Teses / dissertações sobre o tema "Property dispute"

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1

Fung, Wing Sze. "Dispute resolution for intellectual property disputes on designing and issuing collectibles". access abstract and table of contents access full-text, 2007. http://libweb.cityu.edu.hk/cgi-bin/ezdb/dissert.pl?ma-slw-b22445924a.pdf.

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Thesis (M.A.)--City University of Hong Kong, 2007.
"Master of Arts in arbitration and dispute resolution, LW6409 dissertation." Title from PDF t.p. (viewed on Apr. 1, 2008) Includes bibliographical references.
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2

Wang, Yinan. "Handling the U.S.-China Intellectual Property Rights Dispute – the Role of WTO’s Dispute Settlement System". Miami University / OhioLINK, 2012. http://rave.ohiolink.edu/etdc/view?acc_num=miami1336224534.

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3

English, Penelope Jane. "Sites of dispute : owning the physical remains of the past". Thesis, Keele University, 2000. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.269300.

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4

Li, Wai Kwong. "An exploratory study of using alternative dispute resolution as a means of resolving real estate disputes in Hong Kong". access abstract and table of contents access full-text, 2005. http://libweb.cityu.edu.hk/cgi-bin/ezdb/dissert.pl?ma-slw-b20833829a.pdf.

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5

Papiri, Foteini. "Cross-border intellectual property disuputes arising online : towards a new dispute resolution model?" Thesis, University of Nottingham, 2007. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.446381.

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6

Bastos, Maria Ines S. R. "Winning the battle to lose the war? : the US/Brazilian dispute over the 'informatics' policy". Thesis, University of Sussex, 1991. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.386155.

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7

Ho, Dik Hong Duncan. "The practice and effectiveness of international dispute resolution platforms in the protection of intellectual property rights". access full-text access abstract and table of contents, 2007. http://libweb.cityu.edu.hk/cgi-bin/ezdb/dissert.pl?ma-slw-b22013696a.pdf.

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Thesis (M.A.)--City University of Hong Kong, 2007.
Title from PDF t.p. (viewed on Sept. 7, 2007) "A dissertation submitted in conformity with the requirements for the degree of Master of Arts in arbitration and dispute resolution." Includes bibliographical references.
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8

Thörn, Christine. "Internationell tvistlösning inom immaterialrättens område : Utvecklingen av tvistlösningsmekanismer och dess genomslag". Thesis, Linnéuniversitetet, Institutionen för ekonomistyrning och logistik (ELO), 2015. http://urn.kb.se/resolve?urn=urn:nbn:se:lnu:diva-41782.

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International conventions signifies international trade, which in itself would be ineffective if there were no dispute settlement mechanisms. This essay intends to examine how dispute settlement mechanisms between states have developed over the years and a large emphasis is placed on the World Trade Organizations (WTO) Dispute Settlement Body since it’s had great significance for the efficiency of international law. In order to show the need for dispute settlement mechanisms, a background to the conventions that have called for the development of the DSB is in order. This essay focuses on Intellectual Property Rights (IPR), and the agreement that currently regulate intellectual property rights, Trade Related Aspects of Intellectual Property Rights (TRIPS), but also its connection to the DSB. The current negotiations between the EU and the USA for a free trade agreement, Transatlantic Trade and Investment Partnership (TTIP) is also mentioned since it intends to serve as a global model once settled. The purpose of this paper is to investigate and analyze the emergence of the TRIPS agreement, and its relation to the dispute settlement mechanism of the WTO.
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9

Richardson, Robin Kieron. "Alternative dispute resolution in Intellectual Property Law: a growing need for a viable alternative to court litigation". Master's thesis, University of Cape Town, 2013. http://hdl.handle.net/11427/4436.

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The need for a viable alternative to court litigation of intellectual property disputes is much needed in modern legal systems. IP court litigation has become expensive, time consuming, and poor decision making has led to unpredictable and inconsistent results. This paper explores the possibility of using alternative methods, such as mediation and arbitration, to resolve complex IP disputes. The paper critiques modern judicial systems and analyses how alternative methods may be better suited to the resolution of IP disputes. Particular attention is paid to the issues present in the South African legal system and what steps are needed to implement a workable and regulated alternative to the High Court system. The paper concludes that alternative dispute mechanisms are well suited to the resolution of IP disputes but that South Africa needs to take progressive steps towards the realisation of such a system.
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10

Chadwick, Marcus. "The Overseas Private Investment Corporation political risk insurance, property rights and state sovereignty /". Connect to full text, 2006. http://hdl.handle.net/2123/1857.

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Thesis (Ph. D.)--Discipline of Government and International Relations, Faculty of Economics and Business, University of Sydney, 2007.
Title from title screen (viewed 16th July, 2007). Submitted in fulfilment of the requirements for the degree of Doctor of Philosophy to the Discipline of Government and International Relations, Faculty of Economics and Business, University of Sydney. Degree awarded 2007; thesis submitted 2006. Includes bibliographical references. Also issued in print.
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11

Giunio-Zorkin, Deborah. "A framework for change, preliminary design of a dispute resolution system for the property casualty sector of the insurance industry of Canada". Thesis, National Library of Canada = Bibliothèque nationale du Canada, 2000. http://www.collectionscanada.ca/obj/s4/f2/dsk2/ftp03/MQ62015.pdf.

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12

Wechs, Hatanaka Asako. "Mediation and intellectual property law : a European and comparative perspective". Thesis, Strasbourg, 2016. http://www.theses.fr/2016STRAA008.

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Un mauvais arrangement vaut mieux qu’un bon procès, dit un adage. Ceci s’applique-t-il également au domaine de la propriété intellectuelle ? La médiation est une méthode de résolution des différends qui a le vent en poupe. Elle a fait l’objet d’une harmonisation en Europe par le biais de la directive 2008/52/CE du Parlement européen et du Conseil du 21 mai 2008 sur certains aspects de la médiation en matière civile et commerciale. Dans ce contexte, l’objectif de la thèse est d’analyser des fonctions exercées par la médiation ainsi que les limites de la médiation du point de vue du droit de la procédure civile, du droit des contrats et du droit de la propriété intellectuelle, et de présenter des propositions pour optimiser la médiation lorsqu'elle s’applique aux litiges concernant les droits de la propriété intellectuelle. L’étude porte sur de nombreux systèmes juridiques, institutions et prestataires de règlement des différends, en mettant l’accent sur l’Union européenne, la France et le Royaume-Uni
A bad compromise is better than a successful lawsuit, says an adage. Would this also applies to intellectual property disputes ? Mediation is a dispute resolution method, which is in vogue. It became subject to harmonisation in Europe under the Directive 2008/52/EC of the European Parliament and of the Council of 21 May 2008 on certain aspects of mediation in civil and commercial matters. In this context, the objective of the thesis is to analyse the functions performed by mediation as well as the limitations to mediate from the viewpoint of civil procedure law, contract law and intellectual property law and to present some proposals to optimise mediation to intellectual property law. A number of legal systems, institutions and dispute resolution providers will be covered with the focus on the European Union, France and the UK
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13

Koch, Carolina Augusta. "The right to a view : common law, legislation and the constitution". Thesis, Stellenbosch : Stellenbosch University, 2012. http://hdl.handle.net/10019.1/71650.

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Thesis (LLD)--Stellenbosch University, 2012.
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ENGLISH ABSTRACT: South African law does not recognise an inherent right to the existing, unobstructed view from a property. Nevertheless, seemingly in disregard of this general principle, property owners often attempt to protect such views and courts sometimes in fact grant orders that provide such protection. This dissertation aims to establish whether South African law does indeed not acknowledge a right to a view and whether there are any exceptions to the general rule against the recognition of the right to a view. The principle that the existing view from a property is not an inherent property right is rooted in Roman and Roman-Dutch law. This principle was received in early South African case law. Inconsistency in the application of the principle in recent case law renders its development uncertain. An analysis of recent decisions shows that the view from a property is sometimes protected in terms of servitudes or similar devices, or by virtue of legislation. In other instances, property owners attempt to prevent the erection of a neighbouring building that will interfere with their existing views, based either on a substantive right or an administrative shortcoming. When the protection of view is based on a limited real right (servitudes or similar devices) or legislation, it is generally effective and permanent. Conversely, when it is founded on a substantive right to prevent building on neighbouring land or an administrative irregularity rendering a neighbouring building objectionable, the protection is indirect and temporary. A comparative study confirms that the position regarding the protection of view is similar in English and Dutch law. Constitutional analysis in terms of the methodology developed by the Constitutional Court in FNB indicates that cases where view is protected are not in conflict with section 25(1) of the Constitution of the Republic of South Africa, 1996. The investigation concludes with an evaluation of policy considerations which show that the position with regard to a right to a view in South African law is rooted in legitimate policy rationales.
AFRIKAANSE OPSOMMING: 'n Inherente reg op die bestaande, onbelemmerde uitsig vanaf 'n eiendom word nie deur die Suid-Afrikaanse reg erken nie. Desnieteenstaande poog eienaars dikwels om die uitsig vanaf hul eiendomme te beskerm en soms staan die howe bevele tot dien effekte toe. Dit skep die indruk dat die Suid-Afrikaanse reg wel die bestaande uitsig vanaf 'n eiendom as 'n inherente eiendomsreg erken of dat sodanige uitsig minstens onder sekere omstandighede beskerm kan word. Hierdie verhandeling het ten doel om onsekerhede betreffende die algemene beginsel oor 'n reg op uitsig uit die weg te ruim en om lig te werp op gevalle waar 'n onbelemmerde uitsig wel beskerm word. Die Romeinse en Romeins-Hollandse reg het nie 'n reg op uitsig erken nie. Hierdie posisie is deur vroeë regspraak in die Suid-Afrikaanse regstelsel opgeneem. 'n Ondersoek na latere Suid-Afrikaanse regspraak toon egter aan dat howe wel onder sekere omstandighede, skynbaar strydig met die gemeenregtelike beginsel, beskerming aan die onbelemmerde uitsig vanaf eiendomme verleen. 'n Eerste kategorie sake behels gevalle waar die uitsig vanaf 'n eiendom deur 'n beperkte saaklike reg, in die vorm van 'n serwituut of 'n soortgelyke maatreël, of ingevolge wetgewing beskerm word. In 'n tweede kategorie sake word die beskerming van 'n uitsig deur middel van 'n aanval op die goedkeuring van 'n buureienaar se bouplanne bewerkstellig. Sodanige aanval kan óf op 'n substantiewe reg óf op 'n administratiewe tekortkoming berus. Die onderskeie kategorieë verskil wat betref die doelmatigheid en omvang van die beskerming wat verleen word. 'n Saaklike reg of wetgewing verleen meestal effektiewe en permanente beskerming. Hierteenoor het 'n aanval op die goedkeuring van 'n buureienaar se bouplanne hoogstens indirekte en tydelike beskerming van die uitsig tot gevolg. Regsvergelyking bevestig dat die Engelse en Nederlandse reg die Suid-Afrikaanse posisie ten opsigte van'n reg op uitsig tot 'n groot mate eggo. Grondwetlike analise aan die hand van die FNB-metodologie dui daarop dat die gevalle waar uitsig wel beskerming geniet nie strydig is met artikel 25(1) van die Grondwet van die Republiek van Suid-Afrika, 1996 nie. Bowendien regverdig beleidsgronde die behoud van die huidige beginsel in die Suid-Afrikaanse reg.
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14

Salomão, Deborah Alcici [Verfasser]. "Arbitration as a dispute resolution method for B2C property development contracts - A comparative study on consumer arbitration in Brazil and Germany / Deborah Alcici Salomão". Gieߟen : Universitätsbibliothek, 2020. http://d-nb.info/1216144214/34.

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15

Johansson, Linus. "Över 90 år men inte vuxen? : En kvalitativ undersökning av Florence Stephens tvister om myndighetsförklaring och god man". Thesis, Linnéuniversitetet, Institutionen för kulturvetenskaper (KV), 2017. http://urn.kb.se/resolve?urn=urn:nbn:se:lnu:diva-67452.

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Florence Stephens became the owner of Huseby bruk, an industry located in Småland, 1934 while she was just over 50 years old, she inherited it from her late father. Huseby bruk, while under the ownership her father Huseby bruk had a thriving economy and expanded. When he died his daughter Florence Stephens took over. Missing formal education regarding how to manage an industry led to a declining economy and later one of the bigger economic scandals in the county. One of the outcomes of the scandal was that Florence Stephens was declared a legally incompetent person and she remained so in 19 years. This study aims to fill in the gaps of studies regarding her attempts to regain her legal competence and in the legal dispute about arranging an administrator for Florence Stephens that followed. Further this study analyzes her right of possession to Huseby bruk and if she had all the rights she was entitled. The source material chosen for this study is documents left over from her cases located at Linnéuniversitetet in the Huseby archives. The result reached by the study was that Florence Stephens regained her legally competence 1976 which led to a response from Alvesta chief guardian requesting that this only happens if an administrator is assigned. This lead to a long lawsuit ending in October 1978. Regarding her possession of Huseby have the study concluded that she still had the rights but they were not absolute.
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16

Nesheiwat, Ferris K. "The compliance with intellectual property laws and their enforcement in Jordan : a post-WTO review & analysis". Thesis, Durham University, 2012. http://etheses.dur.ac.uk/3639/.

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This thesis examines the implementation, enforcement and evolution of IP laws and regulations in the Hashemite Kingdom of Jordan. The period of interest includes the last decade of the twentieth century and the first decade of the twenty first century, with emphasis on the role played by Free Trade Agreements struck between Jordan and the United States, the European Union, and Jordan’s accession to the World Trade Organization. This thesis also examines the enforcement of the current set of IP laws in Jordan, and looks at their social and economic compatibility with the Jordanian societal norms and economic realities. This thesis argues that Jordanian IP laws lack a meaningful social and economic texture, and have failed to be evenly enforced in Jordan, essentially because they do not fit the Jordanian culture and are not compatible with Jordan’s economic stage of development. Additionally, the thesis argues that IP laws have had insignificant economic impact on the Jordanian economy as the majority of technologies used in Jordan, and the majority of foreign direct investments attracted to Jordan, are not IP related. Finally, the thesis argues that the current Jordanian enforcement model, which is built on coercion by donor countries, is serving the interests of foreign companies to the exclusion of the local citizens, and will not, in the long run, produce an enforcement model based on self-regulation by Jordanians, themselves. The laws, therefore, are unable to produce tangible results for the Jordanian people, or help meet their economic interests. The last part of the thesis deals with recommendations and suggestions aimed at creating an integrated approach to the adoption of IP policies.
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17

Melton, Walter Harold. "Analysis of disputes relative to Government furnished property". Thesis, Monterey, California: Naval Postgraduate School, 1990. http://hdl.handle.net/10945/27953.

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The purpose of this thesis is to identify problems in the management of Government Furnished Property (FP) in the Government's acquisition process. The research focused on the reasons the Armed Services Board of Appeals (ASBCA) sustained the contractor's appeal of the contracting officer's final decision (COFD). Using this research methodology it was found that the rationale used by the ASBCA in sustaining the contractor's appeal could be used to categorize the problems in the management of GFP as follows: (1) GFP not suitable for its intended use, (2) Government failure to deliver GFP, (3) Government failure to compensate for additional costs associated with additional items of GFE, (4) equipment should have been GFE vice CFE, and (5) Government failure to maintain accurate records of what it furnished as GFP. Reasons one and two are related to the Government's requirements under the GFP clause and account for 72.7% of the ASBCA's reasons for sustaining the appeals of this study. The study also showed that case law is the most highly relied upon basis to support the ASBCA's decision, followed by the GFP clause
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18

Fau, Jean. "La régulation du conflit impliquant le nom de domaine : articulation des sources". Thesis, Lyon 2, 2015. http://www.theses.fr/2015LYO22017.

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Les noms de domaine sont des objets polymorphes, à la fois techniques et sémantiques. La question de leur régulation, avec l’essor du Domain Name System, est rapidement devenue un défi de taille pour le législateur. Face à une certaine défaillance du droit étatique s’est développé un véritable corpus supplétif de source privée. C’est notamment le cas des procédures extrajudiciaires de résolution des conflits mises en places par l’ICANN. Ces différents mécanismes de nature transnationale forment un ensemble cohérent, en constante évolution, que l’on peut qualifier de véritable lex domainia. Ce concept implique cependant une vision nécessairement pluraliste du droit - où cohabitent systèmes publics, privés et hybrides -, qui invite le juriste à repenser la théorie des sources. Cette thèse contribue à la compréhension de la nature et de l’articulation de ces différentes sphères normatives. Celles-ci ne doivent pas être considérées comme des espaces clos et hermétiques ; il existe entre eux des perméabilités qui dessinent un dispositif de régulation transnational aux sources plurielles. Il s’agit, selon l’auteur, d’une parfaite illustration de la théorie du réseau
Domain names are polymorphic objects, whose nature is both technical and semantic. The question of their regulation has quickly become, with the rapid growth of the Domain Name System, a major challenge for the lawmaker. A certain default of state law favored the development of what one might call a private supplementary corpus. This is notably the case for extrajudicial domain name dispute resolution mechanisms promoted by the ICANN. These various transnational mechanisms form a coherent whole, in constant evolution, which can be described as a real lex domainia. This concept, however, necessarily implies a pluralistic conception of law - where public, private and hybrid systems cohabit -, which invites legal theorists to rethink the sources theory. This thesis contributes to the understanding of the nature and the articulation of these various normative spheres. These should not be regarded as closed and hermetic spaces ; permeabilities exist between them, that draw a transnational regulation pattern with plural sources. This is, according to the author, a perfect illustration of the mesh theory
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Zhang, Yulin. "Impartial resolution of disputes in China : an intellectual property perspective". Thesis, University of British Columbia, 2016. http://hdl.handle.net/2429/58517.

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Impartial resolution of disputes puts an end to disputes, minding members of society to respect the rule of law and good social order. Civil disputes occur quite naturally between two or more persons. Such disputes can be resolved through third persons, be they judges, arbitrators or mediators. Independence and impartiality of such third persons are the corner stones for the dispute resolution system in modern society. The concept of independence and impartiality may, however, vary in different countries. The dissertation examines whether judicial impartiality is different in the current “independent trial” mode in China. Given differences in culture, legal theory and philosophy, judicial impartiality has different dimensions in countries with different systems of law, whether common law or civil law. The study is conducted through the lens of civil cases involving intellectual property rights (IPRs). Criminal cases are not part of the study. Through comparative case study and media review, the dissertation concludes that differences lie in the standards for impartiality in the corrective justice system in China. Drawing on Canadian case law, traditional philosophy and IPR case studies in China, the dissertation explores the building blocks of judicial impartiality and identifies four standards for judicial impartiality: avoiding conflict of interests, procedural due process, substantive justice and consensus-based impartiality, in addition to the “time” element of impartiality. Despite the differences, observable similarities in the dimensions of judicial impartiality exist in the dispute resolution processes. Based on the findings, I argue that impartiality as well as IPR protection should be raised to the Constitutional level in China. International high standards for impartiality ought to be adopted, while Confucian teachings can be gradually upgraded to fit with equality-based justice administration in the on-going judicial reform in China. With the study of the legal reasoning of judgments in IPR cases, I offer perspectives to illustrate the need to uphold judicial impartiality as a system requirement. I contribute to the contextualized interpretation of judicial independence for the rule of law in China and contribute to the standard building for judicial impartiality in connection with administration of justice in China.
Law, Peter A. Allard School of
Graduate
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20

Su, Yii-Der. "Les litiges en matière de marque : contribution à une étude de droit comparé entre la France, la Chine continentale et Taïwan". Thesis, Strasbourg, 2017. http://www.theses.fr/2017STRAA029.

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Le droit de la propriété intellectuelle a connu d’importants développements dans le sillage de la révolution technologique et du phénomène de la globalisation. Le droit de marque confère un monopole au profit de son titulaire, qui lui permet d’établir des liens avec les consommateurs, à travers les produits et les services qui sont revêtus du signe protégé : des liens juridiques et des liens commerciaux par l’effet de la communication, de la publicité, de la transmission de l’image de l’entreprise que celui-ci véhicule. Toutefois, les prérogatives attachées au droit de marque rencontrent des limites inhérentes à tout monopole, à savoir le respect de l’intérêt général, fil un conducteur qui gouverne la procédure d’enregistrement de la marque, au-delà, son maintien en vigueur et la détermination des frontières qui séparent ce qui est permis de ce qui est interdit. S’agissant de s’interroger sur les procédures de règlement des litiges, à l’aune de leur comparaison, entre trois systèmes de cultures juridiques très différentes, à savoir la France « berceau » du droit continental et, du droit administratif d’une part, et, d’autre part, deux entités de tradition juridique divergente - la Chine continentale et Taïwan - , on peut relever un renforcement du pouvoir administratif et en même temps, un mouvement d’harmonisation des règles du contentieux. Le renforcement du pouvoir administratif se manifeste à travers l’extension des compétences en matière de droits de propriété intellectuelle. Ainsi, en Chine continentale, les autorités administratives locales peuvent appliquer les lois administratives pour régler avec célérité les litiges de propriété intellectuelle. En France, le renforcement du pouvoir administratif s’exprime avec la transposition future de la directive de 2015 sur l’harmonisation du droit des marques dans l’Union européenne, qui attribue compétence à l’INPI en matière de déchéance et de nullité des marques, au premier degré. L’harmonisation du droit des marques se révèle avec le renforcement du mécanisme de la retenue en douane en Chine continentale et à Taïwan et, par ailleurs, avec l’instauration de juridictions spécialisées, le législateur taïwanais étant le premier entre les trois systèmes juridiques, à créer une Cour en propriété intellectuelle en 2007
There continues to be significant developments in intellectual property law in the wake of the technological revolution and the globalization phenomenon. This thesis seeks to analyze procedures for settling disputes by comparing three decidedly different judicial systems: France (the « cradle » of Civil law legal system) on the one hand, contrasted with two entities of diverging judicial traditions, namely Mainland China and Taiwan. We will take up two trends in particular: a strengthening of administrative power and at the same time a movement toward harmonizing settlement procedures.The strengthening of administrative power is evidenced by its “specialization” and extension of its competence in the area of intellectual property rights. Thus, in Mainland China local administrative authorities can enforce administrative laws to expediently deal with intellectual property disputes. In France, on the other hand, the growth of administrative power can be seen in the transposing of the 2015 future directive regarding the harmonization of trademarks within the European Union, which attributed competence to the INPI for the first degree examination in the revocation and invalidity procedures.The harmonization of trademarks is also visible in the introduction of a reinforced “customs seizure” mechanism in Mainland China and Taiwan. Furthermore, with the establishment of specialized courts, the Taiwanese legislature became the first of the three justice systems to create an intellectual property court in 2007
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Cao, Peng. "Les limites du mécanisme de règlement des différends de l'OMC à l'égard de la mise en oeuvre de l'accord sur les ADPIC en Chine". Thesis, Aix-Marseille 3, 2011. http://www.theses.fr/2011AIX32059.

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Avant même son adhésion à l’OMC, la Chine disposait déjà en matière de propriété intellectuelle d'un arsenal juridique très complet sous de fortes influences extérieures, en particulier américaines. La Chine a instauré le système complet et efficace de propriété intellectuelle en moins de trente ans, elle a capacité de, au moins théoriquement, remplir ses engagements internationaux de l’Accord sur les ADPIC. La Chine semble maintenant l'un des pays où la protection de la propriété intellectuelle est du niveau mondial le plus avancé. Dans ce cas là, on peut néanmoins s’interroger, si on constate que la Chine a déjà rempli ses engagements internationaux en cette matière, pourquoi les Etats-Unis ont déposé deux plaintes relatives au régime chinois de propriété intellectuelle auprès de l’OMC en avril 2007 ? Pourquoi la Chine a une fois de plus été inscrit en 2007 par les Etats-Unis sur la « liste 301» ? Et pourquoi la Chine est toujours considérée comme un pays roi de la contrefaçon aux yeux des occidentaux ?Les pays développés peuvent arriver à imposer une législation aux pays en développement, ils ne peuvent cependant pas imposer sa mise en œuvre. Comme le dit le fameux proverbe, « Tu peux amener un cheval au bord de la rivière, tu ne peux néanmoins pas le faire boire ». La raison nous semble évidente en espèce : l’élaboration d’une loi suppose une action des autorités étatiques, qui pourrait être faite comme un choix diplomatique sous des contraintes ; l’application de la loi dans une société dépend des éléments juridique, économique, culturel, moral, etc., qui ne peut pas être obtenue sous l’effet d’une contraintes de quelque sorte que ce soit. Cela nous invite à réfléchir sur l’applicabilité du mécanisme de règlement des différends de l’OMC à la mise en œuvre de l’Accord sur les ADPIC. La protection des droits de propriété intellectuelle dans les pays en développement met en lumière des problèmes systémiques dont le traitement nécessite une approche globale. Même si la Chine n’est qu’un exemple des pays en développement, à cause de sa taille, c’est toujours la protection des droits de propriété intellectuelle en Chine qui attire le plus l’attention au niveau mondial. En Chine, comme dans tous les pays en développement, le décalage entre la législation nationale en matière de propriété intellectuelle et sa mise en œuvre ne peut diminuer qu’au fur et à mesure de l’évolution de la société dans les aspects concernant l’Etat de droit, la mentalité des habitants à l’égard des droits de propriété intellectuelle, le rôle de la propriété intellectuelle dans le développement de la société, etc
Even before its entry into the WTO, China had already had a complete set of legal means in the field of intellectual property under the great external influences, especially from the United States., China has established an integrated and valid system of intellectual property in no more than three decades, therefore, she is capable of, at least theoretically, fulfilling her international commitments to the TRIPS Agreement. Nowadays, China seems to become one of the countries which have the world's highest level of intellectual property protection. Given the circumstances, if it is perceived that China has already fulfilled its international obligations under TRIPS Agreement, we still wonder why the United States appealed twice to WTO concerning China’s intellectual property system in 2007 ? Why was China listed in the "The 301 Clause" again in 2007 by the United States? And why has China been considered a manufacturer of counterfeits in westerners’ eyes?Developed countries can compel developing countries to make laws, but they can not ensure the implementation of laws. As the famous proverb goes, "You can lead a horse to the water, but you cannot make it drink." The reason seems quite obvious: legislation is an action of a country, which may be made as a diplomatic choice under certain pressure; while the application of the law, whose effect is unlikely to be achieved under any kind of external pressure, is dependant on various factors such as jurisdiction, economy, culture, ethics etc. This enables us to reflect on the validity of the WTO mechanism of dispute settlement in the implementation of the TRIPS Agreement. The protection of intellectual property rights in developing countries concerning some systematic problems requires a comprehensive cognition. Although China is an example of developing countries due to her size, the protection of intellectual property rights in China has always attracted various attentions worldwide. In China, as in all the other developing countries, the disparity between the legislation and implementation on intellectual property can only be reduced with the gradual social development in aspects of the establishment of a country under the rule of law, the ideological recognition of intellectual property rights by the public, the role of intellectual property in the process of social development, etc
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22

Juras, Camille. "International intellectual property disputes and arbitration : a comparative analysis of American, European and international approaches : the search for an acceptable arbitral site". Thesis, McGill University, 2003. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=80932.

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This paper compares the arbitral procedures used in different legal systems and evaluates their suitability for international intellectual property disputes. By doing so, it will identify many obstacles to the realization of an international arbitral regime responding to intellectual property disputes.
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23

Savar, Ray. "Reform of commercial property leases in England". Thesis, Anglia Ruskin University, 2013. http://arro.anglia.ac.uk/297115/.

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This thesis explores the arguments and evidence for reform of commercial property leases through legislative intervention. It identifies and explains the causes of landlord and tenant disputes arising mainly from poorly drafted commercial leases. It investigates the relevant codes for leasing business premises, the Law Society business lease, the regulatory reform of part II of the 1954 Act, the British Property Federation lease, and various other attempts at reform of commercial property leases. This research also investigates the potential need for ethnic minorities in commercial property to have the key legal terms of commercial property leases made available in both English and other languages. There is little previous academic research on reform of commercial property leases through legislative intervention (other than Crosby Reading reports). This research aims to contributute towards filling the gap that exists in the literature by investigating reform through legislation. This research involved semi-structured interviews with participants from five groups: lawyers, surveyors/agents, landlords, tenants and business owners. Most interviewed supported reform of commercial property leases through legislative intervention, and better guidance explaining the meaning of key legal terms of commercial property leases, especially from ethnic minority businesses.
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24

Savar, Ray. "Reform of commercial property leases in England". Thesis, Anglia Ruskin University, 2013. https://arro.anglia.ac.uk/id/eprint/297115/1/RAY%20SAVAR%20PHD%20THESIS.pdf.

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This thesis explores the arguments and evidence for reform of commercial property leases through legislative intervention. It identifies and explains the causes of landlord and tenant disputes arising mainly from poorly drafted commercial leases. It investigates the relevant codes for leasing business premises, the Law Society business lease, the regulatory reform of part II of the 1954 Act, the British Property Federation lease, and various other attempts at reform of commercial property leases. This research also investigates the potential need for ethnic minorities in commercial property to have the key legal terms of commercial property leases made available in both English and other languages. There is little previous academic research on reform of commercial property leases through legislative intervention (other than Crosby Reading reports). This research aims to contributute towards filling the gap that exists in the literature by investigating reform through legislation. This research involved semi-structured interviews with participants from five groups: lawyers, surveyors/agents, landlords, tenants and business owners. Most interviewed supported reform of commercial property leases through legislative intervention, and better guidance explaining the meaning of key legal terms of commercial property leases, especially from ethnic minority businesses.
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25

Fox, Lorna. "Co-owners, co-occupiers, co-habitees : the role of policy in disputes between creditors and non-debtor occupiers". Thesis, Queen's University Belfast, 2000. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.343055.

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Dal, Cero Luca. "Proper Names: a Verbal Dispute : An investigation of the concept of reference". Thesis, Umeå universitet, Institutionen för idé- och samhällsstudier, 2014. http://urn.kb.se/resolve?urn=urn:nbn:se:umu:diva-93035.

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The present paper sets out to investigate whether the contrast between Description theories of reference and Direct Reference theories constitutes what Chalmers calls “a broad verbal dispute” on the concept of reference.      I begin by describing Chalmers’ “method of elimination” concerning verbal disputes, according to which, in order to find out whether a dispute is verbal or whether it expresses a substantial disagreement on matters of fact, the key concept involved is barred and substituted by two new concepts defined according to the frameworks of the respective theories.   I limit the domain of my enquiry to proper names. I outline the version of Descriptivism advanced by Searle and the version of Direct Reference pictured by Kripke. The definition found for the Descriptive framework consists in reference being the thing that best fits a set of descriptions commonly known and associated with a proper name. In turn, the definition found for the Direct Reference framework consists in reference being the thing once baptized with the proper name used.   In order to concretely explicitate a substantial difference between the definitions of reference within the two framework, I use Dagfinn Føllesdal's general definition of reference, according to which reference is the thing that is talked about when a proper name is used. The Descriptive framework is consistent with Føllesdal's definition, while in Kripke's framework reference cannot be determined in terms of the thing that is talked about. I conclude that the role reference is asked to play differs distinctly within the two frameworks.   As a last step, I investigate whether the concept of reference of the Description Theory and the concept of reference of the Direct Reference Theory are acceptable respectively for the theorist of the opposing field. Statements are constructed in which the two terms expressing reference according to each framework are used and on which both frameworks can agree concerning their truth value.   The fact that the concept of reference in the two fields are substantially different and at the same time that they can be accepted by the opposing field points towards the conclusion that the dispute between the Descriptive theory and the Direct Reference theory can be understood, in Chalmers' terms, as broadly verbal.
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27

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

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Section 337 of the Tariff Act in the United States International Trade Commission (USITC) has been recognised as a mechanism for further strengthening patent protection and competitiveness of US firms (Aoki and Prusa, 1993; Mutti and Yeung 1996). Section 337 has an effective deterrent, the Exclusive Order, which prohibits the imports and lor distribution of imported products based on one or more patents held by US firms that have been infringed. Several studies have shown that there is a strategic motivation behind patent litigation (Lerner, 1995; Somaya, 2003; Harhoff and Reitzig, 2004; Lanjouw and Schankerman, 2004). However, a fuller understanding of how firms react to the enforcement environment has not been fully explored. After reviewing the relevant literature in highlighting the issue of cross-border patent litigation, the contribution of this thesis is to take the viewpoint of a foreign firm from a newly industrialised country to illustrate the issue of the strategic use of trade-relevant patent protection. With this in mind, the main research questions in this thesis are as follows: (1) What issues and interactions have taken place in the trade-relevant patent dispute between Taiwan and the US? (2) What patterns of cross-border patent dispute emerge from the USITC protection mechanism involving in Taiwanese firms? (3) What are the strategic responses of Taiwanese firms to defending a lawsuit in US jurisdiction? For the empirical part of the thesis, a patent litigation dataset was constructed with records extracted from the ITC investigation achieve and LEXIS-Nelson database; and descriptive statistics were computed to uncover the overall patterns of Taiwanese trade-relevant patent litigations and infringed patents. The findings illustrate sharply the characteristics of Information and Communication Technologies (ICT) relevant products' competition between American and Taiwanese firms. This was particularly the case after the year 2000 as Taiwanese firms became involved in patent infringement cases as direct defendants rather than as a third party as occurred in the 1980s and 1990s. Specifically, half of the infringed patents in Section 337 investigation cases were located in the classifications of computer hardware and semiconductor devices. Further empirical studies to evaluate how Taiwanese firms respond to the risk of litigation and its various impacts reported is based on a research design that combined insights gained from interviews with in-depth case studies. Following an analysis of interviewee responses, potential impact of US patent disputes of two significant USITC investigations associated with Taiwanese firms were analysed using firm level performance data. The findings appear to support those from other empirical literature about the industry-specific importance of a patent. The case studies illustrate that the role of patent litigation is perceived as a strategic manipulation rather than a protection mechanism in leT industries. Finally, the finding casts doubt on the effectiveness of discriminatory regulation to protect patent rights in the US due to the distortionary effects caused by the strategic motivations of both complainant and defendant.
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28

Kalantzis-Cope, Phillip. "Whose property? Intellectual Property and the Challenge of Political Community in a Post-Industrial Age". Thesis, The New School, 2014. http://pqdtopen.proquest.com/#viewpdf?dispub=3665764.

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Debates over the distinctive economic, political and social affordances of the post-industrial age converge in a constellation of intellectual property alternatives. This project maps four paradigmatic agendas for the production and ownership of immaterial property: Information Privatization, Immaterial Exceptionalism, Network Distribution and Ecological De-colonization. I define these paradigms through a tripartite rubric: their ontological foundations, their normative presuppositions and their institutional topologies. Grounded in these four alternatives for the production and ownership of immaterial property, I turn my investigation to the challenge of political community in a post-industrial age. Each paradigm poses a distinct challenge to traditional understandings of political community, as a theoretical proposition and empirical reality. The question of 'Whose Property?' emerges within the normative framework of Critical International Relations Theory. Within this tradition the challenge of political community is to address how political communities institutionalize and express modes of capitalist development. I pose the question of 'Whose Property?' for the purposes both of diagnosis and prognosis. My diagnosis speaks to the challenge of political community in an age of increasing global interdependency, shaped by the logics of post-industrial capitalism. The prognosis, I want to suggest, is that if we conceive political communities as a mode of collective political action, then the varied agendas for intellectual property may provide a powerful motivational argument underpinning emerging modes of political action. They may also offer institutional alternatives that can provide inroads to support the institutional realization of the emancipatory agenda of Critical International Relations Theory. By way of conclusion, this project leaves us with an overarching challenge. In looking at these approaches to intellectual property through the lens of political community, a key transformation manifests itself – the erosion of the Westphalian 'public' and rising demands for pluralized, distributed and globalized Post-Westphalian 'publics'.

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Alifierakis, Michail. "Mechanical Property Modeling of Graphene Filled Elastomeric Composites". Thesis, Princeton University, 2018. http://pqdtopen.proquest.com/#viewpdf?dispub=10823814.

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Accessing improved elastomeric composites filled with functionalized graphene sheets (FGSs) requires an understanding of how the FGSs aggregate and how the position of FGSs affects the mechanical properties of the final composite material. In this thesis, I study both effects by devising models for 2-D particles in the 10s of microns scale and comparing my results with experiments. These models enable an understanding of the effect of the particles in a level that is hard to be studied experimentally or by molecular models. In the first part, I present a model for aggregation of 2-D particles and apply it to study the aggregation of FGS in water with varying concentrations of sodium dodecyl sulfate (SDS). The model produces clusters of similar sizes and structures as a function of SDS concentration in agreement with experiments and predicts the existence of a critical surfactant concentration beyond which thermodynamically stable FGS suspensions form. Around the critical surfactant concentration, particles form dense clusters and rapidly sediment. At surfactant concentrations lower than the critical concentration, a contiguous ramified network of FGS gel forms which also densifies, but at a lower rate, and sediments with time. This densification leads to graphite-like structures. In the second part, I present a model for the prediction of the mechanical properties of elastomers filled with 2-D particles. I apply this model to the Poly-dimethylsiloxane (PDMS)-FGS system. For a perfect polymer matrix and when inter-particle forces are ignored the strength of the composite can be increased with the addition of particles but elongation at failure decreases relative to neat PDMS. Maximum load transfer to the particles is achieved when particles are covalently linked to span the whole polymer matrix. Minimum drop in elongation at failure can be achieved by maximizing the distance between the covalently linked particles. When the assumption of a perfect polymer matrix is relaxed, it can be shown that there is a certain particle concentration range for which elongation at failure can be increased as the particles can protect the polymer by redistributing high stresses created by inherent polymer defects that would lead to early failure.

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30

Alharbi, Meshal Nayef. "Trademark and patent disputes in Saudi Arabia : an analysis of private international law". Thesis, Brunel University, 2015. http://bura.brunel.ac.uk/handle/2438/13858.

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The subject of the conflict of laws and arbitration in intellectual property rights is a complicated topic to research, because the normal rules of private international law and arbitration can be affected by the special characteristics of patents and trademarks. Some rules of these subjects might need to be reformed and in some cases there are principles that should be created to successfully handle cross-border disputes concerning patents and trademarks. Establishment of a special court with supranational jurisdiction may be required to resolve these types of disputes. Recently, this subject has been given enormous attention around the world. While the academics, legislators and forums in developed states have broadly discussed the subject of conflict of laws and arbitration in intellectual property rights, in Saudi Arabia, it has not been given noticeable attention. This thesis intends to make a significant contribution to Saudi law and provide appropriate approaches on the subject of conflict of laws and arbitration in intellectual property rights. The topics which will be covered in this thesis are the rules of international jurisdiction, the rules of choice of law, the rules for enforcement of foreign judgments and the rules of arbitration. The modification and the enhancement of the rules of private international law and arbitration established in Saudi law will be recommended and the arguments for each suggested approach will be presented.
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31

Burcham, Megan Noel. "Multiscale structure-property relationships of ultra-high performance concrete". Thesis, Mississippi State University, 2016. http://pqdtopen.proquest.com/#viewpdf?dispub=10141618.

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The structure-property relationships of Ultra-High Performance Concrete (UHPC) were quantified using imaging techniques to characterize the multiscale hierarchical heterogeneities and the mechanical properties. Through image analysis the average size, percent area, nearest neighbor distance, and relative number density of each inclusion type was determined and then used to create Representative Volume Element (RVE) cubes for use in Finite Element (FE) analysis. Three different size scale RVEs at the mesoscale were found to best represent the material: the largest length scale (35 mm side length) included steel fibers, the middle length scale (0.54 mm side length) included large voids and silica sand grains, and the smallest length scale (0.04 mm side length) included small voids and unhydrated cement grains. By using three length scales of mesoscale FE modeling, the bridge of information to the macroscale cementitious material model is more physically based.

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Faria, Sarah M. "Producers' Perspectives towards the Geographical Indication Recognition Process in Brazil - An Analysis of Difficulties Found in the Process and Possible Improvements". Ohio University / OhioLINK, 2010. http://rave.ohiolink.edu/etdc/view?acc_num=ohiou1280298282.

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Settles, Valerie L. "Factors that influence and impact property ownership in Oklahoma historic districts". Thesis, Oklahoma State University, 2014. http://pqdtopen.proquest.com/#viewpdf?dispub=3629927.

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In Oklahoma, a young state where the built environment is not as old as in many regions of the country, there is not the long tradition of respecting historic resources often seen in areas with properties dating from the beginning of our country. This, coupled with the demands of contemporary life, makes it all too easy to destroy or compromise the integrity of historic buildings still in existence to provide services for current societal needs. However, there continue to be those who seek out historic properties for both personal and professional reasons. The purpose of this study is to gather information from property owners in nationally registered historic districts across the state about the experience of owning this type of property so that appropriate resources can be developed and supported to facilitate the survival of the state's historic resources. The exploratory nature of this study lends itself to a phenomenological approach to data collection combined with an interpretivist approach to data analysis to investigate the meaning behind the experience of owning property in Oklahoma historic districts.

A sample of 13 historic districts was selected; this sample included residential and commercial districts in both rural and urban areas. For the first phase of data collection, a short demographic survey was mailed to each property owner in the selected districts; the survey provided the opportunity for respondents to participate in a second phase of data collection—focus groups held within each district. The researcher conducted 18 focus groups with 51 participants; data analysis included line-by-line coding of each transcript, with individual comments applied within 30 identified themes.

Seven key findings resulted from analysis and interpretation, and were further organized according to the study's research questions: (a) potential return on investment, (b) place attachment to community and state, (c) appreciation of architectural features, (d) appreciation of historic character, (e) participation in community's history, (f) impact of maintenance and repair, and (g) difficulties with the preservation system. Recommendations address the resulting implications for educators, the interior design and architecture professions, preservation partners, and for community governance.

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34

Ventimiglia, Andrew. "Spirited Possessions| Media and Intellectual Property in the American Spiritual Marketplace". Thesis, University of California, Davis, 2016. http://pqdtopen.proquest.com/#viewpdf?dispub=10036192.

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This dissertation explores the role that intellectual property law plays as it influences the circulation and use of religious goods in contemporary religious organizations in the United States. The coherence of many modern spiritual communities no longer lies in a centralized institution like the church but instead in a shared dedication to sacred texts and other religious media. Thus, intellectual property law has become an effective means to administer the ephemeral beliefs and practices mediated by these texts. I explore a number of cases to demonstrate how intellectual property law can be used to maintain and adjudicate social relations rather than simply determining the proper allocation of ownership over a contested good. This project uses a number of select case studies – the legal battles of the Urantia Foundation and Worldwide Church of God, Scientology’s lawsuits against Internet Service Providers, the practice of sermon-stealing as it relates to the growth of sermon databases – to examine how religious communities ethically justify forms of ownership in religious goods and to highlight the incongruities between theories of authorship, originality and ownership within spiritual communities and those embedded in the law. I conclude that religious property owners construct innovative strategies for knowledge production and distribution as they mobilize IP to organize social and spiritual communities, care for and protect sacred goods, produce new articulations of spiritual identity, and even use the prohibitions of law to enchant material forms.

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Hrozenchik, Mark William. "Legislative Action---Not Further Judicial Action---is Required to Correct the Determination of Patentable Subject Matter in Regard to 35 U.S.C. § 101". Thesis, The George Washington University, 2018. http://pqdtopen.proquest.com/#viewpdf?dispub=10793374.

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The purpose of this Paper is twofold: First, to explore the somewhat contradictory, and perhaps convoluted approaches by the Supreme Court and Federal Circuit to patentable subject matter since the early 1970’s to the present; and Second, to investigate two theories of how to fix—if it can be considered to be broken—the current state of the law regarding patent eligibility. In regard to the second aspect, it is the Thesis of this Paper that the only practicable solution to the current quagmire is a legislative approach that will correct the legal definition of patentable subject matter under 35 U.S.C. § 101.

In addition, it has become common, since the decision of Alice and others to state “software patents are dead.” This is not even remotely true. What has happened, as will be discussed, is that because of the expansion of the definition of the abstract idea exemption of patentable subject matter, it has become increasingly difficult—sometimes impossible—to get patents awarded for certain technology areas. One reason for this is because so-called abstract idea innovations can be best expressed in terms of algorithms and in software. Consequently, software patents have achieved a negative reputation—sort of a “guilt by association” narrative. The truly unfortunate result—the unintended consequence - is that perhaps many applications for innovations have either not been filed, or have been unfairly rejected and abandoned.

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Chrysanthou, Alexander. "The role of reproductive effort in the resolution of frozen embryo disputes : an analysis of equity, property and rights in this context". Thesis, University of Southampton, 2017. https://eprints.soton.ac.uk/422191/.

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Frozen embryo disputes have been described as cases requiring the ‘wisdom of Solomon’ due to the difficulty in assessing the potentially competing interests of gamete providers following IVF treatment and the breakdown of their relationship. A legal framework modelled on ‘reproductive effort’ could inform how authority over the disposition decisions of frozen embryo(s) should be allocated in such disputes. This thesis considers how ‘reproductive effort’ could be applied under three different areas of law by which frozen embryo disputes have previously been settled, namely: estoppel, property law and a rights-based regime. A specific application of ‘reproductive effort’ in all three of these areas of law highlights the importance of the investment made by the female partner which, it is argued, in most circumstances, should grant her decisional authority over the disposition of any existing embryo(s). Whichever legal model is employed, it can be tailored (by regulation, statute or by application in case law) to more adequately recognise the gendered role ‘reproductive effort’ plays in IVF.
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Berkes, Antal. "L'affaire des optants : les enjeux nationaux et internationaux d'un différend roumano-hongrois". Electronic Thesis or Diss., Paris 3, 2022. http://www.theses.fr/2022PA030035.

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Le différend roumano-hongrois des optants, qui se déroula de 1922 à 1930, est un conflit international qui accompagna la politique des affaires étrangères de la Hongrie et de la Roumanie tout au long de l’époque d’entre-deux-guerres, et qui s’inséra dans un contexte historique plus global. À la suite de l’occupation et l’annexion de la Transylvanie par la Roumanie, quelques 360-370 familles hongroises d’origine de la Transylvanie utilisèrent leur droit d’option et choisirent la nationalité hongroise. Or, contrairement aux dispositions du Traité de paix de Trianon, ils perdirent leurs domaines fonciers dans la réforme agraire transylvaine sans aucune compensation. Ils initièrent, ainsi que le gouvernement hongrois dans leur nom, un litige international contre la Roumanie pour revendiquer la restituttion ou la compensation des domaines fonciers expropriés. La thèse démontre qu’aussi bien la Roumanie que la Hongrie furent intéressées non pas au règlement prompt de la dispute à tout prix, mais à sa publicité sur la scène internationale afin de renforcer leurs narrations favorable (position roumaine) ou hostile (position hongroise révisionniste) au statu quo créé par le traité de paix de Trianon. Quant aux optants, peu d’entre eux réussirent à sauvegarder leur position économique et sociale d’élite, mais la plupart d’entre eux subirent un déracinement et un appauvrissement, malgré leur réussite finale à obtenir justice et une compensation pour les terres perdues
The Romanian-Hungarian optants dispute, which took place from 1922 to 1930, is an international conflict which accompanied Hungary’s and Romania’s policy of foreign affairs throughout the interwar period, and which fits into a global historical context. Following the occupation and annexation of Transylvania by Romania, some 360-370 Hungarian families of Transylvanian origin used their right of option and chose Hungarian nationality. However, contrary to the provisions of the treaty of peace of Trianon, they lost their land estates in the Transylvanian agrarian reform without any compensation. They initiated, as well as the Hungarian government in their name, an international dispute against Romania to claim the restitution or compensation of the expropriated land estates. The thesis demonstrates that both Romania and Hungary were interested not in the prompt settlement of the dispute at all costs, but in its publicity on the international scene in order to strengthen their narratives favorable (Romanian position) or hostile (Hungarian revisionist position) to the status quo created by the Trianon peace treaty. As for the optants, few of them managed to safeguard their elite economic and social position but most of them suffered uprooting and impoverishment, despite their ultimate success in securing justice and compensation for the lost lands
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Patzke, Karin Lynn. "Valuing Constituency| Property Assessments, Land Management and Environmental Stewardship in Central Texas". Thesis, Rensselaer Polytechnic Institute, 2017. http://pqdtopen.proquest.com/#viewpdf?dispub=10606146.

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This dissertation examines the recent history of environmental conservation in Texas from three perspectives, and provides an analytic framework for evaluating how political actors and constituents participate in the rule of law. The centerpiece of this analysis examines the use of legal fictions as genres of social action in which evidence and expertise are used to adhere to the rule of law by creating legitimacy through the negotiation of practice. Preliminarily, I examine state environmental politics in the 1990s to understand how wildlife management was construed as a conservation policy for private landowners. I then explore the states legal codes and practices that establish land management practice characterized by property tax law. Finally, I turn to the contemporary practices of Central Texas landowners to understand the consequences of the policy. The focus of this dissertation is the examination of bureaucratic participation and the resulting documents for property tax assessment. Evaluating these different scales of action reveal how landowners, biologists, and state administrators use the bureaucratic policies of tax law to create conservation practices. This work adds to the growing body of literature investigating “actually existing neoliberalism” (Brenner and Theodor 2002; Hilgers 2011; Ong 2007; Wacquant 2012) to reveal how contradictions between legality and practice are mediated across social relationships. As a component of neoliberal governance, conservation on private lands presents a set of contradictions in which the productive and economic value of land diverges from its historical and cultural value. In conclusion I posit a new legal fiction of property, the inherited value, to understand these contradictions.

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Llorens, Daniel S. "The Impact of Realignment on Property Crime| Perspectives of Chiefs of Police". Thesis, Brandman University, 2015. http://pqdtopen.proquest.com/#viewpdf?dispub=3712623.

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Realignment, instituted in October 2011, was California’s latest effort at prison reform by realigning responsibility for prisoners labeled nonviolent, non-serious, and non sex-related from the state to counties. Many of these offenders were in state prison upon conviction of property crime offenses. Realignment had a net decarcerative effect on offenders. Simultaneously, California cities’ officer staffing levels shrunk during the great recession. To determine what impact realignment may have had on property crime in small California cities, and to identify effective response strategies, property crime and officer staffing data was analyzed and a survey administered to the chiefs of those cities.

Fifty-six California cities with a population of between 25,000 and 50,000 and their own police departments were studied. This study analyzed data for the full year before and after realignment’s implementation, 2010 compared to 2012. Analysis of these data indicated an overall trend of increase in property crimes reported to the police, and a significant decrease in officer staffing pre-and post-implementation. Many of the 36 chiefs who responded to the survey identified realignment as the primary factor in the increase of property crime, closely followed by overcrowding in their local or county jail. Of the response strategies offered in the survey, most chiefs said they had made progress on increasing partnerships with allied law enforcement agencies. Finally, a majority of the chiefs identified increasing partnerships with allied agencies the most effective strategy followed by the creation or reorienting specialized units to respond to the issue of realigned offenders.

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40

Lueckheide, Michael James. "On the Structure-Property Relationships of Oligonucleotide Polyelectrolyte Complexes and Complex Micelles". Thesis, The University of Chicago, 2019. http://pqdtopen.proquest.com/#viewpdf?dispub=10978422.

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Oligonucleotides, short nucleic acids of ≈ 100 bases and under, are therapeutics of great interest because of their ability to regulate gene expression and improve outcomes in diseases like cancer and atherosclerosis. However, they are vulnerable to degradation by enzymes in the body that can limit their effectiveness. Encapsulating oligonucleotides inside core-corona structures called polyelectrolyte complex micelles can be accomplished by mixing them with a block copolymer containing one neutral, hydrophilic block and one charged block. Using a micelle as a vehicle is a powerful way of protecting oligonucleotides while enabling their targeted delivery to a disease site via the attachment of targeting molecules to the micelle corona. Understanding how oligonucleotides interact with charged polymers, and how the polymers themselves affect micelle shape, size, and internal structure, are of fundamental importance to the process of efficiently and intelligently designing these micelles. By combining multiple physical characterization techniques including optical microscopy, FRET, circular dichroism, and FTIR, we can characterize bulk complexes of oligonucleotides with cationic homopolymers. By combining small-angle X-ray scattering, light scattering, and cryogenic transmission electron microscopy (cryo-TEM) we can characterize structures formed when oligonucleotides complex with oppositely charged block copolymers. These multimodal characterization schemes will increase the rigor of our investigations and our confidence in their results. Our main goals are to characterize bulk complexes of oligonucleotides and peptides to gain insight into the fundamentals of oligonucleotide interactions, and to determine what factors control the shape, size, and internal structure of oligonucleotide-polyelectrolyte complex micelles.

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41

Nguyen, Vina Le. "Structure-Property Relations of the Exoskeleton of the Ironclad Beetle (Zopherus Nodulosus Haldemani)". Thesis, Mississippi State University, 2017. http://pqdtopen.proquest.com/#viewpdf?dispub=10642091.

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In this study, structure-property relationships in the ironclad beetle (Zopherus nodulosus haldemani) exoskeleton are quantified to develop novel bio-inspired impact resistance technologies. The hierarchical structure of this exoskeleton was observed at various length scales for both the ironclad beetle pronotum and elytron. The exocuticle and endocuticle layers provide the bulk of the structural integrity and consist of chitin-fiber planes arranged in a Bouligand structure. The pronotum consists of a layered structure, while elytron consists of an extra layer with “tunnel-like” voids running along the anteroposterior axis along with smaller interconnecting “tunnel-like” voids in the lateral plane. Energy dispersive X-ray diffraction revealed the existence of minerals such as calcium carbonate, iron oxide, zinc oxide, and manganese oxide. We assert that the strength of this exoskeleton could be attributed to its overall thickness, the epicuticle layer thickness, the existence of various minerals embedded in the exoskeleton, and its structural hierarchy. The thickness of the exoskeleton correlates to a higher number of chitin-fiber planes to increase fracture toughness, while the increased thickness of the epicuticle prevents hydration of the chitin-fiber planes. In previous studies, the existence of minerals in the exoskeleton has been shown to create a tougher material compared to non-mineralized exoskeletons.

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42

Donakowski, Martin Daniel. "Syntheses, Local Environments, and Structure-Property Relationships of Solid- State Vanadium Oxide-Fluorides". Thesis, Northwestern University, 2014. http://pqdtopen.proquest.com/#viewpdf?dispub=3615500.

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Vanadium oxide-fluorides can exhibit properties of piezoelectricity, second harmonic generation (SHG) activity, electrochemical activity, and other phenomena. The first two properties derive from the second-order and Jahn-Teller distortions, respectively, of d0 and d1 vanadium; the electrochemistry derives from the reduction of VV to V IV,III,II.

An examination of the immediate environment of a vanadium cation facilitates an understanding of how a cation influences the structure of a compound and its resulting properties. In the inorganic hydrate CuVOF4(H 2O)7, the CuVOF4(H2O)6 basic-building unit (BBU) has a Λ-shape that compels polar packing in a structure that has SHG properties. The compound is a very rare example of a carbonless, SHG-active molecular crystal. Influences for its packing are reasoned with principles previously used within organic molecular crystallography.

The early transition metals (ETMs) of vanadium, niobium, and molybdenum within compounds of formulae K10(M2OnF 11-n)X (M = VV, NbV, n = 2, M = Mo VI, n = 4; X = halide) show a related packing motif of Λ-shaped BBUs in different structures. Owing to the absence or presence of Λ-shaped BBUs, these heterotypical structures crystallize decidedly into SHG-inactive or SHG-active forms when M = VV or M = NbV, MoVI, respectively. The future use and development of Λ-shaped BBUs within solid-state systems can result in SHG-active materials.

The material CuVOF4(H2O)7 presents an interesting coordination: the late transition metal (LTM, CuII) coordinates solely to the oxide anion of the vanadyl cation owing to hard-soft acid-base (HSAB) properties. The materials Na2[M(H2O) 2][V2O4F6] (MII = Co, Ni, Cu) show the LTM coordinates solely to the oxide anions of the V V cation while the alkali cation (NaI) coordinates solely to the fluoride anions. These HSAB properties were used to generate layers of hard or soft cation/anion rich regions in the electrochemically-active double wolframite AgNa(VO2F2)2.

These structure-property examinations of solid state vanadium oxide-fluorides are presented as principles for (i) fundamental understanding of ETM and BBU crystallographic environments, (ii) materials discovery for fundamental investigations, (iii) materials design, and (iv) materials for use in SHG, piezoelectric, and electrochemical processes.

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43

Verret, Jill Evancho. "Property Tax Limitations, School District Revenues, and Equity| Analyses of Pennsylvania's Act One". Thesis, The George Washington University, 2019. http://pqdtopen.proquest.com/#viewpdf?dispub=13421854.

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Voters’ hatred of the property tax has led to the enactment of tax and expenditure limitations (TEL) in most states (Brunori, Bell, Cordes, and Yuan, 2008; Sokolow, 1998). Past research suggests that TELs have consequences for school districts, such as reductions in revenue and expenditures, and that these effects may be felt disproportionately by districts that are less able to adapt, such as poorer districts (Figlio, 1998; Joyce and Mullins, 1996; Downes and Figlio, 1999; Mullins, 2004; Wallin and Zabel, 2011; Della Sala and Knoeppel, 2014; Arsen, DeLuca, Ni, and Bates, 2016; Steinberg and Quinn, 2015). Such disproportionate impacts may increase revenue inequity across districts, further widening the gap between the “haves” and “have nots.”

This dissertation explores the impacts of TELs on school district revenue and equity through analyses of Pennsylvania’s Act 1, a useful case for studying these effects because it was enacted more recently—2006—and is in place in a diverse state with a heavy reliance on property tax revenue that faces ongoing concerns over its allegedly inequitable public education funding system.

In the first study, I use multivariate regression analyses with fixed effects to consider the effects of Act 1 on various revenue sources available to school districts and whether districts that may be less able to adjust to changes in revenue streams felt these effects disproportionately. I find that local revenue and property tax revenue were reduced for school districts subject to Act 1’s tax limits compared to those not subject to them, and that state revenue did not offset these reductions, resulting in reductions in total revenue. My findings do not suggest that these effects were disproportionately felt by districts with greater needs.

In the second study, I consider the characteristics of districts that are able to avoid Act 1’s tax limits. Using logistic regression with year fixed effects, I find that districts with better fiscal conditions were more likely to receive an exception from the state that allowed them to avoid the tax limit. These results raise concerns of potential inequity, albeit with no intent on the part of the districts or Pennsylvania officials.

In the third study, I use both descriptive and multivariate regression analyses to consider the impacts of Act 1’s limits on revenue equity among districts. I find that Act 1’s tax limits appear to have reduced revenue equity among districts, and to have had a differential effect on higher need districts, when using poverty as an indicator of need.

Taken together, the findings suggest that Act 1 may have both reduced funding and revenue equity among districts, and had a differential negative effect on revenue for higher poverty districts. These results therefore suggest that the tax limits may have somewhat widened the divide between the “haves” and “have nots,” and raise concerns that revenue equity among districts has been reduced and that districts better able to adjust to tax limits—those in better fiscal health—may also be those most likely to avoid them.

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44

Vazquez, Toro Guillermo J. "Patent Quality And Company Performance| A Sample within the USA Biotechnology and Pharmaceutical Industry". Thesis, Inter-American University of Puerto Rico (Puerto Rico), 2014. http://pqdtopen.proquest.com/#viewpdf?dispub=3577982.

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This Dissertation investigates the relationship between patent quality and company performance for a sample from the US Biotechnology and Pharmaceutical Industry. The methodology devised comprehensively examines patent worth (patent’s references), patent protection (claims and family patents) and patent quality (references, claims and family patents) to determine their implications on firm leverage (SE, TA), profits (ROE, ROA), and market value (B/M, MCap). The selected sample comprises 1,536 companies, and 285,000 patents from 1999 to 2009. The results show that total revenue just responds to changes in R&D; intensity, and patenting intensity. A 10 percent increase in patent value results in a corresponding increase rate on the market capitalization index for the full sample and a 14 percent increase for the chemicals and allied products group (SIC 28). Increases (10%) in patent protection and quality present average increases of 15 percent on market capitalization for the full sample and 8 percent for the chemicals and allied products group (SIC 28). The medical devices group (SIC 38) results suggest that Mcap increases 10 percent by the same increase in patent value index. Patent protection and quality increases (10%) suggest an average 8 percent increase in Mcap. Results suggest that profits, leverage and market indices respond differently to 10 percent increases in patent value, patent protections and patent quality. The aforementioned effects suggest that the qualitative indexes follow company related market activities and business valuations for the chemical and allied products, and medical devices industrial sectors.

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45

Crosby, Brian. "Digital resources for public archaeology| New directions of public outreach and education". Thesis, Northern Arizona University, 2014. http://pqdtopen.proquest.com/#viewpdf?dispub=1550098.

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Archaeologists increasingly recognize the need for public outreach and education, which many archaeological organizations include in principles and guidelines. First, this thesis summarizes my experience with a multicomponent internship, with Archaeology Southwest, the Learning Center of the American Southwest, and the National Park Service. During my internship I focused on providing the public with access to information about archaeological materials through the internet. Finally, this thesis explores the opportunity of providing deeper understandings, while considering potential implications, when working with the digital medium. During my time with Archaeology Southwest I produced three dimensional digital representations, virtual artifacts, of archaeological ceramic vessels. I designed the virtual artifacts for use by Archaeology Southwest's Virtual Southwest website and the Learning Center of the American Southwest (LCAS) Virtual Museum website. I contributed to the digital repositories of the websites, and subsequently reviewed and analyzed my experience to determine the best use of the virtual artifacts. During my time with the National Park Service (NPS) I helped develop lesson plans and activities of the Sinagua archaeological culture of Wupatki and Walnut Canyon National Monuments, designed primarily for third through fifth grade students visiting the monuments during school trips. Digital media provides the opportunity to preserve archaeological resources while educating the public to provide a deeper understanding of the past. I created 28 three dimensional reconstructions, virtual artifacts, of existing archaeological ceramic vessels provided by the Museum of Northern Arizona and Northern Arizona University. I designed the virtual artifacts for multiple online programs and for the lesson plans that I created for the National Park Service. I critically analyze the use of the products of my internship within the open-source movement, detail the current state of intellectual property rights for indigenous communities, and provide recommendations for my internship organizations. This information provides archaeologists with a reflexive analysis of the current use of intangible digital resources and serves as a guide for future projects.

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46

Kinder, Keenan D. "Paying for Performance| Public School Property Taxes and Public-School District Performance in Missouri". Thesis, Lindenwood University, 2019. http://pqdtopen.proquest.com/#viewpdf?dispub=13806297.

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An increase in the property tax rate of a school district creates an increase in local revenues for the district (Missouri Department of Elementary and Secondary Education. [MODESE], 2017). The overarching question becomes: Do increases in the local tax levy compare to improved student performance? The purpose of this quantitative study was to examine the difference between property tax rates of Missouri public school districts to student performance as viewed through the lens of benefit tax theory (Duff, 2004). Secondary data were obtained via the MODESE which included property tax rates and information from the Annual Performance Reports for public school districts for academic years 2014–2015, 2015–2016, and 2016–2017. The categories examined from the Annual Performance Reports were: academic achievement, subgroup achievement, career and college, attendance, and graduation. Public schools with higher tax rates were found to have the best attendance rates and the highest graduation rates. Overall, public school districts with higher tax rates realized higher Annual Performance Report scores.

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47

Tabor, Erin L. "Is cheating always intentional? The perception of college students toward the issues of plagiarism". Thesis, Capella University, 2013. http://pqdtopen.proquest.com/#viewpdf?dispub=3557437.

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The definition of plagiarism that is used in university handbooks is a simple one, and policies along with tiers of disciplinary strategies are used by faculty members in higher education to deter students from committing a plagiarism infraction based on this simple definition. However, plagiarism still occurs on college campuses, and this may be a result of gray areas with regard to different aspects of plagiarism that are not contained in the definition. Because of these misunderstandings, students may commit accidental plagiarism or disagree about what constitutes plagiarism. This qualitative study attempted to discover what aspects of plagiarism are confusing for college students. The data collection method involved personal open-ended interviews with 15 college students of different ages, genders, years in college, and areas of study. The 9 different themes that were brought to the surface as a result of the interviews included findings in the reasons that students justify plagiarism, the levels of acceptability among students, the amount of prior education in plagiarism that students have when they enter college, and specific gray areas such as paraphrasing and common knowledge that the participants discussed as confusing. These findings could be used by faculty and administration in institutions of higher education to aid in formatting new policies and learning activities to help students learn about plagiarism from their own perspective and understand the concepts involved in a better way so that less unintentional plagiarism takes place.

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48

Jones, Trevor. "Fracture Sealing by Mineral Precipitation| The Role of Surface Heterogeneities on Precipitation-Induced Transport Property Alterations". Thesis, University of California, Irvine, 2019. http://pqdtopen.proquest.com/#viewpdf?dispub=13424490.

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Fractures are often leakage pathways for fluids through low-permeability rocks that otherwise act as geologic barriers to flow. Flow of fluids that are in chemical disequilibrium with the host rock can lead to mineral precipitation, which reduces fracture permeability. When fracture surfaces contain a single mineral phase, mineral precipitation leads to fast permeability reduction and fracture sealing. However, the feedback between precipitation and permeability may be disrupted by mineral heterogeneities that localize precipitation reactions and provide paths of low-reactivity for fluids to persist over relatively long time-scales. In this dissertation, I explore the role of mineral heterogeneity on precipitation-induced permeability reduction in fractures. To do this, I use a combined experimental and numerical approach to test three hypotheses: (1) Mineral heterogeneity prolongs fracture sealing by focusing flow into paths with limited reactive surface area, (2) Precipitation-induced transport alterations at the fracture-scale are controlled by three-dimensional growth dynamics at the grain-scale, and (3) The effects of mineral heterogeneity become more pronounced as mineralogy and surface roughness become autocorrelated over similar length-scales.

Direct measurements of mineral precipitation using transmitted light methods in a transparent analog fracture show that mineral heterogeneity can lead to the progressive focusing of flow into paths with limited reactive surface area, which is in support of (1). In this experiment, flow focusing led to a 72% reduction in the max precipitation rate; measurements of the projected mineralogy show that this was due to focusing of large dissolved ion concentrations into regions that contained 82% less reactive surface area than the fracture-scale average. Results from a newly developed reactive transport model that simulates precipitation-induced fracture surface alterations as a three-dimensional process are in good qualitative agreement with these experimental observations. Comparison of these results with a reactive transport model that represents precipitation as a 1D alteration of the fracture surfaces show that this flow-focusing process is driven by lateral growth of reactive minerals across the fracture-plane, which supports (2). Lastly, results from simulations in fractures that contain varied degrees of heterogeneity show that precipitation leads to a competition between two feedbacks: (i) precipitation-induced reactive surface area enhancement, which increases precipitation rates, and (ii) precipitation-induced permeability reduction, which decreases precipitation rates. When surface roughness and mineral heterogeneity provide persistent paths of limited surface area, the reactive transport becomes very sensitive to local permeability reduction. Simulation results show that this prolongs the fracture-sealing process and can lead to a reduction in fracture-scale precipitation rate, which supports (3). Furthermore, the results presented in this dissertation demonstrate that predictions of fracture sealing by mineral precipitation can be easily misinformed by studies that ignore small-scale mineral heterogeneity and neglect the three-dimensional nature of precipitation-induced fracture surface alterations.

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49

Pandit, Nitin S. "Policy Design for Competitive Retail Electric Institutions| Artificial Intelligence Representations for a Common Property Resource Approach". Thesis, George Mason University, 2017. http://pqdtopen.proquest.com/#viewpdf?dispub=10242887.

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The U.S. electricity industry is being restructured to increase competition. Although existing policies may lead to efficient wholesale institutions, designing policies for the retail level is more complex because of intricate interactions between individuals and quasi-monopolistic institutions. It is argued that Hirshman's ideas of "exit" and "voice" (Hirshman, 1970) provide powerful abstractions for design of retail institutions. While competition is a known mechanism of "exit," a novel design of the "voice" mechanism is demonstrated through an artificial intelligence (AI) based software process model. The process model of "voice" in retail institutions is designed within the economic context of electricity distribution — a common property resource (CPR), characterized by technological uncertainty and path-dependency. First, it is argued that participant feedback (voice) has to be used effectively to manage the CPR. Further, it is noted that the decision process, of using participant feedback (voice) to incrementally manage uncertainty and path-dependencies, is non-monotonic because it requires the decision makers to often retract previously made assumptions and decisions. An AI based process model of "voice" is developed using an assumption-based truth maintenance system. The model can emulate the non-monotonic decision making process and therefore assist in decision support. Such a systematic framework is flexible, consistent, and easily reorganized as assumptions change. It can provide an effective, formal "voice" mechanism to the retail customers and improve institutional performance.

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50

Cornell, Brent T. "Open Innovation Strategies for Overcoming Competitive Challenges Facing Small and Mid-Sized Enterprises". Thesis, University of Maryland University College, 2013. http://pqdtopen.proquest.com/#viewpdf?dispub=3567900.

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The purpose of this dissertation is to explore how small and mid-sized enterprises (SMEs) can leverage open innovation to increase their economic viability and success in this modern, globalized post-industrial society marked by constant change and intense competition. To date, most open innovation research has focused exclusively on large companies, while neglecting the specific competitive challenges and strategies of SMEs. This dissertation evaluates the open innovation landscape from the vantage point of SMEs because these firms play a significant role in economies around the globe. Innovation is a crucial driver in their ability to survive, compete, and prosper. The dissertation author created three new models to explore the research topic. The first, the Holistic Model of Innovation, is useful to more fully understand the entire innovation landscape (both closed and open innovation as well as product and non-product innovations). This dissertation also presents the author’s SME Competitive Challenges Model , which identifies the main size-related competitive hurdles that SMEs face (i.e., challenges related to a lack of resources, limited dynamic capabilities, and excessive risk exposure). Additionally, the author presents his SME Open Innovation Strategies Model, which evaluates various open innovation strategies for overcoming these competitive challenges. This dissertation presents a series of propositions based on these new conceptual models and tests them by conducting a systematic review, several meta-syntheses, a case study, and multiple statistical meta-analyses with data from 34,676 SMEs across dozens of industries in 27 countries.

Keywords: Small and Mid-Sized Enterprises (SMEs), Small Business Strategy, Global Open Innovation, Closed Innovation, Size-Related Competitive Challenges

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