Academic literature on the topic 'Commission on Centre-State Relations'

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Journal articles on the topic "Commission on Centre-State Relations"

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Mahajan, Sanjeev K. "New Arenas Before 2nd Commission on Centre-State Relations in the Changing Times." Indian Journal of Public Administration 55, no. 4 (October 2009): 839–47. http://dx.doi.org/10.1177/0019556120090403.

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Rosenstock, Robert. "The ILC and State Responsibility." American Journal of International Law 96, no. 4 (October 2002): 792–97. http://dx.doi.org/10.2307/3070678.

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The handling by the International Law Commission (ILC) of state responsibility, hazardous activities, and strict liability reveals in many ways the Commission’s strengths and limitations. This work also tells much about the development of international law and the extent to which there is—or is not—an international community. The Commission’s work on state responsibility in particular also illustrates the validity of Holmes’s immortal statement about logic and the life of the law, the utility of Occam’s razor, and the value of William James’s pragmatism. Even if Philip Allott were close to the mark—as he often is—in calling the draft articles, as they then were, “bland gruel,” it is hard to ignore the need for the articles or their contribution to the unification of international law. Both are witnessed by tribunals’ eagerness to cite the Commission’s texts even before their formal adoption. While this practice has upset some as premature, it reflects the symbiotic process that has evolved over time as both the Commission and courts and tribunals labor to clarify existing law. Codification of lex lata may be no less effective if contained in a paragraph of a report rather than in an article of a multilateral treaty.
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McPhillips, Kathleen. "Religion after the Royal Commission: Challenges to Religion–State Relations." Religions 11, no. 1 (January 15, 2020): 44. http://dx.doi.org/10.3390/rel11010044.

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The findings and recommendations emanating from the Australian Royal Commission into Institutional Responses to Child Sexual Abuse (2012–2017) have advised religious organisations that they need to undertake significant changes to legal, governance and cultural/theological practices. The reason for urgency in enacting these changes is that religious organisations were the least child safe institutions across all Australian organisations, with poor practices of transparency, accountability and responsibility coupled with a tendency to protect the reputation of the institution above the safety of children in their care. In Australia, new state laws have been enacted and are impacting on the internal governance systems of religious organisations, including removing the secrecy of the Catholic confessional, instituting mandatory reporting of child abuse by clerics and criminalising the failure to report child sexual abuse. Religious organisations have moved to adopt many of the recommendations regarding their troubled governance including the professionalisation of religious ministry; adoption of professional standards; and appropriate redress for survivors and changes to religious laws. However, these changes signal significant challenges to current church–state relations, which have been characterised by positioning religious organisations as special institutions that enjoy exemptions from certain human rights legislation, on the basis of protecting religious freedom. This article examines and evaluates the nexus between state and religion in Australian public life as it is emerging in a post-Royal Commission environment, and in particular contested claims around the meaning and value of religious freedom versus the necessity of institutional reform to ensure that religious organisations can demonstrate safety for children and other vulnerable groups.
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Patnaik, Prabhat. "Trends of centre–state relations in India under the neo-liberal regime." Studies in People's History 5, no. 1 (May 11, 2018): 83–91. http://dx.doi.org/10.1177/2348448918759872.

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India had been envisioned as a federation by our Constitution makers, and so states were assigned some important subjects in which the centre could have no or only limited authority. Thus state governments run by opposition parties could pursue policies different from those of the Central Government in a number of ways. But since the onset of economic ‘liberalisation’ beginning with the late 1980s the financial strength and economic role of the state governments have been constantly undermined. This came, first, through the raising of interest rates to attract foreign finance capital, which created budgetary crises for the states since they fell under heavy debt simply to pay interest on existing debt. Neo-liberal policies were then imposed on them by Finance Commissions which made compliance with these compulsory for centre’s financial assistance. More recently the states’ powers have been further curtailed by the Goods and Services Tax, which has deprived the state government of the power to determine tax rates on goods produced within the states. Another means to the same end has been the centre’s trade agreements with foreign countries, with no reference made to states whose products thereby may be priced out of the market. The demonetisation of 2016, which impacted so destructively on employment and the cooperative sector in the states, was also undertaken by the centre without any reference to the states.
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McGregor, Lorna. "State Immunity Jus Cogens." International and Comparative Law Quarterly 55, no. 2 (April 2006): 437–46. http://dx.doi.org/10.1093/iclq/lei091.

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The General Assembly first proposed that the International Law Commission look into the issue of state immunity in 1977. As State immunity, by its very nature, sits at the interface between traditional and contemporary notions of international law, the span of the negotiations over three decades inevitably exposed the resulting Convention to gaps and inconsistencies with evolving areas of international law. In 1999 the International Law Commission established a Working Group on Jurisdictional immunities of States and their property,
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Pittard, Marilyn. "Reflections on the Commission’s Legacy in Legislated Minimum Standards." Journal of Industrial Relations 53, no. 5 (November 2011): 698–717. http://dx.doi.org/10.1177/0022185611419624.

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This article examines the extent to which the labour standards adopted by the Australian Industrial Relations Commission and its predecessors have left a ‘legacy’ in the new legislated standards and dismissal protection in the Fair Work Act 2009. The Commission’s ‘community standards’, developed from ‘test cases’ and piecemeal from other decisions, will be explored, together with factors that had an impact on those decisions, including: the very nature of test cases; economic, social and public interest considerations; the federal statute; State legislative developments; and international influences. Case studies involving paid annual leave and standard hours of work will illustrate the Commission’s approach in its decision-making. Questions are posed as to whether the Commission has left guiding principles to achieve economic and social justice and assist future policymakers and regulators when they face similar decisions; and why some Commission standards were not legislated but may remain in awards.
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van Niel, Robert. "II. Dutch Views and Uses of British Policy in India around 1800." Itinerario 12, no. 1 (March 1988): 17–32. http://dx.doi.org/10.1017/s0165115300023342.

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On August 31, 1803, a group of seven men, comprising the Commission for East Indies Affairs (Commissie tot de Oost-Indische Zaken), submitted the final report of its deliberations to the Government of the State of the Batavian Republic (Staatsbewind der Bataafsche Republiek) in The Hague. This Commission had been called into existence in November 1802 to make recommendations on how best to administer and conduct trade with the nation's possessions in the East Indies in a fashion that would render the greatest advantage to the nation's finances and profit to its commerce. Only a couple of years earlier Holland's monopolistic United East Indies Company (VOC) had been terminated by the Republic, and its assets and liabilities assumed by the State. The liabilities were immediately identifiable, for they consisted of debts which had to be paid in hard cash. The assets, on the other hand, consisted of territories – most of which had fallen under English control – and factories that somehow had to be made profitable, but seemed, given the then-existing conditions in the world, to be almost out of reach. The Commission was supposed to make recommendations as to how the remaining, territories of the VOC should be managed and how the trade with the East Indies and Asia in general was to be made profitable. This was no small task, so it may appear somewhat wondrous that the Commission was able to complete its work in less than ten months. The dispatch with which the Commission's work was completed, however, is more understandable if it is realised that the financial collapse of the VOC had been openly recognised since 1786, and various proposals for either reform or total change of the Company's system had been presented and discussed. These alternative proposals were well known to the members of the Commission. Their work, therefore, involved striking a balance among these proposals rather than creating a system de novo.
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Coe, Brooke. "Regional Human Rights Institutions and R2P: The Role of State Monitoring in Atrocity Prevention." Global Responsibility to Protect 9, no. 3 (August 6, 2017): 294–317. http://dx.doi.org/10.1163/1875984x-00903005.

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This paper considers the potential of regional human rights institutions in the global South – including the Inter-American Commission on Human Rights, the African Commission on Human and Peoples’ Rights, and the asean Intergovernmental Commission on Human Rights – to exercise atrocity prevention functions. Specifically, it considers the possibilities and limits of their institutions and activities in contributing to early warning, direct prevention, and ‘root cause’ prevention, finding that much potential exists for the Inter-American and African Commission to make tangible contributions to prevention, broadly conceived, but that there remain important gaps between mandate and actual practices. The asean Commission lags significantly behind the others because of the Southeast Asian grouping’s continued commitment to non-interference. Despite this fact, asean norms and institutions are ever-evolving – even if slowly – and so opportunities may arise for the creation of prevention-relevant mandates and mechanisms that mirror those already embedded in the Inter-American and African systems.
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Davis, Theodore. "Perceptions of Racial Progress and Mistreatment Today." National Review of Black Politics 1, no. 2 (April 2020): 251–70. http://dx.doi.org/10.1525/nrbp.2020.1.2.251.

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In 1967, President Lyndon B. Johnson established the National Advisory Commission on Civil Disorders to examine why race relations in the United States were in such a state of confusion that it had resulted in civil disturbances. By 1968, the trajectory of race relations and racial disparities, with regard to the quality of life and standards of living, were such that the commission wrote, “Our nation is moving toward two societies, one Black, one White, separate and unequal.” Since the start of the twenty-first century, economic recessions, natural disasters, and civil unrest have exposed the continuation of pervasive differences in the perceptions of racial progress between Blacks and Whites. This article aims to examine perceptions of racial progress and the continuation of unfair racial treatment within the context of the commission’s “two nations” thesis. The findings of this article suggest that Blacks remain considerably more pessimistic than Whites about the state of racial affairs in the US today. How do we explain this conundrum in light of the passage of the civil rights legislation of the 1960s? We begin with the premise that race is still a problem in today’s society, but it is a problem in ways that are very different from when the Kerner Commission report was released.
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Finke, Daniel. "At loggerheads over state aid: Why the Commission rejects aid and governments comply." European Union Politics 21, no. 3 (April 27, 2020): 474–96. http://dx.doi.org/10.1177/1465116520916248.

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State aid is of significant importance to EU economies. The Commission is responsible for monitoring that all aid instruments comply with EU law. The present article analyses two questions: Why does the Commission reject aid instruments? How do national governments respond to such rejections? I argue that national governments are more willing to risk conflict with the Commission if perceived corruption and Euroscepticism are high. The Commission anticipates the likelihood of non-compliance when ruling on proposed aid instruments. If it expects non-compliance, the Commission is more likely to reject an aid instrument where its public trust ratings are high. If non-compliance is unlikely, the Commission can focus exclusively on the legal consistency of its ruling. On the empirical side, I test my arguments by analysing all state aid decisions between 2000 and 2018. Most importantly, the results show that state aid is more likely to be rejected, where public trust in the Commission is high.
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Dissertations / Theses on the topic "Commission on Centre-State Relations"

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Billiet, Stijn. "European integration and international politics : Commission-member state relations in the World Trade Organisation and selected multilateral environmental agreements." Thesis, London School of Economics and Political Science (University of London), 2007. http://etheses.lse.ac.uk/2713/.

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Traditionally, theories of European integration have focussed on the internal dynamics of this unique form of international cooperation. This also holds for the principal-agent approach, a newer and more sophisticated methodology. This thesis argues that this approach's frame of reference needs to be broadened in order to offer a more coherent framework since the European Community is becoming an increasingly active player on the international stage. Consequently, the inward-looking bias in integration theory needs to be overcome to come to a better understanding of the development of the external role and position of the Commission. Through the analysis of case studies, the study of primary and secondary sources and interviews with policy-makers, this thesis shows that the external institutional framework impacts on Commission-Member States relations, and thus on the process of European integration. Within the strong institutional framework of the World Trade Organisation, the Commission has more leeway vis-a-vis the Member States to gain influence and competences. Through its central role in the WTO's dispute settlement system, the Commission has managed to gain broader competences concerning trade- related aspects of intellectual property rights. Furthermore, the Commission is a firm proponent of the strengthening of the dispute settlement system. It is actively trying to incorporate new issues of mixed competence, like investment, within this strong institutional framework in the hope of improving its position. This is not restricted to trade-issues either. Also in international environmental agreements, the Commission tries to strengthen its position by pushing for stronger institutional provisions and for the incorporation of environmental concerns within the WTO framework. The interaction between the European and the international level, and its impact on Commission-Member State relations necessitate complementing the principal-agent approach to make it more outward-looking so that it can also be used to study the external aspects of European integration.
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Afifi, Rola. "La politique d’aide au développement de l’Union européenne dans le territoire palestinien occupé : vers l’établissement d’un État palestinien." Thesis, Sorbonne Paris Cité, 2015. http://www.theses.fr/2015USPCB222.

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La thèse vise à examiner les politiques d'aide au développement de l'Union européenne (UE) et leur impact sur les conditions politiques, économiques, sécuritaires et sociales dans le Territoire palestinien occupé (TPO). De plus, elle vise à répondre à la question de savoir si ces politiques ont concrètement contribué à la construction d'une économie palestinienne solide conduisant à l'établissement d'un État palestinien, ou si elles étaient seulement des politiques destinées à protéger un processus de paix, délabré en permanence, et à maintenir le statu quo de l'occupation tout en répondant aux exigences de survie de la population palestinienne. L'étude met en lumière l'évolution de la politique d'aide européenne au peuple palestinien en accordant de l'intérêt à l'évolution de la politique étrangère de l'UE envers le conflit palestino-israélien et aux institutions en charge de la coopération au développement avec les pays tiers au sein de l'Union. La présente recherche a pour objet l'aide accordée par l'UE aux Palestiniens pour la période s'étendant de 1993 à 2014. Elle met en évidence un ensemble de résultats, dont le plus important est que cette aide a joué un rôle éminent afin d'éviter l'effondrement de l'Autorité nationale palestinienne (ANP) et d'aider le peuple palestinien. Elle s'est diversifiée au cours des années, en quantité et en qualité, afin de s'adapter à la situation politique, économique et humanitaire dans le TPO. Elle a contribué aux réformes réussies effectuées par l'ANP dans plusieurs secteurs, et elle a davantage soutenu les plans nationaux palestiniens de développement. Pourtant, cette aide n'a réussi ni à freiner les politiques de dé-développement pratiquées systématiquement par l'occupation, ni à mettre de la pression sur Israël. Cette recherche souligne que cette aide ne réalisera pas ses objectifs, notamment celui de l'établissement d'un État palestinien viable coexistant avec l’État d'Israël en paix et en sécurité, tant que l'UE n'utilisera pas son pouvoir économique et ne transformera pas sa rhétorique en actions concrètes sur le terrain
The study aims to examine the policies of development aid of the European Union (EU) and their impact on the political, economic, security and social conditions in the occupied Palestinian territory (OPT). In addition, it seeks to answer the question whether these policies have helped to build a strong Palestinian economy leading to the establishment of a Palestinian state, or if they were only policies to protect the peace process, permanently dilapidated, and maintain the status quo of the occupation while meeting the basic requirements of survival of the Palestinian population. The study highlights the evolution of the European political support to the Palestinian people by highlighting the evolution of EU foreign policy towards the Palestinian-Israeli conflict and the institutions responsible for the development cooperation with third countries within the Union. This research relates to the aid granted by the EU to the Palestinians for the period extending from 1993 to 2014. It highlights a set of results, the most important is that this aid has played a prominent role in avoiding the collapse of the Palestinian National Authority (PNA) and in helping the Palestinian people. It has diversified over the years, both in quantity and quality, to fit the political, economic and humanitarian situation in the OPT. It contributed to the successful reforms carried out by the PNA in several sectors, and has further supported the Palestinian national development plans. However, this aid has not succeeded to curb the de-development policies systematically practiced by the occupation or to put pressure on Israel. This research underlines that this aid will not achieve its objectives, including that of the establishment of a viable Palestinian state coexisting with the State of Israel in peace and security, as long as the EU does not use its economic power and does not turn its rhetoric into concrete action on the ground
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Yusoff, Mohammad Agus. "Federalism in Malaysia : A study of the politics of centre-state relations." Thesis, University of Manchester, 1998. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.496370.

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Singh, Pritam. "Implications of centre-state economic relations in India for Punjab economy (1966-1991)." Thesis, University of Oxford, 2005. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.432199.

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Van, den Bossche Olivier. "Entreprendre pour le développement. Une histoire des politiques UE-ACP de développement du secteur privé, de Lomé à Cotonou (1975-2000)." Thesis, Sorbonne Paris Cité, 2018. http://www.theses.fr/2018USPCA063.

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Cette thèse retrace la construction historique d’une politique publique dite prioritaire de l’aide au développement. Les politiques de développement du secteur privé consistent à penser le développement économique par le renforcement d’un tissu économique privé local (micro-, petites et moyennes entreprises) et l’accueil d’investissements étrangers. La mise en place de ces politiques est ici étudiée dans le cadre des relations entre les institutions communautaires de l’Union européenne et les pays du groupe Afrique Caraïbes Pacifique (ACP), de 1975 à 2000, c’est-à-dire dans le temps des accords quinquennaux successifs de partenariat UE-ACP sous les Conventions de Lomé.Si ces politiques représentent un objectif aujourd’hui dominant de l’aide au développement, elles existaient déjà sous d’autres formes dès 1975. Notre recherche prend le parti d’étudier les évolutions d’une politique publique d’aide au développement depuis Bruxelles en regardant en particulier les liens des services de la direction générale du développement (DG VIII) de la Commission européenne avec les instruments communautaires ou paritaires au service de cette politique : la Banque européenne d’investissement et le Centre de développement industriel. L’histoire de ces politiques est croisée ponctuellement avec les évolutions propres à certains réseaux économiques transnationaux, aux Etats-membres, et à d’autres organisations internationales (Banque mondiale, OCDE). La recherche se place dans une double perspective d’histoire des organisations internationales et d’une histoire transnationale des réseaux économiques, pour retracer les trajectoires socioprofessionnelles individuelles et les dynamiques institutionnelles qui expliquent la fabrique des politiques européennes de développement.Trois temps sont étudiés : la coopération industrielle (1975-1985) qui vise à réussir le mariage d’intérêts entre les objectifs politiques des pays en développement dans le cadre du « Nouvel ordre économique international » et les besoins économiques de l’Europe ; l’émergence du développement du secteur privé comme nouvelle terminologie hégémonique au sein du Comité d’aide au développement (CAD) de l’OCDE (1985-1995) ; le temps des réformes institutionnelles et opérationnelles de l’aide au développement au nom d’une recherche d’efficacité pour le développement et de changements globaux (1995-2000)
This thesis retraces the historical construction of a so-called priority development aid policy. Private sector development policies consist of aiming at economic development by strengthening the local private sector (micro, small and medium-sized enterprises) and improving the foreign investment climate. The implementation of these policies is studied here in the context of the relations between the European Union institutions and the countries of the Africa-Caribbean-Pacific (ACP) group from 1975 to 2000, that is to say during the five successive EU-ACP partnership agreements known as the Lomé Conventions.Although these policies represent a dominant objective of development aid today, they already existed in other forms as early as 1975. The author decided to study the evolution of a development aid public policy with a particular focus on the institutions in Brussels. The author looks at the links of the services of the Directorate-General for Development (DG VIII) of the European Commission with the Community or joint instruments serving this policy: the European Investment Bank and the Centre for Industrial Development. The history of these policies is interspersed with the evolutions that are specific to certain transnational economic networks, member states, and other international organizations (World Bank, OECD). The research is placed in a double perspective of international organizations history and a transnational history of economic networks, to trace the individual socio-professional trajectories and the institutional dynamics that explain the making of European development policies.Three stages are studied: industrial co-operation (1975-1985), which aims to achieve a marriage of interests between the political objectives of developing countries in the framework of the “New International Economic Order” and the economic needs of Europe; the emergence of “private sector development” as a new hegemonic terminology within the OECD's Development Assistance Committee (DAC) (1985-1995); the time for institutional and operational reforms of development aid in the name of effectiveness and global changes (1995-2000)
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Durusan, Firat. "Debates On Civil Society: From Centre-periphery To Radical Civil Societarianism." Master's thesis, METU, 2008. http://etd.lib.metu.edu.tr/upload/12610292/index.pdf.

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The radical democratic conception of civil society strives for theoretically constructing and politically defending civil society as a social sphere autonomous from both the economy and state. As a position taken against Marxist and liberal theories, radical civil societarianism views the cultural and normative structures of modern societies as independent from and prior to systemically conceived economic and political relations. These structures is purported to give way to spontaneous social solidarity characterising civil society. With the mechanisms of domination and exploitation defined outside civil society, this approach ends up with excessive voluntarism characterising social relations thereof. Similarly, in the Turkish context, the dominant centre-periphery approach is predicated upon the external contradiction between the vertical state-society relations and horizontal relations between social actors. It is argued that the dominance of the former has caused the underdevelopment of civil society which is a particular expression of the latter. In any case, social conflicts are detached from structural political and economic mechanisms and conceived in voluntaristic terms. Consequently, the normative position radical civil societarianism takes vis-à
-vis social movements fails to go beyond an imposition of the arbitrary notion of &ldquo
civility&rdquo
through the discourse of self-limitation.
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Anand, Prathivadi B. "Water and Identity: An analysis of the Cauvery River water dispute." Bradford Centre for International Development, 2004. http://hdl.handle.net/10454/2893.

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Yes
This paper focuses on the dispute over river Cauvery in Southern India. Among the causes of river water disputes are contested property rights, difficulty in enforcing such rights, conflict of uses and a lack of willingness to compromise. A co-operative outcome in such cases depends on several factors: asymmetry of power in a triadic relationship between a federal government and two riparian states (one upstream and one downstream). Other factors influencing co-operation are the extent to which the claims of river waters can be elevated from those of immediate riparian peoples to those of an entire state; the dominance of a masculine paradigm towards 'taming' river waters using 'hard' investments rather than 'soft' and decentralised alternatives. On the basis of district level data, the importance of river Cauvery to the hydrology, economy and polity of the two contesting states is examined. This analysis helps us to appreciate why the two riparian state governments have limited room to manouvre. Drawing from two brief case studies of Murray Darling Basin and recent litigation in the USA, and other international experiences of river water treaties, the paper identifies various implications for the resolution of Cauvery and other river water disputes.
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Landais, Benjamin. "Nations, privilèges et ethnicité à l'époque des Lumières : l'intégration de la société banataise dans la monarchie habsbourgeoise au XVIIIe siècle." Thesis, Strasbourg, 2013. http://www.theses.fr/2013STRAG025.

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Le Banat est une région d’Europe balkanique conquise en 1716 par les Habsbourg sur l’Empire ottoman et directement administrée par Vienne. Dans les discours des administrateurs habsbourgeois, l’usage des catégories nationales est pragmatique. Il permet de déterminer les pratiques de gouvernement acceptables envers des groupes aux limites floues, dans le respect des intermédiaires traditionnels et d’une communication politique effectuée en langue vernaculaire. Mais l’action d’un État uniquement fiscal et militaire est remise en cause par l’élargissement de son périmètre d’action et l’arrivée d’une nouvelle génération de fonctionnaires en 1769. L’influence du caméralisme et de la statistique administrative amène à considérer les nations sous un angle exclusivement culturel. Mais cette identité imposée n’est pas assimilée par les populations. Celles-ci se réapproprient l’ancien usage des nations privilégiées dans leurs revendications politiques au cours des années 1780
The Banat is a large region of the Balkans. It was conquered in 1716 by the Habsburg power over the Ottoman Empire and then governed directly from Vienna. In this context, the Habsburg civil servants made a pragmatic use of national categories. They were a means to determine an acceptable political behaviour towards groups defined by vague social boundaries, while respecting traditional middlemen and using the vernacular for political communication. However, the action of this strictly fiscal and military State was called into question by the widening of its prerogatives and the arrival of a new generation of civil servants in 1769. The influence of Kameralismus and the administrative statistic led the latter to consider the nations from a cultural point of view. But this imposed identity did not seem to be taken up by the population. On the contrary, people began to use the old sense of the privileged “nations” in their political claims directed to the emperor in the 1780s
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Maharaj, Bridgemohan. "The Group Areas Act in Durban : central-local state relations." Thesis, 1992. http://hdl.handle.net/10413/11287.

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Kumar, Raj. "The fedralising process and the impact of the finance commission- A study in financial relations between centre and the states with particular reference to Haryana 1966-82." Thesis, 1986. http://hdl.handle.net/2009/4576.

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Books on the topic "Commission on Centre-State Relations"

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Relations, India Commission on Centre-State. Commission on Centre-State Relations: Report. Nasik: Govt. of India Press, 1988.

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India. Commission on Centre-State Relations. Commission on Centre-State Relations: Report. Nasik: Govt. of India Press, 1988.

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India. Commission on Centre-State Relations. Commission on Centre-State Relations: Report. New Delhi: Commission on Centre-State Relations, 2010.

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Centre-state financial relations: A stocktaking. Trivandrum: Centre for Development Studies, 1985.

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1947-, Rao Hemlala, ed. Finance Commission and centre-state financial relations. New Delhi: Ashish Pub. House, 1986.

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India. Commission on Centre-State Relations. Commission on Centre-State Relations, draft questionnaire. New Delhi: Commission on Centre-State Relations, 2007.

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Fadia, Babulal. Sarkaria Commission report and centre-state relations. Agra: Sahitya Bhawan, 1990.

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Thakur, Ramanand. Finance commissions and centre-state relations in India. New Delhi: Deep & Deep Publications, 1989.

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Gani, H. A. Centre-state relations and Sarkaria Commission: Issues, institutions, and challenges. New Delhi: Deep & Deep Publications, 1990.

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Sarojini, Muppidi. Finance commissions and centre-state financial relations. Allahabad, India: Chugh Publications, 1991.

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Book chapters on the topic "Commission on Centre-State Relations"

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Bhattacharyya, Harihar. "Centre–state relations." In Federalism in Asia, 143–68. Second edition. | Abingdon, Oxon ; New York, NY : Routledge, 2020. | Series: Routledge studies in federalism and decentralization: Routledge, 2020. http://dx.doi.org/10.4324/9780367821630-7.

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Tilak, Jandhyala B. G. "Centre–State Relations in Financing Education in India." In Education and Development in India, 283–320. Singapore: Springer Singapore, 2018. http://dx.doi.org/10.1007/978-981-13-0250-3_9.

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Singh, Pritam. "How Centre–State Relations Have Shaped Punjab’s Development Pattern." In India Studies in Business and Economics, 367–90. Singapore: Springer Singapore, 2016. http://dx.doi.org/10.1007/978-981-10-0197-0_17.

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Rees, E. A. "Introduction." In Centre-Local Relations in the Stalinist State, 1928–1941, 1–8. London: Palgrave Macmillan UK, 2002. http://dx.doi.org/10.1057/9781403932822_1.

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Rees, E. A. "The Changing Nature of Centre-Local Relations in the USSR, 1928-36." In Centre-Local Relations in the Stalinist State, 1928–1941, 9–36. London: Palgrave Macmillan UK, 2002. http://dx.doi.org/10.1057/9781403932822_2.

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Khlevnyuk, Oleg. "The First Generation of Stalinist ‘Party Generals’." In Centre-Local Relations in the Stalinist State, 1928–1941, 37–64. London: Palgrave Macmillan UK, 2002. http://dx.doi.org/10.1057/9781403932822_3.

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Rees, E. A. "Republican and Regional Leaders at the XVII Party Congress in 1934." In Centre-Local Relations in the Stalinist State, 1928–1941, 65–91. London: Palgrave Macmillan UK, 2002. http://dx.doi.org/10.1057/9781403932822_4.

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Rees, E. A. "Moscow City and Oblast." In Centre-Local Relations in the Stalinist State, 1928–1941, 92–115. London: Palgrave Macmillan UK, 2002. http://dx.doi.org/10.1057/9781403932822_5.

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Baron, Nick. "The Karelian ASSR." In Centre-Local Relations in the Stalinist State, 1928–1941, 116–48. London: Palgrave Macmillan UK, 2002. http://dx.doi.org/10.1057/9781403932822_6.

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Kuromiya, Hiroaki. "The Donbass." In Centre-Local Relations in the Stalinist State, 1928–1941, 149–66. London: Palgrave Macmillan UK, 2002. http://dx.doi.org/10.1057/9781403932822_7.

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Conference papers on the topic "Commission on Centre-State Relations"

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Ahmedov, Damir, and Alexey Nikitin. "LEGAL FRAMEWORK OF THE RUSSIAN FEDERATION ON COUNTERING OFFENSES IN THE SPHERE OF IMPLEMENTING FREEDOM OF CONSCIENCE AND FREEDOM OF RELIGION." In Current problems of jurisprudence. ru: Publishing Center RIOR, 2021. http://dx.doi.org/10.29039/02058-6/036-043.

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The necessity to counteract the commission of crimes against freedom of conscience and freedom of religion is an integral part of the criminal law policy of a modern state. At the same time, the development of social relations, achievements of scientific and technological progress, transform existing social relations, which significantly complicates the law enforcement activities of law enforcement agencies, including in matters of ensuring the protection of freedom of conscience and freedom of religion.
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Ondaro, Manuel. "Jose Cabrera Dismantling and Decommissioning Project." In ASME 2013 15th International Conference on Environmental Remediation and Radioactive Waste Management. American Society of Mechanical Engineers, 2013. http://dx.doi.org/10.1115/icem2013-96227.

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The Jose Cabrera Nuclear Power Plant (NPP) was the first commercial power reactor (Westinghouse 1 loop PWR 510 MWth, 160 MWe) commissioned in Spain and provided the base for future development and training. The reactor construction started in 1963 and it was officially on-line by 1969. The NPP operated from 1969 until 2006 when it became the first reactor to be shut down after completing its operational period. The containment is reinforced concrete with a stainless steel head. In 2010 responsibility for D&D was transferred to Enresa to achieve IAEA level 3 (a green field site available for unrestricted re-uses) by 2017. Of the total of more than 104,000 tons of materials that will be generated during dismantling, it is estimated that only ∼ 4,000 tons will be radioactive waste, some of which, 40 t are considered as intermediate level long-lived wastes and the rest (3,960 t) will be categorized as VLLW & ILLW. The Project is divided into five phases: Phase 0 - Removal of fuel and preliminary work. Phase 1 - Preparatory Activities for D&D. complete. Phase 2 - Dismantling of Major Components. Phase 3 - Removal of Auxiliary Installations, Decontamination and Demolition. Phase 4 - Environmental Restoration. Phase 2, is currently ongoing (50% completed). To manage the diverse aspects of decommissioning operations, Enresa uses an internally developed computerized project management tool. The tool, based on knowledge gathered from other Enresa projects, can process operations management, maintenance operations, materials, waste, storage areas, procedures, work permits, operator dose management and records. Enresa considers that communication is important for both internal and external stakeholder relations and can be used to inform, to neutralize negative opinions & attitudes, to remove false expectations and for training. Enresa has created a new multi-purpose area (exhibition/visitor centre) and encourages visits from the public, local schools, local and national politicians and technical groups. Greenfield is the final end state objective. The total cost of this project, including a 20% contingency as estimated in 2003 is 135 M€. This figure does not include the management of the plant spent fuel, which has constituted an independent project that has been completed in 2009 (35 M€). Enresa, with 15 staff on site are managing a team of ∼ 250 workers, 40 of whom belong to the previous operator. The spent fuel is On-Site prior to the final destination in the future Spain Centralized Spent Fuel Installation.
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Surkova, Galina Vladimirovna. "State social policy of the Russian Federation in the context of studying the activities of regional tripartite commissions on the regulation of social and labor relations." In International Research-to-practice conference, chair Dmitrij Nikolaevich Ermakov. TSNS Interaktiv Plus, 2018. http://dx.doi.org/10.21661/r-473136.

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Spring, J. P., and D. M. McLaughlin. "Rod Bundle Heat Transfer: Steady-State Steam Cooling Experiments." In 14th International Conference on Nuclear Engineering. ASMEDC, 2006. http://dx.doi.org/10.1115/icone14-89734.

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Through the joint efforts of the Pennsylvania State University and the United States Nuclear Regulatory Commission, an experimental rod bundle heat transfer (RBHT) facility was designed and built. The rod bundle consists of a 7×7 square pitch array with spacer grids and geometry similar to that found in a modern pressurized water reactor. From this facility, a series of steady-state steam cooling experiments were performed. The bundle inlet Reynolds number was varied from 1 400 to 30 000 over a pressure range from 1.36 to 4 bars (20 to 60 psia). The bundle inlet steam temperature was controlled to be at saturation for the specified pressure and the fluid exit temperature exceeded 550 °C in the highest power tests. One important quantity of interest is the local convective heat transfer coefficient defined in terms of the local bulk mean temperature of the flow, local wall temperature, and heat flux. Steam temperatures were measured at the center of selected subchannels along the length of the bundle by traversing miniaturized thermocouples. Using an analogy between momentum and energy transport, a method was developed for relating the local subchannel centerline temperature measurement to the local bulk mean temperature. Wall temperatures were measured using internal thermocouples strategically placed along the length of each rod and the local wall heat flux was obtained from an inverse conduction program. The local heat transfer coefficient was calculated from the data at each rod thermocouple location. The local heat transfer coefficients calculated for locations where the flow was fully developed were compared against several published correlations. The Weisman and El-Genk correlations were found to agree best with the RBHT steam cooling data, especially over the range of turbulent Reynolds numbers. The effect of spacer grids on the heat transfer enhancement was also determined from instrumentation placed downstream of the spacer grid locations. The local heat transfer was found to be greatest at locations immediately downstream of the grid, and as the flow moved further downstream from the grid it became more developed, thus causing the heat transfer to diminish. The amount of heat transfer enhancement was found to depend not only on the spacer grid design, but also on the local Reynolds number. It was seen that decreasing Reynolds number leads to greater heat transfer enhancement.
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Gandossi, L., K. Simola, and Adam Toft. "Risk Informed In-Service-Inspection Activities of the ENIQ Task Group on Risk." In ASME 2009 Pressure Vessels and Piping Conference. ASMEDC, 2009. http://dx.doi.org/10.1115/pvp2009-77241.

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The European Network for Inspection Qualification (ENIQ) was established in 1992 in response to increasing recognition of the importance of qualification of non-destructive inspection systems used in in-service inspection programmes for nuclear power plants. Driven by European Nuclear utilities and managed by the European Commission Joint Research Centre (JRC), ENIQ represents a network in which the available resources and expertise can be pooled at European level. ENIQ has recognized the importance of addressing, at European level, the issue of optimizing inspection strategies on the basis of risk by establishing a Task Group on Risk (TGR). Membership of TGR is drawn from European nuclear utilities and consultants. ENIQ TGR is focused on Risk-Informed In-Service Inspection (RI-ISI) methodologies. Its work is directed towards harmonisation in the field of codes, standards and best practice for RI-ISI methodologies, with the objective of increasing the safety of European nuclear power plants. In March 2005 TGR published a European Framework Document for RI-ISI. This publication provides guidance for both developing new RI-ISI approaches and using or adapting established approaches to a European environment, taking into account utility-specific characteristics and national regulatory requirements. More recently, ENIQ TGR has been working at producing more detailed recommended practices and discussion documents on several RI-ISI related issues, such as the role of ISI within the philosophy of defence-in-depth, the verification and validation of structural reliability models (SRMs) to be used in RI-ISI programmes, the use of expert panels and the applicability of RI-ISI to the reactor pressure vessel. Work is ongoing to develop a discussion document on updating of RI-ISI programmes, and new initiatives were launched to study topics such as what magnitude of risk reduction is reasonable to achieve through ISI, and how to set inspection targets, following the selection of ISI sites. In addition, TGR has been active in initiating international projects linked closely to its work, such as the JRC-OECD/NEA co-ordinated RI-ISI benchmark exercise (RISMET), and the project on the relation between inspection qualification and RI-ISI. This paper describes the key activities and publications of TGR to date.
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Killian, Douglas E., and Samer H. Mahmoud. "Development and Validation of Analysis Method for Simulating Residual Stresses in Dissimilar Metal Pipe Butt Welds." In ASME 2008 Pressure Vessels and Piping Conference. ASMEDC, 2008. http://dx.doi.org/10.1115/pvp2008-61642.

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It is now accepted practice in the commercial nuclear power industry to numerically simulate the residual stresses developed during welding of bimetallic piping components. A common example is the Alloy 82/182 shop weld between a low alloy steel nozzle and a stainless steel safe end. Piping is attached to the nozzle safe end by a separate girth butt weld in the field. The safe end to pipe weld influences stresses in the nozzle to safe end weld only for relatively short safe ends. Alloy 600 base metal material and its associated welds are susceptible to primary water stress corrosion cracking (PWSCC) at elevated levels of stress. It is therefore necessary to model each step of the fabrication process to capture the path dependent accumulation of stress and strain in the welded components, and to simulate the pre-service test loads and operating temperature and pressure loads. The fabrication process includes the build up of butter material on the nozzle prior to heat treatment and the deposition of weld metal in a single V-groove between the butter and safe end. This is followed by one or more repair welds to remove welding defects. The welded component is then subjected to a shop hydrostatic test pressure equal to 125 percent of the design pressure. Following several heatup and cooldown cycles to simulate “shakedown” of pre-service stresses, stresses in the vicinity of the weld are determined at operating conditions of temperature and pressure in order to access the susceptibility of the weld and butter to PWSCC. This paper discusses the analytical methodology used to numerically simulate welding residual stresses using the ANSYS general purpose computer code. The method is then applied to two-dimensional axisymmetric welding simulations, which are adequate to investigate most girth butt weld piping components, although it may be necessary to make conservative assumptions regarding weld repair configurations. Numerical results are used to characterize the effects of weld repair, pre-service loads, and cyclic loading on the final state of operating stresses for sustained loading conditions. The analysis method is validated using results from large scale tests performed by the European Commission Joint Research Centre as part of its Assessment of Aged Piping Dissimilar Metal Weld (ADIMEW) project. Residual stresses are predicted for a ferritic-to-austenitic dissimilar metal weld mockup and compared against results from neutron diffraction measurements.
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Labalette, Thibaud, Alain Harman, and Marie-Claude Dupuis. "The Cige´o Industrial Geological Repository Project." In ASME 2011 14th International Conference on Environmental Remediation and Radioactive Waste Management. ASMEDC, 2011. http://dx.doi.org/10.1115/icem2011-59265.

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The Planning Act of 28 June 2006 prescribed that a reversible repository in a deep geological formation be chosen as the reference solution for the long-term management of high-level and intermediate-level long-lived radioactive waste. It also entrusted the responsibility of further studies and investigations on the siting and design of the new repository upon the French Radioactive Waste Management Agency (Agence nationale pour la gestion des de´chets radioactifs – Andra), in order for the review of the creation-licence application to start in 2015 and, subject to its approval, the commissioning of the new repository in 2025. In late 2009, Andra submitted to the French government proposals concerning the implementation and the design of Cige´o (Centre industriel de stockage ge´ologique). A significant step of the project was completed with the delineation of an interest zone for the construction of the repositor’s underground facilities in 2010. This year, Andra has launched a new dialogue phase with local actors in order to clarify the implementation scenarios on the surface. The selected site will be validated after the public debate that is now scheduled for the first half of 2013. This debate will be organized by the National Public Debate Committee (Commission nationale du de´bat public). In parallel, the State is leading the preparation of an territorial development scheme, which will be presented during the public debate. The 2009 milestone also constitutes a new step in the progressive design process of the repository. After the 1998, 2001 and 2005 iterations, which focused mainly on the long-term safety of the repository, the Dossier 2009 highlighted its operational safety, with due account of the non-typical characteristics of an underground nuclear facility. It incorporates the first results of the repository-optimisation studies, which started in 2006 and will continue in the future. The reversibility options for the repository constitute proposals in terms of added flexibility in repository management and in package-recovery levels. They orient the design of the repository in order to promote those reversibility components. They contribute to the dialogue with stakeholders in the preparation of the public debate and of the future act on the reversibility conditions of the repository. The development of the repository shall be achieved over a long period, around the century. Hence, the designer will acquire additional knowledge at every new development of the project, notably during Phase 1, which he may reuse during the following phase, in order, for instance, to optimise the project. This process is part of the approach proposed by Andra in 2009 pursuant to the reversibility principle.
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Rogulska, Aleksandra. "TEMPORARY CULTURAL FACILITIES AS AN ELEMENT OF REBUILDING STRATEGIES FOR CITIES AFFECTED BY EARTHQUAKES." In GEOLINKS International Conference. SAIMA Consult Ltd, 2020. http://dx.doi.org/10.32008/geolinks2020/b2/v2/35.

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The Apennine Peninsula is one of the most densely-populated and most seismically active regions of Europe, possessing a wealth of cultural heritage. Historical cities and buildings are a part of this heritage. The earthquake damage prevention programme implemented in Italy does not cover existing buildings, and reconstruction plans for damaged cities, because of the threat's specificity, are always prepared after a disaster. In the case of heritage buildings, particularly those of super-local significance, decisions involving a complete reconstruction of their original form are typically made, erasing all traces of the tragedy. Reconstruction can take years, during which society is left without cultural facilities that are key to good morale. Opportunities provided by the phase between a disaster and restoring the buildings are too often underappreciated, while the time spent making the decision what and how to rebuild should be spent on action. Strategies involving temporary buildings allow to prevent the disappearance of public functions during the period preceding the reconstruction of major cultural facilities. These buildings should be designed as resilient, assuming a capacity to adapt to changing conditions and upholding or rapidly returning to a functional state after a disaster. They can enable the time between the disaster and making the decision about reconstruction to be used to identify and test new relations in the surroundings created through the loss of a section of substance. They provoke a debate about what must be rebuilt and at what cost, they facilitate understanding of the goals of a planned reconstruction. But most importantly, they sustain the genius loci, in order to affect the city's reconstruction process in its social, psychological and economic aspects. By analysing temporary cultural facilities built in Italian cities damaged by earthquakes, the study discusses methods of building temporary public buildings and features an attempt at assessing interventions that precede reconstruction. Based on the experiences of the city of L'Aquila severely damaged in 2009 and drawing conclusions from mistakes made during the implementation of pre-reconstruction strategies in the town, the author developed a proposal of a temporary intervention for the Basilica of St. Benedict of Nursia, which collapsed on the 30th of October 2016 as an effect of the Amatrice-Visso-Norcia seismic sequence. The proposal stresses the preservation of the previous function of the complex at its original site. This is meant to maintain the occupancy of Norcia's centre by the Benedictine monks, whose tradition is strongly linked with the city and makes it a major pilgrimage destination that is important to Christians.
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