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1

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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2

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

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3

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

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4

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

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5

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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6

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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7

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

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8

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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9

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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10

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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11

Oppenheim, Charles B. Stark final regulations: A comprehensive analysis of key issues and practical guide. 4th ed. Washington, D.C: American Health Lawyers Association, 2008.

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12

Huff, Linda L. The economic impact analysis of R84-29 mine-related water pollution regulations. Springfield, IL: The Department, 1986.

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13

Regulating food law: Risk analysis and the precautionary principle as general principles of EU food law. Wageningen, The Netherlands: Wageningen Academic Publishers, 2012.

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14

Salzberg, Philip. Police enforcement of traffic laws: A cost/benefit analysis. Olympia, WA (1000 S. Cherry St., P.O. Box 40944, Olympia 98504-0944): Washington Traffic Safety Commission, 1998.

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15

Salzberg, Philip. Police enforcement of traffic laws: A cost/benefit analysis. Olympia, Wash: Washington Traffic Safety Commission, 1998.

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16

California. State Board of Equalization. California use fuel tax for vendors and users: Use fuel regulations and analysis. Sacramento, Calif. (1020 N St., Sacramento 95814): State Board of Equalization, 1990.

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17

Arkansas. Dept. of Health. Arkansas regulations for blood alcohol testing. 3rd ed. Little Rock, Ark. (4815 West Markham, Little Rock 72205-3867): Arkansas Dept. of Health, Blood Alcohol Program, 1989.

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18

Michalski, Anna. European Convention on the future of Europe: An analysis of the official positions of EU member states, future member states, applicant and candidate states. The Hague: Netherlands Institute of International Relations Clingendael, 2003.

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19

United States. General Accounting Office. Accounting and Information Management Division. Federal agencies' analysis of TDY travel processes. Washington, D.C: The Office, 1996.

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20

Gray, Wayne B. Do OSHA inspections reduce injuries?: A panel analysis. Cambridge, MA: National Bureau of Economic Research, 1991.

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21

Beenstock, Michael. ha-Ḳesher ben akhifat tenuʻah u-teʼunot derakhim: Nituaḥ sṭaṭisṭi = The relationship between traffic law enforcement and road accidents : statistical analysis. Yerushalayim: ha-Misrad le-viṭḥon ha-penim, Lishkat ha-madʻan ha-rashi, 2000.

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22

Ayers, David Randal. Analysis of the preemptive effect of federal hazardous material laws on Virginia's bridge-tunnel regulations: Technical assistance report. Charlottesville, Va: Virginia Transportation Research Council, 1994.

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23

Bowker, Marjorie Montgomery. Canada's constitutional crisis: Making sense of it all (a background analysis & a look at the future). Edmonton, Alta., Canada: Lone Pine, 1991.

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24

Golde, Madeleine. Resource manual: Social workers and social work services as defined in medicare law and regulations : citations, analysis, and summary. 2nd ed. Washington, D.C: National Association of Social Workers, 1995.

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25

Golde, Madeleine. Resource manual : social workers and social work services as defined in medicare law and regulations: Citations, analysis, and summary. 2nd ed. Washington, DC: National Association of Social Workers, 1994.

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26

Moffett, Martha Roadstrum. Perpetual emergency: A legal analysis of Israel's use of the British Defence (Emergency) Regulations, 1945, in the Occupied Territories. Ramallah, West Bank, Via Israel: Al-Haq, 1989.

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27

Stricklett, K. L. Analysis of proposals for compliance and enforcement testing under the new part 431; Title 10, Code of federal regulations. Gaithersburg, MD: U.S. Dept. of Commerce, Technology Administration, National Institute of Standards and Technology, 1998.

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28

Stricklett, K. L. Analysis of proposals for compliance and enforcement testing under the new part 431; Title 10, Code of federal regulations. Gaithersburg, MD: U.S. Dept. of Commerce, Technology Administration, National Institute of Standards and Technology, 1997.

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29

Stricklett, K. L. Analysis of proposals for compliance and enforcement testing under the new part 431; Title 10, Code of federal regulations. Gaithersburg, MD: U.S. Dept. of Commerce, Technology Administration, National Institute of Standards and Technology, 1998.

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30

Stricklett, K. L. Analysis of proposals for compliance and enforcement testing under the new part 431; Title 10, Code of federal regulations. Gaithersburg, MD: U.S. Dept. of Commerce, Technology Administration, National Institute of Standards and Technology, 1997.

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31

United States. Environmental Protection Agency. Risk assessment in development of municipal sludge incineration regulations under 405(d) of the Clean Water Act. Springfield, Va: NTIS, 1989.

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32

Evolution of property rights in Uganda: A legal and philosophical analysis of past, present, and future trends. Kampala, Uganda: Makerere University Printery, 2004.

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33

The regulation of boxing: A history and comparative analysis of policies among American states. Jefferson, N.C: McFarland, 2009.

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34

The future of liner conferences in Europe: A critical analysis of agreements in liner shipping under current European competition law. Frankfurt am Main: P. Lang, 2004.

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35

New model for european medical device regulation: A comparative legal analysis in the eu and the usa. [Place of publication not identified]: Europa Law Publishing, 2003.

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36

Commission, Virginia Marine Resources. Report of the Virginia Marine Resources Commission on an analysis of organic statutes and regulations which inhibit shellfish aquaculture operations to the Governor and the General Assembly of Virginia. Richmond: Commonwealth of Virginia, 1996.

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37

New York (State). Legislature. Legislative Commission on Critical Transportation Choices. Dangerous cargo!: The transportation of hazardous materials by highway : an analysis of federal and state regulations aimed at minimizing risks, with legislative recommendations for New York State. [Albany?: The Commission, 1993.

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38

Center for Biologics Evaluation and Research (U.S.). Science and the regulation of biological products: From a rich history to a challenging future. Rockville, MD: Center for Biologics Evaluation and Research, 2002.

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39

Public Service Commission of Maryland., Kaye Scholer LLP, Levitan & Associates., and Semcas Consulting Associates, eds. State analysis and survey on restructuring & re-regulation ; and, analysis of options for Maryland's energy future. Baltimore, Md: Kaye Scholer LLP, 2007.

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40

van Beers, Britta. Imagining Future People in Biomedical Law. Oxford University Press, 2017. http://dx.doi.org/10.1093/acprof:oso/9780198795896.003.0007.

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Human genetic engineering and other human enhancement technologies bring about uncertainties and risks on both the physical and the conceptual and intangible levels. Much of the controversy surrounding these emerging technologies is due to the fact that categorical distinctions, such as between person and thing, and chance and choice, are blurred in radical ways. As a consequence, the emergence of biomedical technologies also entails, what could be called, metaphysical risks and symbolic uncertainties. This chapter explores the ways in which imaginings of the future of mankind and mankind itself have found their way into international legal regulation of biomedical technologies through an analysis of recent debates on the international ban on human germline genetic engineering. This prohibition, which is at the heart of international biolaw, is currently being questioned as recent scientific breakthroughs in the field of gene-editing are about to turn human genetic engineering into a reality.
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41

Maehle, Andreas-Holger. Medical Ethics and the Law. Edited by Mark Jackson. Oxford University Press, 2012. http://dx.doi.org/10.1093/oxfordhb/9780199546497.013.0030.

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This article reflects on some historiographical focal points and trends in the recent scholarly literature on the history of medical ethics and bioethics. It discusses historical relationships between normative thought and legal regulations. This analysis focuses on three key issues: the nature and motivations of traditional medical professional ethics; the history of ethical abuses in clinical experimentation and their consequences for regulation; and the rise of bioethics. The history of clinical experimentation has brought the ethics of the doctor–patient relationship into sharp relief. The issues surrounding human organ donation and transplantation that have become central to modern bioethics are also discussed. The conclusion of this article points to future directions in the historiography of medical ethics.
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42

Danny, Busch, Ferrarini Guido, and Franx Jan Paul, eds. Prospectus Regulation and Prospectus Liability. Oxford University Press, 2020. http://dx.doi.org/10.1093/law/9780198846529.001.0001.

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This book provides integrated analysis of and guidance on the Prospectus Regulation 2017, civil liability for a misleading prospectus, and securities litigation in a European context. The prospectus rules are one of the cornerstones of the EU Capital Markets Union and analysis of this aspect of harmonisation, the areas not covered by the rules, and the impact of Brexit, provides valuable reference for all advising and researching this field. The book discusses the subjects of Prospectus Regulation from both a legal and economic perspective. It focuses on key subjects of the new Prospectus Regulation, providing an in-depth analysis of each issue. The book then moves on to explain the domestic law on liability for a misleading prospectus, this issue being omitted from the Regulation. The law and practice in each of the key capital markets centres in Europe is analysed and compared, with the UK chapter covering the issues and possible solutions under Brexit. A chapter on securities litigation gives full consideration of conflicts of laws issues with reference to the Brussels I regulation, and the Rome I and II Regulations. The book concludes by looking to the future of disclosure practices in connection with securities offerings in the EU.
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43

Trunk, Alexander, and Nikitas Hatzimihail, eds. EU Civil Procedure Law and Third Countries. Nomos Verlagsgesellschaft mbH & Co. KG, 2021. http://dx.doi.org/10.5771/9783748923404.

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Since the 1968 Brussels Convention EU civil procedure law has grown largely both in numbers of legal instruments and in intensity. However, the existing EU Regulations have an EU-internal focus. Relations with third countries are dealt with in a disparate manner. This is suboptimal for cooperation with non-EU countries. Therefore, the EU has concluded the Lugano Convention with some European countries, but this is not a globally suitable approach. Based on comparative analyses and country-specific reports (EU member countries as well as non-EU countries), the book develops a structured approach for future action, be it by modification of existing EU regulations, passing new regulations, negotiating new multilateral or bilateral treaties (e.g. in the framework of the Hague Conference on Private International Law), developing soft law or passing national legislation, preferably on a uniform or coordinated basis together with third countries. The book deals also with Brexit issues.
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44

Amtenbrink, Fabian, Christoph Herrmann, and René Repasi, eds. The EU Law of Economic and Monetary Union. Oxford University Press, 2020. http://dx.doi.org/10.1093/oso/9780198793748.001.0001.

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Presenting a sweeping analysis of the legal foundations, institutions, and substantive legal issues in EU monetary integration, The EU Law of Economic and Monetary Union serves as an authoritative reference on the legal framework of European economic and monetary union. The book opens by setting out the broader contexts for the European project - historical, economic, political, and regarding the international framework. It goes on to examine the constitutional architecture of EMU; the main institutions and their legal powers; the core legal provisions of monetary and economic union; and the relationship of EMU with EU financial market and banking regulation. The concluding section analyses the current EMU crisis and the main avenues of future reform.
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45

Timothy, Spangler. The Law of Private Investment Funds. Oxford University Press, 2018. http://dx.doi.org/10.1093/law/9780198807247.001.0001.

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This book provides a clear and concise dual US/UK and pan-asset analysis on the legal and regulatory issues that arise in connection with private investment funds. The book advises on the structuring, formation, and operation of a range of asset classes, including hedge funds, private equity funds, real estate funds, and other non-retail collective investment vehicles. This edition has been revised to reflect the numerous and significant developments in financial services regulation on both sides of the Atlantic since the publication of the second edition. More elements of the Dodd Frank financial regulatory reforms, which increased the scope and reach of regulation applicable to private funds, have been implemented and commented on in this edition. In relation to European regulation, the impact of the commencement of the Alternative Investment Fund Managers Directive (AIFMD) has also now been analysed. The US/UK approach is maintained, but this edition now also includes consideration of third countries, particularly the Middle East and Asia. An entirely new chapter is dedicated to litigation and regulatory enforcement, and some treatment is given to the effects of the global financial crisis, in particular the regulatory response and the changes to negotiating leverage of fund managers and fund investors. The potential impact of ‘Brexit’ on the United Kingdom private funds industry and the future of the AIMFD and European private funds is also examined.
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46

Barnard, Catherine. The Substantive Law of the EU. Oxford University Press, 2019. http://dx.doi.org/10.1093/he/9780198830894.001.0001.

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The Substantive Law of the EU provides a critical and thorough analysis of the key principles of the substantive law of the EU, focusing on the four freedoms (goods, persons, services, and capital). An introductory chapter provides valuable context on the nature of the internal market, its evolution, and the theories behind its key principles. Each of the freedoms is then dealt with in turn. The book concludes with a discussion of harmonization, the regulation of the internal market, and its future.
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47

van Hoek, Aukje A. H. The Social Dialogue as a Source of EU Legal Acts—Past Performance and Future Perspectives. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198817468.003.0006.

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EU law recognizes the regulatory role of social partners—the bodies representing management and labour—but provides neither a legal nor a fully developed conceptual framework. An output analysis of the texts produced by the social partners demonstrates that they fulfil a variety of functions, both as stakeholders and co-regulators. However, only a small percentage of the documents produced in the European social dialogue have the status of EU collective agreements. It is the latter group which is most interesting from the point of view of regulation. A further analysis tracks the different interactions between EU law and EU collective agreements and highlights the tension between horizontal and vertical subsidiarity created by the REFIT agenda.
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48

James, Harrison. 8 Environmental Regulation of Seabed Activities within and beyond National Jurisdiction. Oxford University Press, 2017. http://dx.doi.org/10.1093/law/9780198707325.003.0008.

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Chapter 8 considers the regulation of seabed activities within and beyond national jurisdiction. First, the legal framework for seabed activities within national jurisdiction is examined, highlighting the central role played by coastal States, the basic rules that apply by virtue of UNCLOS, and the opportunities for supplementary global or regional rules to improve marine environmental protection. The chapter undertakes a case study of the development of rules and standards relating to the hydrocarbon industry. The chapter then turns to the regulation of seabed activities beyond national jurisdiction. In this context, UNCLOS confers significant legislative and enforcement powers on the International Seabed Authority, which acts on behalf of the international community to regulate deep-seabed mining. The chapter analyses the way in which environmental protection has been integrated into Regulations to date, and discusses future challenges remaining in this respect.
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49

Veerle, Colaert. Part V The Broader View and the Future of MiFID, 21 MiFID II In Relation to Other Investor Protection Regulation: Picking Up The Crumbs of a Piecemeal Approach. Oxford University Press, 2017. http://dx.doi.org/10.1093/law/9780198767671.003.0021.

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The study of the interaction between different pieces of EU financial legislation becomes ever more important—and difficult. In this contribution the author clarifies the relationship between the MiFID II and several other closely related directives, such as the Insurance Distribution Directive, the PRIIPs Directive and the UCITS Directive. The analysis reveals numerous inconsistencies and interpretation difficulties. The author argues that while some of the shortcomings are inherent to the EU piecemeal approach, other problems should and could have been avoided, by adopting a holistic approach of financial regulation and supervision.
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50

Ignaz, Stegmiller. Part V Fairness and Expeditiousness of ICC Proceedings, 35 Confirmation of Charges. Oxford University Press, 2015. http://dx.doi.org/10.1093/law/9780198705161.003.0035.

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This chapter assesses the judicial efficiency of the ICC’s confirmation of charges proceedings. It reviews existing jurisprudence and addresses aspects of the adversarial nature of the proceedings, including disclosure and other procedural issues. It examines the impact of current practice on pre-trial preparation, the conduct of trials, and the overall duration of ICC proceedings. Particular emphasis is placed on the relationship between pre-trial and trial proceedings, including analysis of the post-confirmation modification of legal characterizations (Regulation 55 of the Regulations of the Court) and its importance for the design of the confirmation phase. The chapter concludes that future confirmation hearings and amendments should focus on judicial efficiency and the limited purpose of the hearing, which is submitting charges on trial or denying a confirmation on the basis of a considerably low legal threshold.
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