Academic literature on the topic 'Animal industry, law and legislation'

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Journal articles on the topic "Animal industry, law and legislation"

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CORDEIRO-RODRIGUES, Luis. "South African Animal Legislation and Marxist Philosophy of Law." Cultura 16, no. 1 (January 1, 2019): 23–28. http://dx.doi.org/10.3726/cul012019.0002.

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Marxist Philosophy as an explanation of social reality has, since the fall of the Berlin Wall, been largely neglected. However, some philosophers have contended that it may still be relevant to explain today’s social reality. In this article, I wish to demonstrate precisely that Marxist philosophy can be relevant to understand social reality. To carry out this task, I show that Marxist philosophy of law can offer a sound explanation of Animal law in South Africa. My argument is that South African law is a superstructure that reinforces the power of the animal farming industry in South Africa. That is, the hidden purpose of the law is to benefit the industry. In order to argue for this, I present two sets of arguments. The first set argues that the law facilitates the functioning of the animal farming industry. In the second set of arguments I contend that the law socialises individuals into approving the methods of slaughtering by the animal farming industry.
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Garratt, John K., and Steven P. McCulloch. "Wild Fish Welfare in UK Commercial Sea Fisheries: Qualitative Analysis of Stakeholder Views." Animals 12, no. 20 (October 13, 2022): 2756. http://dx.doi.org/10.3390/ani12202756.

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An estimated 1.5–2.7 billion wild fish are caught by UK commercial sea fishing fleets annually. Most are subjected to severe stressors during capture; stunning is rare and gutting alive is common practice. Fish are recognised in UK law as sentient beings, but commercially caught wild fish are excluded from welfare protections. Animal welfare impacts in wild capture sea fisheries are therefore on a massive scale, with major potential for legislative and market-based reforms. Interviews were conducted with 18 experts working within the fishing and seafood industry, fisheries management, scientific research and animal/fish advocacy organisations. The findings reveal a significant welfare gap between societally acceptable ways to treat sentient animals and the reality of capture fisheries. The participants pointed to harms caused to fish throughout different stages of the capture process caused by combinations of variables from fishing gear and methods to biological, environmental and other factors, noting that all require mitigation. Interviews revealed that the nature of harms may be exacerbated by conservative attitudes towards brutal practices in the industry, driven by profit and efficiency and free from legal restraint. To address the welfare gap, stakeholders favour engagement with the industry to improve understanding of harms and to identify mutually beneficial and shared objectives through alleviating stressors to fish in the capture process. This empirical research is focused on UK wild capture sea fisheries. However, given the dearth of welfare legislation globally, it has significance for fishing nations and the many billions of wild sea fish captured each year around the world.
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ZHU, TAN, JING WU, and I.-SHIN CHANG. "REQUIREMENTS FOR STRATEGIC ENVIRONMENTAL ASSESSMENT IN CHINA." Journal of Environmental Assessment Policy and Management 07, no. 01 (March 2005): 81–97. http://dx.doi.org/10.1142/s1464333205001906.

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The Environmental Impact Assessment Law (EIA Law) of the People's Republic of China was adopted on 28 October 2002. It is the most progressive legislation addressing environmental issues in China to be developed over the past decade. The new EIA Law explicitly states that environmental impact assessment (EIA) is required for both new construction projects and plans. The types of plans covered by the new EIA Law include: (1) integrated plans for land use and regional development, development of drainage areas and marine areas; (2) specific plans for industry, agriculture, animal husbandry, forestry, energy, water management, transportation, urban construction, tourism and the development of natural resources. EIA for construction projects has been implemented in China for more than 20 years. Through this new EIA Law, the legal status of EIA for construction projects has been elevated from administrative legislation to State Law. EIA for plans is a type of strategic environmental assessment (SEA) where the concept of SEA is for the first time being advocated by the State at this level. This paper emphasises the legal requirements of SEA set forth by this new EIA Law, such as major purposes, key elements and procedures of EIA for plans.
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Berezovska, I. "LEGAL FRAMEWORK OF GOOD MANUFACTURING PRACTICE (GMP) FOR VETERINARY MEDICINAL PRODUCTS IN THE EU: EXPERIENCE FOR UKRAINE." Actual Problems of International Relations, no. 137 (2018): 65–76. http://dx.doi.org/10.17721/apmv.2018.137.0.65-76.

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The article comprehensively analyzes current legislation of the European Union on Good Manufacturing Practice (GMP) for veterinary medicinal products in particular the provisions of Directives No. 91/412 and No. 2001/82, and describes GMP main elements. It is noted that as a result of EU-Ukraine Association Agreement signing a new stage in the development of Ukrainian legislation regarding the turnover of veterinary medicinal products has begun, which is characterized by the increased impact of EU law on the legal regulation of this industry. The state of the appropriate national legislation reforming was analyzed. It was proved that today the main directions of such reforming are related to the integrated introduction of Good Manufacturing Practice and to the restoration of the production of veterinary medicinal products licensing. The importance of prompt and effective completion of these reforms which will have significant consequences not only for the national pharmaceutical industry, but also for the protection of the health of animals and people in general, was underscored. It was emphasized that the scale of the obligations undertaken by Ukraine to harmonize the legislation on the circulation of veterinary medicinal products requires prompt and qualified organizational work by the Ukrainian competent authorities.
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Mushenok, Viktor. "Legal protection of natural resources from the negative impact of agricultural activity." Naukovyy Visnyk Dnipropetrovs'kogo Derzhavnogo Universytetu Vnutrishnikh Sprav 3, no. 3 (September 30, 2020): 52–57. http://dx.doi.org/10.31733/2078-3566-2020-3-52-57.

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The article considers the existing mechanisms of legal regulation of the impact of agricultural activities on the environment, as well as the preservation of natural resources necessary to ensure quantitative and qualitative employment in crop production and animal husbandry in agriculture. The position that the quality and level of development of agricultural production directly depends on the state of natural resources is confirmed. The generalization is made that the development of special legal regulation of greening of the norms of the domestic agrarian legislation at obvious strengthening of influence on environment of negative influence of processes of agricultural production does not lose urgency. The following proposals for improving certain provisions of the Law of Ukraine «On the Basic Principles (Strategy) of the State Environmental Policy of Ukraine for the period up to 2030» are provided. Legislative consolidation of measures is proposed: reduction of negative impact on the environment of the results of intensification of processes in agriculture; technological development of agricultural production in the field of crop production through the introduction of technologies for biologization (greening) of agriculture and ensuring the production of organic agricultural products; increasing the productivity of arable land and obtaining high and stable yields of the crop industry, provided that sufficient doses of mineral and organic fertilizers, etc. Defined as a prospect for further research – the study and borrowing from domestic legislation of best practices of legal regulation of agricultural relations in the European Union.
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Yang, Meng. "Comparative Study on Marine Environmental Protection Legislation Between China and Japan from The Perspective of International Environmental Law." Journal of Education, Humanities and Social Sciences 1 (July 6, 2022): 113–17. http://dx.doi.org/10.54097/ehss.v1i.649.

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With the development of the economy and the rapid expansion of the global population, the effective utilization of marine resources has become an important way to alleviate the burden of the global population and environmental pressure. After entering the 21st century, the ocean is a strong driving force to promote the sustainable development of human society, however, with the development of industry, many countries have more or less fallen into the “vicious circle” of developing at the expense of the ecological environment for economic benefit. In recent years, a large number of chemicals by human activities and exploitation at sea has caused an imbalance of ecological environment in large area of sea areas; Discharging a large amount of industrial wastewater into the ocean, has deepened the degree of eutrophication is greatly and resulting in frequent red tides; the dumping of land waste makes it impossible for marine life to survive, and a large number of marine plants and animals died. In order to protect the natural environment, International environmental law was concluded in Stockholm, Sweden, in 1972. Both China and Japan are maritime powers, and detailed marine environmental protection laws and regulations have been formulated on the basis of international environmental law. This paper makes a comparative analysis on the similarities and differences of marine environmental protection legislation between China and Japan, and it is believed that Japan pays more attention to the protection of the domestic environment,while China has assumed more responsibilities as a big country in the legislation of marine environmental protection.
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Lee, Alvin, and Claire Lambert. "Corporate Social Responsibility in McDonald’s Australia." Asian Case Research Journal 21, no. 02 (December 2017): 393–430. http://dx.doi.org/10.1142/s0218927517500146.

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This case focuses on marketing public policy and legislation issues in the business environment. The Commonwealth Government of Australia wants to impose mandatory warning labels for fast-food served by quick-service chainrestaurants like McDonald’s. These warnings are to appear on fast-food packaging to warn diners of the possible harms arising from consuming fast-food. This is similar to the warnings that are used in Australia on tobacco product packages. This highlights a turning point where legislators appear to be heeding calls of vocal pressure groups to curb and legislate the industry’s activities. The loudest calls have appeared in well-publicized legal cases and film documentaries like Super-Size Me. McDonald’s has been well-aware of these challenges. The company continues to respond and fight legal challenges on these points. As a result, the company has improved its supply chain, employees’ work-conditions, their treatment of animals, their stores, food and customer service to offer leaner, healthier and more upmarket products. The few vocal critics who have secured media coverage seem to rely on sensationalizing the issue — e.g., eating McDonald’s for 30 days makes you fat. They seem to ignore the results from other experiments where people who ate suitable portions of McDonald’s food for the same 30 day period actually lost weight. Other challenges that have been found to be lies in courts of law include allegations of animal cruelty, unsafe food and food that makes people obese. Yet the public continue to believe these allegations. Can the industry do more, or do something different, to change people’s minds?
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Rogiers, Vera. "Ecopa: A Powerful Concept in the Way Forward for Alternative Methods." Alternatives to Laboratory Animals 30, no. 2_suppl (December 2002): 199–202. http://dx.doi.org/10.1177/026119290203002s31.

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ecopa, the European Consensus-Platform on Alternatives, is an international not-for-profit organisation, based in Belgium and complying with Belgian Law. It is the only quadripartite organisation that promotes the Three Rs at the European level. Ecopa brings together national consensus platforms on alternative methods. Consensus means that all parties concerned are represented, including animal welfare, industry, academia and government. Ecopa currently includes the National Platforms of 14 EU Member States (or future Member States; eight full members, namely, Austria, Belgium, Finland, Germany, The Netherlands, Spain, Switzerland and the UK, and six associate members, being the Czech Republic, Denmark, Italy, Norway, Poland and Sweden). Ecopa also has three working groups, concerned with: a) the 6th Framework Programme of the EC for Research, Technological Development and Demonstration Activities; b) the EC White Paper Strategy for a Future EU Chemicals Policy; and c) the formation of educational programmes on alternative methods within the EU. Ecopa is thus uniquely placed and has huge expertise to offer to the debate around political topics, including the White Paper, the 6th Framework Programme, and the 7th Amendment of the EU Cosmetics Directive. Ecopa should be considered a key stakeholder by the European Commission and Parliament, and it is essential that the views of ecopa are fully incorporated into future legislation. Recently, the ecopa working groups made a strong common statement on the Chemicals Policy White Paper and made a number of recommendations to the Commission based on scientific, practical and realistic grounds. These are to be found on the ecopa Web site ( http://ecopa.tsx.org/ or http://ecopa.vub.ac.be ).
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Chernyaev, A. A., D. V. Serdobintsev, and E. V. Kudryashova. "ASSESSMENT OF THE ORGANIC ANIMAL HUSBANDRY CONDITION IN THE WORLD AND THE FORECAST FOR ITS DEVELOPMENT IN THE REGION." Scientific Review: Theory and Practice 10, no. 4 (May 4, 2020): 548–60. http://dx.doi.org/10.35679/2226-0226-2020-10-4-548-560.

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The purpose of the study is to assess the current state of organic animal husbandry in the world and to give a forecast of its development in the region. In preparing the article, the following methods were used: statistical-economic, monographic, abstract-logical, calculation-constructive, and forecasting ones. The analysis of the world statistics showed a rapid increase in organic animal husbandry production in the world, and its distribution by industry largely depends on the traditional directions of agricultural production in countries and continents, in addition, the priority of the development of crop production over livestock production has been identified. In Russia, the same trend can be traced, therefore, recommendations for the development of organic animal husbandry in the region are developed and proposed, which are divided into three main areas: technological (changing the production technology), economic (changing the structure of costs and markets) and social (reorienting food preferences consumers), and clear recommendations are given for their implementation. In order for agricultural producers and investors to understand the feasibility and effectiveness of organizing or reprofiling livestock production under organic production in accordance with Federal Law dated 03.08.2018 No. 280-ФЗ “On Organic Production and Amending Certain Legislative Acts of the Russian Federation”, the value of gross livestock production was forecasted with and without organic production in the Saratov region for the period until 2030.
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Ferchichi, Mounir, Khaled Sebei, Amine Mohamed Boukerb, Najoua Karray-Bouraoui, Sylvie Chevalier, Marc G. J. Feuilloley, Nathalie Connil, and Mohamed Zommiti. "Enterococcus spp.: Is It a Bad Choice for a Good Use—A Conundrum to Solve?" Microorganisms 9, no. 11 (October 26, 2021): 2222. http://dx.doi.org/10.3390/microorganisms9112222.

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Since antiquity, the ubiquitous lactic acid bacteria (LAB) Enterococci, which are just as predominant in both human and animal intestinal commensal flora, have been used (and still are) as probiotics in food and feed production. Their qualities encounter several hurdles, particularly in terms of the array of virulence determinants, reflecting a notorious reputation that nearly prevents their use as probiotics. Additionally, representatives of the Enterococcus spp. genus showed intrinsic resistance to several antimicrobial agents, and flexibility to acquire resistance determinants encoded on a broad array of conjugative plasmids, transposons, and bacteriophages. The presence of such pathogenic aspects among some species represents a critical barrier compromising their use as probiotics in food. Thus, the genus neither has Generally Recognized as Safe (GRAS) status nor has it been included in the Qualified Presumption of Safety (QPS) list implying drastic legislation towards these microorganisms. To date, the knowledge of the virulence factors and the genetic structure of foodborne enterococcal strains is rather limited. Although enterococcal infections originating from food have never been reported, the consumption of food carrying virulence enterococci seems to be a risky path of transfer, and hence, it renders them poor choices as probiotics. Auspiciously, enterococcal virulence factors seem to be strain specific suggesting that clinical isolates carry much more determinants that food isolates. The latter remain widely susceptible to clinically relevant antibiotics and subsequently, have a lower potential for pathogenicity. In terms of the ideal enterococcal candidate, selected strains deemed for use in foods should not possess any virulence genes and should be susceptible to clinically relevant antibiotics. Overall, implementation of an appropriate risk/benefit analysis, in addition to the case-by-case assessment, the establishment of a strain’s innocuity, and consideration for relevant guidelines, legislation, and regulatory aspects surrounding functional food development seem to be the crucial elements for industries, health-staff and consumers to accept enterococci, like other LAB, as important candidates for useful and beneficial applications in food industry and food biotechnology. The present review aims at shedding light on the world of hurdles and limitations that hampers the Enterococcus spp. genus and its representatives from being used or proposed for use as probiotics. The future of enterococci use as probiotics and legislation in this field are also discussed.
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Dissertations / Theses on the topic "Animal industry, law and legislation"

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Khakali, Linda Anyoso. "The role of financial regulators in the Kenyan economy." Thesis, Nelson Mandela Metropolitan University, 2013. http://hdl.handle.net/10948/11114.

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Financial regulation is a subject that is more often than not regarded as distant and yet another level of bureaucracy that has to be endured by both the public and private sectors. The significance of creating and maintaining an efficient and effective system to regulate financial markets, financial institutions and financial service providers is a salient feature in the development of a country’s economic health. The recent global economic crises of 2007/2008 and the economic hurdles accompanying those events are perhaps the most dramatic instances of how necessary the implementation of efficient and effective financial regulation is. The international financial system has experienced a retinue of changes in the last two decades. One of the main challenges of financial regulators has been to keep abreast of as well as adapt to these changes, which are of an international nature. In a majority of countries, the financial sector is one of the most intensely regulated and supervised industries. Over a period of time, it has become evident that regulatory arrangements have a formidable impact on: i. The size, structure and efficiency of a financial system; ii. The business operations of financial institutions and markets; iii. Competitive conditions both overall and between sub-sectors of the system. The impact of regulation can either be stagnant or progressive; this depends on how the objectives of regulation are defined and how efficiently regulatory arrangements are related to their objectives. The issue at hand is to engage regulatory institutions, structures and mechanisms for supervision and enforcement need to be implemented because they are pertinent to the formal regulatory requirements in the overall regulatory regime. Effective financial regulation would be unable to exert its objectives in the absence of efficient supervision and enforcement. In numerous countries the institutional structure of regulation has experienced change or is in the process of change. Different models of institutional structure are availed such as the single/consolidated model, the twin-peak model and the multiple regulator model. For example, the United Kingdom has embraced the single/consolidated regulator model while Australia has employed the twin-peak regulator model. Kenya operates on the multiple regulator model. This report addresses the role of financial regulators in the Kenyan economy. The objectives of the research are to: Provide comprehensive information about the theory and practice of financial regulation; Identify the financial regulators in Kenya and define their roles; Address the issue of multiple regulators and the duplicity of roles; Discuss international trends in regulation and examine different regulatory regimes; Consider the viability of a single/consolidated regulatory regime in Kenya; Suggest a possible future regulatory regime for Kenya and identify the key issues associated with such a regime; Suggest areas for further investigation and research.The approach of this report will constitute the following: Chapter 1 discusses the rationale for the research, objectives, scope and scale of the research, preliminary literature review and the research methods to be employed. Chapter 2 focuses on financial regulatory systems in general as well as an extensive analysis of financial regulators in Kenya. Chapter 3 combines the research methods employed and also contains a comparative analysis of the regulatory regime. Chapter 4 examines the findings of the research, the lessons learnt and the regulatory responses. Chapter 5 includes recommendations towards improvement of regulatory systems and an executive summary of outstanding policy issues and priorities in Kenyan financial regulation.
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Alarcon, Richard Alfred. "An assessment of the impact of the European single market act on the United States' telecommunications industry and market." Thesis, Georgia Institute of Technology, 1989. http://hdl.handle.net/1853/29786.

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Gitonga, Gitau Robert. "Legal and institutional frameworks as determinants of access to capital by developing countries." Thesis, University of the Western Cape, 2007. http://etd.uwc.ac.za/index.php?module=etd&action=viewtitle&id=gen8Srv25Nme4_7091_1215784196.

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The objective of this research was to draw a relationship between legal and institutional frameworks in a country, and the competitiveness of that country as a destination for investment either as real investment or portfolio investment for infrastructure development.

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Aho, Ida. "Cats’ nine lives : European Union legislation on the trade of endangered animals and its effects on animal welfare." Thesis, Uppsala universitet, Juridiska institutionen, 2021. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-450345.

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The issues raised in this thesis concern the adverse effects of EU's wildlife trade regulations, mainly the unequal treatment of captive and wild-born endangered animals. The nature of these regulations is analyzed from an animal law perspective. The purpose of the analysis is to determine whether the regulations are anthropocentric and, if so, what issues arise from it. Previous research has studied the legal personhood of animals in relation to animal welfare. This thesis continues that discussion by examining legal animal rights as a potential solution to the issues of wildlife trade. The analysis is pragmatic and employs a non-formalistic view of law. Consequentially, it uses a doctrinal and legal philosophical approach, meaning that sources outside of law are integral to the discussion. The results of the analysis show that EU’s wildlife trade regulations are anthropocentric and that this has led to severe issues regarding the welfare of endangered animals. In addition, the practical enforcement of the regulations has proven defective. Legal rights for animals seem to provide a viable solution to these issues, yet their practical implementation is complicated. The reasons for this are primarily financial and opinion-based. Therefore, a step-by-step approach, starting with limited fundamental rights and resulting in full legal personhood for animals, is recommended for this approach to be successful.
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Mehta, Khurram Alex. "The experience of integrated pollution control : perspectives from industry." Thesis, University of Oxford, 1997. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.670234.

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Mugarra, Leire. "Legal aspects of commercial space transportation." Thesis, McGill University, 2008. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=112607.

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The commercial space transportation industry is growing with the technology that creates more capable spacecrafts to access space. However, there are still some academic discussions related to the delimitation of the outer space and the definition of space objects that could interfere with the regulation of this growing space activity. Because these discussions are not predicted to be solved soon, the developing space policies must attempt to clarify these issues between the parts avoiding the retard in the development of the industry. Moreover, these policies have to promote public-private partnerships and the emersion of private entrepreneurs for a faster development of a safe, reliable, and affordable commercial space transportation.
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Stephens, Thomas Kojo. "Getting it right : the development of an effective regulatory and policy framework for the management of Ghana's upstream oil industry." Thesis, University of Aberdeen, 2014. http://digitool.abdn.ac.uk:80/webclient/DeliveryManager?pid=215548.

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Norwegian practice has largely permeated virtually every aspect of Ghana's oil industry. Extrapolation from Norway has been a step in the right direction as Norway is largely credited with adopting best industry practices in the management of its oil industry. Ghana's regulatory framework has evolved to resemble Norway's. Whilst not all this similarity is by design, that which is not has been reinforced by Norwegian practice. Norway's transparent and effective control of the industry by the Executive affords subordination of the industry's regulatory body to a powerful Ministry, which arrangement is counter-balanced by effective Parliamentary oversight. I posit that in the case of Ghana, the absence of transparency, effective checks and balances in the governmental framework coupled with the potential for rampant abuse of discretionary power, necessitates that real regulatory power is vested not in the Ministry but in a strong, independent regulatory body that exerts proper control over the operations of the oil companies. Though the Executive should naturally be the driving force behind policy and ordering of developments in the industry, the regulatory body must be vested with the necessary independence and powers to effectively regulate operations in the industry devoid of Executive interference and control.
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Mkiwa, Halfan. "The anticipated impact of GATS on the financial service industry in Africa." Thesis, University of the Western Cape, 2007. http://etd.uwc.ac.za/index.php?module=etd&action=viewtitle&id=gen8Srv25Nme4_6956_1219304028.

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This study was on the anticipated impact of GATS on the financial services industry in Africa. The paper examined the possible positive and negative impact of the GATS agreement on the financial services industry in the African countries. The research focused on the banking sector and the insurance sector as the main financial sectors under investigation.

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Lam, Hung Helina, and 林洪. "Whale and dolphin watching: should dolphin watching in Hong Kong be regulated?" Thesis, The University of Hong Kong (Pokfulam, Hong Kong), 2000. http://hub.hku.hk/bib/B31254597.

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Matemba, Edward. "Adverse welfare effects of regulations on small tobacco exporters: the case of Zimbabwe." Thesis, University of the Western Cape, 2005. http://etd.uwc.ac.za/index.php?module=etd&amp.

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Regulations to reduce the consumption of tobacco products have dual effects on economies. Economies that are net consumers of tobacco products experience welfare enhancing effects as a result of these regulations. However, these regulations can have adverse welfare effects among net producing economies. Many studies have explored these welfare effects on net consuming economies, whereas the impacts among net producing economies have been neglected. This research paper examined the adverse welfare effects of smoking regulations on small tobacco exporting economies with, a comparative advantage in tobacco production.
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Books on the topic "Animal industry, law and legislation"

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Laboratory animal law. Oxford: Blackwell Science, 2000.

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Dolan, Kevin. Laboratory Animal Law. New York: John Wiley & Sons, Ltd., 2007.

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Sankoff, Peter J., Vaughan Black, and Katie Sykes. Canadian perspectives on animals and the law. Toronto, ON: Irwin Law, 2015.

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Minnesota. Department of Agriculture. Summary of animal related ordinances in Minnesota counties. St. Paul, Minn: Minn. Dept. of Agriculture, Division of Agricultural Marketing and Development Division, 2000.

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Hänni, Julia, Daniela Kühne, and Margot Michel. Animal law: Developments and perspectives in the 21st century = Tier und Recht : Entwicklungen und Perspektiven im 21. Jahrhundert. Zurich: Dike, 2012.

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Wolfson, David J. Beyond the law: Agribusiness and the systemic abuse of animals raised for food or food production. [Watkins Glen, N.Y.]: Farm Sanctuary, 1999.

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Chŏng, Myŏng-gŭn. Chʻukhyŏppŏp haesŏl. Sŏul Tʻŭkpyŏlsi: Hyŏptong Yŏnʼguwŏn, 1989.

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d'Ivoire, Côte. Code de l'élevage. Abidjan: Juris-Editions, Editions juridiques de Côte d'Ivoire, 1998.

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Ferrucci, Nicoletta. L' individuazione dell'impresa zootecnica e del suo statuto giuridico. Milano: A. Giuffrè, 1989.

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Florida. Legislature. Senate. Committee on Agriculture. A review of the Animal Industry Technical Council in the Department of Agriculture and Consumer Services. [Tallahassee, Fla.]: The Committee, 1986.

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Book chapters on the topic "Animal industry, law and legislation"

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Hansson, U. "The Swedish Animal Protection Law — stricter than EU legislation?" In Ersatz- und Ergänzungsmethoden zu Tierversuchen, 150–61. Vienna: Springer Vienna, 1998. http://dx.doi.org/10.1007/978-3-7091-7500-2_21.

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McKenna, Carol. "The Impact of Legislation and Industry Standards on Farm Animal Welfare." In The Meat Crisis, 335–54. Abingdon, Oxon ; New York, NY : Routledge, 2017. |: Routledge, 2017. http://dx.doi.org/10.4324/9781315562032-21.

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Booth, Angela, Helen Masey O'Neill, and Liz Quigley. "The challenges facing the feed industry." In Insects as animal feed: novel ingredients for use in pet, aquaculture and livestock diets, 1–7. Wallingford: CABI, 2021. http://dx.doi.org/10.1079/9781789245929.0001.

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Abstract This chapter describes the characteristics of the UK feed industry, including performance and efficiency, environmental impact of different types and quantities of nutrients, health and welfare, feed formulation, product safety, legislation, production costs, marketing and continuous improvements.
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Gupta, Clare. "The Political Ecology of the Dairy Industry." In International Farm Animal, Wildlife and Food Safety Law, 215–42. Cham: Springer International Publishing, 2017. http://dx.doi.org/10.1007/978-3-319-18002-1_7.

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Steier, Gabriela. "Textbox: Bats and Pollinator Conservation as a New Avenue for Progressive Food Legislation." In International Farm Animal, Wildlife and Food Safety Law, 515–16. Cham: Springer International Publishing, 2017. http://dx.doi.org/10.1007/978-3-319-18002-1_18.

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Bruce, Alex, and Thomas Faunce. "Food Production and Animal Welfare Legislation in Australia: Failing Both Animals and the Environment." In International Farm Animal, Wildlife and Food Safety Law, 359–94. Cham: Springer International Publishing, 2017. http://dx.doi.org/10.1007/978-3-319-18002-1_11.

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van Beers, Britta. "From Winged Lions to Frozen Embryos, Neomorts and Human-Animal Cybrids: The Functions of Law in the Symbolic Mediation of Biomedical Hybrids." In Symbolic Legislation Theory and Developments in Biolaw, 177–99. Cham: Springer International Publishing, 2016. http://dx.doi.org/10.1007/978-3-319-33365-6_11.

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Broom, Donald M. "EU regulations and the current position of animal welfare." In The economics of farm animal welfare: theory, evidence and policy, 147–55. Wallingford: CABI, 2020. http://dx.doi.org/10.1079/9781786392312.0147.

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Abstract In most countries of the world, sustainability issues are viewed by the public as of increasing importance and animal welfare is perceived to be both a public good and a key aspect of these issues. European Union animal welfare policy and legislation on animal welfare has helped animals, has had much positive influence in the world and has improved the public image of the EU. Health is a key part of welfare and the one-health and one-welfare approaches emphasize that these terms mean the same for humans and non-humans. The animals that humans use are described as sentient beings in EU legislation. Scientific information about animal welfare, like that produced by EFSA, is used in the formulation of the wide range of EU animal welfare laws. The European Commission has an animal welfare strategy including the Animal Welfare Platform. However, most kinds of animals kept in the EU are not covered by legislation, and they are subject to some of the worst animal welfare problems, so a general animal welfare law and specific laws on several species are needed. Animal sentience and welfare should be mentioned, using accurate scientific terminology, in many trade-related laws as well as in animal-specific laws.
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Davies, David. "Eradicating Gender Stereotypes in Advertising in Spain." In Towards Gender Equality in Law, 211–26. Cham: Springer International Publishing, 2022. http://dx.doi.org/10.1007/978-3-030-98072-6_11.

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AbstractTo tackle sexist advertisements, each EU state must tread a fine balance of two conflicting fundamental rights: maintaining the protection of gender equality whilst simultaneously avoiding the curtailment of freedom of expression. In performing this balance, the majority of member states follow the legal norm of establishing a self-regulation organisation, allowing the industry to develop advertising codes and denigrate advertisements. Since 2004, Spain has sought to tackle sexist advertisements under the guise of wider legislative measures that aimed at reducing “intimate partner violence” based on its Gender Violence Act. The act places obligations upon advertisers and prohibits adverts that use a woman’s body detached from the advertised object or uses an image that portrays women in stereotyped behaviours. This chapter explores Spain’s route into the legislation to strike down sexist advertisements and analyses two of the court’s founding rulings: the RyanAir calendar and Cillit Bang cases.
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Matsumoto, Nobuko. "Corporations with Social Aims in the Japanese Legal System." In The International Handbook of Social Enterprise Law, 675–92. Cham: Springer International Publishing, 2022. http://dx.doi.org/10.1007/978-3-031-14216-1_32.

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AbstractIn Japan, there is no specific legislation for “benefit corporations” or “social enterprises,” and the concepts of those entities are not necessarily widely known. This does not mean that Japanese industry and society do not accept the idea of businesses with social aims. On the contrary, Japanese for-profit corporations have a tradition of conducting business with social aims, and there are various nonprofit corporation schemes that can be used when one incorporates businesses with social aims. In the author’s view, existing entities are succeeding in their efforts to engage in social business at least to a certain extent, and the necessity of the new structure has not been necessarily recognized. At the same time, existing entities are not perfectly suited for engaging in businesses with social aims. Speaking of share corporations, it is difficult for customers or investors to distinguish share corporations which surely pursue their social aims from others. Continued observation is needed on whether these businesses will grow by utilizing existing entities or new specific legal infrastructures will be introduced in the future.
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Conference papers on the topic "Animal industry, law and legislation"

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Ilyin, Innokentiy, and Ruslan Ahmedov. "FORMATION AND DEVELOPMENT OF LEGISLATION ON animal protection IN PRE-REVOLUTIONARY RUSSIA." In Current problems of jurisprudence. ru: Publishing Center RIOR, 2021. http://dx.doi.org/10.29039/02058-6/149-154.

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This article analyzes the legislative regulation of the protection of objects of the animal world at different stages of the development of the state and law of Russia in the pre-revolutionary period of time.
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Davis, D. "Product liability and product safety for the railway industry." In IET Seminar on Railway Law for Engineers: How Legislation, Liability and Legal Issues Affect You. IEE, 2006. http://dx.doi.org/10.1049/ic:20060637.

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Wake, C. "Impact of Europe and recent legislation on the GB rail industry - a national safety authority perspective." In IET Seminar on Railway Law for Engineers: How Legislation, Liability and Legal Issues Affect You. IEE, 2008. http://dx.doi.org/10.1049/ic:20080596.

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Ferreira Gama, Carlos Alexandre, and Adriana S Vivacqua. "The cooperative dynamics of Brazilian Oil and Gas Innovations Systems A Research Proposal." In XV Simpósio Brasileiro de Sistemas Colaborativos. Sociedade Brasileira de Computação - SBC, 2019. http://dx.doi.org/10.5753/sbsc.2019.7801.

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Brazilian legislation for the oil and gas sector stipulates a mandatory R&D investment for Oil and Gas Companies. This so-called Petroleum Law led to the establishment of an Innovation System between Universities, Government and Industry (UGI) in which relations between industry researchers and university professors are the heart of this system. From this perspective, modeling the social dynamics of researchers and professors could be considered a relevant contribution to understand the complex dynamic of this Innovation System. This article presents a research proposal to analyze and simulate the social dynamics of cooperation between researchers and professors through the Complex Adaptive Systems lens, in order to understand and measure the possible effects of the investment policy adopted by Brazilian government .
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Koçak, Özgecan, and Özge Can. "Design of public support for R&D: a study of Turkish technoparks." In 16th Annual High Technology Small Firms Conference, HTSF 2008. University of Twente, 2008. http://dx.doi.org/10.3990/2.268489273.

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We report on and examine the consequences of the Turkish experience with public support for science/ technology parks (STPs). The Turkish government has been supporting STP development through a 2001 legislation that provides significant tax exemptions for tenants of STPs established according to its mandate. While the law has been successful in encouraging more than twenty STPs to be established, and getting more than 800 firms to move to STPs by 2007, it also has had some unintended consequences that seem to work against fulfillment of the full intention of the law. Using archival data collected by the Ministry of Trade and Industry, survey data collected from STP managers, and in-depth interviews with STP managers, tenants, university administrators, and other actors involved in STP governance, we report on the overall tenant population of STPs in Turkey and some practices and outcomes that are relevant for assessing the impact of the public support on R&D. The data at hand point to some significant progress being made as well as some shortcomings.
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Liu, Jiu. "Information Disclosure and Public Involvement in the Siting, Construction and Operation of Civil Nuclear-Facilities in China: Legal Challenges and Ways Forward." In 2022 29th International Conference on Nuclear Engineering. American Society of Mechanical Engineers, 2022. http://dx.doi.org/10.1115/icone29-90327.

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Abstract Background: In March 2011, Japan was struck by a massive earthquake which initiated a tsunami that led to a severe nuclear damage accident at the Fukushima Daiichi Nuclear Power Plant of the Tokyo Electric Power Company. Now, more than ten years had passed. Even though, it is widely admitted that civil nuclear industry is of great importance in reducing greenhouse gas emission, improving natural environmental quality and safeguarding national energy security. Thus, China has been developing civil nuclear industry all these years in spite of the nuclear damage accident in Fukushima, Japan. Now, China has become one of the countries with most nuclear power plants. However, due to the potential radioactive risk, the public have instinctive fear of civil nuclear development. In order to relieve the public’s anti-nuclear sentiment, Nuclear Safety Law was formally implemented in 2018 and Measures for Disclosure of Nuclear Safety Information was issued by Ministry of Ecology and Environment of China in 2020, both clearly stipulating that the public’s right to obtain information of nuclear safety and involve in related activities in order to eliminate the public’s doubts and phobia about the development of civil nuclear industry. However, there are still challenges existing. Methods: Cases study is applied as a major methodology in this paper as for to show the severe problems in information disclosure and public involvement pertaining to the process of siting and construction of civil nuclear facilities. Moreover, legislation study is used in analyzing the content of related legislation and regulations currently. And qualitative methodology is also adopted in this paper to summarize the legal problems about information disclosure and social involvement during the time of siting and construction of civil nuclear facilities. Results: Although there are legislation and regulations which endow people with available information and opportunities-to-be-involved in China, the information disclosure and public involvement still exist several challenges, especially during the process of siting and construction of civil nuclear facilities. Thus, several anti-nuclear incidents had been initiated by the public due to lack of information and methods to participate in these years. According to the cases, information disclosure and public involvement are still not sufficient during the time of siting for nuclear facilities; relevant compensation mechanism for the public around the nuclear facilities has not been established; and public education for basic knowledge on nuclear safety is not enough. Therefore, public involvement cannot be realized completely. Conclusions: For ensuring information disclosure and public involvement of civil nuclear facilities, this article proposes that information disclosure and social involvement should be realized and protected as early as the process of siting for such facilities. Furthermore, operators of nuclear facilities and local governments should provide sufficient compensation to the public near nuclear facilities through preventive compensation mechanism and offer science popularization on nuclear safety to avoid the misunderstanding of the public.
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Sovova, Olga. "ERA OF DIGITIZATION: RE-DESIGNING PRIVACY PROTECTION IN HEALTH CARE." In NORDSCI International Conference Proceedings. Saima Consult Ltd, 2019. http://dx.doi.org/10.32008/nordsci2019/b2/v2/31.

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The paper examines the issue arising when delivering healthcare in the modern information society. Throughout the past decade, the Internet has seen a significant rise of the "Web 2.0" trend, which carried on its wings a health industry trend often referred to as "Health 2.0" or "Medicine 2.0". More recently, we have also witnessed the crowning of concepts such as Health Social Media, eHealth and mHealth. European Union as well as the national states develop strategies implementing new technologies for personal and medical data sharing, including the prescription of medicals as well as their validation through websites. Healthcare data privacy and security is one of the top challenges, healthcare providers face. The huge amount of data the medical care generates holds potential for researchers, providers, pharmaceutical companies as well as for doctors, who can use it to improve care or find new treatments and insights into disease. The key issue to examine is how to balance the competing interests of privacy and data-sharing and not exclude the patient as a holder and owner of the information. The paper addresses the issue of privacy protection in digitized healthcare, using the analysis of the legislation and case-law of the Czech Republic, stressing the demands for human rights and privacy protection of a member state of the European Union. The paper introduces several proposals for providers on how to re-design digital healthcare with respect to laws and patients´ rights. The paper concludes that even modern and digitized medicine is based not only on evidence and modern technologies but also on human interaction and face-to-face approach and trust between the doctor and patient.
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Schilberg, Daniel, Jelena Borovica, Lea Vianden, Meiko Litzba, and Florian Millmann. "Robots in Popular Sciences Compared with their Real Capabilities." In 13th International Conference on Applied Human Factors and Ergonomics (AHFE 2022). AHFE International, 2022. http://dx.doi.org/10.54941/ahfe1002316.

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In this paper, statements from popular science sources are contrasted with data from primary science articles and studies. It is observed to what extent the opinions and statements of the popular science articles differ from the studies and scientific articles in terms of ethics and acceptance. For this purpose, the field is divided into 4 fields, which are processed independently.To begin with, the industrial robots are examined. These are used in the area of production as well as in the area of maintenance and repair. These robots are able to learn from each other and to work with each other and with humans. Even a tire change can be carried out by an industrial robot today. Likewise, new developments offer construction spaces that are difficult for humans to access. Activities that do not serve industrial production, but rather the performance of services for people and facilities, are carried out by service robots. They are freely programmable motion devices that perform services partially or fully automatically and are used in the areas of care, gastronomy, tourism, as well as private households. In the future, skills such as flexibility and judgment must be perfected. The use of some service robots is already safe for humans. Similar to service robots, social robotics also focuses on interaction between humans and robots. These are sensorimotor robots that can communicate with humans in a social manner. In doing so, they can build social relationships and constantly learn. The social robots are usually in a human-like (humanoid) or animal-like (animaloid) body, but can also be used merely as software. Examples for application are care, therapy and entertainment robots. In addition to the three physical robots, software robots (software bots) are virtual robots used for process automation. They are the result of the application of Robotic Process Automation (RPA), which includes various approaches and technologies. They are used in almost every industry. In the following paper, the applications of softwarebots in finance, healthcare, public administration, and law are examined. Only minor discrepancies between the secondary literature studied and the state of the art can be observed in the texts examined.For the industrial robots, no deviations from statements from popular science sources can be found. In the secondary literature, however, these are not found as frequently as the other robot types studied. This is probably since the interested parties tend to be companies that are advertised through other channels. Nevertheless, some publications can be found for the manufacturing and maintenance and repair sectors. The largest application area today is still manufacturing. However, current robot developments offer promising and potential benefits for the maintenance and repair of industrial plants. In comparison, the research on service robots have shown that a variety of characteristics and capabilities are attributed to them in the secondary literature, most of which are consistent with the status quo of service robotics. In the next area examined, social robotics, the claims from the secondary literature, as with the previous robot types, deviate little from the primary scientific facts. In the technical area, the claims of the secondary literature are fundamentally true, although the ability of robots is generalized in some aspects. Softawarebots, on the other hand, are partially distinct from the previously mentioned robots. Especially the terms used for software applications as software bots in popular science articles do not refer to scientific classifications.
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Reports on the topic "Animal industry, law and legislation"

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Hackstadt, Angela. Food Waste Legislation Scholarship: A Mapping Study. University at Albany, State University of New York, March 2019. http://dx.doi.org/10.54014/czwu8703.

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The purpose of this study is to examine research activity on food waste legislation published in law journals to identify top sources and experts cited by recent scholarship. Searches for "food loss" and "food waste" were conducted in three legal research databases for law journal articles published between January 2013 and January 2018. The core list of selected articles consists of 13 law journal articles. The citations from each of the core articles were collected to form a database, which was analyzed to determine what kinds of resources legal scholars rely on when conducting research in food waste legislation. Government Sources and Primary Law contribute approximately 48% of the citations in the database. News, Nonprofit, and Law Reviews and Journals contribute approximately 31% of database citations. This study provides some insight into the complexity of food law and the facets of agriculture, industry, and society that affect the success of food waste reduction legislation.
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Gledhill, Igle, Richard Goldstone, Sanya Samtani, Keyan Tomaselli, and Klaus Beiter. Copyright Amendment Bill Workshop Proceedings Report. Academy of Science of South Africa (ASSAf), 2022. http://dx.doi.org/10.17159/assaf.2022/0078.

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The genesis of the Copyright Amendment Bill was in 2009, when the Department of Trade and Industry (DTI) initiated various studies and impact assessments. In July 2015, the DTI published a Draft Copyright Amendment Bill for public comment. The final 2017 version of the Bill was approved by Parliament in 2019 and it was sent to President Cyril Ramaphosa for action in terms of Section 79(1) of the Constitution. Section 79(1) states that “The President must either assent to and sign a Bill passed in terms of this Chapter or, if the President has reservations about the constitutionality of the Bill, refer it back to the National Assembly for reconsideration”. The President referred the Bill back to Parliament for review on 16 June 2020, on constitutionality issues. In response to the President’s reservations, Parliament’s Portfolio Committee on Trade and Industry has invited stakeholders and other interested parties to submit written submissions on certain sections of the Bill by no later than 9 July 2021. The current copyright law is outdated and does not address the digital environment. The Academy of Science of South Africa seeks to take into account the status of the copyright legislation and the anticipated effects of the amendment Bill on different issues and thereafter, provide recommendations to the President.
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