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Arias-Schreiber, Félix, i Jumpa Antonio Peña. "The New Theory of Legislation". IUS ET VERITAS, 2016. http://repositorio.pucp.edu.pe/index/handle/123456789/123334.

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This article discusses on the new theory of legislation. It is presented considering its antecedents, and its treatment from sociology of law to the current state of its development. It is make emphasis on the interdisciplinary nature of this theory for a better understanding of the legislative process, without failing to acknowledge the importance of its legal status.
El presente artículo nos introduce a la denominada “Nueva Teoría de la Legislación”. Se presenta sus antecedentes, así como su tratamiento desde la Sociología del Derecho al su estado actual de desarrollo. Por otra parte, se hace énfasis en la naturaleza interdisciplinaria de esta teoría para un mejor entendimiento del proceso de creación de leyes, sin dejar de reconocer la importancia de su situación jurídica.
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CHARRASSIN, MURIEL. "Evolution internationale de la legislation des stupefiants : comparaison des legislations francaise et allemande". Strasbourg 1, 1992. http://www.theses.fr/1992STR15072.

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Ferrari, Dina <1974&gt. "La trasformazione dei processi legislativi nella società dell'informazione: dall'e-Legislation all'e-Parliament". Doctoral thesis, Alma Mater Studiorum - Università di Bologna, 2011. http://amsdottorato.unibo.it/4004/1/FERRARI_DINA_TESI.pdf.

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The transformation of legislative processes in the Information society: from eLegislation to eParliament This research analyzes, by means of an interdisciplinary and comparative approach, the transformation of legislative processes produced by the introduction of new ICT technologies. The use of ICT in support of parliamentary activities is concerned with efficiency of parliamentary process and aims at more transparent procedures, improved access to documents, social participation and cooperation among institutions. With ICT Parliaments are now able to improve their efficiency and optimize their business; they can advance the dialogue with their citizen both, through the real access and the effective availability of information and, through new way of participation in the democratic process. Finally, sharing information, know-out, best practices and other records, Parliaments will be able to develop new information and knowledge and to strengthen the role and power of Institutions. Only through a global vision of the full process, re-thinking and develop rules and uniform standard and so implementing the new opportunities carrying out by ICT, it will be possible to put in practice concrete eParliament results. The Research goals are at least three: 1. To Analysed the legislative process and the ICT opportunities to understand the impact of the latter on the former. In particular to check up the problems that ICT can raise in relation of the constitutional principles ensuring the process itself. 2. To realized an abstract model representing the legislative process regardless of the form of government, chambers composition, legal system, etc. 3. To suggest standard, structural, linguistic and ontological, able to implement the new opportunities of sharing, cooperation and reuse among the many and various stakeholders of the democratic/legislative view.
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Ferrari, Dina <1974&gt. "La trasformazione dei processi legislativi nella società dell'informazione: dall'e-Legislation all'e-Parliament". Doctoral thesis, Alma Mater Studiorum - Università di Bologna, 2011. http://amsdottorato.unibo.it/4004/.

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The transformation of legislative processes in the Information society: from eLegislation to eParliament This research analyzes, by means of an interdisciplinary and comparative approach, the transformation of legislative processes produced by the introduction of new ICT technologies. The use of ICT in support of parliamentary activities is concerned with efficiency of parliamentary process and aims at more transparent procedures, improved access to documents, social participation and cooperation among institutions. With ICT Parliaments are now able to improve their efficiency and optimize their business; they can advance the dialogue with their citizen both, through the real access and the effective availability of information and, through new way of participation in the democratic process. Finally, sharing information, know-out, best practices and other records, Parliaments will be able to develop new information and knowledge and to strengthen the role and power of Institutions. Only through a global vision of the full process, re-thinking and develop rules and uniform standard and so implementing the new opportunities carrying out by ICT, it will be possible to put in practice concrete eParliament results. The Research goals are at least three: 1. To Analysed the legislative process and the ICT opportunities to understand the impact of the latter on the former. In particular to check up the problems that ICT can raise in relation of the constitutional principles ensuring the process itself. 2. To realized an abstract model representing the legislative process regardless of the form of government, chambers composition, legal system, etc. 3. To suggest standard, structural, linguistic and ontological, able to implement the new opportunities of sharing, cooperation and reuse among the many and various stakeholders of the democratic/legislative view.
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Basurto, Gonzáles Daniel. "Mexican Environmental Legislation". Derecho & Sociedad, 2015. http://repositorio.pucp.edu.pe/index/handle/123456789/118481.

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The evolution of environmental law in Mexico has developed efficient mechanisms for environmental protection. Mexico’s legal system stems from the civil law tradition and therefore is a system of positivelaw. Thus, the Mexican legal system is based in written laws, regulations and other legalprovisions, created by the legislature (Federal Congress) and applicable in the Mexicanterritory, without losing sight of Mexican Official Standards (NOM’s) and Mexican Standards (NMX).The present article will make and overview on the transformation of environmental law since 1987’s constitutional reforms, to the present day.
El tiempo y la experiencia en la aplicación de la Legislación Ambiental Mexicana ha sido detonante para el desarrollo de mecanismos cada vez más eficientes para la protección al medio ambiente.El Sistema Legal Mexicano es un sistema de derecho positivo. Así, el Derecho mexicano se encuentra basado en leyes escritas, reglamentos y otras disposiciones legales, creadas por el Congreso de la Unión y el Ejecutivo Federal; todas, aplicables en el territorio mexicano; sin perder de vista el rol de las Normas Oficiales Mexicanas (NOM’s) y las Normas Mexicanas (NMX).El presente artículo hará un recorrido en la transformación de la legislación ambiental desde las reformas constitucionales de 1987, hasta el día de hoy.
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Rosenson, Beth. "Legislative ethics regulation in the American states : explaining conflict of interest legislation, 1954-1996". Thesis, Massachusetts Institute of Technology, 2000. http://hdl.handle.net/1721.1/8855.

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Thesis (Ph.D.)--Massachusetts Institute of Technology, Dept. of Political Science, 2000.
Includes bibliographical references (p. 322-334).
This dissertation examines the regulation of conflicts of interest involving state legislators through the passage of ethics laws during the period from 1954-1996. The aim is to explain why legislators, who are notoriously loathe to regulate their own ethics, enacted a range of ethics laws during this time. I use a mixture of qualitative case studies and regression analysis at the individual and state levels, in order to explain the factors that lead legislators to oppose ethics reforms and the circumstances which facilitated refine success. Three main factors account for legislators' positions on ethics proposals: economic self-interest, institutional power, and ideology. Despite these reasons for opposing regulation, legislators agreed to enact ethics laws under certain conditions. Scandals and media attention to the problem of legislative ethics, as well as the efforts of governors and public interest groups, helped facilitate reform. In addition, the initiative process was a powerful weapon used by reform advocates, both for the enactment of new laws and the authorities of independent ethics commissions. While these outside actors and institutions played a critical role in explaining the likelihood and extent of reform, institutional features within the legislature itself also shaped the outcome of reform efforts. Although many states enacted relatively comprehensive ethics laws, these laws contained important concessions made to legislators in the course of bargaining with governors and public interest groups. Further, when it came to enforcement of the new laws, legislators have maintained close control over the new commissions, using methods such as appointment of commissioners, budgetary control, and legal challenges. Consequently, few state ethics commissions with jurisdiction over legislators have sufficient power and independence to carry out their mandate. Overall, the new legislative ethics laws and their enforcement are consistent with a picture of legislators as rational actors concerned with maintaining their economic wellbeing and institutional power, as well as legislative autonomy and power with regard to the executive branch.
by Beth Anne Rosenson.
Ph.D.
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Mangion, Raymond. "Maltese legislation, 1914-1964". Thesis, University of Oxford, 2002. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.251481.

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Maliehe, Mamotumi. "Cybercrime Legislation in Lesotho". Master's thesis, University of Cape Town, 2014. http://hdl.handle.net/11427/4662.

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This paper advocates introducing cybercrime legislation in Lesotho. Cybercrime is the hottest issue today. Cybercriminals can commit various illegal activities in cyberspace that few people even know exist. A nightmare scenario would be a hacker breaking into the hospital's computer systems on a fine morning and before doctors can arrive to treat their patients, the malicious hacker modifies patients' files on the hospital's database systems: [S]urgeries slated to be performed on the right leg are now switched to the left leg; recorded blood types are altered from AB-negative to O-positive; warnings for known allergies to medicines such as penicillin are electronically erased from patients' charts; and laboratory records on HIV blood tests results are insidiously switched from negative to positive just before patients are to receive their results. (Marc D Goodman 'Why the police don't care about computer crime' (1997) 10 Harvard Journal of Law and Technology 465 at 466). Although this scenario is possible with current technology, unfortunately Lesotho would be powerless to act for lack of adequate laws to investigate and prosecute this conduct. Lesotho's current criminal laws can hardly be enforced against cybercrime, as they do not clearly prohibit the crime. Therefore, this paper argues that Lesotho must adopt a comprehensive legal structure to deter and prosecute cybercrime. It does this by examining international and national approaches to cybercrime, with a view to providing guidance for an effective framework capable of addressing this 'new' crime. Cybercrime is a major global challenge requiring coordinated international effort. In a networked world no island is an island; cybercrime penetrates all countries because of its ability to cross national boundaries. Further, this paper suggests a model law that is based on the first international treaty which plays a key role in combating cybercrime. Finally, it recognises that legislation alone cannot fight cybercrime; law enforcement must be equipped to implement the law, and private citizens must know about cybercrime and the need to protect themselves and their systems and networks.
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Fagan, Frank <1977&gt. "Temporary versus Permanent Legislation". Doctoral thesis, Alma Mater Studiorum - Università di Bologna, 2011. http://amsdottorato.unibo.it/4090/1/fagan_frank_tesi.pdf.

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Fagan, Frank <1977&gt. "Temporary versus Permanent Legislation". Doctoral thesis, Alma Mater Studiorum - Università di Bologna, 2011. http://amsdottorato.unibo.it/4090/.

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Wintgens, Luc J. "The justification of legislation: an introduction to legisprudence, a new theory of legislation". Doctoral thesis, Universite Libre de Bruxelles, 2005. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/210996.

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General Introduction

The process of the institutionalisation of law that started at the end of the 18th century was followed by a general wave of codification throughout Europe. The French codification of 1804 was exemplary for all the others. The “law in books” was complete, certain, clear, and undisputable. From then on, the law in books had priority over the “law in action”. Law in books was a critique of law in action that preceded the French Revolution. Judicial activism was proscribed, and judges were called to apply the rules issued by the legislator.

This ideal of the French Revolution is still framing our pattern of legal thinking. It is dominant throughout the 19th century with the école de l’exégèse in France, Begriffjurisprudenz in Germany, and analytical jurisprudence in Anglo-American legal systems. Legal formalism or the deductive application of rules is the only form of judicial reasoning that is allowed. The science of law, as a consequence, was confined to a theoretical support and elaboration of this judge-centred approach to law.

This view on law and legal science persisted throughout the last century. It started being criticized in the late 1960s, a critique that paved the path for a more active role of the judge. New theories of interpretation were proposed so as to supplement the law in books with theoretically justified methodologies to determine its meaning.

The findings of legal theory are still, to a large extent, premised on the central role of the judge in the legal system. Although this evolution may be applauded for having contributed to a more dynamic attitude towards the law, the role of the legislator remains largely underexposed. Legal theory takes the law as “just there”, and limits its theoretical undertakings to law as it is. Law, so it is said, is the result of political decision-making. Once it comes into being however, it is separated from politics. Politics, that is, is thought of as impure, at least when compared to the methods of legal reasoning and decision-making.

This brings us to the theme of this book. Some of the questions I propose to explore are: Where does the law come from? What are the premises of a theory that considers law separated from politics? What does it mean for a legislator to be bound to the rules of a constitution throughout the process of legislation? Does the constitution consist of rules to be followed by the legislator or is its role merely confined to be a political programme?

These and other questions frame the main problem this book proposes to deal with. They are triggered by the fact of the exponential growth of today’s legal systems. Complaints about both the increasing volume of legislation and its decreasing quality in most European countries have raised the question as to whether collaboration between legislators and legal theory can help to articulate and to solve that problem.

As a matter of fact, although the complaints are made with an ever-stronger voice, solutions are by no means obvious. Legislation as a matter of politics is not rational. Politics is a power game, resulting in compromises that are framed into a legislative or statutory structure. This power game seems to have its own logic, the results of which most of the time outweigh any other form of logic.

Legal theory for its part is considered, from the perspective of politics at least, to be a “theoretical” approach to legal problems. It contributes to the description and systematisation of existing valid law. It shows up, like Minerva’s owl, after the sunset of legislative activity. From that perspective, there is not much hope that legal theory can usefully intervene in the process of legislation or regulation, i.e. before or during the creation of rules. Legal theory then is confined to “legal science” or “legal dogmatics”.

I propose to consider the problem of legislation from another angle. The premises of the problem are that, although legislation and regulation is the result of a political process, they can be the object of a theoretical study. Using an approach analogous to e.g. Hans Kelsen in legal theory ,the main idea is not to primarily focus on the content of rules and concepts, but rather on the structure and function of legal systems.

In the approach of this book, the focal point is on problems that are common to most legal systems and not on the characteristics, viz. the content of concepts that are specific for one or more legal systems. The creation of law, so is my claim, has become a problem.

Kelsen’s approach leaves legislation and regulation – apart from their formal validity aspects – outside the scope of study. The creation of rules relies on value judgments that are according to him not fit for theoretical study. In short, the creation of legal rules is a matter of politics and politics is not fit for scientific study.

This position is an understandable one, though it is only partially acceptable. Rule creation is a matter of choice. The legitimation of this choice is found in the democratic character of the regulating process and not in some science of values. In other words, would one try to mould legislation into the frame of a science, we would face something like “scientific politics”, as Marxism propagated, and which is, for several reasons, unacceptable.

A different standpoint is to study legislative problems from the angle of legal theory. This approach I propose to call legisprudence. The object of study of legisprudence is the rational creation of legislation and regulation. As to its method, it makes use of the theoretical insights and tools of current legal theory. Whereas the latter has been dealing most of the time dealing with problems of the application of law by the judge, legisprudence explores the possibilities of the enlargement of the field of study as to include the creation of law by the legislator.

Within this new approach, a variety of new question and problems – e.g. the validity of norms, their meaning, the structure of the legal system, etc. - are raised. They are traditionally dealt with from the perspective of the judge or are taken for granted by classical legal theory. However, when shifting our attention from the judge to the legislator, the same questions arise: In what sense does the legislator have to take the systematicity of the legal order into account? What counts as a valid norm? What meanings can be created and how? to mention but a few.

Traditional legal science or legal dogmatics covers many of these questions with the cloak of sovereignty. Legislators are sovereign, they decide what will count as a valid norm, and its meaning. Whether and how a rule and its meaning fit with the legal system, is then a matter of interpretation – and this is the task of the judge and the legal scientist.

On this view, the process of legislation seems to be inappropriate for theoretical inquiry. After long decades of legalism in legal reasoning, it can be said that the dominant views in legal theory resulting from that, have precisely barred the way for inquiring into the position of the legislator. Everything happens behind the veil of sovereignty as far as legislation properly so called is concerned, and behind the veil of legality when it comes to the execution of legislative acts. These veils conceal a great part of ignorance related to the possibilities of an alternative theoretical reflection on rule making. Sovereignty itself, so one can say, creates silence about this alternative, so that it becomes “sovereignty in silence” .

Sovereignty of the ruler prevents his rules from being questioned in any other than binary terms. Validity is a good example of that. The only question that is worthwhile putting is: Is this propositional content a valid rule yes or no? As a consequence, questions on its efficacy, effectivity, efficiency, or acceptability are not in order.

The claim of legisprudence is that these questions, like others, are important ones, and that they can be analysed with the help of legal theory.

The book is divided into three parts.

In the first part, I propose to explore the three basic tenets of the Modern philosophical project as Descartes inaugurated it. These three tenets are: rationality, the individuality of the subject, and freedom. A brief sketch of what is meant by them is offered in the first chapter.

Rationality as it is dealt with in the Modern philosophical project means that what is rational is self-evident. Self-evidence is certainty and certainty is the mark of truth. The question for whom something is certain is however left out of view. The subject, that is, has himself immediate access to reason and truth upon the use of his rational capacities. The latter are presumed to be identical in and for all. The subject’s reflection on himself leads to the true insight that he is a res cogitans.

The subject thinks of himself as an ”I”, that is, as an individual. Others are not thought of as others, but rather as representations or ideas. The subject as an individual is a product of thought, that is, upon the Modern approach of rationality, a theoretical idea.

As a result of rationality as self-evidence and the subject as an individual, practical reason is confined to free will. Freedom as the third basic tenet of the Modern philosophical project is limited to following the commands of God and the rules of the country. These commands and rules are found “out there”, without questioning either their origin or their purpose.

The main critique of the Modern philosophical project as it is briefly set out in the first chapter is that it is based on the so-called "scholastic fallacy”. This fallacy involves that rationality is presupposed identical in everyone’s head. On the supposition that all subjects are ontologically rational as Descartes suggests, their use of their rational capacities would result in an identical outcome that is truth. The universality of reason is, however, a hidden premise of the Modern philosophical project. It unfolds from a “view from nowhere”. This view of rationality is challenged as an unreflected one, and the methodological device of this book is to avoid this type of fallacies.

Chapter 2 focuses on the idea of science as it comes up with the Modern philosophical project. The infinite universe is substituted for the Aristotelian closed world. Mathematics becomes the appropriate method of the scientia nova that Descartes and Galileï initiate. As Descartes’ method aims at being a mathesis universalis it is believed to include the aptitude to deal with any problem, theoretical as well as practical.

The subsequent epistemologization of philosophy tacitly presupposes that mathematics belongs to the very nature of reality. From there, it follows that philosophy is thought of as a theory of reality. On an alternative view, mainly advocated by, e.g. Heidegger, it is claimed that mathematics as a method of science is a matter of choice. If the method is a matter of choice, the scientia nova can be articulated as a liberation from the shackles of ecclesiastical authority, and hence as a matter of freedom. Another consequence is that the scientia nova can articulate true propositions about reality, without having direct access to it. The distinction between a theory of reality and a theory about reality is illustrated with the help of the conflict between Galileï and the Church.

Chapter 3 concentrates on the subject and rationality. Both the subject and rationality are put in context, that is, a context of participation. With this approach, I propose to challenge the self-evidentiary character of rationality as well as the idea of the isolated and ontologically anchored Cartesian subject. Relying on George Herbert Mead’s theory of the subject, I argue that the subject is first and foremost an “intersubject”.

The subject, it is argued, is a social subject whose self emerges through interaction with others. The substitution of a subject of meaning for a subject of truth concretises the critique of the Cartesian subject in the first chapter. Both the subject and meaning, so it is argued, emerge from interaction in a context of participation. The subject’s self includes a social as well as an individual pole. These two poles and the interaction between them have been neglected throughout the Modern philosophical project. By articulating them, an attempt is made to take the subject qua subject seriously.

A similar contextualisation is operated with rationality. Rationality, even in its rationalistic appearance, is not self-revealing. The idealisation of rationality in the Modern philosophical project, that is, its decontextualisation, obscures the fact that it is historically situated. This situatedness refers to its emergence and operation in a specific context. This recontextualisation shows it as one conception of rationality among others. The Modern philosophical project held its conception of rationality to be a reflection of reality, upon its belief in the direct access to the latter.

The distinction between conceptions on the one hand and a concept on the other is the methodological device that serves to further articulate the concept of freedom. This is the theme of chapter 4. Freedom is related to the emergence of science in the 17th century. While the subject and rationality were connected to a context of participation in the foregoing chapters, attention will be drawn to the characteristics of the concept of freedom in this chapter.

The basic premise of the theory of freedom proposed in this chapter comes to saying that in the absence of any external limitation, subjects are free to act as they please. If they want to act, however, freedom unlimited as it is called must be determined. This means that from the infinite range of possibilities, a choice has to be made. Without a choice, everything remains possible though no action can occur. To make a choice implies that the concept of freedom is concretised. This concretisation is called a conception. Action is possible, so it is argued further, on two types of conceptions. One is a conception of freedom, the other a conception about freedom. A conception of freedom is a conception of the subject himself; a conception about freedom on the contrary is a conception of someone else.

On the basic premise of the theory of freedom advocated throughout the book, freedom is unlimited. This includes a priority of the subject acting on conceptions of freedom. Therefore, his acting on conceptions about freedom must be justified. This requirement of justification is connected to the idea of freedom as principium. A principium has a twofold meaning. The first is a starting point; the second is that a principle is also a leitmotiv.

Freedom unlimited is the starting point of political philosophy as it is found in Hobbes and Rousseau. They will be our main discussion partners throughout the book. Their theory of the social contract as the basis of the construction of political space is premised by the idea of freedom unlimited. They do neglect though the second aspect of freedom as principium, that is, freedom as the leitmotiv of the organisation of political space. This aspect is briefly elaborated in chapter 4 where Hobbes’ theory is diagnosed as a theory about freedom, while it purports to be a theory of freedom.

Freedom as principium and the priority of the subject acting on conceptions of freedom that it involves is identified as the basic principle of legisprudence. It holds, summarizing, that law can only be legitimate if it is legitimated to operate as an alternative for failing social interaction. The idea of freedom as principium will be elaborated in chapter 8 where I proceed to the identification of the principles of legisprudence.

The second part of the book is dedicated to the problem of legalism and legitimation.

Chapter 5 explores the reason for the absence of a theory of legislation until now. The main reason is that law, from the very beginning of the Modern philosophical project, is unfolded as a reflection of reality. The obscuration of the embedment of law in the realm of politics is explained as a strategy of practical reason. This strategy is at the basis of what is identified as strong legalism. Strong legalism is the dominant pattern of thought in legal thinking. It holds that normativity is a matter of rule following, irrespective of where the rules come from. It easily fits the idea of the provisional morality Descartes has sketched, but that never came to a real end.

The main characteristics of strong legalism are pointed from a reading of Hobbes and Rousseau. The characteristics identified are: representationalism, universality or the neglect of the time dimension, concealed instrumentalism, and etatism. These characteristics of the legalistic thought pattern are supported and corroborated by a type of legal science that finds its roots in the Modern philosophical project.

Over against this form of legalism that is labelled “strong legalism” chapter 6 explores the contours of a different brand of legalism that I propose to mark as “weak legalism”.

Weak legalism or “legalism with a human face” comprises a critique of strong legalism in that the latter neglects the position of the subject qua subject. As it will be discussed in the first part of the book, the Modern philosophical project makes the subject the preponderant actor in reality. He is, however, an actor in a play written in advance by others and not an auctor or an agent.

To take the subject qua subject seriously, as weak legalism purports, entails placing him in a context with others. This part of chapter 6 joins the insights articulated in the first part of the book, more specifically in chapter 2. Others, and not just “otherness” as a representation of the subject, belong to the subject’s context. If it is in this context that the self and meaning emerge, this process is not necessarily conflict-free. Hobbes and Rousseau conclude from this fact that social interaction leads to war. It provides them with an argument to substitute interaction based on legal rules from social interaction based on conceptions of freedom. The former are issued by the sovereign and can be qualified as conceptions about freedom.

Hobbes and Rousseau hold that this substitution is ipso facto legitimate. On the theory of freedom that was sketched out in chapter 4, this substitution however needs to be legitimated.

Chapter 7 deals with the issue of legitimation. I distinguish to begin with between jusnaturalistic and non-jusnaturalistic theories of legitimation. On the former, law is legitimated if it corresponds to at least one transcendent true norm. On the latter, no transcendent content is available. This is proper to a democratic theory of legitimation upon which the demos determines the ends of action as well as the means to realise them.

Apart from this difference between jusnaturalistic and non-jusnaturalistic theories, the dynamics of the legitimation process they embrace is the same. This dynamic refers to the direction of the legitimation chain. In jusnaturalistic theories, the dynamics of the legitimation chain runs from a transcendent norm to a rule of the sovereign. In non-jusnaturalistic theories exemplified by Hobbes and Rousseau the dynamics of the chain runs from an initial consent to the social contract to the set of rules issued by the sovereign.

The dynamic of the chain in both type of theories, so it is argued, is irreversible. The operationalisation of political space ensuing from the social contract is what legislation is about according to the Modern philosophical project. Taken as it stands, the initial consent of the subjects to the social contract or their proxy to the sovereign is an action on a conception of freedom. They do give, though, a proxy to the sovereign to issue subsequent limitations of their freedom that are yet unknown when subscribing the contract .From the “moment” of the contract, the sovereign is legitimated in substituting conceptions about freedom for conceptions of freedom. The initial proxy contained in the contract covers any of his limitations of freedom. As both Hobbes and Rousseau argue, the rules of the sovereign are always morally correct. As a consequence, they cannot be criticized for whatever reason. Would this be possible then the chain of legitimation initiated by the social contract would be reversed.

On strong legalism, however the chain is unidirectional. The sovereign transforms any propositional content into a true norm, which allows for the qualification of sovereignty as a black box.

Chapter 7 ends with the articulation of some possibilities of reversing the chain of legitimation in what is called the proxy model. On this idea of a reversal of the legitimation chain, a more general approach is initiated. This approach leads to the claim that a legislator’s limitations of freedom are to be justified. They are deemed legitimate and legitimated on a general proxy. The latter however affects he reflexive character of freedom of the subject. On the idea of a general proxy, any of his conceptions of freedom can a priori be replaced by conceptions about freedom. The general approach to the idea of a reversal of the legitimation chain comes to say that this substitution must be justified. Sovereigns, that is, should give reasons for their rules.

This is basically what legisprudence as a theory of rational legislation comes to. Its more concrete articulation is the topic of the third part of the book.

Chapter 8 starts with the exploration of an alternative for the proxy model of legitimation that was investigated in the previous chapters. The alternative is labelled the trade-off model. On this model, the subjects trade off conceptions of freedom for conceptions about freedom. This comes to saying that the substitution of conceptions about freedom for conceptions of freedom must be justified. No rule can be held legitimate if this justification or legitimation is lacking.

The trade off model is based on freedom as principium in its twofold meaning. Freedom unlimited as was argued in chapter 4 is both the starting point and the leitmotiv of the organisation of political space. It follows from there that subjects are primarily to act on conceptions of freedom. A substitution of a conception about freedom for conceptions of freedom can only be legitimate if it is legitimated or justified as an alternative for failing social interaction. This is the first principle of legisprudence that is called the “principle of alternativity”. The second principle is the principle of necessity of the normative density. Rules should not automatically contain sanctions. If sanctions are included, this requires a specific justification. Rules with a sanction embrace a double reduction of freedom. First, the pattern of behaviour is imposed and second its realisation is enforced. Before realising a rule with the help of force alternative means of achievement of its goals are to be outweighed.

The third principle of legisprudence is the principle of temporality. The limitation of freedom on a conception about freedom must be justified as “on time”. Any justification is embedded in a context. This means that if it is successful it will only be temporarily so. The principle of temporality then requires a justification over time, and not only on the moment that a rule is issued.

The principle of coherence is the fourth principle of legisprudence. It requires that rules, both judicial and legislative make sense as a whole. The principle of coherence thus identified is elaborated in a theory that I propose to call the “level theory of coherence”, and that makes part of legisprudence.

At the end of the chapter, the principles of legisprudence are focused on from the position of the legislator before they are further explored in chapter 9. This chapter concretises the operationalisation of the principles of legisprudence. The principles of legisprudence, so it is argued, are to be read within the context of one another. Upon weighing and balancing their relative weight in the process of legislation, the ruling of the sovereign can be said to be legisprudentially optimal.

Legisprudential optimality on its turn is further concretised in chapter 10. The sovereign has to discharge of his duties throughout the legislative process while taking the circumstances of legislation into account. These circumstances are the fact that subjects interact with each other on the basis of conceptions of freedom. These circumstances result from the theory of freedom that was set out in chapter 4 and further elaborated in the subsequent chapters.

The duties of the sovereign throughout the process of legislation amount to a duty of fact finding, problem formulation, weighing and balancing of alternatives, prognosis, retrospection, taking future circumstances into account and finally a duty to correction.

Finally, a brief sketch is offered of the concept of validity according to legisprudence. Apart from the necessity of formal validity, both efficacy and axiological validity are briefly commented upon. From the diagnosis of some theories of validity that mainly focus on only one of the aspects of validity, the concept of validity according to legisprudence is called “network validity”.

Projects like this book would never begin, let alone come to an end, without the help of a large number of people. I will not enter into a detailed description of their contribution. Suffice to mention their names with the hope that they will recognize some of their thoughts, reflections, critiques and encouragements somewhere in the book.

The persons that come to my mind are Aulis Aarnio, Maurice Adams, Manuel Atienza, John Bell, Samantha Besson, Guido Calabresi, Tom Campbell, Carine Caunes, Emilios Christodoulidis, Wochiech and Aga Cyrul, Martine de Clerq, Pieter Dehon, Erwin Depue, Johan Desmet, David Dhooge, Guillaume Drago, Hugues Dumont, Philip Eijlander, Michiel Elst, René Foqué, Benoit Frydman, Tito Gallas, Philippe Gérard, René Gonzalez, Guy Haarscher, Mark Hunyadi, Sheldon Leader, Maria-Isabelle Köpke-Tinturé, Neil MacCormick, Francesco Laporte, Luzius Mader, Frank Michelman, Charles-Albert Morand, Dwight Newman, François Ost, Juliane Ottmann, Richard Parker, Trinie Parker, Aleksander Peczenik, Chaïm Perelman, Vlad Perju, Kauko Pietillä, Juha Pöhöynen, Daniel Priel, Pekka Riekinen, Thomas Roberts, Eric Rossiaux, Geoffrey Samuel, Jerzy Stelmach, Andreas Takis, Benoît Timmermans, Philippe Thion, Hannu Tolonen, Michel Troper, François Tulkens, Stamatios Tzitzis, François Vallançon, Koen Van Aeken, Wibren Van der Burg, Mark Van Hoecke, Michiel Vandekerckhove, Frederik Vandendriesche, Rob van Gestel, Scott Veatch, Roger Vergauwen, Amaryllis Verhoeven, Michel Villey, Jeremy Waldron, Kenneth Winston, Willem Witteveen, Wochiech Zadurski and Marek Zyrk-Zadurski.

Thomas Roberts helped me with the linguistic corrections of the text.

I have a special debt to Mark Van Bellingen and Lilly De Vooght for their views on the context of participation, the idea of a hermeneutical point of view and their critique on the “view from nowhere”.

1\
Doctorat en philosophie et lettres, Orientation philosophie
info:eu-repo/semantics/nonPublished

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Gardner, Catherine Patricia. "Increased legislation, decreased control : the paradox of immigration policy and legislation, 1996–2006". Thesis, Queen Mary, University of London, 2010. http://qmro.qmul.ac.uk/xmlui/handle/123456789/490.

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The thesis is primarily concerned with the practical formulation and implementation of immigration and asylum policies in the UK between 1996 and 2006. The focus is on these ten years because I contend that it is the legislation and the circumstances, rather than the specific party of government that has been responsible for perpetuating further legislation. This thesis argues that the development of immigration and asylum legislation has created an undeliverable framework for implementation. It examines the difficulties of the decision-making process using a bifurcate approach; there is a macro-view of immigration and asylum trends over the past century presented, focussing on increases in numbers of migrants during recent years. This overview is brought into sharp contrast through an empirical study of the communication of policy to Home Office staff, which provides the basis for micro analysis. This combination of evidence illustrates that the successful implementation of legislation and policy is wholly dependent upon the accurate communication to, and interpretation by, frontline staff. The paradox of this thesis’s title lies in the fact that it is the increase in the volume of legislation and policy, introduced and intended to prevent the use of discretion by caseworkers, that has directly contributed to difficulties in implementation and to the increased use of discretion by caseworkers. The thesis concludes that by seeking to control immigration purely through the enactment of new legislation, rather than enforcing or reviewing existing controls, the government has succeeded in undermining their own legislation. In addition, a lack of institutional memory has resulted in the duplication and unnecessary proliferation of legislation, which in turn has created information overload for implementers and the increased use of bureaucratic discretion. I contend that it is this confusion and the resulting effects of discretion that has lead to the introduction of further legislation.
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13

Cheung, Francis. "Bilingual legislation for Hong Kong". Thesis, University of Ottawa (Canada), 1993. http://hdl.handle.net/10393/6519.

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Nkomadu, Obinna Emmanuel. "Maritime piracy legislation for Nigeria". Thesis, Nelson Mandela University, 2017. http://hdl.handle.net/10948/14046.

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As a result of maritime piracy attacks in the Gulf of Guinea, especially in the West Africa sub-region, off the coast of Nigeria the researcher started carrying out research in 2014 on the laws pertaining to piracy. In this regard Nigeria does not have the legal framework to effectively address the threat of piracy off its coast but a Bill entitled: “Piracy and Other Unlawful Acts at Sea (and Other Related Offences) Act” has been forwarded to the Nigerian National Assembly in order to criminalise ‘piracy and other unlawful acts at sea’. For this reason, the researcher deems it necessary to examine the provisions of the Bill to determine whether it is adequate to address the threat of piracy or whether there is a need to reform or improve it. As a result of the research, it was revealed that the Bill will never achieve the purpose for which it was drafted as the legal framework on piracy of the Bill has many limitations which makes it easier for perpetrators to escape punishment. In order to achieve the goal of this Bill, the researcher deemed it necessary to contribute by drafting maritime piracy legislation for Nigeria that effectively addresses the threat of piracy off its coast, relying on the preparatory work for UNCLOS and other global, continental and regional instruments relevant to maritime piracy. Relied upon also are comparative analyses of piracy legal system of Anglophone African States and Nigerian legislation. This draft legislation amends the limitations of the Bill and is in accordance with legal notions of piracy which emerge from the combination of the principles of criminal and international law.
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15

Kovesi, Killerby C. M. "Italian sumptuary legislation, 1200-1500". Thesis, University of Oxford, 1991. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.315864.

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DACHILLE, GIUSEPPE. "Essays on employment protection legislation". Doctoral thesis, Università degli Studi di Roma "Tor Vergata", 2014. http://hdl.handle.net/2108/201758.

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Xia, Chunli. "Autonomous legislatures under China's regional ethnic autonomy law, reality and potential /". Click to view the E-thesis via HKUTO, 2008. http://sunzi.lib.hku.hk/hkuto/record/B40988120.

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18

Dahlin, Eric C. "Legislating citizenship in the United States : the impact of state building on woman suffrage legislation, 1848-1918 /". Diss., CLICK HERE for online access:, 2002. http://contentdm.lib.byu.edu/ETD/image/etd78.pdf.

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Dahlin, Eric C. "Legislating Citizenship in the United States: The Impact of State Building on Woman Sufferage Legislation, 1848-1918". BYU ScholarsArchive, 2002. https://scholarsarchive.byu.edu/etd/113.

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This is a state-level analysis of the impact of state building on woman suffrage legislation in the United States. This study examines all states in which state legislatures were conferred the power to submit a constitutional amendment to the electorate for approval. I use a sequential random-effects logistic regression model to estimate the effects of state building on legislative outcome. Legislative outcome is measured in three stages: whether or not a bill is introduced in either the House or the Senate during a legislative session, whether or not a bill is voted on in either the House or the Senate during a legislative session, and whether or not a bill is passed in either the House or the Senate during a legislative session. The data used in this study were collected from legislative journals and other sources which represent the most comprehensive and accurate data that have been used to study woman suffrage legislation. Most studies of woman suffrage explain success by concentrating on changing gender norms. While this may have explained eventual success, it overlooks barriers that existed within state governments. Only 15 states granted full woman suffrage prior to the Nineteenth Amendment, the majority of which were in the West. I argue that understanding the structure of state governments provides insight into the success of western states and also provides insight into the timing of success. I do this by moving beyond contemporary social movement theory and by adapting aspects of institutional politics theory and organizational theory. Specifically, I examine the dynamics of partisan politics, organizational characteristics of state government, and the legislative process. I find that partisan politics and organizational dynamics impact legislative success. Specifically, legislatures are more likely to pass suffrage bills in states that are more democratized, that are characterized by reform-oriented regimes, where woman suffrage advocates have a greater political presence, where there is less structural inertia, and where a smaller constitutional majority is required.
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20

Nzimande, Eric Sibusiso. "Minimum sentence legislation in South Africa". Thesis, Nelson Mandela Metropolitan University, 2012. http://hdl.handle.net/10948/d1012041.

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Legislation regulating minimum sentences in South Africa was re-introduced by sections 51 to 53 of the Criminal Law Amendment Act 105 of 1997 which came into operation on 1 May 1998. These provisions were regarded as a temporary measure to be effective for two years, where after they were extended from time to time. After they had been extended for several times, section 51 was rendered permanent on 31 December 2007 by the Criminal Law (Sentencing) Amendment Act 38 of 2007. At the same time sections 52 and 53 were repealed by the same Act. Minimum sentence legislation was the result of a call by the community for heavier penalties and for the offenders to serve more realistic terms of imprisonment. There was also a general dissatisfaction about the perceived leniency of sentences imposed by the courts for serious crimes. During 1996 and in the wake of these concerns the Minister of Justice requested the South African Law Reform Commission to investigate all aspects of sentencing in South Africa. A Project Committee chaired by a judge of the High Court was appointed and it operated from the late 1996 to March 1998. Minimum sentences for certain serious crimes were one of the options to be investigated by the Project Committee. Consequent to this the Criminal Law Amendment Act 105 of 1997 was promulgated with effect from 1 May 1998. The legislature intended this Act to defer criminal activity, to avoid disparities in sentencing and to deal harshly with perpetrators of serious offences. The subsequent amendments to the Act included the granting of jurisdiction to the Regional court to pass life imprisonment, an automatic right of appeal against life imprisonment in respect of a juvenile accused and identification of circumstances that do not constitute substantial and compelling circumstances. Judicial discretion and departure from prescribed minimum sentences had initially presented a problem regarding its interpretation in a variety of cases in our courts. Eventually our courts came up with a clear interpretation of the meaning of the phrase substantial and compelling circumstances. This research project will analyze the provisions of the Criminal Law Amendment Act 105 of 1997 with regard to minimum sentences for certain serious offences. In the process case law and other literature will be discussed regarding the interpretation of minimum sentence provisions in the Act. Recommendations for legislation which will cover the aspect of sentencing on a wider scale are made.
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21

Ruhl, Monika J. "Dangerous sexual offender legislation in Canada". Thesis, University of Ottawa (Canada), 1986. http://hdl.handle.net/10393/5325.

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Holm, Cyril. "F. A. Hayek's Critique of Legislation". Doctoral thesis, Uppsala universitet, Juridiska institutionen, 2014. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-236890.

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The dissertation concerns F. A. Hayek’s (1899–1992) critique of legislation. The purpose of the investigation is to clarify and assess that critique. I argue that there is in Hayek’s work a critique of legislation that is distinct from his well-known critique of social planning. Further that the main claim of this critique is what I refer to as Hayek’s legislation tenet, namely that legislation that aims to achieve specific aggregate results in complex orders of society will decrease the welfare level.           The legislation tenet gains support; (i) from the welfare claim – according to which there is a positive correlation between the utilization of knowledge and the welfare level in society; (ii) from the dispersal of knowledge thesis – according to which the total knowledge of society is dispersed and not available to any one agency; and (iii) from the cultural evolution thesis – according to which evolutionary rules are more favorable to the utilization of knowledge in social cooperation than are legislative rules. More specifically, I argue that these form two lines of argument in support of the legislation tenet. One line of argument is based on the conjunction of the welfare claim and the dispersal of knowledge thesis. I argue that this line of argument is true. The other line of argument is based on the conjunction of the welfare claim and the cultural evolution thesis. I argue that this line of argument is false, mainly because the empirical work of political scientist Elinor Ostrom refutes it. Because the two lines of argument support the legislation tenet independently of each other, I argue that Hayek’s critique of legislation is true. In this dissertation, I further develop a legislative policy tool as based on the welfare claim and Hayek’s conception of coercion. I also consider Hayek’s idea that rules and law are instrumental in forging rational individual action and rational social orders, and turn to review this idea in light of the work of experimental economist Vernon Smith and economic historian Avner Greif. I find that Smith and Greif support this idea of Hayek’s, and I conjecture that it contributes to our understanding of Adam Smith’s notion of the invisible hand: It is rules – not an invisible hand – that prompt subjects to align individual and aggregate rationality in social interaction. Finally, I argue that Hayek’s critique is essentially utilitarian, as it is concerned with the negative welfare consequences of certain forms of legislation. And although it may appear that the dispersal of knowledge thesis will undermine the possibility of carrying out the utilitarian calculus, due to the lack of knowledge of the consequences of one’s actions – and therefore undermine the legislation tenet itself – I argue that the distinction between utilitarianism conceived as a method of deliberation and utilitarianism conceived as a criterion of correctness may be used to save Hayek’s critique from this objection.
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23

Bulkley, Celeste. "Evaluating Dynamic Explanations for Immigration Legislation". Honors in the Major Thesis, University of Central Florida, 2004. http://digital.library.ucf.edu/cdm/ref/collection/ETH/id/707.

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This item is only available in print in the UCF Libraries. If this is your Honors Thesis, you can help us make it available online for use by researchers around the world by following the instructions on the distribution consent form at http://library.ucf
Bachelors
Arts and Sciences
Political Science
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24

Pool, Estelle. "Insider trading : has legislation been successful?" Thesis, Stellenbosch : Stellenbosch University, 2008. http://hdl.handle.net/10019.1/6172.

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Thesis (MBA (Business Management))--Stellenbosch University, 2008.
ENGLISH ABSTRACT: This research report reviews South African and international legislation aimed at preventing insider trading and provides an overview of the successful criminal and civil proceedings taken against insiders. It highlights the possible preventative measures South African companies and legislature can take to reduce insider trading. The United States of America is one of the few countries that had successfully implemented legislation prohibiting insider trading prior to the 1990s. Most countries, including South Africa, only implemented legislation prohibiting insider trading in the late 1990s. Due to apartheid and sanctions against South Africa, the JSE has built up a legacy of being an insider's haven. The Directorate of Market Abuse has the task of transforming this legacy to restore investors' confidence in the market in order to promote economic growth. The success of the legislation is firstly measured by the knowledge the market has gained relating to insider trading since the implementation of the legislation. According to the South African market, insider trading is unethical, but 22% of the participants in the G:cnesis survey still believe that it is an acceptable practice in the South African market. South African companies therefore need to educate their employees and take preventative measures to reduce insider trading in order to erode this culture. Insider trading can only be prevented and reduced if legislation is enforced. Globally, few legal criminal proceedings have been successful, therefore legislation in most countries makes provision for civil remedies. As the burden of proof in a civil legal proceeding is only on "a balance of probabilities", civil proceedings against insiders have been successful. In South Africa, the majority of cases referred for civil legal action have been settled out of court by the alleged insider without admitting guilt to a criminal offence. The South African legislation regulating insider trading in the market is aligned with legislation globally. South Africa's future challenges are to maintain the initial success achieved in reducing insider trading. The establishment of a specific court specialising in financial crime and monitoring specific changes to legislation could increase the possibility of future success.
AFRIKAANSE OPSOMMING: Die projek ondersoek die Suid-Afikaanse en internasionale wetgewing teen binnehandel. Verder word die suksesvolle kriminele en siviele verrigtinge teen diegene wat hulle aan binnehandel skuldig maak onder die soeklig geplaas. Die projek beklemtoon die moontlike voorkomingsmaatreels wat Suid-Afrikaanse maatskappye en regslui kan implementeer om moontlike toekomstige binnehandel te bekamp. Die Verenigde State van Amerika is een van die min lande wat reeds voor die 1990s wetgewing teen binnehandel suksesvol geimplementeer bet. Ander lande, insluitend Suid-Afrika, het eers in die laat 1990s wetgewing teen binnehandel geproklameer. Apartheid en sanksies teen Suid-Afrika het 'n nalatenskap van vrye binnehandel op die JSE gelaat. Dit is die taak van die Direktoraat van Markmisbruik om hierdie nalatenskap uit te wis, sodat beleggersvertroue in die mark herstel kan word, wat weer tot ekonomiese groei sal lei. Een van die maatstawwe om die sukses van die wetgewing te meet, is om te bepaal hoeveel kennis die finansiele gemeenskap sedert die implementering van die nuwe wetgewing ingewin het. Volgens die finansiele gemeenskap is binnehandel oneties, maar 22% van die deelnemers aan die G:encsis-opname glo dat binnehandel wel in Suid-Afrika aanvaarbaar is. Daarom moet Suid-Afrikaanse maatskappye hulle werknemers se kennis oor binnehandel verbreed en ander voorkomende maatreels in plek stel om die kultuur van binnehandel te elimineer. Binnebandel kan slegs voorkom en verminder word indien wetgewing geimplementeer word. Relatief min kriminele sake teen binnehandel lei tot skuldigbevinding, maar plaaslike en internasionale wetgewing maak voorsiening vir siviele aksies. In 'n siviele hofsaak moet ingediende bewyse slegs na alle waarskynlikheid die skuld van die oortreder bewys, wat suksesvolle siviele vervolging moontlik maak. Die meerderheid siviele sake in Suid-Afrika word buite die bar geskik sonder dat die aangeklaagde skuld aan 'n kriminele daad erken. Die Suid-Afrikaanse wetgewing is in lyn met internasionale standaarde. Suid-Afrika staar verskeie uitdagings in die gesig ten opsigte van die handhawing van die huidige suksesvolle bekamping van binnehandel. Die moontlike totstandkoming van 'n spesiale hof, wat slegs finansiele verwante oortredings aanhoor en veranderings aan die wetgewing kontroleer, kan bydra tot die toekomstige sukses van die Suid-Afrikaanse wetgewing.
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25

Ryan, Mikel R. "AN INTRODUCTION TO SPECTRUM REALLOCATION LEGISLATION". International Foundation for Telemetering, 1999. http://hdl.handle.net/10150/608743.

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International Telemetering Conference Proceedings / October 25-28, 1999 / Riviera Hotel and Convention Center, Las Vegas, Nevada
In the past four years Congress has passed legislation mandating the reallocation of 255 MHz of radio frequency bands from Federal to non-Federal or “MIXED USE.” Several of the frequency bands supporting telemetering functions were affected, and more legislation of this nature is forecasted.
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26

Jurgens, Ulrich. "Enforcement of UK merchant shipping legislation". Thesis, University of Southampton, 2009. https://eprints.soton.ac.uk/67656/.

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The basis of this thesis is an investigation of Maritime and Coastguard Agency (MCA) administrative and criminal enforcement files, relating to UK detentions and prosecutions. It would appear that this is the first time that such an analysis has been made. The thesis is divided into four parts of which Part B and C form the heart of the work. These two consider administrative (Part B) and criminal (Part C) enforcement measures and discusses their legal basis. But before these subjects are dealt with in more detail, enforcement personnel and their roles are analysed (Part A), and their role is compared to inspectors of the Health and Safety Executive and the Marine Accident Investigation Branch (MAIB). Human rights and their impact on both enforcement process and inspectors of MCA and MAIB are addressed within the context of the Merchant Shipping Act 1995 and Regulations issued under the Act. The thesis identifies inconsistencies of UK legislation when compared with European law and apparent lack of clarification within UK law. The analysis of administrative enforcement measures focuses on detentions of merchant ships whereas the discussion of criminal enforcement measures concentrates on the areas which the files suggested were the most affected by investigations and prosecutions, namely groundings, violations of the Collision Regulations and pollution incidents. It becomes clear from the research that detentions by far outweigh prosecutions, that MCA policy supports this approach and that enforcement personnel indicate a preference for such administrative enforcement measures. However, a large number of Detention Notices were found non-compliant with legal requirements. Still only one case was identified, documented and discussed where the MCA was taken to arbitration by the owner affected by a detention. The thesis offers suggestions as to how the work of MCA enforcement personnel can be improved and (Part D) what measures would seem to be appropriate for the lawmakers to take in the future. It is suggested that the approach taken in recent European oil pollution legislation to focus on serious negligence rather than on strict criminal liability could offer a suitable way forward. Throughout this work I have endeavoured to state the law as at 31 October 2008. In a number of cases it has been possible to take account of developments since that date as my viva voce only took place in June 2009. I have made reference to new European and UK pollution legislation (see Chapter 13, fn 1) which came into force or will come into force in the course of 2009. I also used the decision in TS Lines Ltd v. Delphis NV (The TS Singapore), [2009] EWHC B4 (Comm) in Chapter 8.6.2. to help clarify the discussion about the quantum of compensation in an arbitration over a detention. But I did not carry out a detailed analysis of the new legislation and that case. The decision in Club Cruise Entertainment and Travelling Services Europe BV v. The Department For Transport [2008] EWHC 2794 (Comm) of 18 November 2008, however, was fully analysed and relevant aspects found their way into the discussion in the thesis.
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27

SAUX, ANNE-MARIE. "Secret medical et psychiatrie : legislation actuelle". Toulouse 3, 1989. http://www.theses.fr/1989TOU31279.

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PATRIARCHE, JEAN-PIERRE. "Procreation artificielle : methodes, ethique et legislation". Aix-Marseille 2, 1988. http://www.theses.fr/1988AIX20449.

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29

Turková, Pavla. "Oceňování nemovitostí v podmínkách České a Slovenské republiky". Master's thesis, Vysoká škola ekonomická v Praze, 2013. http://www.nusl.cz/ntk/nusl-162496.

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This thesis deals with the valuation of real estates in two countries. The problem is solved in terms of Czech and Slovak Republic. All methods are explained in detail and then compared. The thesis also includes a practical example of the valuation of the house in terms of both countries. The conclusion set out the most important differences.
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30

Haynes-Belizarie, Aisha L. "Legislating social justice policy: a case study of sponsored legislation by black congresswomen during the 108th congressional session". DigitalCommons@Robert W. Woodruff Library, Atlanta University Center, 2012. http://digitalcommons.auctr.edu/dissertations/732.

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The focus of this case study examines black congresswomen in the United States during the 108 th Congressional Session and their legislative advocacy for social justice through progressive policies. The questions guiding the research were: RQ1: Did black congresswomen, in the 108 th Congressional Session, use the sponsorship of legislation to advocate social justice through progressive policies? RQ2: What was the frequency of issues addressed in the legislation and the top five issues advocated? RQ3: What was the outcome of sponsored legislation? This case study examined 300 pieces of legislation sponsored by black congresswomen during the years of 2003 and 2004. The data collected were coded and analyzed using descriptive statistics. The findings revealed that black women in Congress almost exclusively sponsor legislation that advocated social justice through progressive policies. Issues that were strongly advocated were in the categories of (1) Civil and Human Rights, (2) Women and Children, (3) Health and Safety, and (4) Education and Labor.
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31

Oehmichen, Anna. "Terrorism and anti-terror legislation: the terrorised legislator? : a comparison of counter-terror legislation and its implications on human rights in the legal systems of the United Kingdom, Spain, Germany and France /". Antwerpen [u.a.] : Intersentia, 2009. http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&doc_number=018699344&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA.

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32

Wang, Yuqi M. C. P. Massachusetts Institute of Technology. "State zoning legislation and local adaptation : an evaluation on the implementation of Massachusetts Chapter 40R Smart Growth Legislation". Thesis, Massachusetts Institute of Technology, 2014. http://hdl.handle.net/1721.1/90113.

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Thesis: M.C.P., Massachusetts Institute of Technology, Department of Urban Studies and Planning, 2014.
Cataloged from PDF version of thesis.
Includes bibliographical references (pages 85-88).
The Smart Growth Zoning Overlay District Act (M.G.L. Chapter 40R, the Legislation) was issued in March 2005 with the mission to substantially increase the supply of housing, especially for low- and moderate-income households, and to incentivize Smart Growth land development patterns. Municipalities participate in this program by voluntarily adopting a Smart Growth zoning district in their local zoning ordinance/by-laws which allows dense housing development as-of-right. Participating municipalities will receive a Zoning Incentive Payment upon creating the district, based on the additional number of housing units allowed as-of-right under 40R compared with base zoning, and a Density Bonus Payment for each new unit built in the district. They will also have priority when competing for other state discretionary subsidies. As of December 2013, thirty-three 40R Smart Growth Overlay Districts (40R District) have been approved in thirty-two Massachusetts communities, with an aggregate area of 1,436 acres, and a total number of 12,350 Future Zoned Units; another three 40R districts are pending or under review. Ten 40R Districts have projects (or project phases) that have been built and put into use. This study aims to give a diagnostic evaluation on the current and potential effectiveness of the Legislation in achieving the goals of facilitating quality housing production and promoting Smart Growth. The evaluation is set in the context of housing development and land planning in Massachusetts, which is also the background of the Legislation, and based on four 40R cases from four different municipalities, each of which has adopted local zoning ordinance/by-laws, created a 40R district, and completed development under 40R. In each case, the Smart Growth qualities of the development are evaluated against a set of qualitative criteria developed from the Smart Growth principles outlined in the Legislation, with reference to prevailing Smart Growth standards used in the profession and feedback from 40R's implementers. The role of 40R in leading to these development results are then analyzed, which highlights the prospect of 40R's application and impact in the future. The main conclusions are: Generally speaking, 40R plays an important role in helping communities achieve their own vision of Smart Growth and housing production by resolving the site, financial, or other development obstacles that are imbedded in the local development context and base zoning. This success is achieved through incentive-based stakeholder cooperation, an indispensable part of the entire 40R zoning and (project) permitting process. Also, the Legislation provides a very general and broad description of Smart Growth principles, and therefore each community may interpret and define Smart Growth standards according to local needs. Being flexible, adaptable and context-sensitive is key to creating opportunities where various stakeholders find common interests in establishing partnerships around 40R. Moreover, when used appropriately, 40R as a zoning tool, could potentially have larger impacts in facilitating Smart Growth and housing production over a longer period than other policies that are based on a single project. However, in some cases, being flexible and sensitive to local context seems to have gone too far, and as a result, offset some of the benefits promised by 40R, such as housing being in close proximity to jobs and amenities, streamlining the permitting process, etc. The reasons for this drawback come from both 40R itself and the context in which 40R operates. Some requirements of 40R are too vague and allow a zoning district or project to gain 40R status and incentive payments even though it fails to meet most of the Smart Growth principles outlined in the Legislation. The recent amendment to the 40R Regulations tries to solve this problem by setting more straightforward and explicit requirements; the results of these changes remain to be seen. In terms of barriers, there are general concerns about and oppositions to Smart Growth from the neighborhood, local government, and development community, who tend to use their power as stakeholders to resist Smart Growth policies. They are particularly resistant to a zoning policy like 40R for fear that it will allow Smart Growth types of development as-of-right. The home-rule tradition and a lack of regional planning for Smart Growth land use further weaken the legislative and regulatory foundations of 40R. 40R has limited leverage to overcome these context barriers; its effectiveness in facilitating Smart Growth will remain confined by the development context at least in the near future. Key words: Smart Growth, Zoning, Chapter 40R, Massachusetts.
by Yuqi Wang.
M.C.P.
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33

Malinová, Kateřina. "Regulace počtu parkovacích stání u rodinných domů a její dopady". Master's thesis, Vysoká škola ekonomická v Praze, 2012. http://www.nusl.cz/ntk/nusl-149878.

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The development of the car transport has contributed to better mobility and also to more traffic on roads and more on-street parking. Governments reacted to this by creating a state regulation specifically the requirement of a minimum number of parking spaces to each new building. This policy may have some positive effects such as improving traffic flow of public roads and better security, but also brings additional costs for owners of new buildings. The goal of this thesis is to analyze the differences in an approach of Czech municipalities to this regulation and an impact discussion. I have chosen as a method of my research a combination of a controlled interview with representatives of five randomly selected Building Authorities in the Czech Republic and an electronic questionnaire with closed and open questions for the broader sample of municipalities in the Czech Republic. The analysis came to the conclusion that an application form of the minimum parking requirements policy for new buildings may vary significantly for each municipality and some differences exist in costs for owners of family houses because some of them are constrained to build paved and garage parking and the others have only their site next to the house.
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34

Reiff, Sharon K. "The effects of warranty legislation on procurement". Thesis, Monterey, Calif. : Springfield, Va. : Naval Postgraduate School ; Available from National Technical Information Service, 1994. http://handle.dtic.mil/100.2/ADA293674.

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Thesis (M.S. in Management) Naval Postgraduate School, December 1994.
Thesis advisor(s): Jeffery Warmington, Mark W. Stone. "December 1994." Bibliography: p. 123-124. Also available on microform. Also available online.
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35

TOYAMA, Katsuhiko, i Yasuhiro OGAWA. "E-Legislation: Infrastructure for Legal Information Sharing". INTELLIGENT MEDIA INTEGRATION NAGOYA UNIVERSITY / COE, 2004. http://hdl.handle.net/2237/10356.

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36

Brzozowski, Richard. "Canadian abortion legislation consensus, conflict or compromise?" Thesis, University of Ottawa (Canada), 1986. http://hdl.handle.net/10393/4563.

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37

Stewart, Alan Glen. "Moral legislation and the conservative constitutional tradition". Thesis, National Library of Canada = Bibliothèque nationale du Canada, 1999. http://www.collectionscanada.ca/obj/s4/f2/dsk1/tape9/PQDD_0006/MQ46038.pdf.

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38

Cedermaz, Anica. "Policy and legislation relating to indigenous Australians /". Title page, contents and abstract only, 1998. http://web4.library.adelaide.edu.au/theses/09AR/09arc389.pdf.

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39

Johnson, Taylon M. "Autism Policy: State and National Legislation Analysis". Scholarship @ Claremont, 2012. http://scholarship.claremont.edu/cmc_theses/278.

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This research thesis is a policy assessment of the factors that contribute to the current status in treating autism. The policy assessment begins with a description of the key components that that influence policy outcomes in regard to autism. After developing a policy model that outlines various components of issues and approaches to the policy has on Autism, the paper examines several issues with regard to Autism policy, including the lack of insurance coverage, state legislation, waiting lists, evidence vs. non evidence treatments, and the high price for treatments. The paper also examines current approaches to Autism, and potential solutions. Solution analysis on current policy alternatives is provided and, this suggests that increasing knowledge and awareness of the affects of autism on society needs further attention along with proper funding for early treatment.
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40

Hermida, Julian. "Legal basis for a national space legislation". Thesis, McGill University, 2003. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=84212.

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The purpose of this thesis is to propose the fundamental regulatory policy basis for a future domestic legislation governing private space activities in those States where their industry has or aspires to have a preponderant role in the pursuit of space activities and which have not yet crafted their national space regulatory framework. This study is based on the premises that the international legal framework governing space activities provides the fundamental basis for national space legislations and that the legislative experience of the countries which have adopted a domestic space legal scenario presents a useful model for delineating the principal basis of national legislation for those countries without specific national regulatory framework. The proposal is analyzed in light of Law Reform and participatory theory, conceived as a multifold dynamic process, requiring a national effort based on high level of State and private sector participation.
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41

Donohue, Laura Kathleen. "Emergency legislation in the Northern Irish context". Thesis, University of Cambridge, 1997. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.627358.

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42

Loock, Madelaine. "The application of BEE legislation on employment". Thesis, Nelson Mandela Metropolitan University, 2017. http://hdl.handle.net/10948/17990.

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BBBEE is currently on everyone’s minds and the uncertainty surrounding the changes to the Codes of Good Practice as well as the Sector Codes leaves business owner’s with a feeling of uncomfortable anticipation. The changes to the Codes of Good Practice has set the tone and most of the Sector Codes are being modelled around the Codes. Business owners will have to adapt to the changes and plan in advance in order to avoid being without a compliant BEE certificate. This will entail a strategic analysis of the company’s financial position as well as a strategic BEE plan for the 12 months they will be rated on.
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43

Bernelf, Fredrik. "Same-sex parental leave : Legislation and equality". Thesis, Umeå universitet, Juridiska institutionen, 2017. http://urn.kb.se/resolve?urn=urn:nbn:se:umu:diva-150591.

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Sweden is known to have one of the world's most generous parental insurances, both inlength and flexibility which has led to a high maternity rate and more women in paidwork. The political work on equality in Sweden has the goal that women and men shallhave the same power to shape society and their own lives. This has led to legislationaimed at getting fathers to stay more at home with their children. There has been plenty ofresearch on this subject so this study goes off the main track and looks at how legislationaround parenthood works for same-sex couples and if paternal leave is shared moreequally between same-sex parents than heterosexual parents. Discourse analysis of thelegislation and a survey with same-sex families followed by interviews indicate that samesexcouples share parental leave more equally than heterosexual couples. Legislationworks well for most same-sex families except for the process of related adoption. Reasonsfor more equal sharing of parental leave is hard to find but could depend on the fact thatsame-sex couples have been couples for a longer time, than heterosexual couples, beforedeciding to have children. Wage gap between men and women is a reason whyheterosexual couples do not share equally and it could be vice versa for same-sex couples.
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44

Conway, Deane. "Antidumping legislation : South Africa's anti-trade policy". Master's thesis, University of Cape Town, 2007. http://hdl.handle.net/11427/5776.

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45

Smirensky, Alvian N. "Matrimonial legislation in imperial Russia, 1700-1918". Theological Research Exchange Network (TREN), 1995. http://www.tren.com.

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46

Finco, Francesca <1995&gt. "Free Zones: the global experience through legislation". Master's Degree Thesis, Università Ca' Foscari Venezia, 2019. http://hdl.handle.net/10579/15516.

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The thesis is about the study of the legislation in different countries of the world of the so called "Free Zones". This tool has become even more important that deserves special attention by all the individuals that want to operate in international markets. After a brief explanation of the tool, this work deals with the European experience and legislation taking into account the concept of "state aid" and then it focuses on the most important examples in the USA, in Asia and South America.
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47

Kim, Jeong Ah. "The role of legislation in driving good occupational health and safety management systems: A comparison of prescriptive based legislation". Queensland University of Technology, 2004. http://eprints.qut.edu.au/15966/.

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Countries seek to control exposure to hazardous substances and environments by the enactment of legislation. In the past thirty years, two major different approaches to occupational health and safety legislation have been devleoped by countries around the world. The performance-based legislative approach has been linked with the emergence of occupational health and safety management systems but no research has previously been done to determine whether or not the legislative approach taken by government influences the introduction or form of occupational health and safety management systems used by organisations. Similarly, although the reasons why Australia and other countries have moved to performance-based legislation have been explained in terms of social, political and economic factors that influenced the change, little research has been done on the effectiveness of this approach compared with the prescriptive approach of countries such as Korea. -I- The overall aim of this research is to develop a conprehensive understanding of the management of expusre to heavy metals in selected industries in Korea and Australia. The specific objectives of the study are to determine: The effectiveness of heavy metal exposure management in the fluorescent lamp manufacturing industry in Korea, and an Oral Health Service, and lead-risk workplaces in Queensland, Australia; The management of the legislative arrangements for health surveillance in Korea and Queensland, Australia; The characteristics of the occupational health and safety management systems that are in use in the heavy metal industries in Korea in Australia; and The effectiveness of prescriptive and performance based legislative systems in protecting the health and safety of workers in heavy metal based industries. Secondary analysis of biological monitoring data from 6 fluorescent lamp manufacturing companies (8 workplaces) in Korea was used to examine the extent of mercury exposure and the effectiveness of the health surveillance system in that country. A survey of dental workers in an oral health service in Queensland provided data on the extent of mercury exposure to the workforce and workers' attitudes to the management of occupational risks. The efficiency of the lead health surveillance in Queensland was examined by way of a questionnaire survey of lead designated doctors in the state. A survey of registered lead-risk companies and the oral health servies in Queensland, and 5 of the fluorescent lamp manufacturing companies in Korea provided data on the occupational health and safety management systems in place in these organisations. The health surveillance system for mercury exposed workers in Korea was found to have reduced the incidence of workers with biological levels of mercury above the Baseline Level from 14% in 1994 to 7% in 1999. Bilogical testing of dental workers in Queensland discovered no workers with biological levels of mercury approaching the Baseline Level and air monitoring failed to locate any areas where workers were likely to be exposed to levels approaching the Workplace Exposure Standard. The staff of the Oral Health Service were generally aware of the occupational health and safety management systems in place but only 43% felt that mercury management in the workplace effectively prevented exposure. The lead surveillance system in Queensland was found to be inadequately managed with approximately 37% of registered doctors no longer practicing in the field and their being no way for the government to collect reliable data on the extent of lead exposure in workplaces. The occupational health and safety management systems in the companies surveyed in Queensland and Korea were found to be influenced by the legislative arrangements in place in each of the locations. The Korean systems were more geared to meeting the regulatory requirements whereas the Queensland systems were geared more towards a risk management approach. However substantial differences were also noted depending on the size of the organisation in each case. Legislative arrangements in Korea and Queensland were found to provide reasonable protection from heavy metal exposure to workers however improvements in both systems are needed. The legislation was also found to influence the occupational health and safety management systems in place with performance-based legislation producing systems having a wide risk management focus while a narrower regulatory based focus was noted in Korea where more prescriptive legislation is in force. A confounding factor in the nature of the occupational health and safety management system in place is the size of the organisation and particular attention needs to be paid to this when legislative approaches are considered.
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48

Lychko, T. "Adaptation of legislation of Ukraine to the European Union legislation in the field of energy efficiency and renewable energy". Thesis, Sumy State University, 2016. http://essuir.sumdu.edu.ua/handle/123456789/45986.

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Ukraine chose the way of European integration, finally confirming the intentions, when signed an Agreement about Association between European Union and Ukraine on June,27,2014. To meet the obligations Ukraine should implement the adaptation of national legislation including energy efficiency and renewable energy to the European Union.
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49

Sloane, Justin. "A discussion and comparison of company legislation and tax legislation in South Africa, in relation to amalgamations and mergers". Thesis, Rhodes University, 2014. http://hdl.handle.net/10962/d1013028.

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In his 2012 Budget Review, the Minister of Finance, Pravin Gordhan acknowledged that the introduction of the "new" Companies Act had given rise to certain anomalies in relation to tax and subsequently announced that the South African government would undertake to review the nature of company mergers, acquisitions and other restructurings with the view of possibly amending the Income Tax Act and/or the "new" Companies Act, to bring the two legislations in line with one another. These anomalies give rise to the present research. The literature reviewed in the present research revealed and identified the inconsistencies that exist between the "new" Companies Act, 71 of 2008 and the Income Tax Act, 58 of 1962, specifically the inconsistencies that exist in respect of the newly introduced amalgamation or merger provisions as set out in the "new" Companies Act. Moreover, this research was undertaken to identify the potential tax implications insofar as they relate to amalgamation transactions and, in particular, the potential tax implications where such transactions, because of the anomalies, fall outside the ambit section 44 of the Income Tax Act, which would in normal circumstances provide for tax "rollover relief". In this regard, the present research identified the possible income tax, capital gains tax, value-added tax, transfer duty tax and securities transfer tax affected by an amalgamation transaction, on the assumption that the "rollover relief" in section 44 of the Income Tax Act does not apply.
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50

Kim, Jeong-Ah. "The role of legislation in driving good occupational health and safety management systems: A comparison of prescriptive based legislation". Thesis, Queensland University of Technology, 2004. https://eprints.qut.edu.au/15966/1/Jeong-ah_Kim_Thesis.pdf.

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Countries seek to control exposure to hazardous substances and environments by the enactment of legislation. In the past thirty years, two major different approaches to occupational health and safety legislation have been devleoped by countries around the world. The performance-based legislative approach has been linked with the emergence of occupational health and safety management systems but no research has previously been done to determine whether or not the legislative approach taken by government influences the introduction or form of occupational health and safety management systems used by organisations. Similarly, although the reasons why Australia and other countries have moved to performance-based legislation have been explained in terms of social, political and economic factors that influenced the change, little research has been done on the effectiveness of this approach compared with the prescriptive approach of countries such as Korea. -I- The overall aim of this research is to develop a conprehensive understanding of the management of expusre to heavy metals in selected industries in Korea and Australia. The specific objectives of the study are to determine: The effectiveness of heavy metal exposure management in the fluorescent lamp manufacturing industry in Korea, and an Oral Health Service, and lead-risk workplaces in Queensland, Australia; The management of the legislative arrangements for health surveillance in Korea and Queensland, Australia; The characteristics of the occupational health and safety management systems that are in use in the heavy metal industries in Korea in Australia; and The effectiveness of prescriptive and performance based legislative systems in protecting the health and safety of workers in heavy metal based industries. Secondary analysis of biological monitoring data from 6 fluorescent lamp manufacturing companies (8 workplaces) in Korea was used to examine the extent of mercury exposure and the effectiveness of the health surveillance system in that country. A survey of dental workers in an oral health service in Queensland provided data on the extent of mercury exposure to the workforce and workers' attitudes to the management of occupational risks. The efficiency of the lead health surveillance in Queensland was examined by way of a questionnaire survey of lead designated doctors in the state. A survey of registered lead-risk companies and the oral health servies in Queensland, and 5 of the fluorescent lamp manufacturing companies in Korea provided data on the occupational health and safety management systems in place in these organisations. The health surveillance system for mercury exposed workers in Korea was found to have reduced the incidence of workers with biological levels of mercury above the Baseline Level from 14% in 1994 to 7% in 1999. Bilogical testing of dental workers in Queensland discovered no workers with biological levels of mercury approaching the Baseline Level and air monitoring failed to locate any areas where workers were likely to be exposed to levels approaching the Workplace Exposure Standard. The staff of the Oral Health Service were generally aware of the occupational health and safety management systems in place but only 43% felt that mercury management in the workplace effectively prevented exposure. The lead surveillance system in Queensland was found to be inadequately managed with approximately 37% of registered doctors no longer practicing in the field and their being no way for the government to collect reliable data on the extent of lead exposure in workplaces. The occupational health and safety management systems in the companies surveyed in Queensland and Korea were found to be influenced by the legislative arrangements in place in each of the locations. The Korean systems were more geared to meeting the regulatory requirements whereas the Queensland systems were geared more towards a risk management approach. However substantial differences were also noted depending on the size of the organisation in each case. Legislative arrangements in Korea and Queensland were found to provide reasonable protection from heavy metal exposure to workers however improvements in both systems are needed. The legislation was also found to influence the occupational health and safety management systems in place with performance-based legislation producing systems having a wide risk management focus while a narrower regulatory based focus was noted in Korea where more prescriptive legislation is in force. A confounding factor in the nature of the occupational health and safety management system in place is the size of the organisation and particular attention needs to be paid to this when legislative approaches are considered.
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