To see the other types of publications on this topic, follow the link: Political aspects of International finance.

Dissertations / Theses on the topic 'Political aspects of International finance'

Create a spot-on reference in APA, MLA, Chicago, Harvard, and other styles

Select a source type:

Consult the top 50 dissertations / theses for your research on the topic 'Political aspects of International finance.'

Next to every source in the list of references, there is an 'Add to bibliography' button. Press on it, and we will generate automatically the bibliographic reference to the chosen work in the citation style you need: APA, MLA, Harvard, Chicago, Vancouver, etc.

You can also download the full text of the academic publication as pdf and read online its abstract whenever available in the metadata.

Browse dissertations / theses on a wide variety of disciplines and organise your bibliography correctly.

1

Ghonaim, Mahmoud. "The legal aspects of aviation finance in developing countries /." Thesis, McGill University, 1991. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=59937.

Full text
Abstract:
The assessment of benefits and costs in determining national and international aviation policy by the developing countries differs markedly from that used for advanced countries.
The treatment of the subject matter begins in Chapter I with an overview of the aviation industry and its financing Historical Review. Chapter II deals with the problem of recognition of title and security rights in aircraft under international law. Chapter III contains a detailed consideration of the types of commonly used security instruments in aircraft financing. Chapter IV sets out an overview of financing in developing countries, Chapter V contains a study of the various problems facing the asset financing of aircraft in the Third World and possible solutions.
In the last three chapters, emphasis will be placed on regional aviation issues.
APA, Harvard, Vancouver, ISO, and other styles
2

Makgatho, Mathane. "The use of the Brink model to assess Mozambique's political risk before and after major project investments." Thesis, Stellenbosch : Stellenbosch University, 2008. http://hdl.handle.net/10019.1/5542.

Full text
Abstract:
Thesis (MDF (Development Finance))--Stellenbosch University, 2008.
ENGLISH ABSTRACT: Mozambique managed to attract a lot of foreign direct investment despite it being one of the poorest countries in the world and after it has been through a devastating 17 year civil war. GOP per capita in 1995 was about US$ 144 which was one of the lowest in the world. The country was faced with enormous challenges and risks in terms of both country and political risk. Major risks were associated with investment in that country because of prolonged civil war with no record of macro-economic stability. Despite these huge challenges, Mozambique managed to attract a lot of investment with Mozal 1 being the first big project post civil war. This paper analyses and quantifies where Mozambique was before and after mega projects. This is done by looking at where Mozambique was before Mozal 1 being the first mega project in the country post civil war. The analysis is in terms of political risk as it relates to cross border transactions with specific reference to a number of political risk indicators as suggested by Brink (2004) that prevailed and how the projects were structured to minimize risk. A political risk rating is developed for 1995 and 2005 using the Brink model to check if the project did improve the country's economic health.
AFRIKAANSE OPSOMMING: Mosambiek het daarin geslaag om grootskaalse direkte buitelandse investering te lok ten spyte van sy status as een van die wereld se armste lande en die verwoestende burgeroorlog wat 17 jaar geduur het. Die BBP per capita was ongeveer US$ 144 in 1995, wat dit een van die laagstes in die wereld gemaak het. Die land het enorme uitdagings en risiko's in die gesig gestaar in terme van die land en die politiek. Die hoofrisiko's het met investering verband gehou vanwee die langdurige burgeroorlog en geen makro-ekonomiese stabiliteit in die land se verlede nie. Ondanks hierdie reuse uitdagings het Mosambiek daarin geslaag om baie investering te lok, waarvan Mozal 1 die eerste megaprojek na die burgeroorlog was. Hierdie tesis analiseer en kwantifiseer Mosambiek se posisie voor en na megaprojekte. Dit is gedoen deur te kyk na hoe Mosambiek daar uitgesien het voor Mozal 1. Die analise is in terme van die verband tussen politieke risiko en oorgrenstransaksies gedoen. Daar word spesifiek verwys na 'n aantal aanwysers van politieke risiko, soos voorgestel deur Brink (2004), wat geheers het en hoe projekte gestruktureer is om risiko te verminder. 'n Gradering van politieke risiko is vir 1995 en 2005 aan die hand van Brink se model ontwikkel om te kontroleer of die projek die land se ekonomiese gesondheid verbeter het.
APA, Harvard, Vancouver, ISO, and other styles
3

Sattler, Thomas. "The political economy of international finance /." Zürich : ETH, 2007. http://e-collection.ethbib.ethz.ch/show?type=diss&nr=16925.

Full text
APA, Harvard, Vancouver, ISO, and other styles
4

Kiss, Áron. "Essays in political economy and international public finance." Frankfurt, M. Berlin Bern Bruxelles New York, NY Oxford Wien Lang, 2009. http://d-nb.info/99698240X/04.

Full text
APA, Harvard, Vancouver, ISO, and other styles
5

Harris, Kelly. "International finance capital and African development: 1980-2001." DigitalCommons@Robert W. Woodruff Library, Atlanta University Center, 2009. http://digitalcommons.auctr.edu/dissertations/583.

Full text
Abstract:
This dissertation examines how the change in the international economy away from manufacturing to finance has affected African development. The dominance of financial liberalization is obvious to most observers; however, discourse on the development of African economies since 1980 generally focuses on the primary lending institutions (the IMF and World Bank). This dissertation is really an attempt to create a narrative about the rejection of alternative forms of development and subsequent implementation of rieoliberal policies. African countries rushing pell-mell to privatize, democratize, and implement all things neoliberal, crystallizes the sterile nature of alternatives to financial liberalization. Much of the discussion surrounding strategies for development remain grounded in previous notions of how countries develop, the stages of development, and generally how countries can develop their infrastructure. While all of these have salience, it does not quite capture the essence of how the world has been transformed. It is no longer possible or sensible to discuss African development without understanding the role of international finance capital. Development cannot simply be understood by bargaining with foreign companies and attracting FDI. To be sure, that is not the only aspect of development but one that was heavily emphasized just fifteen to twenty years ago. The present global economic recession provides a perfect example of how important international finance capital, in this case derivatives, are so important to the international economy. Now we must understand derivatives and how this financial tool became so dominant in the international market economy.
APA, Harvard, Vancouver, ISO, and other styles
6

Mouzakis-Neolis, Fotis. "Empirical and theoretical aspects of the international arms trade." Thesis, University of Surrey, 1999. http://epubs.surrey.ac.uk/2148/.

Full text
APA, Harvard, Vancouver, ISO, and other styles
7

Yu, Zhihao. "Three essays on international trade, political economy and environmental policy." Thesis, National Library of Canada = Bibliothèque nationale du Canada, 1999. http://www.collectionscanada.ca/obj/s4/f2/dsk1/tape7/PQDD_0005/NQ39009.pdf.

Full text
APA, Harvard, Vancouver, ISO, and other styles
8

Cumming, Douglas, Igor Filatotchev, April Knill, David Mitchell Reeb, and Lemma Senbet. "Law, finance, and the international mobility of corporate governance." Palgrave Macmillan, 2017. http://dx.doi.org/10.1057/s41267-016-0063-7.

Full text
Abstract:
We introduce the topic of this Special Issue on the "Role of Financial and Legal Institutions in International Governance", with a particular emphasis on a notion of "international mobility of corporate governance". Our discussion places the Special Issue at the intersection of law, finance, and international business, with a focus on the contexts of foreign investors and directors. Country-level legal and regulatory institutions facilitate foreign ownership, foreign directors, raising external financial capital, and international M&A activity. The interplay between the impact of foreign ownership and foreign directors on firm governance and performance depends on international differences in formal/regulatory institutions. In addition to legal conditions, informal institutions such as political connections also shape the economic value of foreign ownership and foreign directors. We highlight key papers in the literature, provide an overview of the new papers in this Special Issue, and offer suggestions for future research.
APA, Harvard, Vancouver, ISO, and other styles
9

McEleavy, Peter E. "The Hague Convention on the Civil Aspects of International Child Abduction." Thesis, University of Aberdeen, 1998. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.286848.

Full text
Abstract:
The aim of this thesis is to analyse the Hague Convention on the Civil Aspects of International Child Abduction and to determine how well the instrument has in fact responded to the problem of international child abductions and how it may, if necessary, be improved. The thesis has sought to include all relevant material published in England, Scotland, France and the United States of America up to 1 August 1997, although where possible reference has been made to more recent case law. The thesis commences with a review of the sociological aspects of the phenomenon. The pre-Convention situation is then assessed and attention drawn to the difficulties inherent in resolving international custody disputes. The evolution of the 1980 Convention is sketched with attention being drawn to how the Special Commission adopted the 'summary return mechanism' rather than traditional private international law remedies. Each of the key articles and concepts in the Convention is analysed in turn with detailed consideration given to the relevant case law. Particular attention is paid throughout to the change in profile of the average abductor from a father with access rights to a primary carer mother, and to the effect this has had on the Convention. The conclusion considers whether the summary return mechanism is still the most appropriate way in which to respond to wrongful removals and retentions.
APA, Harvard, Vancouver, ISO, and other styles
10

Du, Plessis Marthinus Johannes. "The international political economy of the Cartagena Protocol on biosafety." Thesis, Stellenbosch : Stellenbosch University, 2001. http://hdl.handle.net/10019.1/52543.

Full text
Abstract:
Thesis (MA)--University of Stellenbosch, 2001.
ENGLISH ABSTRACT: The development of the global biotechnology industry largely coincided with the development of the US biotechnology industry. This resulted in this industry's oligopolistic and centralised nature where only a few multinational chemical and pharmaceutical companies control most biotechnology processes and production of commodities emanating from these processes. The governance of biotechnology has, until recently, been dominated by state actors who have endeavoured to secure national interests, including those of large multinational corporations (MNCs) based within their boundaries. The technological ability of developed states to exploit and use unevenly distributed resources to their advantage means that an uneven relationship exists between these and poor developing countries. This has been highlighted by differences in public opinion about the role and application of biotechnology in society. While some opinions favour the use and application of biotechnology to enhance food supplies and boost production levels and trade, other opinions caution against the possible hazards that genetically manipulated organisms (GMOs) hold for the environment and human existence. The commercialisation of biotechnology has resulted in the exponential growth of genetically manipulated crops in especially the United States and countries like Argentina and Canada. These countries produce large surpluses of staple grains such as corn and soya and try to sell these to countries with food supply problems. The clash in commercial interests stemming from developed countries' insistence on the protection of intellectual property rights (IPR) on genetically manipulated (GM) seeds has caused considerable conflict with poor farmers who will not be able to sustain their livelihoods if they cannot save seeds for future harvests. This is one aspect of the problems surrounding the protection of knowledge products that is exacerbated by the scientific uncertainty pertaining to the risk involved with biotechnology. While some observers agitate for precaution with the use of GMOs, others feel that a lack of scientific proof of harm is sufficient grounds for proceeding with developments in biotechnology. Conversely, there are some that feel that biotechnology is market driven instead of human needs driven, ultimately resulting in developing countries receiving very little benefit from it. The Cartagena Protocol on biosafety was drafted to address some of the difficulties involved with the transboundary movement of GMOs. Although it holds very specific advantages for developing countries, as a regulatory framework it is limited in its scope and application. Developing countries are limited in their policy options to address their need to protect biodiversity and secure their food supply. This means that considerable challenges and constraints await these countries in utilising global governance of public goods and building their human and technological capacities.
AFRIKAANSE OPSOMMING: Die ontwikkeling van die globale biotegnologie-industrie het grootliks saamgeval met die ontwikkeling van die Verenigde State se biotegnologie-industrie. Dit het aanleiding gegee tot hierdie industrie se oligopolistiese en gesentraliseerde aard waar slegs enkele multinasionale chemiese en farmaseutiese maatskappye die meeste biotegnologie prosesse en die vervaardiging van kommoditeite uit daardie prosesse beheer. Die regering van biotegnologie was tot onlangs oorheers deur staatsakteurs wie gepoog het om nasionale belange te beskerm, insluitend die belange van multinasionale korporasies (MNK) wat vanuit hulle grondgebied funksioneer. Die tegnologiese vermoë van ontwikkelde state om oneweredig verspreide hulpbronne tot eie gewin te benut beteken dat 'n ongelyke verhouding bestaan tussen hierdie en arm ontwikkelende state. Dit word beklemtoon deur verskille in openbare mening oor die rol en aanwending van biotegnologie in die samelewing. Terwyl sekere opinies ten gunste van die aanwending van biotegnologie vir die verbetering van voedselbronne en produksievlakke en handel is, dui ander opinies op die moontlike gevare wat geneties gemanipuleerde organismes (GMOs) vir die omgewing en menslike voortbestaan inhou. Die kommersialisering van biotegnologie het gelei tot die eksponensiële groei van geneties gemanipuleerde gewasse in veral die Verenigde State en state soos Argentinië en Kanada. Hierdie state produseer groot hoeveelhede stapelgrane soos mielies en soja en poog om dit te verkoop aan state met voedselvoorsieningsprobleme. Die botsing in kommersiële belange wat spruit uit ontwikkelde state se aandrang op die beskerming van intellektuele eiendomsreg op geneties gemanipuleerde saad veroorsaak beduidende konflik met arm landbouers wie nie hulle lewensonderhoud kan verseker as hulle nie saad kan berg vir toekomstige saaiseisoene nie. Dit is een aspek van die problematiek rondom die beskerming van kennisprodukte wat vererger word deur die wetenskaplike onsekerheid wat gepaard gaan met die risiko's van biotegnologie. Terwyl sekere waarnemers vir waaksaamheid pleit in die gebruik van GMOs, is daar ander wat voel dat 'n gebrek aan wetenskaplike bewyse van skade genoegsame gronde is vir die voortsetting van ontwikkelings in biotegnologie. Insgelyks is daar diegene wat meen dat biotegnologie markgedrewe in plaas van menslike behoefte gedrewe is, wat uiteindelik daartoe lei dat ontwikkelende state baie min voordeel daaruit trek. Die Kartagena Protokoloor bioveiligheid is opgestel om van die probleme betrokke by die oorgrens verskuiwing van GMOs aan te spreek. Hoewel dit spesifieke voordele vir ontikkelende state inhou is dit as reguleringsraamwerk beperk in omvang en aanwending. Ontwikkelende state het beperkte beleidsopsies om hulle behoefte om biodiversiteit te beskerm en voedselvoorsiening te verseker, aan te spreek. Dit beteken dat beduidende uitdagings en beperkings hierdie state in die benutting van globale regering van openbare goedere vir die bou van menslike en tegnologiese kapasiteite in die gesig staar.
APA, Harvard, Vancouver, ISO, and other styles
11

Al-Moammar, Mohammad A. F. "International aspects of the oil and industrial policy of Saudi Arabia 1970-1987." Thesis, University of Oxford, 1989. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.293440.

Full text
APA, Harvard, Vancouver, ISO, and other styles
12

Tsunekawa, Hitomi. "The interaction between humanitarian assistance and politics in complex humanitarian emergencies /." Thesis, McGill University, 2001. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=33939.

Full text
Abstract:
This thesis examines how humanitarian assistance and political aspects interact in complex humanitarian emergencies (CHEs) in both negative and positive ways, how to minimize negative outcomes, and how humanitarian assistance can contribute to conflict resolution. Although humanitarian assistance has long been considered to be separate from politics, the division between the two has posed serious difficulties for humanitarian aid agencies responding to disasters and even has resulted in negative impacts on political and humanitarian aspects. In order to confront CHEs today, humanitarians need to collaborate conceptually and practically with political actors, while political actors need to be sensitive to humanitarian needs. A priority is considered the minimalist position, aiming at "doing no harm." Under the right circumstances, the maximalist approach can be viewed as an opportunity for maximizing the effects of humanitarian efforts to alleviate people's suffering and contributing to conflict resolution by employing humanitarian assistance as a powerful instrument.
APA, Harvard, Vancouver, ISO, and other styles
13

Lusztig, Michael. "Trade liberalization and institutional design." Thesis, McGill University, 1993. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=41690.

Full text
Abstract:
The dissertation identifies a body of public policies described as "politically intractable." These are policies which are of clear public benefit, but which involve high political costs to those who enact them. It is suggested that there are two routes to political tractability in the passage of these policies. The "low-risk" strategy entails insulating policy-makers from pressures applied by alienated vested interests. The "high-risk" strategy arises where actors responsible for passing intractable policies risk alienating vested interests if enacting the policy assists them to realize higher-order objectives. These higher-order objectives involve games of institutional design--attempts to reform or preserve (in the face of threat) the institutional structure of the state. The dissertation examines a subset of politically intractable policies called watershed trade policies. Watersheds are instances of substantial trade liberalization which reverse a long-standing tradition of protectionism. The dissertation explains the passage of three watersheds: Britain's repeal of the Corn Laws, the US Reciprocal Trade Agreements Act, and Canada's Free Trade Implementation Act, in the context of the high-risk strategy. In these cases, trade liberalization is explained as a by-product of games of institutional design undertaken by political entrepreneurs within the state.
APA, Harvard, Vancouver, ISO, and other styles
14

Correia, e. Silva Benilde. "Some legal aspects of flight information regions." Thesis, McGill University, 1990. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=59573.

Full text
Abstract:
This thesis broadly seeks to present some relevant legal aspects concerning Flight Information Regions (FIRs) and to analyze State responsibility vis-a-vis FIRs, as well as liability incurred by States on account of acts and omissions while discharging their responsibilities.
The first part of this thesis is a presentation of the international rules and regulations applicable to FIRs, their legal implications and the extent to which they create obligations for States.
Some relevant problems (accidents, airspace congestion, unlawful interference) likely to present an additional challenge for the discharge of responsibilities with regard to FIRs are also considered.
Settlement of differences between States deserves special attention and is discussed in the light of the judicial machinery provided under the Chicago Convention 1944.
Finally, the liability of States is analyzed and the need for a strict liability regime and a policy of risk management is considered.
APA, Harvard, Vancouver, ISO, and other styles
15

McKee, Erin Leigh. "Conflict-Conditioned Communication: A Case Study of Communicative Relations between the United States and Iran from 2005-2008." PDXScholar, 2011. https://pdxscholar.library.pdx.edu/open_access_etds/264.

Full text
Abstract:
In protracted international conflicts, truth is often sacrificed in the name of victory. Political realists see international politics as a competition to win power, retain power, and demonstrate power; misleading the enemy in the name of strategy and misleading the public in the name of security are necessary elements of the game. A less obvious condition is that those caught in the cycle of intergroup conflict also withhold truths from themselves. This denial of truth and reality--to the Other, to the public, and to the self--is especially prevalent in the communicative relationship between the United States and the Islamic Republic of Iran. This study explores the communicative relationship between the United States and Iran via mass media with a particular focus on propaganda as "natural." The literature review explains how conflict-conditioned communication grows and operates within the context of intergroup conflict, including the significance of globalization and information technology. The communicative relationship between the United States and Iran is used as a case study to explore conflict-conditioned communication. A snapshot of the U.S.-Iran communicative relationship was taken from May 1, 2005 - May 1, 2008. Articles from three print and online media sources were combed and analyzed for examples and patterns of conflict-conditioned communication. The method is based on an approach to understanding conflict-conditioned communication that was developed by Dr. Harry Anastasiou, a conflict resolution professional and educator. The method additionally utilizes the work of Dr. William O. Beeman, an expert on misperceptions between the United States and Iran. The conflict-conditioned communicative relationship between the United States and Iran shows how legitimate concerns and human needs are filtered through collective psychology, history, and national identity and absorbed into misperceptions. These misperceptions are perpetuated through propaganda and lead to unyielding political positions. The dual phenomena of globalization and advanced information technology amplify these unyielding political positions by spreading propagandized misperceptions faster and farther than ever before. As the United States and Iran become more entrenched in unyielding political positions, communication reduces to competing systems of propaganda, thus making peaceful conflict resolution less likely.
APA, Harvard, Vancouver, ISO, and other styles
16

Trudeau, Paul R. "La lettre de crédit stand-by en droit commercial international privé /." Thesis, McGill University, 1989. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=59589.

Full text
Abstract:
The documentary credit or letter of credit is and has been for many centuries a fundamental instrument of international commerce. The characteristics of simplicity of use and of legendary reliability found in this mechanism of payment have induced the parties involved in world trade to use it as a guarantee to the execution of all kinds of legal obligations such as the full completion of construction work, financing, payment of customs duties or taxes, judicial bonds and even promises of marriage.
This master's thesis specifically concerns letters of credit used as a guarantee which are called in the trade "stand-by letters of credit". The first title presents the instrument in a practical context illustrating its principles with examples. The second title examines the legal aspects as such of the stand-by letter of credit while trying to circumscribe the nature of the instrument in law. Finally, in the third title, the cases where the functions and integrity of the instrument are tested are studied thereby identifying the legal strength of stand-by letters of credit recognized by the courts of different jurisdictions.
This study has enabled me to discover that this instrument is not as well suited to be a guarantee than it is to be a payment mechanism. In fact, its principles of function which are assets when used as a payment can become sources of flagrant injustice in the eyes of courts of certain jurisdictions when used as a guarantee.
APA, Harvard, Vancouver, ISO, and other styles
17

Mbalekwa, Simbarashe. "The legal and regulatory aspects of international remittances within the SADC region." Thesis, Nelson Mandela Metropolitan University, 2011. http://hdl.handle.net/10948/1373.

Full text
Abstract:
Migrant labourers who cross borders often have to send money back to their various countries of origin. These monetary transfers are known as remittances. To send these funds migrants often opt to rely on informal mechanisms as opposed to the remittance services of formal financial institutions such as banks. Informal remittance mechanisms raise a number of concerns such as those related to consumer protection. In contrast to formal channels informal channels are not based on any legally binding agreements. They are highly based on trust and do not offer any legally binding guarantee that the funds will be delivered or that the remitter will be reimbursed in the event of non-delivery. Aside from consumer protection concerns, informal remittances also raise security related concerns. These channels are not subject to the supervision of any regulatory authority and usually offer a high level of anonymity. They can act as an attractive mechanism for terrorists and criminal organisations to launder and mobilise their illicit funds. Taking into mind the concerns mentioned above, as well as others, it would be preferable for more remittances to be channelled through formal financial mechanisms. In conducting research on remittance transactions financial, as well as other institutions and organisations, have outlined legal and regulatory provisions in sending and recipient countries as being a factor that often hinders migrants from accessing formal financial services. This dissertation examines how the South African legal and regulatory framework affects the formalisation of remittances by migrant labourers, with a focus on the context of low-income migrants. The study identifies the Exchange control, immigration, anti-money laundering and anti-terrorism legislative provisions as being the most significant provisions that affect the formalisation of migrant remittances. So as to make an analysis and gather recommendations were possible, a comparison of the South African legal and regulatory provisions is made to those of Zambia and Zimbabwe. xiii The dissertation comes to the conclusion that South African legal and regulatory provisions hinder the formalisation of migrant remittances to a certain extent. They do so by collectively and individually restricting migrants who do not fulfil legislative requisites from accessing formal remittance channels. It is submitted that such migrants are inclined to rely on informal remittance mechanisms when the need to send money arises. Furthermore, South African law restricts competition within the remittance market by making it difficult for service providers to enter the market. The lack of an adequate competitive level fosters the prevalence of high remittance costs which can pose a significant barrier to low income migrants that wish to channel funds via formal means. Taking into mind the significance of formalising remittances as well as the objectives that the laws that hinder them seek to attain, which are equally significant, it is necessary for the regulatory authorities to investigate ways on how to possibly cater for both. It is submitted that if more remittances were to be channelled through official means the objectives sought to be attained by some of these legislative provisions would be attained more efficiently.
APA, Harvard, Vancouver, ISO, and other styles
18

Von, Erlach Burkhart. "Public law aspects of lease, charter and interchange of aircraft in international operations." Thesis, McGill University, 1990. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=59586.

Full text
Abstract:
Lease, charter and interchange have become more and more important throughout the last decades. The International Civil Aviation Organization could not ignore that reality. In 1980 after a long preparatory work Article 83bis, an amendment to the Chicago Convention on International Civil Aviation was adopted by the 23rd Assembly without any negative votes. Yet, in 1990, this amendment, which enables the State of Registry, which is responsible for the operation of the aircraft even if flying with an operator of another state, to transfer its functions and duties to the State of the Operator.
This thesis takes a closer look on the history of that amendment. The reasons why Article 83bis is still not in force shall also be discussed. An attempt shall further be made to analyze the provisions of Article 83bis more thoroughly and to explain why states should no longer hesitate to ratify that amendment. Article 83bis has no controversial content and is very important for the safety of international air transportation, in establishing clearly who is responsible for a leased, chartered or interchanged aircraft.
APA, Harvard, Vancouver, ISO, and other styles
19

Verhaegen, Benoît M. "Aspects légaux des communications aéronautiques mobiles par satellites." Thesis, McGill University, 1993. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=26226.

Full text
Abstract:
The new ICAO CNS/ATM (Communication, Navigation, Surveillance/Air Traffic Management) concept, based on satellite use, entails globalisation of these new air navigation systems.
Concerning the communications, the concept's architecture includes those for security as well as administrative communications of airlines and public correspondence of passengers.
From this point of view, the requested globalisation will lead to regulatory and institutional changes, especially for non-security communications as they are regulated by each State overflown, according to Article 30 of the Chicago Convention.
Every legal solution, of course, must take into account the chosen technology. In this domain, the experience of INMARSAT, with the mobile maritime communications by satellites, will be of tremendous importance.
A period of transition, with regional initiatives, will be necessary too before the general implementation of the CNS/ATM concept.
APA, Harvard, Vancouver, ISO, and other styles
20

Street, Sarah. "Financial and political aspects of state intervention in the British film industry, 1925-1939." Thesis, University of Oxford, 1985. http://ora.ox.ac.uk/objects/uuid:aeedf404-aa82-4a7e-a1b7-feb626ffff81.

Full text
Abstract:
During this period the state's interest in the film industry took several different forms. The area of films policy explored in this thesis is the economic protection of the commercial film industry against the high percentage of American films screened in Britain and the Empire. I begin in 1925 because it was not until then that active steps were taken by the government, in response to agitation from producers and those who saw film as a bond of Empire and advertisement for British goods and 'way of life', leading to the Cinematograph Films Act, 1927. This proposed, for political, cultural, moral and economic reasons, that renters and exhibitors should acquire and show a percentage of British films. There was no subsidy for producers or a heavy duty levied on American film imports. The origins, impact and character of official film policy are explored in the thesis with particular attention to financial and political aspects. An attempt is made to explain why policy was limited to film quotas together with an assessment of their impact on the industry's economic development. Details are also given on how the film industry's affairs became caught up in wider debates on tariff policy in the 1920s and in Anglo-American relations ten years later. The first three chapters deal with the evolution, promulgation and initial impact of the Cinematograph Films Act, 1927. Chapter 4 examines the deliberations of the Moyne Committee, established in 1936 to review the film industry's progress. The last three chapters analyse the three major influences on policy during the making of the 1938 Films Act: the campaigns of British film trade interests; the state of Anglo-American relations and film finance. In the final assessment the major influences that shaped policy are outlined together with conclusions on the industry's position and problems on the eve of the Second World War.
APA, Harvard, Vancouver, ISO, and other styles
21

Chalkley, Marie Leone. "Saying Sorry: Conflict Atrocity and Political Apology." Thesis, University of North Texas, 2009. https://digital.library.unt.edu/ark:/67531/metadc11054/.

Full text
Abstract:
This study proposes and tests a comprehensive theory detailing the motivations behind political apologies. A brief survey of the literature shows a field rich in case studies but lacking in rigorous scientific analysis. The theory presented proposes a three-level examination of political apology at the state, dyadic, and system levels and incorporates the effects of culture, conflict, and the nature of the international system into analysis. This study makes use of a new dataset recording the occurrence of political apologies for interstate conflict atrocities from 1900 to 2006. The results suggest that the existing literature, while rich, does not account for all the motivating factors behind apology. The results also confirm that political apology is a creation of the modern era and a result of the liberalization of the international system. In conclusion, paths for future research are suggested and the advent of a global "age of apology" is confirmed.
APA, Harvard, Vancouver, ISO, and other styles
22

Guilloux, Alain. "Humanitarianism in national and global governance: a study of Taiwan's responses to diseases anddisasters." Thesis, The University of Hong Kong (Pokfulam, Hong Kong), 2006. http://hub.hku.hk/bib/B37894237.

Full text
APA, Harvard, Vancouver, ISO, and other styles
23

Haigh, Stephen Paul, and n/a. "Globalization and the state : towards a neo-medieval political order?" University of Otago. Department of Political Studies, 2008. http://adt.otago.ac.nz./public/adt-NZDU20080514.111752.

Full text
Abstract:
The system of states that now covers the planet did not arise out of thin air; rather it was the product of historical forces that gradually coalesced around the state form. But the dynamics of that process no longer obtain. In their place, a new, highly complex amalgam of material and ideational forces is now in the ascendant -- and its arrival has serious implications for traditionally configured, "Westphalian" states. Understood as ("thick") globalization, this interlocking array of political, economic, social and cultural forces challenges the old order at two key points. First, traditional states had "hard shells," by means of which they were capable of consolidating differences between �inside� and �outside� to the point where the latter could more easily be quarantined. Second, for closely related reasons they were largely able to "absorb" domestic society, such that the individual was less a citizen than (s)he was a subject. But these (dubious) capabilities have been severely exposed and eroded, which leads us to ask, "Whither the state under globalization?" My thesis constitutes a sustained attempt to answer this question. The theme is a large one - and I believe that to be adequately treated, large themes require a varied approach. First, in terms of theory this means that I borrow from a significant diversity of recognized �Schools� within the discipline of International Relations. Second, in terms of method I follow a similarly pluralist line. Broadly speaking, the work is interpretive as opposed to explanatory, which is to concede that one cannot be �purely� scientific while standing inside the phenomena one wishes to examine. On the other hand, this forecloses neither the scientific method nor its guiding spirit. With respect to states and the international system, we can still be "scientific realists:" states are real structures whose nature can legitimately be approximated through sciences. In sum, I cleave to a sort of methodological middle ground between science and interpretation, taking from each in the measure that they advance the discussion. Third, in terms of normative intent my chief concern is with the way things are; but as it turns out, the way things are increasingly includes the way they ought to be. In other words, the ontology of our globalizing world is increasingly deontological in texture. This may sound contradictory. Nevertheless, the spread of universal norms - and of equally universal ordering principles, or patterns of global organization - has undeniable repercussions for the relationship between is and ought. In turn, the implications for states are profound. The answer to my central question, "Wither the state under globalization?" is this: we are now on the threshold of a neo-medieval era of segmented political authority. Centrally nested within this new order is the embedded cosmopolitan state, wherein universal and particular aspects of being can now be fully reconciled.
APA, Harvard, Vancouver, ISO, and other styles
24

Greene, Brian W. "State identity, foreign policy, and systemic norm diffusion : towards humanitarian intervention." Thesis, McGill University, 2003. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=84511.

Full text
Abstract:
This dissertation explores the complex relationship between state identity, foreign policy, and systemic norm diffusion. Based on an empirical examination of the international military response to the humanitarian crises associated with the Yugoslav wars of secession (1991--1995), Somali civil war and famine (1991--1993), Rwandan genocide (1994), and Zairian refugee crisis (1996), I contend that a state's foreign policy is primarily a product of its international identity. The country case studies (Canada, France, and the United States) are not merely isolated narratives. Drawing on the logic of 'system effects' analysis, with its emphasis on the role of feedback and indirect effects, I then situate each state within the larger systemic narrative, highlighting the systemic normative consequences of each state's policy choices. In addition to demonstrating that states from outside the great power club can exert significant international normative influence (a heretofore unexplored phenomenon), the study paints a much clearer picture than presently exists about the possibilities for, and limits to, ethical normative evolution in world politics.
APA, Harvard, Vancouver, ISO, and other styles
25

Kayser, Valérie. "Legal aspects of private launch services in the United States." Thesis, McGill University, 1991. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=60462.

Full text
Abstract:
The last decade has witnessed the development of a private launch industry. Under international space law, in particular the Outer Space Treaty of 1967, States shall supervise and authorize the activities of their nationals, including private launch companies, in Outer Space. In the United States, a substantial set of regulations has been elaborated to exercise this control over the activities of the private launch industry. This thesis analyzes, in a first chapter, the evolution which led to these regulations. The Commercial Space Launch Act of 1984 and the subsequent regulations issued by the Office of Commercial Space Transportation, regarding the licensing process are dealt with in the second chapter. The third chapter examines the most important practical legal issue relating to private launch services, namely liability and insurance.
APA, Harvard, Vancouver, ISO, and other styles
26

Ko, Jessika Li-Juan. "Liability aspects of air transport between Taiwan, Hong Kong and Mainland China." Thesis, McGill University, 1995. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=23959.

Full text
Abstract:
Despite the hitherto unsettled political and legal status of Taiwan, air transportation between Taiwan and Mainland China has experienced tremendous growth since 1987. To date, this air transport has been effected through the use of an intermediate stop station in Hong Kong, in order that both States may avoid the recognition of the other as the legitimate "Chinese Government". However, Hong Kong will revert to the PRC in 1997. As a result, the issue of nonstop flights between Taiwan and the Mainland takes on an added urgency.
This issue is not merely political. In terms of air carrier liability, Taiwan is party to the Warsaw Convention and the Warsaw Convention as Amended by the Hague Protocol, only through its tenuous link with Mainland China. Is the Convention applicable to Taiwan in this case? A number of arguments favoring applicability of the Convention are discussed and found to be wanting. In the alternative, the principle of conflict of laws is proposed as an applicable solution. Since Taiwan and the PRC have a civil law system while Hong Kong has a common law system, the respective legal regulations governing damage compensation in aviation cases differ. The case of liability following a hijacking is used to demonstrate how regulations of the three jurisdictions differ significantly. This leads to a serious problem, namely, "forum shopping". The fact that judicial assistance is not yet practiced between the three jurisdictions creates a further problem in that decisions coming from the different courts cannot be recognized and enforced in the other jurisdictions. In light of all of the foregoing, the existing legal systems cannot adequately address the legal problems of air carrier liability in this region.
As a result of these inadequacies, an alternative mechanism for resolving the issue of air carriers' liability is suggested. This suggested pragmatic approach may also be found applicable for updating existing air transport legal systems elsewhere in the world.
APA, Harvard, Vancouver, ISO, and other styles
27

Saillard, Sébastien. "Les institutions et aspects juridiques relatifs au contrôle aérien en Europe : Eurocontrol." Thesis, McGill University, 1992. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=60706.

Full text
Abstract:
The European Organization for the Safety of Air Navigation (Eurocontrol) was created in 1960 for the centralization and harmonization of air traffic control, to meet the new requirements of increasing air traffic. The primary functions of Eurocontrol were modified because of the reluctance of several European member States to transfer their control on ATC. But air traffic was still increasing and is deemed to increase until the next century. The problem remains unsolved. Today, a new political trend in favor of Eurocontrol is emerging. This trend is shared by most of the European States as well as other organizations as the European Community and the European Civil Aviation Conference.
The main legal aspects of Eurocontrol are analysed in this thesis, as well as its cooperation with other organizations involved. Eventually, the future of Eurocontrol is analyzed with respect to future air navigation systems (FANS) based on satellite technology.
APA, Harvard, Vancouver, ISO, and other styles
28

Ancel, Marie-Eve Zoe. "Les aspects juridiques du transport des œuvres d'art /." Thesis, McGill University, 2002. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=34007.

Full text
Abstract:
Not only usual goods are carried: some of a particular nature need particular regulations. The transportation of dangerous goods regulated by specific international rules is a good illustration while the example of artworks carried to be exposed in temporary exhibitions is less famous. Their material protection is insured by museum professionals and specialized carriers. Their legal protection is insured on two levels: on one side, detailed customs procedures are set up to regulate their movement; moreover, specific contractual rules have been created by professionals, but they do apply international conventions relative to international carriers liability. On the other side, one usually chooses specific insurance policy called "a nail to nail" contract. Confidentiality and mutual trust are the keystone to gain success in matter of transportation of artworks.
APA, Harvard, Vancouver, ISO, and other styles
29

Swiecicki, Ewa. "Legal aspects of licensing of airline transport pilots : international standards versus Canadian aviation safety regulations." Thesis, McGill University, 1992. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=61155.

Full text
Abstract:
The laws and regulations governing certification of aviation personnel constitute one of the essential elements of aviation legislation. They have a significant effect upon the global safety of the civil air transportation system.
This dissertation aims at describing the existing regulations in the field of pilot licensing. Its scope is narrowed down to the highest category of licence applicable to professional pilots and known as the airline transport pilot licence. The thesis depicts and analyses the process of creation and the contents of licensing standards and recommended practices as developed by various ICAO bodies and incorporated in Annex 1 to the Chicago Convention.
The survey of pilot licensing system currently in force in Canada provides the example of domestic legislation applicable in this respect. It is performed with the aim of exploring the compatibility of Canadian law with the global legal requirements as prescribed in Annex 1 and other supporting ICAO documentation.
APA, Harvard, Vancouver, ISO, and other styles
30

Masuku, Philile. "South Africa's Bid for the 2004 Olympic Games as means for international unity and international awareness." Thesis, Stellenbosch : Stellenbosch University, 2004. http://hdl.handle.net/10019.1/50098.

Full text
Abstract:
Thesis (MA)--Stellenbosch University, 2004.
ENGLISH ABSTRACT: Mega-events such as the Olympic Games have emerged as one of the most significant features of the global era. Not only has the number of participants increased, but also the hosting of these events has been seen as an opportunity for countries to externally market themselves, in an attempt to raise their international profile, and to develop national identity. As such, many nations continue to enthusiastically compete to host these events. Despite the prestige of hosting events, South Africa has in the past been excluded from participating, let alone being considered to bid to host events of such magnitude. This was as a result of the Apartheid policy that extended into sport. After being admitted into the world of sport, it has joined the list of nations that regularly compete to bid. There are two questions that this study sets out to explore. Firstly, how did hosting of the Games market South Africa internationally? Secondly, did hosting the Games help celebrate South Africa's national identity? In trying to answer these questions, the marketing power concept has been used. Part of the proposition is that marketing power is more sought after by state elites who lack national identity. In light of this, South Africa has been used as a case study. Bidding to host the Olympic Games was no easy road for South Africa, and in the aftermath of the Bid, this study identifies the reasons why the Bid was unsuccessful. The findings suggest that South Africa's attempt to host the Games did indeed market the country internationally. However, the findings indicate that bidding to host the Games did not bolster national identity, instead it revealed that there was lack of unity. In addition there are some important lessons that can be drawn from this study.
AFRIKAANSE OPSOMMING: Hoë-profiel gebeure soos die Olimpiese Spele is een van die mees opmerklike gevolge van die globale era. Buiten dat die aantal deelnemers aan sulke gebeurtenisse dramaties togeneem het, het die eise en die kompetisie om sodanige gebeurtenisse aan te bied, toegeneem omdat state hierdeur hulself ekstern kan bemark en intern skep sulke gebeurtenisse 'n geleentheid om nasionale identiteit te bevorder. Ten spyte van die prestige wat die gasheer-staat in sulke gevalle te beurt val, is apartheid Suid- Afrika histories uitgesluit van deelname aan veral hoë profiel sport, en was die aanbieding van sulke gebeurtenisse in Suid-Afrika buite die kwessie. Namate Suid- Afrika weer 'n aanvaarde lid van die gemeenskap van nasies geword het, het Pretoria ook toenemend begin bie om hoë-profiel sportgebeurtenisse aan te bied. Hierdie studie verken twee sentrale vraagstukke. Eerstens, hoe bemark die aanbied van die Olimpiese Spele Suid-Afrika op 'n internasionale grondslag? Tweedens, help die aanbieding van sulke sportgebeure werklik om 'n gevoel van 'n nasionale identiteit onder Suid-Afrikaners aan te wakker? Ten einde die vrae te beantwoord, word in 'n hoë mate van die konsep, 'bemarkingsmag' ('marketing power') gebruik gemaak. Daar word deel geargumenteer dat bemarkingmag juis deur staatselites nagejaag word in samelewings waar nasionale identiteit gebrekkig ontwikkel is. Die Suid-Afrikaanse geval is dus by uitstek 'n toonaangewende voorbeeld van die tendens. In die studie word daar aangedui hoekom die bie proses ten einde die Olimpiese Spele aan te bied so 'n besondere komplekse uitdaging is, hoe dit deurgevoer is en waarom Suid-Afrika misluk het. Die bevindings suggereer dat motivering om die Spele aan te bied inderdaad gedryf is deur die behoefte om Suid-Afrika se bemarkingsmag uit te brei. Ten spyte hiervan, het die bie-proses ook 'n baie brose sin van nasionale identiteit ontbloot het en 'n duidelike rasse-skeidslyn in terme van populere steun vir die bie-proses. Die studie onttrek ook 'n aantal gevolgtrekkings wat vir ander bod-prosesse van waarde kan wees.
APA, Harvard, Vancouver, ISO, and other styles
31

Johnson, James. "Lost in Translation: Rethinking the Politics of Sovereign Credit Rating." Thesis, University of Canterbury. Social and Political Science, 2013. http://hdl.handle.net/10092/8684.

Full text
Abstract:
Our current understanding of credit rating agencies’ influence on national sovereignty relies on a dichotomised and highly antagonistic view of the relationship between states and the global economy. This perspective is locked into the discursive confines of the structuralist-sceptics debate within the field of international political economy. CRAs are said to either erode state sovereignty or represent a manifestation of it. By abandoning the state-market, public-private and national-global dichotomies embedded within this debate, and the zero-sum mentality they are predicated upon, this thesis offers an alternative – “transformationalist” – perspective to view the power of CRAs and their influence on national sovereignty. Defying traditional categorization, CRAs’ power is the result of a state-market, public-private confluence of interest and therefore has no determinative influence on national sovereignty. In the course of this analysis, a second assumption embedded within the study of CRAs’ influence is criticised: the fixation on the “big three” rating agencies (Moody’s, S&P and Fitch) and the neglect of the significance of the credit rating itself. Because the rating determination process is opaque, and the credit rating itself is a highly simplified expression of an intricately complex financial, economic and political reality, the causes of a sovereign rating change are often “up for debate”. Governments, within certain degrees of interpretation, are able to embed their own domestic political interests into the “causes” of a rating change, thereby co-opting and co-constructing the power and expertise of CRAs. This can, when successful, enhance governments’ internal sovereignty over domestic social forces and their external sovereignty as they “filter” the influence of a non-state actor. New Zealand’s interaction with the CRAs throughout 2008 to 2012 illustrates how this dynamic occurs and its limitations. The thesis seeks to highlight the diversity and heterogeneity involved in the processes of globalization in general, and CRAs’ influence in particular, and in doing so open up political space to consider possible forms of resistance.
APA, Harvard, Vancouver, ISO, and other styles
32

Meyer, Christa. "Can gender come to the rescue of foreign policy? : an exploration into the ways in which the (mis)understanding of gender influences the making of foreign policy." Thesis, Stellenbosch : Stellenbosch University, 2002. http://hdl.handle.net/10019.1/52725.

Full text
Abstract:
Thesis (MA)--Stellenbosch University, 2002.
ENGLISH ABSTRACT: This paper attempts to provide a broad theoretical background of the ways in which gender has informed the making of foreign policy. It examines the various types of feminism in the zo" century and how they complement each other, criticize each other and have contributed to critical political debate. Realism as the dominant political paradigm of the zo" century comes under scrutiny and it is shown how it abets and supports male domination by cloaking it in neutral language and institutions that appear neutral. Foreign policy objectives are often linked to the national interest, which in itself is a problematic and contested concept. Foreign policy makers face new challenges today as the political landscape changes, often driven by multinational corporations who dictate the rules of political engagement. Not only has the international political arena changed drastically in the zo" century, but so has the domestic arena. Studies in foreign policy attitudes show marked differences along gender lines. Most studies focus on the pacifist attitudes of women, but this paper goes on to show how gendered theories of security, globalization, the environment and human rights could inform foreign policy makers and others who shape foreign policy agendas.
AFRIKAANSE OPSOMMING: Hierdie tesis poog om 'n bree teoretiese agtergrond te skep van die wyses waarin gender (geslag as 'n konstruksie) die skep van buitelandse beleid beinvloed. Dit bestudeer die verskeie tipes feminisme in die 20ste eeu en hoe hulle mekaar komplimenteer, mekaar kritiseer en bygedra het tot kritiese politieke debat. Realisme as die dominante paradigma van die 20ste eeu word noukeurig bestudeer en daar word gewys hoe hierdie paradigma manlike dominasie ondersteun deur dit te vermom in neutrale taal en instellings wat neutraal voorkom. Buitelandse beleid word dikwels gekoppel aan die nasionale belang wat op sigself 'n problematiese konsep is. Weens die veranderende internasionale politieke arena staar makers van buitelandse beleid nuwe uitdagings in die gesig, veral omdat multinasionale maatskappye dikwels die die reels van die spel bepaal. Studies toon dat gevoelens en houdings oor spesifieke buitelandse beleidskwessies dikwels verskillend vir mans en vrouens manifesteer. Meeste studies fokus op die ondersteuning van vrouens van vrede in kontras met geweld en oorlog. Hierdie tesis gaan verder deur te wys hoe 'gendered' teoriee van sekuriteit, globalisering, die omgewing en menseregte moontlik die skeppers van buitelandse beleid kan beinvloed.
APA, Harvard, Vancouver, ISO, and other styles
33

Shungur, Shantarene. "Cooperation among adversaries : managing transboundary water disputes in conflict settings." Thesis, McGill University, 2005. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=102173.

Full text
Abstract:
Intrigued by the observation that enduring, task-based water treaties have, surprisingly, emerged within protracted conflict settings that lock the riparians in a deadly embrace, I constructed an interdisciplinary theoretical framework to explain the causes of riparian conflict, and the conditions for riparian conflict resolution. Drawing on the literature from international relations, comparative politics, resource economics and public choice theory, I explain how the constraints posed by ecological forces in a conflict setting, and the political opportunities presented by a particular economic-developmental context shape the decisions of policymakers during the negotiation process that precedes regime emergence.
Next, a model is developed that first illustrates the causal pathways among five independent variables, (water scarcity mode, critical environmental threshold, riparian position, state power profile and sustainable development of water resources); three contextual variables, (conflict setting, economic-developmental level, economic-developmental crisis) and the dependent variable of riparian conflict. The pathway is then extended with the addition of two more contextual variables (negotiation structure and strategy) to explain the second dependent variable of regime emergence. Eight hypotheses are then theoretically derived and tested with specifics from four cases covering both developing and developed state riparian conflicts within protracted and non-protracted settings. The Middle East, South Asian, and North American regions are thus studied.
It was evident that the degree of water scarcity has either conflict enhancing or conflict mitigating properties depending upon the patterns of interaction among the variables. Both contextual variable clusters had theoretically significant effects on the nature of the regime. I inferred that the state formation dynamic influenced the economic-developmental context in which water policy is formulated and shaped the domestic configuration of water interests. It appears that the influence of rent-seeking groups opposed to a transboundary water treaty wax and wane once critical environmental thresholds, which aggravate or cause an economic-developmental crisis, are exceeded (especially in the most powerful state). This, along with other economic, international and geographic factors, ultimately, alters the preferences of the policymakers to enable compromise at the international level. A state's institutional capacity to adopt a more sustainable water usage pattern is also relevant in this regard.
APA, Harvard, Vancouver, ISO, and other styles
34

Khwela, Gcwelumusa Chrysostomus. "Challenges of arms transfers facing the emerging supplier states in the new international political economy." Thesis, Stellenbosch : Stellenbosch University, 2003. http://hdl.handle.net/10019.1/53324.

Full text
Abstract:
Thesis (MMil)--Stellenbosch University, 2003.
ENGLISH ABSTRACT: The fundamental motivation for emerging arms suppliers to produce arms was the desire to overcome their position of dependence in the system of arms production and transfers. However, their predicament as late entrants into the system castigated them to fail in this endeavour. This failure is based on three criteria, which also assist in the identification of emerging suppliers. Firstly, the weaponry they produce is far below the sophistication characterised by higher levels of technological advancement. Secondly, they can only produce one or two advanced weapon systems. Finally, they rely on the leading suppliers for certain sophisticated components of weapon systems which they cannot produce themselves and as a result, become so dependent that they, with an exception of a few, are unable to go beyond the simple reproduction or retrofitting of existing weapon systems. The capability to produce arms was restrictedly extended to certain states in the post-war era, and even those states that obtained such a capability were confmed to producing small arms and platforms for naval vessels. Those states that went beyond these capabilities did so with the assistance of other states or specialists, the initial intention being to meet domestic requirements, and ultimately to dispose surplus Second World War equipment in the re-transfer market. The emerging supplier states' intention to develop indigenous arms industries was driven by the political urge to reduce their reliance on the leading suppliers and to nationalise the arms production process for import substitution in order to meet domestic security needs. Since the emerging suppliers began the process of defence industrialisation from the importation of complete weapon systems to import substitution, and ultimately to the promotion of exports, they mainly relied on technology imported from the leading suppliers. On the one hand, the leading suppliers attempted to hinder the efforts of emerging suppliers to promote arms exports so as to protect their oligopolistic share of the arms market through tightening the controls and regulations on technological supplies. On the other, the emerging suppliers were impelled to promote their arms exports in order to overcome the saturation of their domestic markets, to utilise effectively their arms production capacities, and to positively affect their balance of payments through the procreation of foreign exchange returns. This study reached the following conclusions and inferences: 1. The arms trade has evolved to be characterised by the transfer of military technology, which did not feature in the arms transactions of the previous periods. 2. The gap between the leading and emerging suppliers is widening with regard to the sophistication of technological capabilities, and accordingly the stratification within the arms production and transfer system is sustainable and reinforced, thus making it hard for the lower tiers to progress beyond their current status. 3. The emerging suppliers' share of and contribution into the arms market is constricted, and as such they specialise in specific (often uncomplicated) weapon systems that constitute niches in the global market. 4. The unfolding arms production and transfer system is characterised by a fiercely competitive atmosphere, and consequently, only those states that can subsidise or integrate their efforts are enabled to sustain an advanced arms production faculty. 5. As the emerging suppliers begin to introduce more and more of their wares into the market, the costs of research and development begin to soar in the same manner as those of the leading suppliers, thus urging them to become more export-oriented. 6. Participants in the system will be compelled to relinquish their comparative technological superiority in order to survive, thus narrowing the gap between the capabilities possessed by both the leading and the emerging suppliers.
AFRIKAANSE OPSOMMING: Die onderliggende motivering van opkomende wapenverskaffers om wapens te produseer word toegeskryf aan 'n behoefte om hulle relatiewe afhanklikheid in die stelsel van wapenproduksie en - handel te oorkom. Boonop het die laat toetrede tot die stelsel hierdie opkomende verskaffers se kanse tot sukses verder belemmer. Die rede vir die onsuksesvolle toetrede word gebasseer op drie kriteria (wat ook dien as identifiserende eienskappe van opkomende wapenverskaffers). Eerstens, die wapens wat opkomende verskaffers lewer skiet tekort aan die vereiste gesofistikeerde standaarde van die gevestigde wapenprodusente. Tweedens, hulle kan slegs een of twee gevorderde wapenstelsels produseer. Derdens, sekere komponente van wapenstelsels word verkry by die gevestigde verskaffers, wat lei tot afhanklikheid tot so 'n mate dat die opkomende verskaffer se vermoëns beperk word tot eenvoudige reprodusering of herinstallasies van bestaande stelsels. Trouens, in die post-oorlog tydperk is die vermoë om wapens te produseer doelbewus beperk tot sekere state wat 'n afgebakende reeks van handwapens en uitrusting vir vloot vaartuie kon vervaardig. State wat verby hierdie vermoë beweeg het, het dit gedoen met behulp van ander state of spesaliste, oorspronklik met die oog op die huishoudelike behoefte maar ook om ontslae te raak van surplusse uit die Tweede Wêreldoorlog. 'n Politieke begeerte om in hulle eie sekuriteitsbehoeftes te voorsien deur middel van invoersubstitusie, het die opkomende verskaffers genoop om ontslae te raak van die afhanklikheid op gevestigde verskaffers en om die wapenproduseringsproses te nasionaliseer. Hulle het hoofsaaklik gesteun op ingevoerde tegnologie om die verdedigingsbedryf te industrialiseer. Die proses het so verloop: volledige wapenstelsels is ingevoer, daarna het invoersubstitusie plaasgevind, en daarna 'n bevordering van uitvoere. Gevestigde verskaffers het endersyds probeer om (deur middel van strenger kontrole en regulasies of tegnologiese ware) die opkomende verskaffers te verhoed om hulle oligopolistiese houvas op die mark te belemmer en andersyds moes opkomende verskaffers noodgedwonge hulle uitvoere bevorder om te voorkom dat die plaaslike mark versadig word. Die laasgenoemde aspek het ook die betalingsbalans van opkomende verskaffers positief beinvloed as gevolg van die inkomste uit buitelandse valuta. Hierdie studie kom tot die volgende aanames en gevolgtrekkings: 1. Wapenhandel het só ontwikkel dat die oordrag van militêre tegnologie die hoofkenmerk geword het in die stelsel - 'n ongekende kenmerk tot dusver in die ontwikkelingsgang van internasionale wapenhandel. 2. Die gaping van tegnologiese vermoëns tussen opkomende en gevestigde wapenverskaffers word groter en daarmee saam word die stratifikasie in wapenproduksie en -lewering volhoubaar en versterk, wat lei tot 'n beperking op die vermoë van opkomende verskaffers om vooruitgang te maak. 3. Opkomende verskaffers se aandeel in en bydrae tot wapenmarkte bly beperk en spesialiseer daarom op spesifieke (meestalongekompliseerde) wapenstelsels wat gemik is op sekere nisse in die wêreldmark. 4. Die ontluikende wapenproduksie en -handelsisteem is uiters kompeterend, met die gevolg dat slegs state wat hulle pogings kan subsidieer of integreer in staat is om gevorderde fasiliteite te onderhou. 5. Met die toenemende aanbod vanaf opkomende verskaffers, styg die kostes van navorsing en ontwikkeling vir beide die opkomende en die gevestigde verskaffer wat weer beide dwing om hulle uitvoere te beklemtoon. 6. Deelnemers in die stelsel sal gedwing word om hulle vergelykende tegnologiese voorsprong prys te gee om te oorleef in die stelsel, waarna die gaping tussen die vermoëns van opkomende en gevestigde verskaffers verminder sal word.
APA, Harvard, Vancouver, ISO, and other styles
35

Evans, Peter C. "International regulation of official trade finance competition and collusion in export credits and foreign aid /." Thesis, View report (non-printable), 2005. http://dspace.mit.edu/bitstream/1721.1/33684/1/64631402.pdf.

Full text
Abstract:
Thesis (Ph. D.)--Massachusetts Institute of Technology, Dept. of Political Science, 2005.
Title from title screen (viewed July 6, 2007). Includes bibliographical references (p. 333-362). Also issued in paper format.
APA, Harvard, Vancouver, ISO, and other styles
36

Cho, Hye Jee. "Partisan politics and credibility in government bond markets what political institutions help leftist governments build policy credibility? /." Diss., Restricted to subscribing institutions, 2008. http://proquest.umi.com/pqdweb?did=1692119671&sid=1&Fmt=2&clientId=1564&RQT=309&VName=PQD.

Full text
APA, Harvard, Vancouver, ISO, and other styles
37

Lebesgue, Sonia. "Principes de protection du patrimoine architectural mondial = Legal and theoretical aspects of architectural conservation." Thesis, National Library of Canada = Bibliothèque nationale du Canada, 1999. http://www.collectionscanada.ca/obj/s4/f2/dsk1/tape9/PQDD_0017/MQ55103.pdf.

Full text
APA, Harvard, Vancouver, ISO, and other styles
38

Thuilleaux, Sabine 1961. "Aspects compares des regimes juridiques de l'arbitrage au Quebec et en France : droit interne - droit international prive." Thesis, McGill University, 1990. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=59843.

Full text
Abstract:
In 1986, Quebec adopted the Act to amend the Civil Code and the Code of Civil Procedure in respect of Arbitration and thereby established a new and modern regime for contractual arbitration. The new regime includes provisions to facilitate execution in Quebec of arbitral awards rendered outside the province.
This thesis deals with certain aspects of the new regime, comparing it with the well-established French law of arbitration, which has abundant caselaw covering both domestic and international arbitration. Emphasis is placed on the manner in which Quebec courts have applied the new arbitration law in comparison with French judicial practice.
The first part of the thesis deals with domestic arbitration, focussing on contractual and jurisdictional issues. This is done through an examination of the arbitration agreement, the arbitration procedure, the award, as well as the execution of the award and remedies to set it aside.
International arbitration is treated in the second part. The definition of international arbitration, the validity and autonomy of the arbitration agreement, the choice of law relating to the procedure and the dispute itself are reviewed, as is the execution of foreign awards--that is, those rendered outside Quebec or rendered in Quebec but in the context of an international dispute.
APA, Harvard, Vancouver, ISO, and other styles
39

Turton, Anthony. "The political aspects of institutional developments in the water sector South Africa and its international river basins /." Pretoria : [s.n.], 2003. http://upetd.up.ac.za/thesis/available/etd-06042004-110828.

Full text
APA, Harvard, Vancouver, ISO, and other styles
40

Turton, Anthony Richard. "The political aspects of institutional developments in the water sector: South Africa and its international river basins." Thesis, University of Pretoria, 2003. http://hdl.handle.net/2263/25233.

Full text
Abstract:
This research set out to develop a deeper theoretical component to the emerging discipline of hydropolitics by studying the political aspects of institutional developments in the water sector. The focal point was the four international river basins that are shared between South Africa and six of its neighbouring states. The study found that while there is a lot of evidence for the securitization of water resource management in South Africa’s international river basins, there are also a number of examples of regimes. The creation of these regimes was driven primarily by threat perceptions relating to state security, mostly during the period of apartheid and the Cold War. These regimes were mostly robust and served as a valuable instrument for the de-escalation of conflict, which was primarily of a high politics nature. Examples of both plus-sum and zero-sum outcomes have been isolated. Plus-sum outcomes arose when the non-hegemonic state chose to view the offer of a regime in terms of national self-interest with four examples of this condition. In all four cases the non-hegemonic state benefited from cooperation with South Africa. Zero-sum outcomes arose when the non-hegemonic state chose to view the offer of a regime in terms of ideology with two examples of this condition. In both cases the non-hegemonic state did not benefit and was sidelined to the extent that they became marginalized and worse off than before. In all cases the hegemonic state benefited from the regime. The research consequently showed that a hydropolitical complex is emerging in Southern Africa, clustered around two international river basins, the Orange and Limpopo, which have been defined as pivotal basins. Both of these basins have reached the limit of their readily available water resources and future development is not possible on any great scale. Four of the most economically developed states in Southern Africa (Namibia, Botswana, Zimbabwe and South Africa) are riparians on these two international river basins, and have been defined as pivotal states. Other less developed countries that share any international river basin with a pivotal state have been defined as an impacted state, because their own development aspirations have been capped through this association. Any international river basin that has at least one of the pivotal states in it has been defined an impacted basin. Finally, this research showed that regimes create a plus-sum outcome in closed international river basins because they reduce the levels of uncertainty and institutionalize the conflict potential. As such regimes are a useful instrument with which to regulate inter-state behavior, leading over time to the development of institutions consisting of rules and procedures.
Thesis (DPhil (International Politics))--University of Pretoria, 2005.
Political Sciences
unrestricted
APA, Harvard, Vancouver, ISO, and other styles
41

Carment, David 1959. "The international politics of ethnic conflict : the interstate dimensions of secession and irredenta in the twentieth century, a crisis-based approach." Thesis, McGill University, 1993. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=41358.

Full text
Abstract:
One of the most challenging issues for students of international relations is the interstate dimension of ethnic conflict in both its secessionist and irredentist forms. This thesis contributes to an understanding of the interstate dimension of ethnic conflict in three ways. First, the thesis provides a more precise delineation of the causal relationship between ethnic and interstate conflict. Second, the thesis develops a model to identify the conditions under which ethnic conflict is most likely to lead to interstate conflict. Third, and finally this thesis provides insight into a theory and policy for management and resolution of ethnic conflict. The results of this research are used to identify the international conditions and actions that affect the dynamics and resolution of ethnic conflict. From that perspective, the central goal of this inquiry is to lay the groundwork for preventive peacekeeping.
The inquiry unfolds in five stages. First, a formal model, specifying the precise causal relationship of the selected variables and their interaction effects, is presented. Second, two cases (Somali irredentism and the Indo-Sri Lankan crisis) are used to test the assumed linkage. Third, aggregate data from the International Crisis Behavior Project data base, for the period 1918-1988, are used to test the explanatory power of variables derived from the combined framework. Fourth, two additional cases (Thai Malay separatism and the Balkans War) are used to test the most relevant propositions from the previous phase. Fifth and finally, based on the degree of support for propositions from both quantitative and qualitative analysis, the model is refined. Policy relevant and theoretical contributions are presented in the light of the findings. Directions for further research also are discussed.
APA, Harvard, Vancouver, ISO, and other styles
42

Eckert, Martin Georges. "The GATS : a 'glimmer of hope' for a multilateral liberalization of financial services markets." Thesis, McGill University, 1995. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=23956.

Full text
Abstract:
In 1986, the inclusion of trade in services, including financial services, into the multilateral GATT Uruguay Round on trade liberalization stood for the official worldwide recognition of services as being internationally tradable and important for national economies. The establishment of a General Agreement on Trade in Services (GATS), as being an integral part of the new World Trade Organization (WTO), is the institutional manifestation of the increasing importance of the service industries in international trade.
Within a variety of services, the financial services, such as banking, play a crucial role in national economies. A functioning banking system, providing the domestic industry with the necessary flow of capital, equals stability, credibility and international competitiveness for a national economy.
Liberalization of international trade in financial services may further increase economic efficiency and the welfare of the consumer, but today liberal trade in financial services is still faced with various barriers, especially in the highly sensitive banking system. Natural barriers to cross-border trade in banking services were overcome by the increased tradability of services through new information and communication technologies. The GATS stands for the multilateral approach to overcoming the regulatory barriers to international trade in services. The worldwide opening of domestic banking markets to foreign banks, namely the provision of the right of establishment, is the main topic of liberalization with respect to the banking sector.
Aside from obvious structural shortcomings of the GATS, this multilateral liberalization approach is increasingly challenged by regional approaches. namely free-trade areas and customs unions. Furthermore, in the banking sector, as a reaction to the huge amount of bank failures and national economic crises, liberalization itself is challenged by a global tendency rather to re-regulate and to harmonize existing regulations than to further liberalize.
- -
APA, Harvard, Vancouver, ISO, and other styles
43

Marinov, Marin kandidat na i︠u︡ridicheskite nauki. "Foreign direct investment in Bulgaria, Czechoslovakia and Hungary : a comparative study of the current legislation." Thesis, McGill University, 1994. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=26212.

Full text
Abstract:
The author's goal is to illuminate the current business legislation in Central and Eastern Europe (CEE) through a comparison of three countries from the region, namely, Bulgaria, Czechoslovakia, and Hungary.
The present study is divided into four parts. The first part states the thesis itself, the goals, and the structure of the discussion.
The second part provides the basic premises of the analysis, with emphasis on the current data on foreign investment in the three countries.
The third part presents the core of the comparative study and deals with the following issues: basic foreign investment laws, including corporate laws, property rights of foreign persons, currency regimes. Among other important aspects, attention is paid to the following subjects: general treatment of FDI, foreign investment in corporate capital, branches of transnational corporations, forms of FDI, special procedures for banking and insurance, closed sectors for FDI, financing of investment, incentives of FDI, domestic and international guarantees for FDI etc. The set of criteria used to assess the compared legislation focuses primarily on the essential features of that legislation. This narrow approach is expedient in terms of the huge area that relates to foreign investment.
The final part uses the findings of the comparative study of the relevant legislation in order to determine the reasons for the lagging interest of foreign investors in Bulgaria. These reasons are found not to be due to any deep-seated differences in the pertinent legislation, but rather to some other factors, such as historical, socio-cultural, and geopolitical.
The law in the present work is stated as of 1 January 1994. (Abstract shortened by UMI.)
APA, Harvard, Vancouver, ISO, and other styles
44

Kent, William A. "A study of the impact of a coaching program on customer perceptions and company financial performance." Thesis, Keiser University, 2015. http://pqdtopen.proquest.com/#viewpdf?dispub=3689008.

Full text
Abstract:

In this world of globalized business, corporate training programs are based on the common belief that better-trained employees will enhance business performance. Early research was focused on the impact of training on company performance in the business- to-business (B2B) environment. All of the early studies included employee opinions to measure what is called internal market orientation (IMO) as well as identification of the key constructs of trust, commitment, and relationship satisfaction, which affect performance. Later, survey-based research on external (customer) market orientation (EMO) in an international business also expanded the cultural complexity of the supplier- buyer relationships. Targeted coaching, rather than generic training programs, became appropriate. No empirical evidence in the literature provided quantitative measurement of the results of coaching programs on either EMO or company financial results. This research served to analyze the impact of an ongoing salesperson coaching program on both customer perceptions (EMO) and the financial results of the company. Two surveys of two different customer populations, with a 6-month time span between surveys, provided data to quantify any shifts in EMO. No significant shifts were found in either the domestic or the international customer populations. However, the company financial data confirmed a positive impact on profitability and a strong return on investment (ROI). Further research is needed which takes into consideration different parameters, including longer time spans between customer surveys, deeper interview-based analysis of customer perceptions and buying habits, and the different coaching strategies employed during the study.

APA, Harvard, Vancouver, ISO, and other styles
45

Mohammed, Zeidan Ibrahim. "Host government control of MNEs : Squibb Egypt case study." Thesis, University of Hull, 1990. http://hydra.hull.ac.uk/resources/hull:4584.

Full text
Abstract:
The socio-economic development of many developing countries depends heavily on the flow of foreign capital brought about by multinational enterprises' (MNE's) activities. However, there is evidence that the actual benefits derived by host countries from these enterprises are often less than expected. Accordingly, this clearly supports the need for an effective government control framework to increase the benefits of these foreign enterprises to the host country. This study therefore examines, both theoretically and empirically, the types of controls operated at present, with a view to establishing an appropriate framework for future control. A host government control framework consists basically of two complementary and integrated control processes: an entry control process to ensure that only those foreign enterprises which will be of benefit to the national economy are approved; and an operational control process to check that the project's operations are carried out in accordance with approved plans. In practice, the control mechanism focuses on the role of local accounting and reporting systems, and the role of the government auditor rather than other government bodies responsible for applying the control process. Egypt has been selected as the focus for the study, since many MNEs operate there under the open door economic policy, and it is believed that the many incentives given to attract foreign investment have allowed MNEs to gain greater benefits than they give to the country. Squibb Egypt, a foreign subsidiary in the pharmaceutical sector, is taken as a case study, in view of the importance of the sector to the Egyptian economy, and its increasing domination by foreign enterprises. Data have been collected through interviews from government departments and agencies dealing with MNEs in Egypt and Squibb Egypt. The result of the case study has indicated that Squibb Egypt has made only a modest contribution to the economy. This deficiency is attributable to the lack of the control system currently operated by the Egyptian government over MNEs. This provides a strong case for arguing that the adoption of a sound government control system is essential to alleviate many of the problems and deficiencies raised in this study, and to meet both national objectives and those of foreign enterprises.The research is divided into three main parts. The first, containing two chapters, examines the general relationship between a host government and the MNE, and describes a control framework model which could alleviate the problems arising from MNE entry and operations within a host country.Part two, which also contains two chapters, presents an overview of foreign investment in Egypt from 1952-1987, reviewing the open door policy and appraising its impact on the economy, and the control system currently operated by the Egyptian government.The empirical research is presented in the six chapters of part three, which examines the development of Squibb and the controls exercised over it, and evaluates the company's financial performance and its contribution to the Egyptian economy. Finally, recommendations are made to improve the evaluation and control over MNEs by host governments, with a view to maximising the benefits obtained from them.
APA, Harvard, Vancouver, ISO, and other styles
46

Savage, Laura Maryse Aileen. "Understanding ownership in the Malawi education sector : 'should we tell them what to do or let them make the wrong decision?'." Thesis, University of Cambridge, 2013. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.607732.

Full text
APA, Harvard, Vancouver, ISO, and other styles
47

Töpfer, Laura-Marie. "Mapping Chinese cross-border finance : actors, networks and institutional development." Thesis, University of Oxford, 2017. https://ora.ox.ac.uk/objects/uuid:ce96e7cd-870f-4ca5-9583-6864dceff86a.

Full text
Abstract:
This research project explores the rise of Chinese cross-border finance. Cross-border investment programmes have been at the heart of China's financial liberalisation. Yet, we know little about what drives the expansion of these new market entry channels and the effects they have on global finance. This thesis explores the role that formal and informal institutions play in China's financial system, by addressing three main research goals: (1) to rethink analytical frameworks of global financial networks, by shifting the focus to channels of state power; (2) to investigate how such formal institutions shape competitive hierarchies in financial markets, both inside and outside of China; (3) to demonstrate that informal institutions such as a common cultural identity are equally important to explain behaviour and outcomes in Chinese cross-border finance. The thesis pursues this agenda through four substantive papers, each with its own subset of research goals and findings. The papers follow a three-fold structure. The thesis begins with an analytical focus on agents (micro-level), by examining the evolution of state-firm relations in Chinese cross-border finance. The first paper develops a politically sensitive framework of global financial networks, which conceptualises how bargaining dynamics within China's party-state shape competitive hierarchies in Chinese capital markets. Drawing on these theoretical insights, the second paper breaks new empirical ground, by explaining the asymmetrical nature of market access criteria for foreign investors. The third paper zooms out on the global consequences that Chinese state control has for money centres (macro-level). It sheds light on how state-firm relations shaped London's development as the first Western offshore trading centre for Chinese currency. The fourth paper shifts the attention to the role of informal social institutions in Chinese equity markets. It presents the first empirical study of how a common cultural identity with Mainland China governs the behaviour of different investor categories (group-level). The thesis distils the following findings: Bargaining conflicts inside the Chinese party-state have a decisive impact on competitive outcomes and behaviour in Chinese cross-border finance, both domestically and globally. Strategic state interests form an interdependent relationship with the resources supplied by foreign investors and domestic corporate players. Domestically, these resource interdependencies explain the asymmetrical nature of market access under China's cross-border investment schemes. Globally, the shift in state-firm bargaining dynamics from strategic alignment to an increasing bifurcation of interests explains the patchy integration of RMB finance into London's financial architectures. Informal social institutions equally shape competitive outcomes in China's capital markets. Whilst the literature identifies shared cultural identity as a source of local information advantage, this thesis finds the opposite: A common cultural background with national Chinese investors reduces information asymmetries for foreign investors but it does not equate to local information advantages. Overall, the four substantive papers add up to a multifaceted yet integrated perspective on the drivers, dynamics and consequences of Chinese cross-border finance. They clarify that the intersection of formal state governance and informal social forces is essential for understanding how the spread of neoliberal market forces unfolds across Chinese capital markets. This thesis thus affirms that space and place remain central to our understanding of financial market outcomes.
APA, Harvard, Vancouver, ISO, and other styles
48

Knox-Hayes, Janelle. "Constructing an international market for carbon trading : an institutional perspective." Thesis, University of Oxford, 2009. http://ora.ox.ac.uk/objects/uuid:e7b37ac4-13ea-4ab6-b999-1150b2436775.

Full text
Abstract:
Mitigating climate change requires the collaborative and international management of a range of socio-economic processes that produce greenhouse gas emissions. Governments in a number of regions are developing carbon markets to mitigate climate change by limiting the production of greenhouse gases. This thesis examines the construction of carbon markets in the United States and Europe to understand what role these markets play in mitigating climate change. Using a relational economic geography framework and institutional theory, I frame the markets into two components: 1) the regulatory structures which give the markets existence and bound their rules of operation, and 2) the financial and service components which operationalized the markets. Within these components, I investigate four specific facets of market development: complementarity, spacetime, design vs. path dependence and institutional development. The study is conducted through close dialogue and case studies of organization in London, New York and Chicago as well as interviews with policymakers in Washington D.C. Sacramento, and San Francisco. I find that the regulatory components of the market are built both by regulatory agencies and private organizations such as legal firms. Political path dependence constrains the development of the regulatory framework of the carbon markets. The financial service components are constructed in existing financial service centers such as London and New York by directly adopting expertise, products, services and infrastructure from other markets. With respect to the spacetime construction of markets, I find that carbon markets are being adapted to management in existing time zones, with a seamless transaction of activity between North America, Europe and Asia. However, the nature of spacetime within the markets is changing; the markets now manage non-spacetime. In sum, the carbon markets are constructed as a social institution which mitigates greenhouse gas production by communicating and widely disseminating the value of the absence of emissions.
APA, Harvard, Vancouver, ISO, and other styles
49

Wittig, Timothy Simon. "Power, value, and the individual exchange : towards an improved conceptualization of terrorist finance." Thesis, St Andrews, 2009. http://hdl.handle.net/10023/902.

Full text
APA, Harvard, Vancouver, ISO, and other styles
50

Jang, Yong Joon. "Three essays on the effects of trade liberalization on economic performance." [Bloomington, Ind.] : Indiana University, 2009. http://gateway.proquest.com/openurl?url_ver=Z39.88-2004&rft_val_fmt=info:ofi/fmt:kev:mtx:dissertation&res_dat=xri:pqdiss&rft_dat=xri:pqdiss:3378356.

Full text
Abstract:
Thesis (Ph.D.)--Indiana University, Dept. of Economics, 2009.
Title from PDF t.p. (viewed on Jul 6, 2010). Source: Dissertation Abstracts International, Volume: 70-10, Section: A, page: 3955. Adviser: Michael Alexeev.
APA, Harvard, Vancouver, ISO, and other styles
We offer discounts on all premium plans for authors whose works are included in thematic literature selections. Contact us to get a unique promo code!

To the bibliography