doi.org/10.1515/bog-2017-0020.

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AbstractThis paper provides new evidence of the impact of government spending on economic growth in the European Union countries. Governments can adjust their levels of spending in order to influence their economies, although the relationship between these variables can be positive or negative, depending on the countries included in the sample, the period of estimation and the variables which reflect the size of the public sector. The results obtained based on regression and panel techniques suggest that government expenditure is not clearly related with economic growth in the European Union countries over the period 1994-2012.
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33

Górniewicz, Grzegorz. "The increase in general government debt during the coronavirus crisis in the EU countries". WSB Journal of Business and Finance 56, n. 1 (1 gennaio 2022): 1–7. http://dx.doi.org/10.2478/wsbjbf-2022-0001.

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Abstract (sommario):
Abstract The crisis caused by the COVID-19 pandemic led to an increase in budget deficits. This resulted in significant growth in the general debt of many countries. The average debt in the European Union countries has exceeded 90% of GDP and is still growing. General government debt is one of the world’s most significant financial and economic problems today. The main objective of this work is to present the scale and reasons for the increase in general government debt in the European Union countries during the current crisis. In addition, attention was paid to the impact of debt on economic growth.
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34

Siljak, Dzenita, e Sándor Gyula Nagy. "Do Transition Countries Converge towards the European Union?" Baltic Journal of European Studies 9, n. 1 (1 giugno 2019): 115–39. http://dx.doi.org/10.1515/bjes-2019-0007.

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AbstractThe aim of this paper is to analyze if the Western Balkan and Eastern Partnership countries converge towards the twenty-eight members of the European Union. The relationships between the selected macroeconomic variables and per capita GDP growth rate are econometrically tested to support this research. The analyzed period is 2004–2017, with two sub-periods: 2004–2008 and 2009–2013. The subdivision is made to test whether the recent financial crisis affected the absolute and conditional convergence process in the analyzed group of countries. The empirical findings support the economic convergence hypothesis. The results show that the recent financial crisis negatively affected the absolute and conditional convergence process, when economic variables are included in the analysis. The negative effects of the crisis on conditional convergence with economic and socio-political variables are not identified. The poorer countries in the analyzed group should do more to attract investment and open their economies, as gross fixed capital formation and economic openness have a positive impact on per capita growth, and keep low inflation or stabilize it, while general government debt and unemployment should be decreased in the examined sample of countries.
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35

Iwona. "Purchasing Behaviors of Consumers from third Countries on European Union Markets: A Case Study". EUROPEAN RESEARCH STUDIES JOURNAL XXIV, Issue 2 (1 maggio 2021): 1118–33. http://dx.doi.org/10.35808/ersj/2177.

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36

Navickas, Valentinas, Mykolas Navickas e Marcel Kordoš. "Corruption effect on foreign direct investments in European Union countries". Verslas: teorija ir praktika 17, n. 4 (30 novembre 2016): 299–306. http://dx.doi.org/10.3846/btp.17.10863.

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The authors of the article analyze the effect of corruption on foreign direct investments in most corrupt European Union countries. Corruption in the context of the analysis is understood as an act where government officials enter into an agreement with a foreign investors against the interest of society. It takes place when illegal payments for government are made. Such payments acts as an additional tax on investments in foreign country, thus decreasing attractiveness of investment for foreign investors. There are various types of corruption, but most common classification include grand corruption, petty corruption and public sector corruption. However, this article focuses on the effect of grand corruption, because it directly affects FDI inflows in particular country. Results of the research made by the authors shows that corruption has adverse effect on FDI inflows, however particular corrupt actions may postively effect FDI inflows. In order to determine corruption effect on FDI in corrupt EU countries statistical analysis of 2000–2014 period has been implemented and conceptual model of effect on FDI created.
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37

Kovalevych, L. "Policy of the states of the European Union against sessesionism". Bulletin of Taras Shevchenko National University of Kyiv. Geography, n. 64 (2016): 74–77. http://dx.doi.org/10.17721/1728-2721.2016.64.13.

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The role of domestic policy in solving of inter-regional conflicts and counteracting secessionist processes are disclosed in the article. A mixed populatіon in any area can live either in peaceful coexistence and political stability or in violent conflicts. This is mostly dependent on the internal ethnic policy. Variety of the government’s reactions to the strengthening of centrifugal tendencies in some regions are explored; among which the approval of separatist demands, the advancement of conditions of underprivileged minorities, adoption of “asymmetric federalism”, allowance for minorities to participate in politіcal debate through parliamentary voting, referendums, etc., establishment of a confederation with only limited links between countries are distinguished. Another way to solve regional conflicts is to create a “multinational federation.” The main features of the state policy of the European Union’s countries which have regions with high potential secessionist conflict are analyzed. The necessities of a balanced domestic policy of the government to prevent the escalation of internal contradictions are emphasized. The influence of the form of government on minimizing of inter-regional conflicts is investigating. After correlating data about current regional conflicts and the forms of government of the hosting countries, it was found that the form of government (from unitary to federalism) is not the only decisive factor for solving of regional conflicts. However, taking into account the historical, cultural, linguistic, economic factors, it is important to understand that political mechanisms can give an initial impulse, the first impetus to resolve the conflicts. Therefore, political factors are some of the key one in regularizing of secessionism. Moreover, examples of the successful resolution of regional conflіcts by particular European states are considered. Experience of an effective resolving of regional conflicts in western European countries showed that in all the cases (Switzerland, Germany, Spain and Great Britain) the mechanisms of the institution of parliamentarism and solving of the language issue were used. The geographic decentralization policy of the supreme power (Germany) and legitimization of government decisions through referendums (Switzerland) are equally effective.
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Lychenko, Iryna, Natalia Lesko, Nataliia Pavliuk, Zoryana Dobosh e Rostyslav Bundz. "Legislative Support Standards in the European Union in the Field of Building a System of Local Self-Government". Cuestiones Políticas 41, n. 77 (28 maggio 2023): 285–97. http://dx.doi.org/10.46398/cuestpol.4177.19.

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Abstract (sommario):
Through a documentary research design that combined induction and deduction, comparison and systematization, synthesis and analysis with abstract-logical thinking. The main objective of the study was to identify the key aspects of the legislative support rules in the countries of the European Union, in the field of building a system of local self-government. The European Union during the history of its existence has developed a set of rules on which the systems of local self-government of member states and applicants for this status are built. The complexity and importance of legislative regulation of the functioning of this system is evidenced by the fact that the legislation and principles of international law used by the union in the field of local self-government are among the "youngest". It is concluded that this is due to the role of local self-government in the development of a democratic political system, as well as the search for an optimal balance between centralization and decentralization. As a result of the study, current trends and prerequisites for legislative support standards in European Union countries were investigated.
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39

Barradas, Ricardo. "Financialization and Neoliberalism and the Fall in the Labor Share: A Panel Data Econometric Analysis for the European Union Countries". Review of Radical Political Economics 51, n. 3 (19 febbraio 2019): 383–417. http://dx.doi.org/10.1177/0486613418807286.

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Abstract (sommario):
This paper conducts an empirical analysis of the relationship between financialization and neoliberalism and the labor share using panel data composed of twenty-seven European Union countries over nineteen years (from 1995 to 2013). Adopting a Kaleckian perspective, framed in the post-Keynesian literature, financialization and neoliberalism exert a negative influence on the labor share through three different channels: the change in the sectorial composition of economies (the increasing importance of financial activity and the decreasing importance of general government activity), the proliferation of shareholder value orientation, and the deterioration of general workers’ bargaining power. We estimate a labor share equation with the traditional variables (lagged labor share, technological progress, globalization, education, and output growth) and four further measures of financialization and neoliberalism (financial activity, general government activity, shareholder value orientation, and the trade union density rate). The findings show a disruptive relationship between financialization and neoliberalism and the labor share in European Union countries, mainly through the channels of general government activity and shareholder value orientation. It is also found that financialization and neoliberalism have contributed to a fall in the labor share in European Union countries. The technological progress was the main driver of the fall in the labor share in European Union countries, while the output growth was the main supporter. This suggests that the trend of decline in the labor share could intensify in the future taking into account the fears of potential secular stagnation in the current era of financialization and neoliberalism. JEL Classification: C23, D33, E25, E44
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40

Górniewicz, Grzegorz. "General Government Debt and Budget Deficit as Threats to Economic Security of the European Union Countries". WSB Journal of Business and Finance 53, n. 1 (1 febbraio 2019): 55–67. http://dx.doi.org/10.2478/wsbjbf-2019-0006.

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Abstract (sommario):
Abstract The aim of the article is to present budget deficit and government debt in the European Union member states, with particular consideration of the countries that belong to the PIIGS group. This paper has focused on the scale of these phenomena, on their reasons and on some attempts made to improve the unfavourable situation. In the main thesis presented in the article, it is stated that budget deficit and general government debt come as significant threats to economic security of the European Union (EU) countries. The research methods that have been applied in the study involve descriptive analysis and statistical data analysis.
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41

Slavinskaite, Neringa. "Fiscal decentralization in Central and Eastern Europe". Global Journal of Business, Economics and Management: Current Issues 7, n. 1 (12 aprile 2017): 69–79. http://dx.doi.org/10.18844/gjbem.v7i1.1236.

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Abstract (sommario):
The paper analyses the level of fiscal decentralization (FD) in selected countries of European Union for 2014 year. The empirical analysis was based on the method of multicriteria decision-making. Method of Simple Additive Weighting (SAW) was used as framework for the analysis. In order to evaluate the different level of fiscal decentralization, the same analysis was applied to subsets of countries categorized into two groups - Central and Eastern Countries. The empirical results show that developed countries of European Union has higher degree of fiscal decentralization than countries of Eastern andCentral Europe. These results show that local government of developed countries (such like Sweden or Denmark) has more power for financial solutions then developing countries (Estonia o rPoland). Fiscal decentralization index in Lithuaniais the lowest among 14 countries of European Union. Originality of this article that was used new fiscal decentralization index, which consists of 26 indicators.
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Stanišić, Nenad. "The effects of the economic crisis on income convergence in the European Union". Acta Oeconomica 62, n. 2 (1 giugno 2012): 161–82. http://dx.doi.org/10.1556/aoecon.62.2012.2.2.

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Abstract (sommario):
This paper evaluates income convergence in the European Union, between “old” (EU15) and “new” member states from Central and East Europe (CEE10), and among the countries within these two groups. The GDP per capita convergence should be expected according to the exogenous economic growth model and neoclassical trade theory. The presence of σ-convergence and both absolute and conditional β-convergence is tested for on a sample of 25 European Union countries (EU25). Results confirm the existence of β-convergence of GDP per capita at purchasing power parity among EU25, but not among EU15 and CEE10 countries. σ-convergence has been confirmed among EU25 and CEE10 countries, while GDP per capita has been diverging in the EU15 group of countries. Moreover, the results reveal that recent economic crisis has reversed long-term tendencies and led to income convergence within EU15 and divergence within CEE10. During the crisis, the income differences among the EU25 countries have increased, but the scope and duration of this effect has been limited and has not affected the long term convergence path. However, the obtained long term speed of convergence is significantly lower compared with the previous researches.
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İbrahim qızı Cəfərli, Ramilə. "Mechanisms for Cooperation of the European Union". SCIENTIFIC WORK 15, n. 2 (9 marzo 2021): 84–87. http://dx.doi.org/10.36719/2663-4619/63/84-87.

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The article deals with mechanisms for cooperation of the European Union with nations considered from the scientific point of' view. The author analyzes the details of the European Union technical assistance program for CIS couintries, its aims and positions in the frame of TACIS. Each candidate country that intends to get European Union membership has to follow the common principle and standards. But sometimes in addition to the membership obligations EU member states attitude to the candidate countries may playe great role to get the final result. The article analyzes different European countries attitude to Turkey’s membership as one of the barriers that Turkey faces in the frame of Turkey integration policy to EU. This is explained by the complexity of project co-ordination between the countries in the region, and the economic and political systems in transition countries. Thus, the desire of the commission to use the TACIS program as a tool for regional co-operation and the settlement of existing conflicts corresponds to the existing reality. İn this context, the Nagorno-Karabakh region of Azerbaijan is a clear example of TACIS programs. The expansion of the Armenian TACIS program to Nagorno-Karabakh has been denied by the European Union as it has no consensus by the Azerbaijani government. Key words: European Union, South Caucasus, Central Asia, cooperation mechanisms, economy, politics
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Târlea, Silvana, Stefanie Bailer, Hanno Degner, Lisa M. Dellmuth, Dirk Leuffen, Magnus Lundgren, Jonas Tallberg e Fabio Wasserfallen. "Explaining governmental preferences on Economic and Monetary Union Reform". European Union Politics 20, n. 1 (8 gennaio 2019): 24–44. http://dx.doi.org/10.1177/1465116518814336.

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This article examines the extent to which economic or political factors shaped government preferences in the reform of the Economic Monetary Union. A multilevel analysis of European Union member governments’ preferences on 40 EMU reform issues negotiated between 2010 and 2015 suggests that countries’ financial sector exposure has significant explanatory power. Seeking to minimize the risk of costly bailouts, countries with highly exposed financial sectors were more likely to support solutions involving high degrees of European integration. In contrast, political factors had no systematic impact. These findings help to enhance our understanding of preference formation in the European Union and the viability of future EMU reform.
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Al-Jaberi, Prof Dr Sattar Jabbar. "Iraq and the European Union towards a Strategic Partnership". ALUSTATH JOURNAL FOR HUMAN AND SOCIAL SCIENCES 220, n. 2 (8 novembre 2018): 95–122. http://dx.doi.org/10.36473/ujhss.v220i2.487.

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The Iraq's relations with the European Union countries of the oldest and surest Iraq's foreign relations, in spite of the damage to those relationships during certain time periods, and sometimes degradation several considerations, they quickly return to normal, the importance of Iraq's strategy for European countries on the one hand, and interest in Iraq, the European its relations On the other hand . The EU played an important role in Iraq in the era after 2003, through important political relations with the Iraqi government, and try to achieve a real partnership in the political, economic and cultural fields, and interested in EU areas of human rights, and civil society organizations, and strengthen the Iraqi security capacity and we will try in this Find the study of the positions of the European Union countries of Iraq, and then try the European Union and Iraq to establish a strategic partnership between them.
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Rahayu, Siti Aisyah Tri, e Lukman Hakim. "ANALISIS PEMBENTUKAN UNI MONETER ASEAN-5 DENGAN PENDEKATAN PARITAS INTERNASIONAL DALAM HUBUNGAN KESEIMBANGAN NILAI TUKAR JANGKA PANJANG (1980.01 – 2004.12)". Jurnal Ekonomi Pembangunan: Kajian Masalah Ekonomi dan Pembangunan 8, n. 2 (1 dicembre 2007): 128. http://dx.doi.org/10.23917/jep.v8i2.1037.

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In order to strengthening cooperation regional and form the strength regional in ASEAN, likely require to relate at successful European Union in forming financial and economic market integration (EMU). ME become the “model" a success economic integration. We can conclude that to reach monetary union have to beforehand realized by economic union supported by union and strong politics willingness, where this matter have been blazed the way old in such a way by leaders of European countries of West which is merged into EMU. Intention of this research is to see the international parity condition of Purchasing Power Parity (PPP) and rate of interest parity (UIP) of among currency in ASEAN-5 with the currency of United States. Result of this research obtained is show that the goodness of theory of Purchasing Power Parity (PPP) and rate of interest parity (UIP) cannot be holded for the nations of ASEAN-5. In general, hypothesis ß 1=1 refused by existing data. This fact is indication that PPP and UIP cannot be holded during period 1980.01 until 2004.12. With do not hold of two the parity (PPP and UIP) hence possibility to existing of monetary uni ASEAN likely still will passing sufficient process.
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Oikonomou, Giorgio. "Variations in the quality of government within the European Union: A comparative approach of Northern and Southern public bureaucracies". European Integration Studies, n. 13 (29 ottobre 2019): 37–50. http://dx.doi.org/10.5755/j01.eis.0.13.24033.

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The quality of government represents a critical parameter of modern states for delivering sound public policies for the benefit of citizens. Dimensions such as accountability, impartiality, mechanisms which cope effectively with corruption and government effectiveness stand as core components of the quality of government, whereas at the same time account for much of the variation in the quality of government across European Union (EU) countries. This paper seeks to examine the quality of government by comparing and contrasting countries of the EU with substantially different administrative characteristics and traditions. The research explores two Nordic countries, namely Denmark and Sweden, and, two Mediterranean countries, Italy and Greece. Taking stock of theoretical insights from the political and economic literature the core aim of the paper is to identify plausible explanations with regard to the variations in the quality of government across the four selected EU member-states. The research draws on quantitative data based on the World Bank’s Worldwide Governance Indicators (WGI) and the European Quality of Government index (EQGI). It is argued that certain traits (legacies) of the political-administrative systems of the countries under examination can explain much of the observed, often striking, variations in the quality of government between the North and the South European bureaucracies.
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Putri, Komang Audina Permana. "Indonesian Government’s Strategies on Obtaining Market Access of Wood Products in EU Countries with Forest Law Enforcement, Governance and Trade - Voluntary Partnership Agreement (FLEGT-VPA) (2007-2016)". Nation State Journal of International Studies 3, n. 2 (31 dicembre 2020): 113–28. http://dx.doi.org/10.24076/nsjis.2020v3i2.335.

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Forestry has played an important role in Indonesia's economic development. Forestry and related products contribute approximately 3.5 per cent to Indonesia’s GDP and contribute to the livelihoods of 15 million Indonesian people. Major importer countries of Indonesian wood products comprise to several countries including European Union (EU). However, Indonesia export on wood product activities has significant challenge on the legality of forestry and related products. Illegal logging issues in Indonesia have become Indonesia’s major historical problem around the forestry industries. This is related to the issues that most of the wood products produced by the Indonesian timber industry are derived from illegal timber so that buyers from European Union countries are forced to reject the import of these wood products. Thus, the purpose of this article is to analyze Indonesian government strategy to obtain woods market in EU. Following by the issues, Indonesia need to reform the certification system and also the policy reforms to adjust the EU standard regulation. That is why Indonesian government began to cooperate with the European Union through the FLEGT-VPA program.
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Gawel, Aleksandra, e Timo Toikko. "Trust in European Institutions in Explaining the Entrepreneurship in European Union Countries". Social Sciences 10, n. 6 (26 maggio 2021): 195. http://dx.doi.org/10.3390/socsci10060195.

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Entrepreneurship is believed to be shaped by institutions; however, the paper assumes that trust in institutions is a fundamental prerequisite for the impact of institutions on entrepreneurship. The aims of the paper are to determine (i) whether trust in European institutions affects the level of entrepreneurship in European Union countries, and (ii) whether there are any differences in this impact regarding the types of institutions and (iii) a country’s government budget size. Based on yearly panel data for 27 European Union countries in the years 2004–2019 and estimations of panel regression models, the results show that confidence in institutions is a significant factor in explaining entrepreneurship. However, institutional trust has no homogeneous effect on entrepreneurship, as the impact depends on the kind of institutions related to their functions and values as well as on the country’s characteristics in relation to the size of the government’s budget. Practical implications suggest the possibilities of supporting entrepreneurship—especially in countries with a relatively lower public redistribution—by raising the level of confidence in the European Central Bank. The originality of the paper is related to distinguishing institutional trust based on the type of institutions and the country’s characteristics of governmental budget size.
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Dudzevičiūtė, Gitana, e Vidmantė Giedraitytė. "ESTIMATING AND MANAGING OF GOVERNMENT EXPENDITURE IN THE SELECTED EUROPEAN UNION COUNTRIES". Journal of Security and Sustainability Issues 9, n. 1 (20 settembre 2019): 155–70. http://dx.doi.org/10.9770/jssi.2019.9.1(12).

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