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Статті в журналах з теми "Cross-sector framework agreements"

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Surdykowska, Barbara. "EUROPEJSKI AUTONOMICZNY DIALOG SPOŁECZNY – SZANSE I ZAGROŻENIA." Zeszyty Prawnicze 9, no. 2 (June 25, 2017): 305. http://dx.doi.org/10.21697/zp.2009.9.2.15.

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European Autonomous Social Dialogue – Chances and ThreatsSummaryThe article is about development of European social dialogue under 138 and 139 of EC Treaty. One can see clearly, that European social partners (ETUC, BusinessEurope, UEAPME, CEEP) want to achieve more independency from European Commission. This aim at development independency manifest oneself in sign of autonomous agreements which shall be implemented by national social partners in accordance with the procedures and practices specific to management and the labour in member states. So far was sung 3 cross sector autonomous agreements –Framework Agreement on Telework, Framework Agreement on the WorkRelated Stress and Framework Agreement on Harassment and Violence at Work. The article is also about first multi sector autonomous agreement on Workers’ Health Protection Through the Good Handling and Use of Crystalline Silica and Products Containing it.In Poland implementation of autonomous agreements can be seen as misgiving. In Poland intensification of social dialogue is low. Number of sectoral employer organizations is unsatisfactory. Implementation of autonomous agreements animates bilateral dialogue among employer organizations and trade unions in Poland. However if one thinks about weakness of social partner in new members states can see that it can bring to different level of protection between workers from old and new members states.
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Hage Chahine, Joséphine, Ettore M. Lombardi, David Lutran, and Catherine Peulvé. "The Acceleration of the Development of International Business Mediation after the Singapore Convention." European Business Law Review 32, Issue 4 (August 1, 2021): 769–800. http://dx.doi.org/10.54648/eulr2021027.

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The Convention on International Settlement Agreements Resulting from Mediation (hereinafter referred to as the Singapore Convention) entered into force on 12 September 2020. The States’ striking enthusiasm for the Singapore Convention since the day of its enactment and onwards seems to be an encouraging indicator of the increasing use of mediation for the settlement of international commercial disputes. More precisely, the Convention establishes an international legal framework for the enforcement of settlements reached through mediation, and provides for a very limited number of requirements thereon. Hence, and considering that the enforceability of arbitral awards is perceived as arbitration’s most important feature, the cross-border enforceability of the settlement agreements reached through mediation conferred by the Singapore Convention could somehow erode arbitration’s edge. Furthermore, the entry into force of the Singapore Convention will promote the use of mediation in the States comprised within the Belt and Road Initiative, in Europe and in the Asia- Pacific, namely within the construction sector and the shipping industry and also in investor-state disputes insofar as the wording of the Convention leaves room for an extensive interpretation that could encompass such disputes. Investment funds, reserved AIFs, share classes, fair treatment, seniority privilege, minimum interest privilege, non-contagion principle, preferential treatment, shift of wealth
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Gulzar, Ahmed. "A Strategic Framework of Liberalising Trade in Services for Pakistan." Pakistan Development Review 50, no. 4II (December 1, 2011): 733–70. http://dx.doi.org/10.30541/v50i4iipp.733-770.

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For a long time, services were considered non-tradable in the literature of international economics. However, the sector has emerged with profound importance on the basis of strong underpinnings. Technological advancement, financial constraints and limited options, and regulatory changes have greatly expanded the range and scope of trade in services especially in the context of increasing share of knowledge intensive products at the world market. Services now account for a substantial and rising share of output and employment in the economy of Pakistan and its trading partners. However, it is argued that the growing share of services in the economy of Pakistan and its trading partners has not translated into a significant increased share in their over-all trade. Pakistan is heading towards liberalisation of trade in services through unilateral, bilateral, multi-lateral agreements under the broad framework of WTO. Recently, in the wake of trade liberalisation in EBOPS services among Pakistan‘s trading partners; Pakistan has received request lists from its trading partners in the context of national treatment and market access under four modes of cross-border supply of WTO framework. In this regard, the opportunities as well as risks associated with trade liberalisation depend primarily on the relative competitiveness among the trading partners. It is, therefore, essential for the policy makers to design such a trade policy which not only helps in promoting domestic services industries but also open up new opportunities of employment generation and economic growth and development with a guarantee of peace and stability within and across its neighbouring countries. In this connection, this research paper develops a strategic framework of liberalising trade in services in 12 categories of services with 26 partner countries of Pakistan using various economics tools (RCAI, TII, TCI, TBI) and econometric models and techniques (OLS, PLS, 2SLS) by using panel data on annual and quarterly frequencies. JEL classifications: C52, C63, C87, F1, F13, F14, L8, F15, O24 Keywords: Trade in Services, Growth and Development, Trade Potential through Two Stage Least Square with Cross-section Fixed Effect Model by Using Panel Data, Trade Intensity Indices (TII), Trade Complementarity Indices (TCI), Trade Biased Indices (TBI), Revealed Comparative Advantage Indices (RCAI), Determinants of RCAI Using Pooled Least Square Method (PLS), Price and Income Elasticities Using Ordinary Least Square Method (OLS),
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Sarsour, Amal, and Nidhi Nagabhatla. "Options and Strategies for Planning Water and Climate Security in the Occupied Palestinian Territories." Water 14, no. 21 (October 27, 2022): 3418. http://dx.doi.org/10.3390/w14213418.

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(1) Background: Water security is at the front and center of climate change, human security, and sustainable development in regions and communities with competing water usage contexts, climate change effects, and cross-border water-sharing agreements, resulting in conflicts arising. Shared water agreements are affected by geopolitics, segregation, water availability, and access rights. Climate change can worsen water problems by changing precipitation trends or causing droughts. (2) Methods: Document and content analysis and primary and secondary data assessment were used to develop spatio-temporal patterns. In establishing a water security narrative for the region, the selection of SDG 6 (water) and SDG 13 (climate action) targets and indicators was also evaluated. UN-Water’s 2013 water security conceptual framework was used to examine water and climate security concerns and give a set of principles to assess gaps and fulfill needs toward a ‘water security future’ for communities and states in the region. Also, hydro-political perspectives in the region or state were evaluated using discourse analysis and guiding notes from emerging scholarship to support suggestions and prospective solutions toward mitigating water insecurity and risks from climate change and disasters, including resource (water) related conflicts. (3) Results: Hydro-hegemony keeps the water sector in one state under massive stress, and the lack of consensus-building for the regional water agenda continues to breed conflicts between communities and states. (4) Conclusions: We reiterate that the escalating water and climate crises will deepen, and at the national and local scale for OPT, the restrictions and geopolitical tensions about shared waters can render coping and adaptation mechanisms for people and stakeholders challenging.
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Josipović, Tatjana. "Consumer Protection in EU Residential Mortgage Markets: Common EU Rules on Mortgage Credit in the Mortgage Credit Directive." Cambridge Yearbook of European Legal Studies 16 (2014): 223–53. http://dx.doi.org/10.1017/s1528887000002603.

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AbstractFor many years now, there has been an attempt in the European Union to create a common legal framework for mortgage credit contracts and cross-border activities in the mortgage financial sector. One of the greatest challenges has been the establishment of a corresponding level of consumer protection in EU residential mortgage markets. This issue has become particularly important at the time of financial crisis. Consumers are increasingly exposed to the risk of losing their homes because of failing to fulfil, in due time, their obligations arising from mortgage loans, and thus losing confidence in the EU financial sector. Therefore, the European Union has intensified its efforts to improve consumers’ ability to inform themselves of the potential risks when entering into mortgage loans and mortgaging their real property. On 4 February 2014 the EU adopted the new rules on mortgage credits in the Mortgage Credit Directive. The main objective of the Directive is to increase the protection of consumers in EU mortgage markets from the risks of defaults and foreclosures. A higher level of protection must be ensured by consumers’ increased information capacity related to mortgage credits, as well as by developing a responsible mortgage lending practice across the EU. The Mortgage Credit Directive is also aimed at contributing to the gradual establishment of a single internal market for mortgage credits. In this chapter, the author analyses previous and current attempts by the EU to establish a uniform market of mortgage loans, and assesses the possible impact of the Mortgage Credit Directive on the protection of consumers in the market of mortgage credits and on the development of cross-border activities in the mortgage financial sector. Special emphasis is placed on the possible impact of the new EU rules on mortgages on national protection measures aimed at consumer protection at the time of financial crisis. The transposition of the Mortgage Credit Directive will undoubtedly contribute to a higher level of consumer protection when consumers enter into home loan contracts. However, the question arises whether, because of different levels of harmonisation of some rules laid down in the Directive, its implementation will actually contribute to an increase in cross-border home loans. The possibility for Member States to opt for increased consumer protection in some aspects of credit agreements when implementing the Directive, or the existence of different options for the exercise of individual rights that they may use cannot bring about an integration of mortgage credit markets.
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Nnanna, Joseph. "Is China’s investment in Africa good for the Nigerian economy?" Journal of Chinese Economic and Foreign Trade Studies 8, no. 1 (February 2, 2015): 40–48. http://dx.doi.org/10.1108/jcefts-09-2014-0020.

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Purpose – The aim of this paper is to assess the impact of China’s trade agreement and foreign direct investment (FDI) flows to Nigeria with special reference to the manufacturing sector utilizing the following key economic performance indicators: inflation, unemployment, income and gross domestic product, to name a few. Since the turn of the millennium, China has enjoyed a substantial presence in the African continent. In fact, the country has signed bilateral agreements with Angola, South Africa and Sudan to name a few. Recently, China established its West African trade hub in Lagos, the economic capital of Nigeria, to be strategically positioned. The results of the study revealed conclusively that although China’s investments over the years have benefited the Nigerian economy and its various firms in the manufacturing sector, the agreement signed by both countries ultimately needs to be reexamined to ensure equity. Design/methodology/approach – To thoroughly analyze the effects of China’s investments in Nigeria, this study was carried out in two phases. The first analysis of this study is anchored on a “before/after” framework based on descriptive statistical analysis of the selected economic performance indicators chosen from selected cross-national data. Accordingly, the time frame for this study runs from 1993-2012 which roughly corresponds to the era when China commenced significant investments in Nigeria. Second, employees, policymakers and individuals in the manufacturing/textile industries were interviewed. Furthermore, participation from federal as well as local government agency staff members was solicited using the Delphi technique. Findings – Empirically, the results conclusively reveal China’s dominance in the manufacturing and textile sectors in Nigeria. In other words, at face value, China’s investments are ultimately good for the Nigerian economy. However, at a micro-level analysis, the researcher examined the human factor, that is, the families of former and current employees, abandoned businesses/factories and a decaying textile industry that was once vibrant. Originality/value – To the knowledge of the researcher, this is the first study attempting to assess the impact of the rise of China on the Nigerian economy by combining key economic performance indicator in tandem with face-to-face interviews and the Delphi technique.
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Schmalzl, Lilia, Gerald Hartmann, Michael Jungmeier, Darja Komar, and Rahel M. Schomaker. "Transnational water resource management in the Karawanken/Karavanke UNESCO Global Geopark." Journal of Entrepreneurship, Management and Innovation 18, no. 3 (2022): 7–36. http://dx.doi.org/10.7341/20221831.

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PURPOSE: The management of cross-border natural resources has been the focus of research in different disciplines. Nonetheless, beyond theoretical insights, empirical evidence of successful cross-border management or governance of natural resources is still limited, even in the European Union (EU), where a range of instruments are provided to foster cross-border cooperation between its Member States. This is where our paper departs, providing evidence from an example of cross-border cooperation between two Member States of the EU, Austria, and Slovenia, adding to the analytical framework to identify the drivers of successful cross-border cooperation. METHODOLOGY: Drawing from the example of the European Grouping of Territorial Cooperation (EGTC) Geopark Karawanken we evaluate the success factors and limits for transboundary cooperation encompassing different forms of cooperation. Furthermore, based on empirical evidence of workshops with local, regional, and national stakeholders, we investigate the potential of the EGTC organizational framework to provide for the successful cross-border management of water resources within the Geopark area. FINDINGS: Our analysis of project bundles, joint ventures/consortia, and EGTCs as possible forms of transboundary cooperation indicates that EGTCs have various advantages over looser forms of cooperation. Higher operational costs for the organization are contrasted by enhanced governance of transboundary activities, in accordance with legal frameworks and representation on both sides of the border. This increases acceptance and facilitates decision-making. Furthermore, it increases the potential for receiving funds in accordance with planned activities and regional requirements, while decreasing the individual financial risk for partners. The genesis of the Karawanken/Karavanke UNESCO Global Geopark (Geopark Karawanken) indicates that looser forms of organization, for instance, project bundles, enable stakeholders to get to know each other without great institutional effort. In the course of increasing integration, the organizational form can be more complex. The experience in developing transboundary, water management instruments shows that even in a more sophisticated form of cooperation like an EGTC, there are remaining obstacles in managing transboundary natural resources. Obstacles result from e.g., national laws and regulations, data standards, monitoring techniques, and soft factors such as language barriers. IMPLICATIONS: The example of the Geopark Karawanken shows that cross-border public authorities can be significantly supported with the introduction of an EGTC. Still, an EGTC tends to exclude private companies or societal actors because they cannot be active members of the Board. Exploring further options for closer integration of the private sector in Public-Private-Partnership (PPP) models may be useful to maintain the opportunity to include much-needed private skills and resources. The experience of the Geopark Karawanken suggests that EGTCs can and will be a significant form of organization in Europe for a number of activities, for example, in the field of cross-border resources, cross-border protected areas, or cross-border predicate regions. This will support the achievement of the goals of EU programs to face the climate and biodiversity crises through transnational agreements, e.g., the Green Deal or the Biodiversity Strategy. ORIGINALITY AND VALUE: This article provides a concise overview on transnational water resource management in the European Union in the context of an EGTC, and raises points for practitioners about potential challenges for the successful introduction of an EGTC. While the analysis of common experiences of various EGTCs could lead to the development of a European standard and guideline for the successful foundation of this territorial cohesion tool, this paper provides the first step, paving the road for future research.
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Rijal, Rheet. "Factors Influencing Employee Retention in the Nepalese Hotel Industry: The Pathways to Future Research." Quest Journal of Management and Social Sciences 4, no. 1 (June 21, 2022): 112–27. http://dx.doi.org/10.3126/qjmss.v4i1.45873.

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Background: Staff retention has always been a significant concern as well as a challenge for all sectors of organizations. This work aims to identify the major factors that serve as determinants of staff retention, specifically in the hotel industry. The work has been solely guided to establish a conceptual framework that could be used for the systematic and objective investigations to be initiated in the future in this particular sector of the specialized economy. Methodology: Since this study is entirely thematic desk research-based, the present scribe has used exploratory research by comprehending different influencing factors of staff retention that were assessed through the review of various lead articles, policy guidelines, related published research reports, conceptual perspectives available in other sources, and institutional best practices in the global arena. Results: The overall findings of the study reveal that the factors including the prevalence of two-way communication, style and quality of leadership, autonomy at the job, motivation level, involvement at work, organizational support, performance management, work-life balance, level of involvement in decision-making, career growth opportunity, availability of training and development opportunities, organizational culture, valuable inputs and constructive feedbacks, trade union and employer agreements, staff recruited from employment agencies and compensation package serve instrumental in the retention of staff. Additionally, this work has established the staff perceived level of glamour and lifestyle, job prestige, social recognition, and opportunity for learning and growth as the industry matched valences. Conclusions: The study concludes that in addition to several conventional factors affecting staff retention in different sectors, the tradition of scientific inquiry in the hotel industry should also focus on exploration of the shared impact of more innovative constructs, including state of glamour and lifestyle, social recognition, personal branding, opportunities for cross-cultural learning. Implications: The present work would serve as instrumental for the new generation of researchers to craft more innovative and suitable research areas with a balance of constructs to be observed. Similarly, this work establishes a stock of resources to be used in the academic discourses aimed at exploring determinants of staff retention with a specific focus on the hospitality industry, particularly the hotel sector. Also, the management in the respective industry may find suitable ways forward to adjust their organizational process climate and culture to retain the valuable staff.
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Pramesti, Azalia Ayu, and Adiasri Putri Purbantina. "Strategi Pemerintah Taiwan dalam Meningkatkan Ekspor Agrikultur melalui Economic Cooperation Framework Agreement (ECFA)." Transformasi Global 8, no. 1 (June 30, 2021): 67–82. http://dx.doi.org/10.21776/ub.jtg.2021.008.01.5.

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The relationship between China and Taiwan since separating in 1949 continues to fluctuate, particularly with the One China Policy. However, despite the political tension between the two, they have close bilateral economic ties relations, where China is Taiwan's largest trading partner. China and Taiwan signed an agreement entitled "Cross-Straits Economic Cooperation Framework Agreement" (ECFA) in 2010. The ECFA challenges Taiwan's agricultural sector. This paper evaluates how the Taiwanese government response to boost the competitiveness of their agricultural exports through three channels: 1) foreign policies, 2) trade regulations, and 3) supports to domestic firms.
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Butcher, John R. "New Zealand’s Relationship Accord: A case study in the politics of cross-sector rapprochement." Cosmopolitan Civil Societies: An Interdisciplinary Journal 7, no. 2 (August 14, 2015): 32–59. http://dx.doi.org/10.5130/ccs.v7i2.4467.

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In New Zealand the Clark Labour government (1999-2008) advocated entering into a compact with the country’s community and voluntary sector. However, owing in part to the reticence of New Zealand’s national umbrella organisations, a bilateral framework agreement between government and the sector was never formalised. It was not until May 2011 that a framework document – Kia Tūtahi Standing Together: The Relationship Accord between the Communities of Aotearoa New Zealand and the Government of New Zealand – was ratified by the National Party government led by Prime Minister, John Key, thus marking the culmination of a decade-long national discussion. This paper charts that policy journey and highlights the importance of key political events and the ways in which key policy actors exploited the windows of policy opportunity associated with those events.
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Дисертації з теми "Cross-sector framework agreements"

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Butcher, John Roylance. "Compacts between government and the not-for-profit sector : a comparative case study of national and sub-national cross-sector policy frameworks." Phd thesis, 2014. http://hdl.handle.net/1885/11811.

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Policy interest in the not-for-profit (NFP) sector has grown in step with government’s interest in leveraging the capacity of non-state players to perform service delivery functions. Once consigned to the periphery of policy-making, the NFP sector is now widely accepted as an essential player in a mixed economy of service provision. Increasingly, the achievement of public policy objectives requires working collaboratively across sector boundaries. Government’s engagement with NFP service providers has, on many occasions, been found wanting. The use of competitive tendering and contracting for the purpose of leveraging greater economic and technical efficiency, choice, responsiveness and innovation in the delivery of selected statutory public services has introduced a range of tensions, contradictions and externalities including failures to fund the full cost of service delivery, the uncertainty of year-to-year contracts, burdensome reporting and compliance requirements, and the substitution of competitive behaviours for collegiality among NFP providers. In the process, the role of NFP organisations as sources of policy advice and legitimacy were devalued. Governments around the world have attempted to regularise relations with the NFP sector through the adoption of formal cross-sector policy frameworks – or ‘compacts’. Compacts serve a number of purposes, some explicit, others implicit. Explicit purposes include the regularisation of relations between the public and third sectors by establishing agreed rules of engagement; creating pathways for investment in sector capacity and capability; and enunciating the values and behaviours required for effective cross-sector working. Implicit purposes include a desire by governments to better manage the politics of their relationships with the third sector, and a desire by the sector to re-weight its policy influence within a strongly asymmetric relationship with government. This research takes the form of a comparative multi-case study and relies upon a rich primary and secondary literature, supplemented by interviews with elite policy actors in Australia and New Zealand. It aims for a deep contextual understanding of the range of factors contributing to the spread of compacts amongst Anglo-Saxon jurisdictions. Employing Kingdon’s (1995) process streams analysis as a heuristic framework for analysis, this thesis seeks to understand why cross-sector policy frameworks have entered onto the public policy agenda in the UK, Canada, Australia and New Zealand. In Kingdon’s schema, ‘policy windows’ open when three ‘process streams’ converge: the problem stream, the policy stream and the politics stream. The prospect of any solution attaining high ‘agenda status’ can be enhanced by the efforts of ‘policy entrepreneurs’ capable of recognising and exploiting those ‘policy windows’. This study finds that in each of the jurisdictions examined, formal proposals for compacts or similar frameworks have: (a) been preceded by a broad recognition that aspects of the relationship between government and the NFP sector have become problematic; (b) been promoted within various policy communities as a feasible solution to acknowledged problems; and (c) entered onto the public policy agenda at politically propitious moments. The study found that the implementation and impact of cross-sector policy frameworks is highly variable. Nevertheless, political and policy attachment to compacts and similar frameworks appears to be on-going.
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Частини книг з теми "Cross-sector framework agreements"

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Heselhaus, Sebastian. "The Quest for the Future Energy Mix in the EU and in Switzerland." In Swiss Energy Governance, 49–66. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-80787-0_3.

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AbstractSwitzerland and the European Union (EU) face similar challenges when it comes to the decarbonisation and securing of energy supply. Both lack sufficient domestic energy resources, apart from nuclear energy. But nuclear energy has become controversial after the nuclear meltdown accident at Fukushima, Japan, in 2011. Without reconsidering nuclear energy as a future energy resource, the cooperation in the energy market between the EU and Switzerland becomes even more vital for securing energy supply. While in the past, Switzerland has fulfilled an important function in securing energy supply in neighbouring EU Member States, lately, the EU has provided for its own governance for emergency situations. However, Switzerland will maintain its function as an interface in the electricity sector. This is even more true, since the new focus on renewable energies fosters the demand for flexible cross-boundary solutions. An electricity agreement between Switzerland and the EU might provide a stable legal framework for these developments. The price to pay for Switzerland will be a further opening of the market, offering the private consumer a choice of energy providers. The good news for Swiss strategies for promoting renewable energies is that EU Member States are still allowed to take a flexible approach towards national promotion measures, especially in designing them to their territory. Therefore, the cooperation between Switzerland and the EU offers some advantages in terms of flexibility in the quest for security of supply while fighting climate change.
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Cooper Dreyfuss, Rochelle. "Harmonization: Top Down, Bottom Up—and Now Sideways?" In Megaregulation Contested, 345–67. Oxford University Press, 2019. http://dx.doi.org/10.1093/oso/9780198825296.003.0015.

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This chapter examines the impulse to include intellectual property within the scope of a megaregional trade agreement that is largely devoted to the promotion of a particular vision of economic ordering and to the adoption of a regional framework supportive of competition, investment, and regulatory coherence. Using the Trans-Pacific Partnership (TPP) as an example, it argues that megaregional intellectual property agreements not only lead to changes in the law within member states, but can also have strong effects outside those states. The innovation sector within the region’s trading partners must adapt to the new regime if it wishes to continue to trade in the region. That can alter the intellectual property politics in these other countries. Furthermore, members of the epistemic community within the new regime influence those outside it. Finally, the law of the megaregion has an impact on the ability of the member states to negotiate future agreements with third countries and can also affect the way that existing agreements are interpreted. The last section of the chapter discusses the normative implications of megaregional spillover effects on third countries. While a megaregional exposes countries that had no role in the negotiation process to a changed legal landscape, it also creates a new way to harmonize intellectual property law, what I call “sideways” harmonization. Third countries can join at their own pace and in a manner that is responsive to their own creative sectors. These agreements also offer an opportunity to experiment with transnational trade rules, such as rules on in transit seizure, parallel importation, and cross-border enforcement.
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Rufín, Ramón, France Bélanger, Cayetano Medina Molina, Lemuria Carter, and Juan Carlos Sánchez Figueroa. "A Cross-Cultural Comparison of Electronic Government Adoption in Spain and the USA." In Technology Adoption and Social Issues, 476–93. IGI Global, 2018. http://dx.doi.org/10.4018/978-1-5225-5201-7.ch021.

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Electronic Government (e-government) is growing in popularity across the globe. Given the increasing relevance of electronic services in the public sector, there is a need for a global agreement on a consistent framework for assessing e-government. This study uses a cross-cultural comparison to assess the fundamentals of e-government adoption in the United States (USA) and Spain. In particular, the authors explore the effects of perceived ease of use, perceived usefulness, compatibility and trust on intentions to use e-government services. A survey was administered to citizens in both countries to test the hypotheses derived from adoption literature and Hofstede's dimensions of culture. Results indicate that there are differences in the relationship between compatibility and use intention, with stronger effects in the USA sample. Furthermore, while perceived ease of use significantly impacts intentions for the USA sample, it does not for the Spain sample; and, while trust is not significant in the USA sample, it is for the Spain sample. The implications of these results, mostly consistent with the hypotheses as suggested by the dimensions of culture, are discussed for both research and practice.
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Ochoa-Morales, Heberto. "The Globalization Paradigm and Latin America's Digital Gap." In Global Information Technologies, 3250–59. IGI Global, 2008. http://dx.doi.org/10.4018/978-1-59904-939-7.ch230.

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The Andean Community of Nations (CAN) and others countries in Latin America (LA), as any less developed countries (LDCs), are located by inception on the wrong side of the “digital gap”. Therefore, these countries confront an enormous challenge from the network revolution that is unfolding. Globalization represents a new paradigm composed of integrated and interdependent economies. The Globalization Index (GI) determines the rank of the countries within the model. This index is composed of several variables in which economic integration and technology, among others, play a very important role in country classifications. Currently, a diminishing trend of FDIs is preponderant in the region, and this affects the knowledge-based society and also the efforts to make these countries members of the new globalization paradigm. Dessler (2004) stated that globalization is the tendency of firms to augment their sales, ownership, and manufacturing facilities to new markets located abroad. The research literature is consistent with the definition of globalization. Hill (2003), among others, agreed that the term globalization refers to a new paradigm in which the world economy is more integrated and interdependent. Therefore, this integration demands new methodologies and mechanisms to allow countries to perform their new roles within this emerging framework. A preponderant element in this new array is the convergence of computer-based power and telecommunications. These parameters are interrelated to computing infrastructure, new communication technology, and governmental policies that will make the old telecommunication model, a monopoly, obsolete; therefore, a new paradigm will evolve that makes this technology accessible to everyone through a new system that promotes and encourages competition within the private sector (Ochoa-Morales, 2003c). Also, convergence that is taking place with computing and telecommunication demonstrates the importance of the development of this sector and the socioeconomic impact on the economic perspective and to the stimulus of economic growth (Ochoa-Morales, 2003a). Kearney (2003) classified countries using a Globalization Index (GI), which determines the rank of the country as a more global country. Sixty-two countries that represent 85% of the world’s population compose the sample used. The index is epitomized by 13 variables grouped in four baskets: (1) economic integration, (2) personal contact, (3) technology, and (4) political engagement. Economic integration is represented by trade, foreign direct investments (FDIs) and portfolio capital flows, and income payments and receipts. Personal contact consists of international travel and tourism, international telephone traffic, and cross-border transfers. Technology is characterized by number of Internet users, Internet hosts, and secure servers; and political engagement is characterized by number of memberships in international organizations, UN Security Council missions in which each country participates, and the quantity of foreign embassies hosted by the countries. The ranking for the year 2003 shows Ireland as number one, Switzerland number two, and the United States as eleventh. Ireland has large investments in high-tech and information technology. Its Internet infrastructure is still growing, and the number of secure servers has increased 32.6% from 337 to 500 in 2002. Also, it has been the most talkative country in the world, included heavy domestic and international traffic. The above is unequivocal proof of the high correlation that exists between technology, a parameter of the new paradigm, and access to new markets that will be the cornerstone of globalization. According to Kearney (2003), one variable is economic integration in Latin America (LA), and the Caribbean economic integration is extant. Numerous regional and multilateral agreements are present such as the Andean Community of Nations (CAN), composed of Bolivia, Ecuador, Colombia, Peru, and Venezuela; MERCOSUR, composed of Brazil, Paraguay, Uruguay, and Argentina; The Group of Three (3), composed of Colombia, Mexico, and Venezuela; and the CARICOM, composed of English speaking countries (Islands) within the Caribbean Basin (Secretaria, 1998). Ochoa-Morales (2001) stated that, from an economic perspective, the outcome is trade and therefore stimulus to economic growth. Foreign direct investments (FDIs) can greatly contribute to a host country’s economy providing the required factors of production are present, making the countries more competitive within the globalization framework. Schuler and Brown (1999) emphasized that the most important occurrence in the location of the FDIs is the support or impediment exercised by the institutions in the host country. Another important factor within the GI is technology characterized among other parameters by Internet users and Internet hosts. In LA, the growth rate of the Internet has been the highest in the world, and the number of users has increased 14-fold within the 1995 to 1999 period (UIT, 2000). The literature defines teledensity as the number of main telephone lines for every 100 inhabitants, excluding wireless access. This term is also used as a parameter to measure the level of telecommunication infrastructure of any country. A review of the literature also shows the existence of a high correlation between teledensity and economic development, and a negative one between teledensity and population size has been found (Mbarika, Byrd & Raymond, 2002).
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Тези доповідей конференцій з теми "Cross-sector framework agreements"

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Oriji, Ugochukwu R., and Paul G. Tucker. "Modular Turbulence Modelling Applied to an Engine Intake." In ASME Turbo Expo 2013: Turbine Technical Conference and Exposition. American Society of Mechanical Engineers, 2013. http://dx.doi.org/10.1115/gt2013-94983.

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The one equation Spalart Allamaras (SA) turbulence model in an extended modular form is employed for the prediction of cross wind flow around the lip of a 90 degree sector of an intake with and without surface roughness. The flow features around the lip are complex. There exists a region of high streamline curvature. For this the Richardson number would suggest complete degeneration to laminar flow. Also there are regions of high favourable pressure gradient (FPG) sufficient to laminarize a turbulent boundary layer (BL). This is all terminated by a shock and followed by a laminar separation. Under these severe conditions, the SA model is insensitive to capturing the effects of laminarization and the reenergization of eddy viscosity which promotes the momentum transfer and correct reattachment prior to the fan face. Through distinct modules, the SA model has been modified to account for the effect of laminarization and separation induced transition. The SA modules have been implemented in Rolls-Royce HYDRA Computational Fluid Dynamic (CFD) solver. They have been validated over a number of experimental test cases involving laminarization and also surface roughness. The validated modules are finally applied in unsteady RANS mode to flow around an engine intake and comparisons made with measurements. Encouraging agreement is found and hence advances made towards a more reliable intake design framework.
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Звіти організацій з теми "Cross-sector framework agreements"

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Aldendifer, Elise, McKenzie Coe, Taylor Faught, Ian Klein, Peter Kuylen, Keeli Lane, Robert Loughran, et al. The Safe and Efficient Development of Offshore Transboundary Hydrocarbons: Best Practices from the North Sea and Their Application to the Gulf of Mexico. Edited by Gabriel Eckstein. Texas A&M University School of Law Program in Energy, Environmental, & Natural Resource Systems, September 2019. http://dx.doi.org/10.37419/eenrs.offshoretransboundaryhydrocarbons.

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Offshore hydrocarbon resources have been developed for many decades, and with technology improvements, many fields which were once impossible to develop, are now economically and technologically feasible. This has led to a growing difficulty in determining the legislative and regulatory framework for resources that straddle the recognized borders between two states. In this paper, we examine a successful framework agreement governing the transboundary resources between the United Kingdom (“U.K.”) and Norway in the North Sea, and the agreement between the United States and Mexico governing the Gulf of Mexico. Following the 2013 Energy Reform, the Mexican energy sector has been revitalized, leading to greater exploration, development, and production than ever before. This means that in the near future transboundary resources may be licensed for production, bringing the issues highlighted in this paper to the attention of multiple government and international entities. This paper seeks to recommend improvements to the transboundary framework in the Gulf of Mexico based on the successful framework agreement utilized in the North Sea. This paper begins by introducing international law for offshore resources in Part II. Part III discusses the offshore regulatory regimes in the U.K. and Norway, analyzing how the two states have successfully used bilateral agreements to facilitate cooperation regarding effective exploitation and apportionment of costs from cross-boundary offshore oil and gas projects in the North Sea. Part IV discusses the offshore regulatory regimes in the United States and Mexico and analyzes the current transboundary agreement in place for the Gulf of Mexico. Part V compares the transboundary agreement governing the North Sea and the same governing the Gulf of Mexico. We highlight the major differences in the agreements and suggest changes to the Gulf of Mexico agreement based on the successful North Sea agreement. Finally, this paper concludes and provides key policy recommendations to improve the rules and regulations surrounding the exploitation of transboundary hydrocarbons in the Gulf of Mexico.
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