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1

Lima, Adrián, Valeria Maturano und Pablo Purino. „Tabaquismo en los estudiantes de cuarto año de la Escuela de Enfermería de la F.C.M-U.N.C“. Bachelor's thesis, Universidad Nacional de Cuyo. Facultad de Ciencias Médicas. Escuela de Enfermería, 2002. http://bdigital.uncu.edu.ar/7993.

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Este trabajo de investigación tiene como objetivo determinar cuáles son los factores de origen interno y externo que inducen a fumar a los alumnos de 4º año de la Carrera de Licenciatura en Enfermería de la Escuela de Enfermería de la Facultad de Ciencias Médicas de la Universidad Nacional de Cuyo durante los meses de agosto a noviembre de 2002. Algunas de las variables evaluadas fueron: factores internos (estrés, estado de bienestar); factores externos (entorno personal, ocupación); hábitos de fumar (años, consumo diarios, cantidad). Es un estudio de tipo cuantitativo y descriptivo. Como muestra se tomó a todos los alumnos fumadores de 4º año y se les realizó una encuesta con preguntas cerradas y dicotómicas.
Fil: Lima, Adrián. Universidad Nacional de Cuyo. Facultad de Ciencias Médicas. Escuela de Enfermería..
Fil: Maturano, Valeria. Universidad Nacional de Cuyo. Facultad de Ciencias Médicas. Escuela de Enfermería..
Fil: Purino, Pablo. Universidad Nacional de Cuyo. Facultad de Ciencias Médicas. Escuela de Enfermería..
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Calheiros, Pedro Miguel de Lemos e. Sousa da Bandeira. „Relevância de tutoriais vídeo para a formação no âmbito dos U.G.C“. Master's thesis, Universidade de Aveiro, 2010. http://hdl.handle.net/10773/3668.

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Mestrado em Comunicação Multimédia
Na era da democratização da Internet o utilizador comum tornou-se criador de conteúdos para a Internet. O Youtube revela a actual popularidade dos conteúdos em formato vídeo criados por amadores. O projecto VT4U foi criado para ser uma ferramenta de apoio e formação aos potenciais criadores desses conteúdos. Neste trabalho analisamos o projecto VT4U e através do seu estudo reflectimos sobre o potencial do vídeo enquanto ferramenta de formação na área do audiovisual para os utilizadores comuns da Internet.
In the age of Internet democracy the common user has become a content creator. Youtube reveals the current popularity of video based contents created by amateurs. The project VT4U was created to be a tool to support and teach potential video content creators. In this work we analyze the project VT4U e through its study we reflect upon the potential of video as a formation tool in the audiovisual area for the common Internet users.
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3

Kumar, Dhiraj. „Concept design, analysis, and Integration of the new U.P.C. multispectral lidar system“. Doctoral thesis, Universitat Politècnica de Catalunya, 2012. http://hdl.handle.net/10803/124840.

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The increasing need for range-resolved aerosol and water-vapour atmospheric observation networks worldwide has given rise to multi-spectral LIDARs (Light Detection and Ranging, a synonym of laser radar) as advanced remote sensing sensors. This Ph.D. presents the design, integration and analysis of the new 6-channel multispectral elastic/Raman LIDAR for aerosol and water-vapour content monitoring developed at the Remote Sensing Lab. (RSLAB) of the Universitat Polit ecnica de Catalunya (UPC). It is well known that the combination of at least three elastic and two Raman nitrogen channels are su cient to enable retrieval of the optical and microphysical properties of aerosols with a key impact on climate change variables. The UPC lidar is part of the EARLINET (European Aerosol Research Lidar Network) -GALION (Global Atmospheric Watch Atmospheric Lidar Observation Network), a ground-based continental network including more than 28 stations. Currently, only 8 of the 28 EARLINET stations are of such advanced type. This Ph.D. speci cally focuses on: (1) Concept link-budget instrument design and overlap factor assessment. The former includes opto-atmospheric parameter modelling and assessment of backscattered power and SNR levels, and maximum system range for the di erent reception channels (3 elastic, and 2 aerosol and 1 water-vapour Raman channels, ultraviolet to near-infrared bands). The latter studies the laser-telescope crossover function (or overlap function) by means of a novel raytracing Gaussian model. The problem of overlap function computation and its near-range sensitivity for medium size aperture (f=10, f=11) bi-axial tropospheric lidar systems using both detector and ber-optics coupling alternatives at the telescope focal-plane is analysed using this new ray-tracing approach, which provides a much simpler solution than analyticalbased methods. Sensitivity to laser divergence, eld-lens and detector/ ber positions, and ber's numerical aperture is considered. (2) Design and opto-mechanical implementation of the 6-channel polychromator (i.e., the spectrally selective unit in reception). Design trade-o s concerning light collimation, end-to-end transmissivity, net channel responsivity, and homogeneous spatial light distribution onto the detectors' active area discussed. (3) System integration and validation. This third part is two fold: On one hand, fi rst-order backscatter-coe cient error bounds (a level-1 data product) for the two-component elastic lidar inversion algorithm are estimated for both random (observation noise) and systematic error sources (user's uncertainty in the backscatter-coe cient calibration, and user's uncertainty in the aerosol extinction-to-backscatter lidar ratio). On the other hand, the multispectral lidar so far integrated is described at both hardware and control software level. Statistical validation results for the new UPC lidar (today in routine operation) in the framework of SPALI-2010 intercomparison campaign are presented as part of EARLINET quality assurance / optimisation of instruments' program. The methodology developed in the rst part of this Ph.D. has successfully been applied to the speci cation case study of the IFAE/UAB lidar system, which will be installed and operated at the Cherenkov Telescope Array (CTA) observatory. Finally, specs for automated unmanned unattended lidar operation with service times close to 365/24 are presented at the end of this Ph.D. in response to the increasing demand for larger observation times and availability periods of lidar stations.
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4

OBERTO, THIERRY. „Antenne medicalisee de secours d'urgence : u.s.c.7-var ; bilan d'activite 1985-1991“. Aix-Marseille 2, 1993. http://www.theses.fr/1993AIX20051.

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5

Scarff, Stephen D. „The British public school and the imperial mentality : a reflection of empire at U.C.C“. Thesis, National Library of Canada = Bibliothèque nationale du Canada, 1998. http://www.collectionscanada.ca/obj/s4/f2/dsk1/tape11/PQDD_0004/MQ43943.pdf.

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6

Sharp, Thomas. „The international possibilities of insurgency and statehood in Africa : the U.P.C. and Cameroon, 1948-1971“. Thesis, University of Manchester, 2014. https://www.research.manchester.ac.uk/portal/en/theses/the-international-possibilities-of-insurgency-and-statehood-in-africa-the-upc-and-cameroon-19481971(3e20db11-3e3a-4f71-89ee-07493c102cc5).html.

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Amongst Western political scientists and policy-makers, a perceived economic and political ‘crisis’ of the African state since the 1980s has produced a terminology of ‘weak states’, ‘quasi-states’ and ‘failed states’. Such terminology, however, represents a narrow and pathological understanding of the African state, one that has reduced its post-independence trajectory to a series of deviations from an ideal-typical – and largely Eurocentric – model of statehood. The normative standards of this ‘strong’ and ‘successful’ ideal of statehood have, predominantly, been defined by a government’s ability to exercise complete domestic authority, and to provide for the full welfare and development of its population. Within this paradigm, armed conflict, and a government’s reliance on foreign aid, are both seen to represent a country’s ‘lack’ of statehood. The application of these universal standards to Africa has tended to ignore the distinct historical context from which independent African states emerged. Using the example of French Cameroon, this thesis firstly establishes such a historical context, one that was significantly shaped by the limiting and shallow development efforts of colonial administrations. Importantly, however, this context was also constituted by new opportunities for international support that emerged during the post-war period, represented by the newly formed U.N., an increasing number of independent (and former colonial) states, as well as former colonial powers. It is a context that necessitates a more specific set of standards to analyse the exercise of statehood in Africa. The thesis consequently identifies one such standard – or function – of statehood: the ability to control access to external resources, through a claim to represent an internationally recognised state. It is a function in which recourse to external aid, and even armed conflict, become understandable as rational strategies that reinforce statehood in an African context, rather than negate it. The original contribution of the thesis, however, proceeds from identifying this function in a group that was excluded from the institutions, and even territory, of the Cameroonian state. That group was the Union des Populations du Cameroun (U.P.C.); a nationalist party that waged a guerrilla insurgency against Cameroon’s colonial and independent governments, and whose leadership predominantly remained in exile. By locating the U.P.C.’s history within this logic of African statehood, the thesis offers an alternative reading of the party’s campaign, and a means of understanding the relationship between its armed and diplomatic struggles. By examining how the U.P.C. competed with Cameroon’s government to successfully perform a fundamental function of African statehood, the thesis enables a more detailed analysis of its underlying dynamics, and interrogates the basis upon which the party – and indeed the African state – have been conventionally judged as ‘failed’. Finally, the thesis contributes to a growing number of studies that have sought to examine empire and decolonisation from a transnational perspective, studying the complex and contingent relationships between local, national, regional and international histories.
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Oehm, Max Wilhelm [Verfasser]. „Das Rechtshilfeverfahren in Beweissachen nach 28 U.S.C. § 1782 in der internationalen Handels- und Investitionsschutzschiedsgerichtsbarkeit / Max Wilhelm Oehm“. Frankfurt : Peter Lang GmbH, Internationaler Verlag der Wissenschaften, 2016. http://d-nb.info/1090772955/34.

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8

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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Hoffman, D. Scott. „Effects Department of Justice Investigations have on Violent Crime and Arrest Rates“. Thesis, Walden University, 2018. http://pqdtopen.proquest.com/#viewpdf?dispub=10842616.

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In 1994 Congress enacted the Violent Crime Control and Law Enforcement Act, which in part gave the Department of Justice, Civil Rights Division (DOJCRD) the power to investigate local law enforcement agencies for Constitutional and civil rights violations. Researchers have found these investigations are expensive, time consuming, and highly intrusive to a law enforcement agency. To understand how these investigations are impacting communities, data were gathered on cities with local law enforcement agencies that have experienced an investigation by the DOJCRD. Using a quasi-experimental, multiple time-series research design with a paired samples t-test, the dependent variables (violent crime and arrest rates) were analyzed for any differences before and after the introduction of the independent variable (the commencement of a DOJCRD investigation). With an established a = .05, adjusting for non-reported crime, and comparing to a non-equivalent control variable (national crime rate), the research findings indicate increased violent crime with the commencement of these investigations. The results also show that arrest rates significantly decreased indicating the possibility of de-policing. The negative impact to communities with increased violent crime rates and decreased arrest rates calls into question the efficacy of DOJCRD investigations. By supporting the recommendation for Congress to repeal this power given to the DOJCRD, this research can lead to positive social change by preventing federal government intrusion into local government that is negatively impacting communities.

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Ronzier, Elisabeth. „Le gage sans dépossession : éclairages américains pour une meilleure efficacité du droit français et international“. Thesis, Paris 11, 2014. http://www.theses.fr/2014PA111013.

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L’ordonnance du 23 mars 2006 a réformé le droit des sûretés en France et introduit un gage sans dépossession inspiré du security interest américain dans l’objectif d’améliorer l’efficacité de la matière. L’amélioration est visible mais peut encore être approfondie. En premier lieu, la prépondérance de l’autonomie de la volonté dans la constitution et le régime du gage sans dépossession traduit son détachement progressif de la matière réelle. En effet, le droit du créancier bénéficiaire a pour objet plus la valeur du contenu de l’assiette affectée que son incarnation matérielle. Ainsi, il faut, d’une part, autoriser l’évolution du contenu matériel de l’assiette de constitution pour admettre que l’assiette de réalisation ne soit pas constituée des mêmes biens mais représente toujours la même valeur affectée. D’autre part, il faut reconnaître l’opposabilité du droit de rétention fictif aux procédures d’insolvabilité. En second lieu, le détachement de la sûreté de son objet réel et la prévalence de l’autonomie de la volonté doivent se prolonger en droit international privé. Ainsi, il convient d’admettre l’abandon de la compétence de la lex rei sitae, source de difficultés liées à la nature mobilière du bien grevé, et de reconnaître la compétence de la lex contractus, tirée de la prépondérance de la source conventionnelle de la sûreté.Ainsi, tant l’adaptation de la sûreté permise par la place laissée la volonté des parties, que la possibilité de circulation transfrontalière offerte par la reconnaissance des sûretés étrangères, font du gage sans dépossession une sûreté plus efficace aussi bien en droit interne qu’au niveau international
On March 23rd 2006, the French reform of security law introduced the « gage sans dépossession », inspired by the security interest of the Article 9 of the U.C.C. from the United- States, in order to improve the efficiency of security law in France. The enhancement is undeniable and yet but there remains room for improvement.First of all, the increased autonomy given to parties when creating and ruling a security results in its detachment from the scope of personal property. Indeed, the creditor is more entitled to the value of the collateral rather than to the good itself. Therefore, the physical content of the collateral should be allowed to change physically as long as collateral remains of same value. On the other hand, the creditor’s fictive right of retention must be enforceable against insolvency proceedings. Secondly, both the detachment of the security from its physical collateral and the preponderance of parties’ autonomy must be taken into account in international private law. Should a matter of choice of law arise, the security should be governed not by lex rei sitae, given the issues raised when applied to movable goods, but by lex contractus, on account of the contractual source of the security. As a result of its adaptability enabled by autonomy, and as a result of the ability to move the security over borders and still be enforceable, the French “gage sans dépossession” appears to be more efficient both in France and on an international level
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Ruiz, Carolina de los Angeles. „Proyecto de Autoevaluación del Currículum en la Escuela Superior de Comercio Manuel Belgrano“. Bachelor's thesis, 2012. http://hdl.handle.net/11086/418.

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Tesis publicada en el marco de la convocatoria de la Oficina de Graduados de la FFyH: "BANCO DE TRABAJOS FINALES. Publicación en-línea de los Trabajos Finales de los Graduados de la FFyH", proyecto Conjunto con el Área de Tecnología Educativa FFyH.El presente trabajo constituye el informe final de las prácticas profesionales realizadas en torno a la autoevaluación del currículum del nivel medio de la E.S.C.M.B., para concluir la Licenciatura en Ciencias de la Educación dictada en la F.F.Y.H., U.N.C. Es conocida la importancia que para toda institución educativa tiene el dispositivo curri cular. Manuel Belgrano, por su parte, se caracteriza por ser una escuela que durante los años se mantiene abierta a la crítica y reflexión en cada una de sus propuestas formativas y prácticas en general. El colegio tiene un Plan de Estudios que data del año 2000. Una primera propuesta en ese entonces fue que el mismo se fuera revisando en la implementación. En esta instancia los miembros de la escuela decidieron que debían ser ellos mismos los encargados de evaluar su currículum. Para ello, fue conforma da una Comisión Evaluadora del Plan, se buscó asesores e xternos que se encargaran de guiar el proceso, ayudando entre otras cosas a la confección de instrumentos de evaluación. En el marco de este proyecto de evaluación- autoevaluación que lleva a cabo la E.S.C.M.B. se enmarca esta P.P.S. Como practicante, me inserto en un proceso de autoevaluación ya iniciado por los miembros de la scuela. Por medio del gabinete psicopedagógico, que es el área en el que trabaja la referente institucional y desde la cual guían mi participación en el proceso, intervengo realizando un aporte pedagógico a partir de distintas tareas en el marco de un asesoramiento pedagógico más amplio encargado principalmente a la Comisión Evaluadora del colegio. Se adoptó para la práctica una concepción de currículum concibiéndolo en sentido amplio, no restringiéndolo a la idea de Plan de Estudios (Furlán, 1996) recuperando para el análisis una perspectiva reconceptualizadora y crítica del mismo (Bolívar, 1999). Adoptando una perspectiva cualitativa de evaluación (Bertoni y Otros, 1995; Casanova, 1999).
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12

Seethaler, Rudolf. „A new contouring algorithm for the U.B.C. controller“. Thesis, 1993. http://hdl.handle.net/2429/4871.

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Conventional servo controllers are not able to provide the high degree of accuracy that is required in many robotic and contour machining applications. New control algorithms are usually difficult to implement in practical machining or robotics environments, since they require extremely fast computer hardware, or a very exact model of the plant. Such algorithms also usually assume that the drive system may be modeled as a linear system; unfortunately this assumption is often violated during contouring operations. The objective of the work reported in this thesis is to utilize the special architecture of the UBC controller to allow the development of control algorithms that allow high speed contouring operations to be undertaken with automatic, real time, error control. The system has been simulated and tested in situations which result in significant non linearity, (sharp corner tracking being a particularly important example.) The results of these tests indicate that the system is able to achieve contouring performance that is better than other systems described in the literature to date.
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13

Lai, Wen-Chi, und 賴文琪. „The Discharge in Bankruptcy focusing on Chapter 7 of Title 11 U.S.C“. Thesis, 2005. http://ndltd.ncl.edu.tw/handle/94211818683403984190.

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14

Tsai, Tzung-Lin, und 蔡宗霖. „Standard for Awarding Reasonable Attorney Fees to the Prevailing Party- A Study of 35 U.S.C. § 285“. Thesis, 2015. http://ndltd.ncl.edu.tw/handle/5kwjgj.

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碩士
銘傳大學
法律學系碩士班
103
35 U.S.C. § 285 provides that “the court in exceptional cases may award reasonable attorney fees to the prevailing party”. 35 U.S.C. § 285 is a fee-shifting rule, which is itself an exception to “American Rule”— the rule in American courts that each party to a lawsuit generally pays its own lawyers’ fees, no matter who wins. The purpose of 35 U.S.C. § 285 is not seen as a penalty for failure to win, but rather, was designed to prevent a gross injustice to a prevailing party, and provided a deterrent to frivolous or unnecessary patent litigation, and compensated a prevailing party for attorneys’ fees it should not have been forced to incur. According to 35 U.S.C. § 285, the court may award reasonable attorney fees to the prevailing party only in “exception case”. On April 29, 2014, the U.S. Supreme Court published two cases involving the issues of "exceptional case"-Octane Fitness v. ICON Health & Fitness (hereinafter “Octane”) and Highmark v. Allcare Health Management System (hereinafter “Highmark”). The author aims to study in this article including: “what significant legal disputes over 35 U.S.C. § 285 and the Supreme Court how to resolve them in Octane and Highmark; after Octane and Highmark, how Judges determined "exceptional case" in awarding reasonable attorney fees to the accused infringer(s); what the future development in Octane and Highmark; the author suggests that the R.O.C. Patent Act should be amended as fee-shifting like 35 U.S.C. § 285 and that the R.O.C. Patent Act §117 is needed to be amendment.”. In addition, because 35 U.S.C. § 285 was enacted to address a patent-specific policy rationale, the author will analysis and explain patent cases that be discussed in this article about their substantive law of patent in detail.
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15

Hatala, Wendy Martha. „U.B.C. Opera Theatre presents The three penny opera by Kurt Weill with Martha Hatala as Jenny“. Thesis, 1994. http://hdl.handle.net/2429/5048.

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16

Wu, Tien-Yu, und 吳典輿. „A study of the impact of indirect infringement under the 35 U.S.C. on the Taiwan Automotive Electronics Industry, also commentary the appropriateness of enactment in Taiwan“. Thesis, 2010. http://ndltd.ncl.edu.tw/handle/38545533386663640752.

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碩士
國立中興大學
科技法律研究所
98
This thesis addresses the impact of indirect infringement liability on Taiwan’s Automotive Electronics Industry under 35 U.S.C. §217. Pursuant to the said law, there are two types of indirect infringement: the induced infringement and the contributory infringement. 35 U.S.C. §217 Section (b) defines induced infringement as when someone, without a valid license, actively embarks some positive actions such as advertisement, offering for sale or other means to induce people to carry out a direct patent infringement. Regarding contributory infringement, it can be alleged while someone, without a valid license plays a positive role as engaging in selling, offering for selling, or importing a component which constituting a material part of a patented invention and not a staple article of commerce for the purpose of being used by other people. By analyzing the legal precedents of court cases in the United States, this thesis attempts to provide insights for understanding the key constitutive elements of indirect infringements so as to send warning message to Taiwanese contractors in advance in a correct and precise manner before any legal action was taken against them. Moreover, three contract operation models commonly seen in the automotive electronics industry, i.e. OEM, ODM, and OBM will be addressed to evaluate what kind of conducts will fall into the interpretation of the Article. By means of the evaluation, it is hoped that a preferable solution can be come up for employees in the automotive electronics industry to mitigate the impact brought by indirect infringement so as to reduce the huge lost incurred by the patent infringement litigation. Besides, Taiwan Intellectual Property Office has recently proposed a Patent Act Amendment addressing indirect infringement. This thesis will probe into the appropriateness of such new policy, taking the viewpoint of the industrial sector, as well as the perspective of legal practitioners, with an aim to provide some suggestions for TIPO’s reference to better Patent Act.
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Bao, Jia Ching, und 鮑家慶. „An Empirical Study on the Emergence and Evolution of Patent-Based Limited Exclusion Order Relief under 19 U.S.C. § 1337 by Using a Self-Compiled United States International Trade Commission Determination Database“. Thesis, 2006. http://ndltd.ncl.edu.tw/handle/99036010193237165341.

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碩士
國立交通大學
科技法律研究所
94
This thesis can roughly be divided into two parts. Part One (Chapters 2 and 3) presents the historical and legal evolution of injunctive relief orders issued in "Section 337" unfair importation investigations from 1922 to 1974 (under the Tariff Commission) and from 1974 to 2006 (under the USITC, which is the main subject of this thesis). This thesis finds that extra-governmental legal pressure from the United States' main trade partners via the GATT, in combination with intra-governmental political pressure from the President (via the U.S. Trade Representative's Office) and Congress, forced the USITC to evolve a new form of exclusive order relief through administrative rulemaking processes. Part Two (Chapters 4 and 5) statistically analyzes the factual and legal bases supporting the USITC's historical issuance of General/Limited Exclusion Orders to test for the effects of bias in the USITC's decision-making. This thesis (which assumes that the USITC did not operate in a vacuum) statistically examines USITC's decisions to determine whether non-statutory factors may have affected the agency's decision-making process. (see Section 1.1.2). We also find that bias does not appear to play a statistically significant role in the USITC's decision-making process. This historical evolution in the legal structure of Section 337 created a more balanced, equitable, and trade-friendly enforcement tool to protect U.S. intellectual property rights in international trade.
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