Academic literature on the topic 'Analysis of the future law regulations'

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Journal articles on the topic "Analysis of the future law regulations"

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Flaiszhaker, Dalit. "Dissonance in Global Financial Law." Deakin Law Review 24 (August 30, 2019): 61–100. http://dx.doi.org/10.21153/dlr2019vol24no1art871.

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This article explores whether the post-GFC global financial architecture is likely to provide efficient regulation capable of preventing a future crisis from occurring. The article starts with a brief overview of the emergence in the 1970s of global financial architecture. A thorough descriptive analysis of the post-crisis architecture follows, raising serious doubts regarding the current architecture’s ability to accomplish its goal. This analysis is performed in two stages, taking first an outsider’s perspective on the changes the architecture underwent after the crisis and moving then to the inside — the structure and contents of the architecture. Using macro-prudential methodological tools, the establishment of the Financial Stability Board is reviewed, along with three cutting edge regulations: the Basel III framework for banking, the IOSCO’s recommendation for money market funds, and the FSB’s recommendations regarding repurchase agreements. Pointing out the architecture’s perceived failure to provide stability due to severe regulatory arbitrage, the article then widens the lens to explore the implications of the above regulation. The article suggests that the current architecture encourages ‘financialisation’ and pushes the financial system and the real economy further apart. Consequently, the article raises normative concerns regarding the legal foundations of the global financial architecture, and its legitimacy.
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Ahmadani, Faisal, Adis Imam Munandar, and Agape Zacharia R.D. "STAKEHOLDER ANALYSIS: DEVELOPMENT AND EMPOWERMENT STUDENT REGIMENT IN INDONESIA DEFENSE SYSTEM." International Journal of Research -GRANTHAALAYAH 8, no. 12 (December 25, 2020): 54–59. http://dx.doi.org/10.29121/granthaalayah.v8.i12.2020.2664.

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The history of Student Regiment in Indonesia is an integral part of Indonesia history as well. But after Indonesia democracy reform, militaristic identity of Student Regiment and degradation Student Regiment’s role in Indonesia Defense System face dilemmatic discourse especially in development and empowerment. This paper applies qualitative method and stakeholder analysis with comparative approach. Based on Law Np. 23/2019, Student Regiment development and empowerment policies should be reviewed. All the policies and regulations on Student Regiment in the future could be supporting Indonesia Defense System management to gain deterrent as the final goal, and Four Ministers Joint Agreement Letter in 2014 should be replace with updated and strong regulation.
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Laidiana Torres Rodríguez, Lisett D. Páez Cuba, and Liliana Margarita Martínez Hernández. "Migration and the crimes of People smuggling and trafficking. Technical-legal analysis." Technium Social Sciences Journal 5 (March 9, 2020): 32–45. http://dx.doi.org/10.47577/tssj.v5i1.115.

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In this paper, a technical and legal analysis of the crimes of people trafficking and smuggling associated with migration was made, according to the mistaken regulations in the Cuban Penal Code. For that reason theoretical and empirical methods were used. A proposal for improving the regulation of the crimes of people trafficking and smuggling associated with it in the Cuban Penal Code was established, in order to a future amendment. It was analyzed the migration as a social phenomenon with a lot of legal and criminal consequences. In addition, the crimes of people trafficking and smuggling associated with it were defined and compared; and it was made a study from the comparative law about the regulation of these crimes in the foreign legislations.
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Palm, Jenny. "The Transposition of Energy Communities into Swedish Regulations: Overview and Critique of Emerging Regulations." Energies 14, no. 16 (August 13, 2021): 4982. http://dx.doi.org/10.3390/en14164982.

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One organizational innovation introduced by the clean energy for all Europeans package (CEP) is that of the energy community (EC), including the renewable energy community (REC) and citizen energy community (CEC). The translation of related directives into national legislation is underway in Sweden, and the Swedish Energy Market Inspectorate (Ei) has proposed a new law on ECs, which has been sent for consultation. This article analyzes the Ei proposal and the responses from the 27 referral bodies commenting on the new EC regulations. Positive aspects of the proposal were that it would be a law on ECs and that it would be easy to start and run an EC. Critics were concerned that the law was too vague, the relationship between existing cooperatives and the new ECs was not clear, both CEC and REC are used instead of only using one term, there is a lack of suggestions on supportive measures for ECs, ECs will have less favorable conditions than other micro-producers of electricity, there is a lack of barrier analysis and visions of a future of ECs, and finally, that the situation for marginalized households was not dealt with in the proposal.
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Suntana, Ija. "The Constitutional Law Research Trends and Plagiarism Problem in State Islamic University." YUDISIA : Jurnal Pemikiran Hukum dan Hukum Islam 10, no. 2 (October 22, 2019): 121. http://dx.doi.org/10.21043/yudisia.v10i2.5654.

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The objective of this research was to find out research trend in constitutional law area as well to map research procedures in the said area and its projection in the future. Bibliometric analysis was applied, using 80 theses as sample from constitutional law bachelor degree student theses data base, with time range from 2013 to 2017. The research result shows that the Constitutional Law students gave extra preference to legislation studies rather that other subject. In methodological matters, the trend shows that most of research used descriptive methodology (45%) and only few utilized comparative methods (6%). At least 41 concepts were chosen by the students, with top four concepts are the enactment of regulations, the implementing regulations of Acts, the local government regulations, and the enactment of an article. The less chosen concepts are international law/regulations and state treasury management. From research originality aspect, by using Turnitin application, there are 28 theses that have similarity indication with previous researches (with various typologies) and 52 theses are acceptable.
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Putra, Andi Bayu, and Hendrik Sulistio. "Analisis Undang Undang yang Mengatur Jasa Konstruksi Indonesia Terhadap Pengguna dan Penyedia Jasa Konstruksi." MEDIA KOMUNIKASI TEKNIK SIPIL 25, no. 2 (January 8, 2020): 199. http://dx.doi.org/10.14710/mkts.v25i2.19678.

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Construction Services Law is a statutory regulation that is used to regulate all matters involving construction services, whereas in this study conducted in Jakarta, Indonesia, Law No. 18 of 1999 about Construction Services and Law No. 2 of 2017 about Construction Services. With changes in the Construction Services Law, there are differences in the form of revisions, additions, and reductions. These differences and changes are analyzed with the aim of developing a better Construction Services Law in the future. The method used in this research is a literature study method and questionnaire survey method. Questionnaire questions were formed based on literature studies from previous research and Construction Services Law discussed in this study. Data obtained from respondents were entered into the IBM SPSS Statistics 23 program and then conducted a validity test, reliability test, correlation test, and regression analysis. The analysis shows that there are several Construction Services Law’s regulations which cannot be a good guide for construction service providers and users yet, due to: the provisions regarding building failures are not well explained, the general lack of provisions governing the selection of expert assessors, the lack of clarity governing labor standards construction work and unclear regulations regarding sanctions for parties involved in construction work.
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Putra, Angga Kiryaditama. "ANALYSIS OF BPK LEGAL BASIS FOR FORESIGHT AUDITORS FOR THE ACCELERATED ACHIEVEMENT OF THE SUSTAINABLE DEVELOPMENT GOALS." Jurnal Tata Kelola dan Akuntabilitas Keuangan Negara 6, no. 2 (December 28, 2020): 103–28. http://dx.doi.org/10.28986/jtaken.v6i2.383.

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Law Number 15 of 2004 and Law Number 15 of 2006 only lay down the authority of the BPK in conducting audits in general and the types of audits that can be conducted by BPK. These regulations, however, do not specifically and explicitly provide the authority to the conduct of a foresight audit. Foresight audit launched by BPK in the 2016-2020 BPK Strategic Plan will be very important in the achievement of sustainable development goals (SDGs) by 2030, given that the BPK will provide feedback and suggestions on important future policies to accelerate the achievement of SDGs. Legal instruments have an important role for BPK as the legal basis for the institution in achieving the Highest Maturity Model of the Accountability Organization in conducting a foresight audit. This study employs a normative legal research method that aims to explore and study regulations that support BPK as a foresight auditor in the future. The results illustrate that the legal basis or legal instruments for the exercise of BPK’s foresight audit authority is sufficient but still needs to be improved. The addition of legal instruments and authorities can be a solution to ensure that any foresight audit performed in the future can run optimally and accelerate the achievement of the SDGs.
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Moore, Jonathan W., Linda Nowlan, Martin Olszynski, Aerin L. Jacob, Brett Favaro, Lynda Collins, G. L. Terri-Lynn Williams-Davidson, and Jill Weitz. "Towards linking environmental law and science." FACETS 3, no. 1 (October 1, 2018): 375–91. http://dx.doi.org/10.1139/facets-2017-0106.

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Gaps between environmental science and environmental law may undermine sound environmental decision-making. We link perspectives and insights from science and law to highlight opportunities and challenges at the environmental science–law interface. The objectives of this paper are to assist scientists who wish to conduct and communicate science that informs environmental statutes, regulations, and associated operational policies (OPs), and to ensure the environmental lawyers (and others) working to ensure that these statutes, regulations, and OPs are appropriately informed by scientific evidence. We provide a conceptual model of how different kinds of science-based activities can feed into legislative and policy cycles, ranging from actionable science that can inform decision-making windows to retrospective analyses that can inform future regulations. We identify a series of major gaps and barriers that challenge the successful linking of environmental science and law. These include (1) the different time frames for science and law, (2) the different standards of proof for scientific and legal (un)certainty, (3) the need for effective scientific communication, (4) the multijurisdictional (federal, provincial, and Indigenous) nature of environmental law, and (5) the different ethical obligations of law and science. Addressing these challenges calls for bidirectional learning among scientists and lawyers and more intentional collaborations at the law–science interface.
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Khairulina, Nailia, and Hanna Dubova. "Gender and Law Culture of Future Law Enforcement Specialists." Education and Pedagogical Sciences, no. 2 (177) (2021): 35–46. http://dx.doi.org/10.12958/2227-2747-2021-2(177)-35-46.

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The article considers the semiotic nature of gender and law culture, focuses on the synthetic nature of this term, and provides alternative definitions of such concepts as «gender» and «culture». Highlighting the essence of the proposed word from a semiotic perspective, the authors of the article give examples of the main elements that form the paradigm of gender and law culture. The practical part of the article is devoted to analyzing the proposed phenomenon as a psychological and pedagogical problem. Taking into account that modern conditions of social development are associated with changing social and economic, and criminal complications, as a result of which society is interested in the effectiveness of law enforcement agencies operating based on legality, humanism, transparency, the presumption of innocence, resilience, the subject matter of the research is viewed as undeniably topical today. The analysis of the scientific literature in gender and law made it possible to specify the concept of «gender and law culture of future law enforcement professionals», which, in particular, refers to the issues of forming a gender culture of future law enforcement professionals. It is considered to be an integral quality of personality determined by the specifics of law enforcement, reflecting comprehensive knowledge of the nature and legal regulation of gender aspects in current Ukrainian legislation and readiness to ensure further functioning of gender-sensitive practices and principles of non-discrimination in law enforcement activities based on legal attitudes and compliance with official duties.
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Sulaiman, King. "MODEL PARTISIPASI MASYARAKAT DALAM PEMBENTUKAN PERATURAN DAERAH MENURUT UNDANG-UNDANG REPUBLIK INDONESIA NOMOR 23 TAHUN 2014 TENTANG PEMERINTAHAN DAERAH." Perspektif Hukum 17, no. 2 (January 23, 2019): 167. http://dx.doi.org/10.30649/phj.v17i2.167.

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Abstract : This research aims to find out and explain juridical issues about the model used in the formation of regional laws based on Law Number 23 of 2014 and the inhibiting factors of public participation. The ideal alternative model for the preparation of future Regional Regulations. The research method is in the form of normative legal research (legal research) which originates from primary legal materials, secondary legal materials and tertiary legal materials. Statute approach dan conceptual approach. In this study using descriptivequalitative analysis. Research comes to the conclusion that the 2014 Law Number 23 Year has guaranteed the space for public participation, but the participation model has not been comprehensively regulated. There are various factors inhibiting public participation, such as the political will of policy makers (DPRD and Regional Government), and the attitudes of the public and the media. Finally, a low regulatory factor and a bureaucratic culture that does not provide sufficient space for public participation in the formation of regional regulations. In the future there must be ideal participation models in regional regulations that are clearly regulated in formal regulations, including: First, the public must be actively involved in every stage of the formation of regional regulations. Second, establish permanent cooperation with the formation of regional regulations (DPRD and local government) in providing input on material that will be regulated in the regulations.
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Dissertations / Theses on the topic "Analysis of the future law regulations"

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Echaiz, Moreno Daniel, and Moreno Sandra Echaiz. "Tax Avoidance: Critical Analysis of Current Regulations and Proposals for a Future Reform." Derecho & Sociedad, 2015. http://repositorio.pucp.edu.pe/index/handle/123456789/117810.

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This paper describes and analyzes the configuration, the normative regulation and assumptions of tax avoidance and its differentiation from tax evasion, current regulations on matters related to tax avoidance, disputes relating to this figure due supported, the impact of international tax avoidance through tax havens figure, the way our country aims to combat this figure and finally propose suggestions for improving the anti-elusive regulations in order not to infringe against the taxpayer and any proper legal regulation.
En el presente ensayo se exponen y analizan la configuración, la regulación normativa y los supuestos de la elusión tributaria, así como su diferenciación con la evasión tributaria, la normatividad actual sobre materias vinculadas a la elusión tributaria, las controversias en relación a esta figura debidamente sustentadas, el impacto de la elusión tributaria a nivel internacional a través de la figura de los paraísos fiscales, la manera cómo nuestro país pretende combatir esta figura y, finalmente, planteamos propuestas de mejora a la normatividad anti-elusiva a fin que no se atente contra el contribuyente y exista una adecuada regulación jurídica.
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Elliott, Katherine Louise. "An analysis of the Federal wetlands regulations influencing construction development." Thesis, Georgia Institute of Technology, 1998. http://hdl.handle.net/1853/21437.

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Demyanek, Mark Louis. "An analysis of United States asbestos regulations and policies." Thesis, Georgia Institute of Technology, 1989. http://hdl.handle.net/1853/29586.

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Aleid, Mohammed S. "A critical analysis of investor protection under Saudi Stock market regulations." Thesis, University of Essex, 2018. http://repository.essex.ac.uk/22110/.

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As the government of Saudi Arabia begins a major evolutionary process of economic expansion, the Saudi stock market has become the focus of increased attention. The legal framework that regulates the stock market is still considered to be underdeveloped, as only recently, in 2003, did the Saudi legislator issue a Capital Market Law (2003) and create a regulatory body vested with its enforcement. The securities market was built around this legislation, which helped to stimulate the economy by attracting investor. However, the Saudi stock market experienced a big crash in February 2006, which had a profound impact in heavy losses for large and small investors. The practical application of these new laws brought to light some shortcomings in the regulations of the stock market, and specifically, the need for the legal protection of investor. Hence, the overarching aim of this thesis is to focus particular on four issues: on the question of whether or not the existing regulations of the Saudi stock market adequately protects investor from poor disclosure, insider trading and market manipulation induced partly by market brokers. Thus, there are four primary objectives of this thesis: to enhance the effectiveness of existing rules to secure a suitable level of protection for investor against poor disclosure, market abuse and illegal practices by broker; to increase investor confidence and attractiveness of the market; to prevent a future repeat of the stock market collapse and avoid the steps that caused it; and finally, to provide useful material for Saudi Capital Market Law (2003) reforms in the future. In order to examine these sensitive issues, the thesis will first examine whether or not the disclosure regulations of the Saudi stock market provide adequate protection to investor and secondly assess the effectiveness of the legal framework of insider trading regulations for preventing insider trading. Third, it will ascertain how well the the law defines market manipulation and covers the most common forms of market manipulation under Saudi securities law. Lastly it will explore the responsibility that brokers in the Saudi stock market have to achieve the greatest degree of protection for investor.
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Ombella, John S. "Benefit sharing from traditional knowledge and intellectual property rights in Africa: "an analysis of international regulations"." Thesis, University of the Western Cape, 2007. http://etd.uwc.ac.za/index.php?module=etd&action=viewtitle&id=gen8Srv25Nme4_8927_1213866323.

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This thesis was written in the contemplation of the idea that, it is only through protection of the traditional knowledge in African local societies where these societies can rip the benefit of its commercialization and non-commercialization. It was thus centered on the emphasis that, while the African countries are still insisting on the need to have amendments done to the TRIPS Agreement, they should also establish regulations in their domestic laws to protect traditional knowledge from being pirated. This emphasis was mainly raised at this time due to the wide spread of bio-piracy in African local societies by the Western Multinational Pharmaceutical Corporations.

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Gong, Hongbing <1967&gt. "The abuse of intellectual property rights and regulations in China: a law and economic analysis." Doctoral thesis, Alma Mater Studiorum - Università di Bologna, 2011. http://amsdottorato.unibo.it/3903/.

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From the institutional point of view, the legal system of IPR (intellectual property right, hereafter, IPR) is one of incentive institutions of innovation and it plays very important role in the development of economy. According to the law, the owner of the IPR enjoy a kind of exclusive right to use his IP(intellectual property, hereafter, IP), in other words, he enjoys a kind of legal monopoly position in the market. How to well protect the IPR and at the same time to regulate the abuse of IPR is very interested topic in this knowledge-orientated market and it is the basic research question in this dissertation. In this paper, by way of comparing study and by way of law and economic analyses, and based on the Austrian Economics School’s theories, the writer claims that there is no any contradiction between the IPR and competition law. However, in this new economy (high-technology industries), there is really probability of the owner of IPR to abuse his dominant position. And with the characteristics of the new economy, such as, the high rates of innovation, “instant scalability”, network externality and lock-in effects, the IPR “will vest the dominant undertakings with the power not just to monopolize the market but to shift such power from one market to another, to create strong barriers to enter and, in so doing, granting the perpetuation of such dominance for quite a long time.”1 Therefore, in order to keep the order of market, to vitalize the competition and innovation, and to benefit the customer, in EU and US, it is common ways to apply the competition law to regulate the IPR abuse. In Austrian Economic School perspective, especially the Schumpeterian theories, the innovation/competition/monopoly and entrepreneurship are inter-correlated, therefore, we should apply the dynamic antitrust model based on the AES theories to analysis the relationship between the IPR and competition law. China is still a developing country with relative not so high ability of innovation. Therefore, at present, to protect the IPR and to make good use of the incentive mechanism of IPR legal system is the first important task for Chinese government to do. However, according to the investigation reports,2 based on their IPR advantage and capital advantage, some multinational companies really obtained the dominant or monopoly market position in some aspects of some industries, and there are some IPR abuses conducted by such multinational companies. And then, the Chinese government should be paying close attention to regulate any IPR abuse. However, how to effectively regulate the IPR abuse by way of competition law in Chinese situation, from the law and economic theories’ perspective, from the legislation perspective, and from the judicial practice perspective, there is a long way for China to go!
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Yodlowski, Shane. "Alien Tort Statute: A Discussion and Analysis of the History, Evolution, and Future." Honors in the Major Thesis, University of Central Florida, 2014. http://digital.library.ucf.edu/cdm/ref/collection/ETH/id/1657.

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The Alien Tort Statute is a short, thirty-two word section of the United States Code enacted in 1789 as part of the Judiciary Act. The Alien Tort Statute, or ATS, has an uncertain and controversial beginning and remains controversial in current jurisprudence. The ATS reads as follows: “The district courts shall have original jurisdiction of any civil action by an alien for a tort only, committed in violation of the law of nations or a treaty of the United States." It is my intent for this thesis to be an academic discussion of the mysterious history, intent, and court cases that have evolved the ATS; and the way in which the evolution took place. Having lain dormant for almost two decades, it is important to understand how the ATS was finally utilized and how this affected the statutes ability to become a tool for human rights persecution abroad; until the decision in Kiobel v. Royal Dutch Petroleum. Examining the language of two opinions by the District Court of the Second Circuit and the Supreme Court in Kiobel we will be able to understand, but reject, the arguments of both these courts.
B.A.
Bachelors
Legal Studies
Health and Public Affairs
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Chongwatpol, Jongsawas. "Analysis of waste electrical and electronic equipment (WEEE) in Thailand and implementation of risk management plan to comply with future WEEE regulations." Menomonie, WI : University of Wisconsin--Stout, 2004. http://www.uwstout.edu/lib/thesis/2004/2004chongwatpolj.pdf.

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Páč, Lubor. "Analýza možností zkvalitnění služeb v oblasti zprostředkování obchodu s nemovitostmi v podmínkách České republiky." Master's thesis, Vysoké učení technické v Brně. Ústav soudního inženýrství, 2013. http://www.nusl.cz/ntk/nusl-232752.

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The aim of this diploma thesis is to analyse development in arranging of the real estate transactions in the Czech Republic after 1989 and describe contemporary condition. Contemporary condition was analysed as unsatisfactory. There does not exist any law that would regulate real estate market, neither is there a duty to proof a professional training or ability for the business. Real estate agencies do not have a good reputation in the Czech Republic and with many citizens they are unfavourable. As a reaction upon contemporary unsatisfactory situation, the Economic Bureau of the Czech Chamber of Deputies elected an operative group that is supposed to maintain a survey of the contemporary situation in the real estate market and suggest possible solutions. This work aims also to analyse the suggested solutions and to supply solutions that would be missing.
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Wojtyla, Natalia. "Double taxation and double non-deductibility of losses : impediments to the freedom of establishment : an analysis of the regulations and practices in the UK and Poland." Thesis, University of Glasgow, 2017. http://theses.gla.ac.uk/8681/.

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This thesis addresses the question of the implementation of the freedom of establishment (Article 49 Treaty on the Functioning of the European Union) in two EU member states with particular emphasis on impediments to the freedom. It is argued that despite a very long-standing and clear legal prohibition on restrictions to the freedom of establishment, there remain many practical obstacles which inhibit the right. This thesis’ hypothesis is that double taxation and double non-deductibility of losses constitute hurdles to a complete freedom of establishment. As far as the methodology is concerned the approach chosen to test the hypothesis is as follows: first to set out a theoretical framework based on the non-Discrimination principle, the basic principles of the freedom of establishment right and the exemptions to that right. Then, right of freedom of establishment is tested as against the practice in three ways, each considered in a chapter: the requirement of the nationality prerequisite; the double taxation of companies operating in more than one EU member state; and the practice of double non-deductibility of losses. The research is inspired by the case study of an author’s businesses, SMEs who trade cross-border in the United Kingdom (UK) and subsequently in Poland. From a study of the implementation practices of both the UK and Poland this thesis suggests that the following form serious restrictions: double taxation and non-deductibility of losses. Moreover, case law and existing literature identify taxation as a core impediment to the exercise of the freedom of establishment as taxation matters deter companies from relocating their whole business. This thesis examines how to balance the freedom of establishment and the tax powers of the EU member states. Taxation also plays a fundamental role in the development of the EU’s internal market. The thesis seeks a pragmatic solution which might be implemented effectively without resorting to substantial international harmonization.
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Books on the topic "Analysis of the future law regulations"

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Schierow, Linda-Jo. Risk analysis and cost-benefit analysis of environmental regulations. [Washington, D.C.]: Congressional Research Service, Library of Congress, 1994.

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Program, New Hampshire Coastal. Wetland mitigation issues and regulations analysis. Concord, NH: Office of State Planning, 1993.

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Blue, Ian A. The Ontario spills bill: Analysis, law and regulations 1985. Don Mills, Ont: CCH Canadian, 1985.

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Uganda. The environment impact assessment regulations, 1998. [Kampala?]: Republic of Uganda, 1998.

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Kitts, Andrew W. Data needs for economic analysis of fishery management regulations. Woods Hole, Mass: U.S. Dept. of Commerce, National Oceanic and Atmospheric Administration, National Marine Fisheries Service, Northeast Region, Northeast Fisheries Science Center, 1999.

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Kitts, Andrew W. Data needs for economic analysis of fishery management regulations. Woods Hole, Mass: U.S. Dept. of Commerce, National Oceanic and Atmospheric Administration, National Marine Fisheries Service, Northeast Region, Northeast Fisheries Science Center, 1999.

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From criminal law to regulation: A historical analysis of health and safety law. New York: Garland, 1986.

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Federal Construction Council. Task Group on Seismic Safety. Seismic safety technology and regulations: A look at the near future : (summary of a symposium). Washington, D.C: National Academy Press, 1992.

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Nelson, J. D. An Economic analysis of timber harvesting regulations for coastal British Columbia. Kingston, Ont: School of Policy Studies, Queen's University, 1995.

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Nelson, J. D. An economic analysis of timber harvesting regulations for coastal British Columbia. Kingston, Ont: Government and Competitiveness, School of Policy Studies, Queen's Unviersity, 1995.

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Book chapters on the topic "Analysis of the future law regulations"

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Takeda, Shiro. "The Competitiveness Issue of the Japanese Economy Under Carbon Pricing: A Computable General Equilibrium Analysis of 2050." In Economics, Law, and Institutions in Asia Pacific, 181–96. Singapore: Springer Singapore, 2020. http://dx.doi.org/10.1007/978-981-15-6964-7_10.

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Abstract Using a computable general equilibrium (CGE) model, this paper investigates the impact of carbon regulations on the Japanese economy. We use an 11-sector, 15-region global dynamic CGE model with a time span from 2011 to 2050. We assume that Japan (along with other developed regions) reduces CO2 emissions by 80% by 2050 and analyze the impact on the Japanese economy. In particular, we consider multiple scenarios of CO2 reduction rates in less developed regions and analyze how changes in CO2 reduction in these regions affect Japan. In addition, we also consider multiple scenarios of the use of a border adjustment policy and analyze its impact. Our simulation results are summarized as follows. First, an 80% CO2 reduction in Japan generates large negative impacts on the Japanese economy in terms of both the macroeconomy and individual sectors. Second, changes in the reduction rates in less developed regions have only a small impact on Japan. Third, the use of border adjustment in Japan has a small impact on the GDP and welfare of Japan overall but a large impact on output in the energy intensive sectors. When future climate change policies in Japan are discussed, much attention is usually paid to climate policy in less developed regions. However, the second result of our analysis suggests that climate change policy in less developed regions has only a small impact on Japan. In addition, the third result indicates that the effectiveness of border adjustment is limited.
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Merten-Lentz, Katia. "Chapter 2. Impact of Health Claims Regulations on the Food Industry and Future Innovation Potential." In Food Chemistry, Function and Analysis, 13–27. Cambridge: Royal Society of Chemistry, 2019. http://dx.doi.org/10.1039/9781788013031-00013.

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Chen, Chen-Ju. "Chapter 3: Analysis of the Proposed Fisheries Subsidies Regulations by the Chairman of the WTO Negotiating Group on Rules." In Fisheries Subsidies under International Law, 113–65. Berlin, Heidelberg: Springer Berlin Heidelberg, 2010. http://dx.doi.org/10.1007/978-3-642-15693-9_4.

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Miyano, Michiko, and Taisei Kaizoji. "Power Law Distributions for Share Price and Financial Indicators: Analysis at the Regional Level." In Econophysics and Sociophysics: Recent Progress and Future Directions, 85–101. Cham: Springer International Publishing, 2017. http://dx.doi.org/10.1007/978-3-319-47705-3_6.

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Abe, Tatsuya, and Toshi H. Arimura. "An Empirical Study of the Tokyo : An Ex Post Analysis of Emissions from Buildings." In Economics, Law, and Institutions in Asia Pacific, 97–116. Singapore: Springer Singapore, 2020. http://dx.doi.org/10.1007/978-981-15-6964-7_6.

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Abstract The Tokyo Emissions Trading Scheme (ETS) is the first cap -and-trade program of CO2 emissions in Asia, and it is unique in regulating commercial and service sectors. We examine the impacts of the Tokyo ETS on CO2 emissions and energy consumption by universities in the first phase. Focusing on universities allows us to estimate the effects of the Tokyo ETS separately from the economic stagnation Japan experienced after the Great East Japan Earthquake in 2011 because universities are less likely to be affected by economic fluctuations compared to other sectors. In addition to the ETS, other factors may have achieved CO2 emissions reductions in Tokyo in this phase due to the influence of the earthquake. To deal with the shortage of electricity supply after the Fukushima disaster, several measures were undertaken, such as rolling blackouts and power-saving orders, particularly in the Tokyo Electricity Power Company’s jurisdiction. To capture the characteristics for each university at the campus level and their experience with being regulation targets of the policies mentioned above, we conducted a mail survey for universities in Japan and obtained panel data that contain information about both regulated and unregulated universities over 5 years (2009–2013). The difference-in-differences approach reveals that the Tokyo ETS caused regulated universities to reduce their CO2 emissions and energy consumption by approximately 3–5% relative to unregulated universities in the first phase. In addition, we find that the quantitative regulations, such as rolling blackouts and power-saving orders, also had an impact on the universities’ behavior.
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Sulyok, Márton. "‘In All Fairness…’: A Comparative Analysis of the Past, Present and Future of Fair Trial Systems Outside of Europe." In Ius Gentium: Comparative Perspectives on Law and Justice, 101–38. Cham: Springer International Publishing, 2013. http://dx.doi.org/10.1007/978-3-319-01216-2_5.

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Hadwiger, Felix. "Conclusions: Future Regulatory Potential of Global Framework Agreements and Implications for the Economic Analysis of the Internationalization of Law." In Contracting International Employee Participation, 201–13. Cham: Springer International Publishing, 2018. http://dx.doi.org/10.1007/978-3-319-71099-0_10.

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Iwata, Kazuyuki. "Climate Policy in Transportation Sector: Role of Carbon Pricing." In Economics, Law, and Institutions in Asia Pacific, 61–78. Singapore: Springer Singapore, 2020. http://dx.doi.org/10.1007/978-981-15-6964-7_4.

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Abstract This chapter focuses on climate countermeasures in the Japanese transport sector. We introduce the Japanese complexed automobile tax system and then calculate the Japanese effective carbon rate (ECR) on automobiles. In addition to the discussion of the ECR, this chapter offers a simple examination of the efficiency of electric vehicles (EVs) from the viewpoint of cost-benefit because it is expected that EVs will become the most popular eco-friendly vehicle in the future. Two remarks are found in our analysis. First, although the carbon tax rate on fuel consumption is small in Japan, compared to the European countries, the ECR is rather high. For further improvement of climate policy, the Japanese government should shift its attention to vehicle usage from vehicle purchase and possession. Second, under the basic assumption (i.e., representative owners do not recharge their EVs at home but at outdoor fast chargers), the diffusion of EVs is not an efficient measure for reducing GHG emissions. If owners recharge their EVs at home once of every two charges, the net benefit becomes positive Therefore, the opportunity cost of waiting for recharges is a key factor in whether EVs can play a role in mitigating climate change.
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Gerner-Beuerle, Carsten, and Michael Schillig. "The Europeanization of Corporate Law." In Comparative Company Law, 85–154. Oxford University Press, 2019. http://dx.doi.org/10.1093/oso/9780199572205.003.0002.

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This chapter begins with an overview of the nature and effects of EU law and the EU law-making process, with particular focus on the internal market. This is followed by an analysis of the acquis unionaire—the EU law with company law relevance at both Treaty level and the level of secondary legislation (regulations and directives). It emphasizes the trajectory of EU company law and its development in distinguishable ‘waves’. It then turns to the issue of corporate mobility within the Union, on the basis of the Court’s case law on freedom of establishment, as well as the emerging EU law infrastructure for corporate mobility transactions. The chapter concludes with some speculation about the future of EU company law in the light of Brexit.
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Alexander, Sam. "Reforming Australia's Safe Harbour for Internet Intermediaries." In Legal Regulations, Implications, and Issues Surrounding Digital Data, 68–85. IGI Global, 2020. http://dx.doi.org/10.4018/978-1-7998-3130-3.ch004.

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The internet safe harbour created by section 230 of the Communications Decency Act has been described as one of the laws that built Silicon Valley. Australia does not have an equivalent law. The closest available is clause 91(1) of schedule 5 of the Broadcasting Services Act 1992 (Cth) (BSA Immunity), a law described by the NSW Department of Justice as of limited ‘utility'. The purpose of this chapter is to conduct a comparative analysis of section 230 and the BSA Immunity. On the one hand, the chapter seeks to outline how section 230 has helped develop some of the world's most successful platforms while, on the other hand, the chapter argues that the BSA Immunity's lack of utility has had a ‘chilling effect' on internet businesses in Australia. Following this comparison, the chapter discusses potential reforms to the BSA Immunity, which could assist in the development of future Australian start-ups.
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Conference papers on the topic "Analysis of the future law regulations"

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Stilinović, Marko. "TESTAMENTARY DISPOSITIONS IN THE CONTEXT OF GLOBAL PANDEMIC." In EU 2021 – The future of the EU in and after the pandemic. Faculty of Law, Josip Juraj Strossmayer University of Osijek, 2021. http://dx.doi.org/10.25234/eclic/18318.

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The outbreak and the rapid spread of global COVID-19 pandemic have put significant strains on the institutions. The need to adapt to “new normal” and contain the rapid spread of disease, while maintaining a functional society, resulted with introduction of numerous new legal mechanisms and adaptation of the existing ones. However, it seems that one area of law remains on the fringes: the regulation of wills. Even before the start of the pandemic many authors often pointed to the fact that the current legal framework does not follow modern technological developments, but no significant attempts were made to overhaul the inheritance law. Also, once the pandemic started in its full, there were no references to introduction of extraordinary mechanisms or new legal solutions to overcome the potential difficulties in forming wills. Comparative analysis yielded no better results: although some countries (such as Austria) recently completely overhauled their regulation of inheritance law, it seems that no attempts were made to introduce new types of wills or new methods of drafting wills into their regulations. Furthermore, following the spread of the pandemic, increasing number of potential testators find themselves unable to use traditional methods of drafting wills as they, or the authorized persons tasked with assistance and creation of wills, remain isolated from one another due to various reasons (lock-downs, isolation in case of experiencing symptoms, etc.). Having in mind these circumstances, it is necessary to ascertain whether there is a genuine need to introduce new types of wills into existing legal framework, or to adapt the current legal framework by facilitating the communication between citizens and the institutions. Also, it is necessary to analyze whether the interpretation of the existing legal framework enables the introduction of certain facilitating mechanisms. In order to reach these goals and clarify the possibilities within the current legal framework, interpretative and comparative method are used.
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Dobrić Jambrović, Dana. "CROATIAN CITIES DURING THE COVID-19 CRISIS: CHALLENGES, RESPONSES AND ADJUSTMENTS." In EU 2021 – The future of the EU in and after the pandemic. Faculty of Law, Josip Juraj Strossmayer University of Osijek, 2021. http://dx.doi.org/10.25234/eclic/18359.

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The main research question of the paper is related to the identification and analysis of the challenges that Croatian local units face during the crisis caused by the COVID-19 pandemic. First, the regulatory framework of the civil protection system was presented to determine a direction of research of organizational and functional adjustments of local units for effective crisis management. Empirical research was conducted using the data content analysis (legal regulations, strategic documents, soft law documents, and web sourced data). Research findings have shown that local units face challenges in the areas of political governance, administrative and professional affairs, local budget, and the implementation of local democracy mechanisms. Therefore, in each of the identified areas, the author has analyzed elements that are subject to adaptation to national recommendations to reduce the spread of coronavirus. In doing so, attention is focused on large cities and county centers and their adjustments during crisis management were analyzed.
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Matić, Dejan. "TEOLOŠKE VISOKOŠKOLSKE USTANOVE I AUTONOMIJA UNIVERZITETA." In XVII majsko savetovanje. Pravni fakultet Univerziteta u Kragujevcu, 2021. http://dx.doi.org/10.46793/uvp21.787m.

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This paper discusses the problem of autonomy of higher education institutions in the context of the current Draft Law on Amendments to the Law on Higher Education. The current situation in our higher education requires an analysis of precisely those proposed norms that regulate the work of higher education institutions that implement academic study programs in the field of theology of one of the traditional churches and religious communities. In addition, the need for such critical consideration, in itself, arises due to the undoubted and immeasurable social significance that service activity in higher education, by the nature of things, quite objectively possesses. Precisely for the stated reasons, this paper is dedicated to the critical analysis of the proposed proposed regulations, as well as to pointing out possible directions for overcoming similar problems in the future, in order to provide service activities in the field of higher education with much-needed stability.
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Pavićević, Aleksandra. "EUTANAZIJA KAO KRAJNJI IZRAZ LIČNOG PRAVA ČOVEKA NA SAMOODREĐENjE." In XVII majsko savetovanje. Pravni fakultet Univerziteta u Kragujevcu, 2021. http://dx.doi.org/10.46793/uvp21.647p.

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The author discusses different segments of the institute of euthanasia ("murder out of mercy"), especially the question of the justification of its legalization. The subject of the analysis are the solutions of certain European regulations that have completely or partially decriminalized euthanasia, and then the domestic one, in which there is a collision of the norms of criminal and medical law. According to the positive serbian criminal law, euthanasia is a criminal offense and a privileged form of murder, while the Law on Patients' Rights indirectly allows the so-called passive euthanasia, which is not the optimal solution, which introduces legal uncertainty. Тhe Preliminary Draft of the Civil Code of Serbia, which embodies the proposal for the future civil law of Serbia, proposes the decriminalization of euthanasia, which is a solution that needs to be commented on. The aim of the paper is a comparative analysis of domestic and foreign solutions of this controversial institute - through its concept, types (active and passive euthanasia) and critical analysis of the reasons for and against its introduction into the domestic law. The author evaluates the proposal of the Preliminary Draft as progress, with the idea that euthanasia, despite all the controversies that accompany it, represents the ultimate expression of a personal right to self-determination (subjective civil right sui generis), in both modalities, without distinction.
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Ahmed, Masood. "The New French Arbitration Law: An Analysis." In Annual International Conference on Law, Regulations and Public Policy. Global Science & Technology Forum (GSTF), 2012. http://dx.doi.org/10.5176/2251-3809_lrpp1216.

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Henrico, Radley. "EDUCATING OUR FUTURE LEGAL PRACTITIONERS: THE IMPERATIVE OF TRANSFORMATIVE EDUCATION." In Annual International Conference on Law, Regulations and Public Policy (LRPP 2016). Global Science & Technology Forum ( GSTF ), 2016. http://dx.doi.org/10.5176/2251-3809_lrpp16.49.

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Oyson, Manuel Jose. "The Law on Corporate Opportunity Transactions by Directors: A Comparative Analysis of Australian Law and Delaware Law." In 6th Annual International Conference on Law, Regulations and Public Policy (LRPP 2017). Global Science & Technology Forum (GSTF), 2017. http://dx.doi.org/10.5176/2251-3809_lrpp17.49.

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Pan, Yiqun, Yuming Li, Jie Shi, Chunxiang Wang, Kwan Seok Jeong, Jaemin Kim, Ji-young Lee, et al. "Optimal Design of Multi-Utility Complex for a Low Carbon City in China Integrating Renewable Energy." In ASME 2010 International Mechanical Engineering Congress and Exposition. ASMEDC, 2010. http://dx.doi.org/10.1115/imece2010-40354.

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There are many new city and district development projects ongoing in China, which are aimed at developing and building the low carbon emission cities of the future. The Energy Utilities sector is also facing new challenges from policy and regulations aimed at improving energy efficiency, adopting clean energy and mitigating environmental impact. As such, energy supply systems are becoming increasingly complex due to the installation and operation of multiple renewable energy systems. A Multi Utility Complex (MUC) has been proposed as a new and more effective way of constructing urban utility systems, in which facilities for utility services (e.g. energy supplies, water/sewage treatment and waste management plants) are physically installed at one site and managed by an integrated operating centre. When designing a MUC to be ‘cleaner’, more efficient and economical, determining an appropriate capacity of each component constituting the MUC is an essential and not trivial task due to the complexity of resource /energy flows and constraints associated with energy policy and regulations. To address this, an optimization design methodology has been adopted on the basis of a population-base optimization algorithm in support of cost-effective investment. The methodology is implemented in a software tool, ‘Plant Optimizer’, equipped with an urban utility demand profile modeller, the MUC package with different installation scenarios, analysis modules and reporting facility. This paper describes the optimizing methodology and functions of the software tool, and presents a case study to demonstrate the applicability.
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Gomes, E. E. B., C. Olmos, A. L. Polyzakis, and P. Pilidis. "Long-Term Operation Strategies Case Studies for Combined Heat and Power." In ASME 2011 International Mechanical Engineering Congress and Exposition. ASMEDC, 2011. http://dx.doi.org/10.1115/imece2011-63359.

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In the next years Distributed Poly-generation Systems are expected to play an increasingly important role in the electricity infrastructure and market. The successful spread of small-scale generation either connected to the distribution network or on the customer side of the meter depends on diverse issues, such as the possibilities of technical implementation, resource availability, environmental aspects, and regulation and market conditions. The aim of this study is to develop an economical and parametric analysis of a Distributed Generation System based on gas turbines able to satisfy the energy demand of a typical Hotel complex. Here we show the economic performance of six cases combining different designs and regimes of operation. The software Turbomatch, the gas turbine performance code of Cranfield University, was used to simulate the off-design performance of the engines in different ambient and load conditions. A clear distinction between cases running at full load and following the load could be observed in the results. Full load regime can give a shorter return on the investment than following the load. Despite of CHP systems currently are not economically attractive, in the future this scenario may change due to the environmental regulations and unavailability of low price fuel for large centralised power stations. CHP has a significant potential but requires favourable legislative and fair energy market conditions to successfully increase its share in the power generation market.
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Jen, Tien-Chien, Yau Min Chen, and Fern Tuchowski. "Investigation of Heat Pipe Drilling Application." In ASME 2004 International Mechanical Engineering Congress and Exposition. ASMEDC, 2004. http://dx.doi.org/10.1115/imece2004-60725.

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It’s widely known that hole making is, by a significant margin, the most frequently performed process among metalworking operations. It’s also among the most difficult operations to control from a thermal perspective. The most common cooling method is the use of cutting fluids flooding through the cutting zone. However, disposal of the used fluids is subject to federal, state and local laws and regulations. More stringent regulations in environmental pollution are expected in the future, we can expect the cost associated with coolants to continue to rise. Experimental studies implementing the use of a heat pipe to cool the drill and thus reduce the amount of cutting fluid required have been recently conducted. The heat pipe works with no moving parts or electronics and it also offers an effective alternative to removing heat without significant increases in operating temperatures. The operating mechanism of heat pipes have been extensively studied, however, rotating heat pipes with a wick structure has not received adequate attention in the past. In this study, a numerical analysis has been conducted to model the flow in an axially rotating heat pipe. The result shows the transport capacity is strongly affected by changes in the thermal physical properties of the working fluid with the temperature. The rotating speeds have strong effect in the vapor core but this effect is weak in the liquid flow of the wick structure.
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Reports on the topic "Analysis of the future law regulations"

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de Almeida, Lucila. Peer-to-Peer Trading and Energy Community in the Electricity Market : Analysing the Literature on Law and Regulation and Looking Ahead to Future Challenges. User-Centred Energy Systems Technology Collaboration Programme, April 2021. http://dx.doi.org/10.47568/5xr108.

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Bennett, Alexander, Contessa Gay, Ashley Graves, Thomas Long, Erin Milliken, Margaret Reed, Laura Smith, and Lauren Thomas. Groundwater Laws and Regulations: A Preliminary Survey of Thirteen U.S. States (Second Edition). Edited by Gabriel Eckstein. Texas A&M University School of Law Program in Natural Resources Systems, April 2020. http://dx.doi.org/10.37419/eenrs.usstategroundwaterlaws.2020.

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This report presents results of a study investigating the groundwater laws and regulations of thirteen U.S. states. The report is actually the second edition of the study following amendments made to the first edition in response to extensive feedback and reviews solicited from practitioners, academics, and other professionals working in the field of water law from across the country. The purpose of the project is to compile and present the groundwater laws and regulations of every state in the United States that could then be used in a series of comparisons of groundwater governance principles, strategies, issues, and challenges. Professor Gabriel Eckstein at Texas A&M University School of Law and Professor Amy Hardberger at Saint Mary’s University Law School developed a matrix to ascertain chief components and characteristics of the groundwater legal regime of each state. Student researchers then used the matrix to respond to a standardized set of questions about the groundwater laws and regulations of a selection of states. In the near future, additional volumes with surveys of other U.S. states will be issued.
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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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Баттахов, Петр Петрович. ПРОБЛЕМЫ И ОСОБЕННОСТИ ПРАВОВОГО РЕГУЛИРОВАНИЯ СОЦИАЛЬНОГО ПРЕДПРИНИМАТЕЛЬСТВА В РОССИИ. DOI CODE, 2021. http://dx.doi.org/10.18411/1815-1337-2021-51857.

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The article discusses the history of social entrepreneurship development in Russia. The concept and activities of a new social project in the country are being studied, legal regulation of entrepreneurial, social legal relations of subjects of law is being studied. Particular attention is paid to the requirements for the establishment of separate legal regulations for social enterprises. In the future, the author identifies a change in the vector of development of social entrepreneurship in the Russian Federation and assistance from the state in various priority areas in order to develop economic entities. It is proposed to improve some articles of the current legislation and, at best, to adopt a separate federal law "On Social Entrepreneurship of the Russian Federation."
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Saha, Amrita, Jodie Thorpe, Keir Macdonald, and Kelbesa Megersa. Linking Business Environment Reform with Gender and Inclusion: A Study of Business Licensing Reform in Indonesia. Institute of Development Studies (IDS), January 2021. http://dx.doi.org/10.19088/k4d.2021.001.

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Business environment reform (BER) targets inadequate business regulations. It is intended to remove constraints to business investment, enabling growth and job creation, and create opportunities for international business to contribute to and benefit from this growth. However, there is a lack of detailed knowledge of the impact of BER on gender and inclusion (G&I). While a review of existing literature suggests that in general, there is no direct link between BER and G&I, indirect links are likely through the influence of BER on firm performance. Outcomes will be influenced by the differential ways in which women-led firms experience the business environment when compared to their male counterparts, with disparities based on how they are treated under the law, as well as structural and sociocultural factors. The fact that in many countries, female-led firms are fewer and smaller than those of their male counterparts, and may operate in different sectors, also affects these dynamics. This research offers new insights through an in-depth analysis of the impact of the Pelayanan Terpadu Satu Pintu (PTSP) or one-stop shop business licensing reform in 2009 on firm performance in Indonesia, and how these impacts vary based on the gender of firm leadership. The results find that on average, firms benefited from improved business performance (sales), as a direct or indirect effect of this reform, as well as an increase in the number of medium and large-scale firms. Outside Jakarta (Bali, Banten, Lampung), women-led firms experienced a small but significant benefit relative to male-led firms, related to both sales and the number of medium and large-scale firms they run. In Jakarta, women-led firms continued to lag behind men and there were no significant effects on employment, and this held across province and gender. These findings are based on an analysis of the PTSP reform using data from the World Bank Enterprise Survey (WBES), a survey of small, medium and large firms (i.e. with more than four employees) which took place in Indonesia between 2009 and 2015.
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Legislative Best Practices for Securing Women’s Rights to Community Lands. Rights and Resources Initiative, March 2018. http://dx.doi.org/10.53892/tkzh7332.

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This brief highlights key attributes of national constitutions, laws, and regulations that play a fundamental role in protecting indigenous and rural women’s rights to community forests and other community lands. These legislative best practices were derived from a 2017 analysis of over 400 national laws and regulations, Power and Potential, which evaluates the extent to which women’s rights to community forests are recognized by national law in 30 low- and middle-income countries (LMICs) across Africa, Asia, and Latin America.
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