Academic literature on the topic 'Procedure of entering to the objects'

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Journal articles on the topic "Procedure of entering to the objects"

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Avrunev, Evgeny I., Valerija V. Vylegzhanina, and Ilgiz A. Giniyatov. "SOME ASPECTS OF REGISTRATION RIGHTS TO LINEAR OBJECTS." Interexpo GEO-Siberia 3, no. 2 (July 8, 2020): 12–18. http://dx.doi.org/10.33764/2618-981x-2020-3-2-12-18.

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The article deals with the problem of the lack of information in the Unified State Register of Real Estate (USRRE) about the protected zones established for linear objects, in particular main pipelines. We are talking about the normative values of the minimum permissible distances to main pipelines. This problem negatively affects the territorial planning procedure in municipalities and subjects of the Russian Federation and the subsequent implementation of these projects. At the same time, possible consequences of the construction of capital construction objects by developers, if there are violations of the specified security zones, are considered. In addition, it is shown that the problem is relevant due to the fact that the USRRE does not contain information about the boundaries of previously registered land plots and underground linear structures, which also makes it difficult to develop territories and maintain a balance between public and private interests. As a solution to the problem the minimum allowed distance to the pipeline should be included in the integrated cadastral work procedures to identify underground pipelines and entering into USRRE information about linear objects, and on the specified buffer zones, in particular zones, (ZMAD).
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Prado da Fonseca, Vinicius. "Tactile Sensor Analysis during Early Stages of Manipulation for Single Grasp Identification of Daily Objects." Engineering Proceedings 6, no. 1 (May 17, 2021): 56. http://dx.doi.org/10.3390/i3s2021dresden-10091.

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Dexterous robotic manipulation in unstructured environments is still challenging, despite the increasing number of robots entering human settings each day. Even though robotic manipulation provides complete solutions in factories and industries, it still lacks essential techniques, displaying clumsy or limited operation in unstructured environments. Daily objects typically aim at the human hand, and the human somatosensory system is responsible for solving all the complex calculations required for dexterous manipulations in unstructured settings. Borrowing concepts of the human visuotactile system can improve dexterous manipulation and increase robotics usage in unstructured environments. In humans, required finger and wrist joint adjustments occur after fast identification of the object in the initial stages of manipulation. Fast object identification during those phases may increase robotic dexterous manipulation performance. The present paper explores human-inspired concepts such as haptic glance to develop robotic single-grasp object identification. This concept can assist early phases of robotic manipulation, helping automated decision-making, such as type of grasp and joint position, during manipulation tasks. The main stages developed here are detecting sensor activation and sample collection using signal-to-noise and z-score filtering on tactile data. This procedure automates touch detection and reduces the sensor space for classification. Experiments on a daily objects dataset presented compelling results that will assist in the later stages of the early phases of robotic grasping.
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Kovalev, Artem Aleksandrovich. "Status of the prosecutor in the arbitration proceedings." Право и политика, no. 6 (June 2020): 74–83. http://dx.doi.org/10.7256/2454-0706.2020.6.32358.

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The object of this research is the questions of determination of legal status of the prosecutor participating in arbitration proceedings, and problematic aspects pertaining to exercise of his powers in reference to arbitration with a claim, as well as entering the proceedings in accordance with Part 5 of the Article 52 of the Arbitration Procedure Code of the Russian Federation. The subject of this research is the materials of prosecutorial law enforcement practice and case law, as well as the norms of arbitration procedure and civil procedure legislation. The following methods were applied in the course of this work: formal-logical, comparative analysis, comparison, analysis and synthesis, systemic and structural analysis for the purpose of studying separate elements of the legal status of the prosecutor. The author conducted a comprehensive research of the legal status of the prosecutor who participates in arbitration proceedings. A conclusion is drawn that the prosecutor’s status can be defined as a government representative in his participation in the proceeding upon the initiative, or in entering the proceedings in accordance with Part 5 of the Article 52 of the Arbitration Procedure Code of the Russian Federation. In order to determine the legal status of the prosecutor, the author analyzed the powers assigned by the Arbitration Procedure Code of the Russian Federation, as well as describes separated aspects that ate not regulated by the Arbitration Procedure Code of the Russian Federation. Recommendations are given on the improvement of legislation that establishes the mechanism of exercising powers of the prosecutor in the arbitration proceedings.
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Avdeev, Denis, and Alexander Kryakhtunov. "Problems of introduction information about the limits of administrative and territorial units." E3S Web of Conferences 135 (2019): 04002. http://dx.doi.org/10.1051/e3sconf/201913504002.

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This work is devoted to the issues of entering into the Unified State Register of Real Estate (hereinafter referred to as USRN) information about the location of borders between subjects of the Russian Federation, borders of municipalities, and settlements on the example of the Tyumen region. The procedure and features of the establishment, change of administrative-territorial division are considered. Analysed the legal aspects and grounds for carrying out activities for the coordinate description of administrative boundaries as objects of land management. At the same time, problems that arise both at the stage of adoption of regulatory acts establishing administrative boundaries and at the stage of preparation and coordination of land management documentation are identified and justified. According to the results of the work, a number of proposals were formulated, which will allow to provide the USRN with information on the administrative-territorial division in full.
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Basdeo, Vinesh. "A Critique of Search and Seizure in Terms of a Search Warrant in South African Criminal Procedure: A Comparative Analysis." African Journal of International and Comparative Law 27, no. 4 (November 2019): 497–521. http://dx.doi.org/10.3366/ajicl.2019.0288.

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The primary objective of this article is to determine whether the search and seizure measures employed in the South African criminal justice system are in need of any reform and/or augmentation in accordance with the ‘spirit, purport and object’ of the Constitution. This article analyses ‘search and seizure’ in the South African criminal justice system as is made possible by Chapter 2 of the Criminal Procedure Act 51 of 1977, which provides for search warrants, the entering of premises, and the seizure, of property connected with offences. It determines whether the required judicial scrutiny provides a real control upon the exercise of search and seizure powers. Search and seizure legal principles extracted from American criminal procedure will also be analysed for comparative purposes.
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Koshkalda, Iryna, Tetiana Anopriienko, Maryna Pilicheva, and Lubov Maslii. "Methodology of Application of Modern Technologies in Land Inventory of Territorial Communities." Baltic Surveying 14 (July 3, 2021): 17–24. http://dx.doi.org/10.22616/j.balticsurveying.2021.14.002.

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The article defines that the land inventory allows to form land plots of state and communal property, to fill the State Land Cadastre with information about objects and subjects of land relations and to eliminate existing errors. The aim of the article is to improve the procedure of conducting the land inventory in Ukraine, taking into account modern technologies within the current regulatory framework. The methodology of land inventory using modern technologies has been developed, which includes the following components: surveying of the inventory object, topographic and geodetic works, vectorization of its territory using remote sensing data, project works, creation of a consolidated inventory plan, development of technical documentation, its state expertise, adjustment and approval, entering data into the State Land Cadastre. It is established that an effective method of implementation of topographic and geodetic works during updating of the cartographic materials is a combined method, which includes the use of aerial images with simultaneous geodetic surveying of complex areas. The use of geoinformation technologies and remote sensing data is allowed to optimize the duration and frequency of land inventory. In particular, the classification of land should be performed in the attribute tables. Ways to solve problems of protection and rational use of the lands of the inventory object have been developed. They include registration of land plots without cadastral numbers; control of compliance of land and environmental legislation, taking into account the results of land inventory for updating statistical cadastral information and making changes of the State Land Cadastre data.
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Goncharov, K. A., and A. V. Grishin. "Experimental study of operation heat mode of the motor drum of a short belt conveyor." Nauchno-tekhnicheskiy vestnik Bryanskogo gosudarstvennogo universiteta 6, no. 4 (December 25, 2020): 529–38. http://dx.doi.org/10.22281/2413-9920-2020-06-04-529-538.

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The article presents the results of the experimental study of the motor drum temperature regime of a short belt conveyor. A description of the experimental stand, as well as the equipment used, is presented. The paper describes the test procedure, the initial conditions for testing at each stage. These conditions imply the nature of the change in the initial tension of the belt, the level of conveyor load, design features of the motor drum, in particular the use of a lining or the use of smooth steel shell during testing. The primary results obtained are presented in the form of decoded thermograms of the working area of the motor drum. The generalized processed results of the experimental studies are systematized in the form of graphical dependencies, which are united according to the objects of study: a motor drum, a leaving belt branch, and an entering belt branch. On the basis of the results obtained, the corresponding conclusions are made, which are the law descriptions of the thermal mode of operation with regard to the motor drum, as well as the belt branches in contact with it.
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Séné, B., I. de Zegher, C. Milstein, S. Errore, F. de Rosis, G. Strauch, and A. Venot. "A General Model of Drug Prescription." Methods of Information in Medicine 34, no. 04 (July 1995): 310–17. http://dx.doi.org/10.1055/s-0038-1634606.

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Abstract:Currently, there is no widely accepted structured representation of drug prescription. Nevertheless, a structured representation is required for entering and storing drug prescriptions avoiding free text in computerized systems, and for drug prescription reviews. Derived from part of the work of the European OPADE project, we describe an object-oriented model of drug prescription which incorporates important concepts such as the phase and triggering event concepts. This model can be used to record all drug prescriptions, including infusions, in a structured way avoiding free text. The phase concept allows the storage of sequentially ordered dosage regimens for a drug within the same prescription. The prescription triggering event concept allows recording of the administration of a drug conditional to dates, symptoms and clinical signs, medical procedures, and everyday life events. This model has been implemented within the OPADE project; the corresponding aspects of the user interface are presented to show how this model can be used in practice. Even if other new attributes may be added to the described objects, the structure of this model is suitable for general use in software which requires the entry, storage and processing of drug prescriptions.
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Lis, Stanisław, Marcin Tomasik, Sławomir Kurpaska, Jarosław Knaga, and Piotr Łyszczarz. "Analysis of the bioethanol production process control." E3S Web of Conferences 154 (2020): 02009. http://dx.doi.org/10.1051/e3sconf/202015402009.

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The article presents the analysis of the automatic control of the bioethanol production process intended for biofuel. It presents the formulated general concept of the system and the method of designing a closed control system based on the iterative prototyping procedure. The modeling and the simulation were carried out in the Matlab®-Simulink environment. The simulation model of the object was developed based on the experimentally registered characteristics. It has been adjusted, i.e. the compatibility of its behavior with the object it reproduces has been confirmed. Based on the tuned model of the object, a control system model was created, which was the basis for computer simulation which enabled the control algorithm parameters to be established. The final verification of the correct operation of the system was performed with the use of hardware simulation. It was based on entering a negative feedback loop of the virtual control system of the real object elements into the loop. The results of the simulation confirmed the correctness of the adopted design.
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Tolpadi, A. K., and M. E. Braaten. "Study of Branched Turboprop Inlet Ducts Using a Multiple Block Grid Calculation Procedure." Journal of Fluids Engineering 114, no. 3 (September 1, 1992): 379–85. http://dx.doi.org/10.1115/1.2910041.

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An important requirement in the design of an inlet duct of a turboprop engine is the ability to provide foreign object damage protection. A possible method for providing this protection is to include a bypass branch duct as an integral part of the main inlet duct. This arrangement would divert ingested debris away from the engine through the bypass. However, such an arrangement could raise the possibility of separated flow in the inlet, which in turn can increase pressure losses if not properly accounted for during the design. A fully elliptic three-dimensional body-fitted computational fluid dynamics (CFD) code based on pressure correction techniques has been developed that has the capability of performing multiple block grid calculations compatible with present day turboshaft and turboprop branched inlet ducts. Calculations are iteratively performed between sets of overlapping grids with one grid representing the main duct and a second grid representing the branch duct. Both the grid generator and the flow solver have been suitably developed to achieve this capability. The code can handle multiple branches in the flow. Using the converged flow field from this code, another program was written to perform a particle trajectory analysis. Numerical solutions were obtained on a supercomputer for a typical branched duct for which experimental flow and pressure measurements were also made. The flow separation zones predicted by the calculations were found to be in good agreement with those observed in the experimental tests. The total pressure recovery factors measured in the experiments were also compared with those obtained numerically. Within the limits of the grid resolution and the turbulence model, the agreement was found to be fairly good. In order to simulate the path of debris entering the duct, the trajectories of spherical particles of different sizes introduced at the inlet were determined.
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Dissertations / Theses on the topic "Procedure of entering to the objects"

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Shukuroglou, Vicky, and winepony@gmail com. "Origins, procedure and artefact." RMIT University. Art, 2010. http://adt.lib.rmit.edu.au/adt/public/adt-VIT20100329.154248.

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Found and collected natural (organic) and industrial materials are conducive to Vicky Shukuroglou's making of artefacts. They have particular properties of materiality and origin for engagement, interpretation and intervention. Materials are sourced, selected and collected from such diverse environments as urban industries and remote coastal environs. They are chosen for their working properties, personal associations, and qualities such as colour, form, texture, weight, structure and material composition. Her observations of and responses to these diverse environments and their local materials become the influence in the process of making. Objects - such as hair and bone - are investigated and reflected upon as they hold certain qualities that appeal and intrigue, and inspire creative responses. Materials are significantly altered from their original form and utilised for the construction of works, or engaged with as 'objects' for inclusion that remain largely as they were found. They are built onto, extended, reconstructed, enclosed or joined with the constructed elements. Visual energy and ambiguity created from common and opposing qualities is considered and utilised in the interpretation of found forms. In the building of these objects or assemblages, they take on a detailed and intimate identity, whose scale expands beyond the hand held object. The process and activity of making is a vehicle for further observation and learning, generating an understanding and insight into the relationships of place, structure, form, movement, space, and personal methodologies.
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Hooper, Hayley Jayne. "National security, risk, and accountability : the closed material procedure." Thesis, University of Oxford, 2015. https://ora.ox.ac.uk/objects/uuid:cf834588-b891-4f7c-9017-e5fdc4fe63c3.

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This thesis explores issues of procedural fairness across the major statutory counterterrorism powers which require the Closed Material Procedure (CMP) in judicial review. It also considers the Justice and Security Act 2013 which applies to civil proceedings of any nature engaging national security concerns on a discretionary basis. The analysis construes procedural fairness broadly by considering its application both in the curial context and inside the relevant administrative organisations. It argues that procedural fairness in the CMP should be understood as part of the routine risk-management responsibilities of administration and administrative law, as opposed to an initiative which is 'exceptional' by virtue of its national security subject matter. Procedural fairness in the CMP could be invigorated by taking seriously the presence of risk and risk assessment in the application of the statutory powers by the executive and in the operation of the CMP itself. This thesis also argues that the extension of the CMP to damages actions under the Justice and Security Act 2013 raises greater normative problems than actions in the existing province of the CMP. This is because such claims, whilst not the sole province of the Act, concern executive accountability for tortious actions, as opposed to judicial review of executive riskmanagement of terrorism. The analysis concludes with two critical recommendations for improving procedural fairness in law and administration in the relevant subject matters; but ultimately recognises that these are but a first step in a broader project which requires the development of an interdisciplinary substantive theory of necessary secrecy.
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Kyriakides, Nicolas. "Judicial discretion and contempt power : two elements of equity that would benefit the EAPO and future EU-wide provisional and protective measures." Thesis, University of Oxford, 2016. http://ora.ox.ac.uk/objects/uuid:91c8379a-252c-475c-995d-7d71dbb0d24f.

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A person filing a civil claim faces the risk of being unable to enforce a favourable judgment. This is because their opponent may dissipate his assets and consequently be unable to satisfy a judgment given against him. Several mechanisms seek to alleviate this risk by preserving the defendant's assets pending judgment. These are predominantly the civilian in rem order and the common law freezing order. Fundamental differences between the common and civil law traditions may be observed in the freezing order and its civilian counterpart. Primarily, these are to be found in the margin of discretion given to the judge and the sanctions against non-compliance. The latter issue is closely related to the entity against which an order is directed: in the common law it is directed against the person, while in the civil law, against the asset. The significantly diverse approaches in these areas show the different course each of the legal families has taken in the administration of justice. The problem of preserving assets pending judgment becomes more complicated when the assets are not located in the same country as the courts with jurisdiction on the merits. The recently introduced European Account Preservation Order (‘EAPO') regulation is a pre-judgment instrument which enables a litigant to obtain an order preventing the transfer of funds held by the respondent in a bank account within the EU. It is the first of what may become several EU-wide provisional and protective measures. At first glance, the EAPO resembles the continental model rather than its common law counterpart, and, thus, brings into the open the differences between the two traditions in the area of provisional and protective measures. This work examines whether the features of the common law tradition - which in fact derive from the law of equity - ie judicial discretion in granting or refusing relief and contempt of court sanctions, could improve the EAPO as well as other EU-wide provisional and protective measures that may follow. It is argued that greater judicial discretion and a contempt sanction, provided that they are kept within certain limits, would improve the EAPO and similar measures in terms of efficiency and fairness.
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Sayce, Andrew Cameron. "Iminosugars as dengue virus therapeutics : molecular mechanisms of action of a drug entering clinical trials." Thesis, University of Oxford, 2014. http://ora.ox.ac.uk/objects/uuid:8d4da0ce-bfa6-447d-a280-630479f898af.

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Iminosugars are a class of small molecules defined by substitution of a sugar’s ring oxygen with nitrogen. Various chemical modifications of these basic structures (e.g. alkyl chain addition off of the ring nitrogen) have been developed during the last several decades. These molecules have been considered as therapeutics for a number of pathologies including viral infection, congenital disorders of glycosylation (of both glycoproteins and glycolipids), and diabetes. This thesis focuses on the application of a small subset of iminosugars, known as deoxynojirimycin derivatives, as therapeutics against dengue virus induced pathology. Dengue virus infection predominates in tropical climates, but autochthonous infection has recently emerged in areas of both southern Europe and the southern United States. With 390 million people infected annually, dengue is the most prevalent arthropod-borne viral infection worldwide, and the possibility of severe pathology including haemorrhage, shock, and/or death, necessitates development of effective antiviral therapies. Although the molecular mechanisms responsible for progression to severe dengue disease are not completely understood, there is considerable evidence for the role of both the innate and the adaptive immune responses in development of life-threatening complications. Excessive activation of the innate immune response, a phenomenon known as cytokine storm, has been hypothesised to explain development of symptoms related to vascular permeability, whereas the adaptive immune response has been implicated in severe disease through two hypotheses – the antibody dependent enhancement and original antigenic sin hypotheses. The evidence regarding each of these potential mechanisms of severe pathology is discussed throughout this thesis principally with respect to how iminosugar treatment could alter any detrimental effects of the immune response to dengue virus infection. The principal aim of this thesis is to consider the potential of deoxynojirimycin iminosugars as antiviral therapeutics in dengue infection with a focus on how these molecules exert their antiviral effects in primary human cells. I first consider the contributions of glycoprotein inhibition and glycolipid inhibition on production of infectious dengue virus. These experiments suggest that inhibition of glycoprotein folding is responsible for inhibition of infectious dengue virus production. I next consider the impact of treatment of a promising clinical candidate iminosugar, N9-methoxynonyl-deoxynojirimycin (MON-DNJ), on the primary human macrophage transcriptome. In uninfected macrophages as well as macrophages infected with dengue virus or treated with lipopolysaccharide to model bacterial sepsis, iminosugar treatment results in activation of the unfolded protein response and inhibition of several elements of the inflammatory response including signalling by the cytokines IFN-γ and TNF-α, and the inflammatory cascade mediated by NF-κB. Activation of the unfolded protein response as a result of treatment with MON-DNJ can be confirmed by analysis of phosphorylated (activated) NFE2L2, a transcription factor that functions principally to control oxidative stress in response to ER stress signals. Modulation of the inflammatory response of macrophages to dengue infection and bacterial sepsis is confirmed by analysis of secreted cytokines. As predicted by my transcriptomic experiments, levels of TNF-α and IFN-γ produced in response to dengue or lipopolysaccharide are reduced by treatment with MON-DNJ. Finally, I attempted to extend these observations to an animal model of dengue infection with a particular focus on TNF receptor and ligand superfamily members. Unfortunately, heterogeneity of cells types from tissue samples as well as limitations of the animal model complicate interpretation of these findings. Nevertheless, this thesis demonstrates that MON-DNJ is an effective dengue antiviral therapeutic and that this therapeutic activity may be related to both reduction of infectious virus as a consequence of inhibition of glycoprotein processing and as a result of changes to the host’s response to the pathogen. These results have been used in part to justify recently initiated clinical trials of MON-DNJ as a dengue antiviral therapy.
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Levy, Inbar. "Behavioural analysis of civil procedure rules : factor overload and interim remedies affirmation." Thesis, University of Oxford, 2014. http://ora.ox.ac.uk/objects/uuid:0f5822e5-852c-4f47-8f0f-9f3bde9aad10.

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Much academic literature regarding how judges interpret and apply civil procedure rules is based on speculation about human behaviour and legal practitioners’ personal intuition. I seek to apply cognitive psychology research to a number of procedural arrangements in order to create a more accurate picture of the decision-making processes of judges in our civil justice system. My project investigates the implications of findings derived from empirical behavioural psychology for legal reasoning and practice. The thesis is divided into three main parts. The first two parts address different cognitive effects that influence judicial decision making in the course of civil litigation: cognitive overload in relation to ‘Laundry List’ rules and confirmation bias in relation to interim remedies. Finally, the third part speaks to the general question of judicial intuition and serves as a link between the first two parts of the dissertation.
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Petrochilos, Georgios C. "Procedural detachment in international commercial arbitration : the law applicable to arbitral procedure." Thesis, University of Oxford, 2000. https://ora.ox.ac.uk/objects/uuid:41c82c4d-d708-4cfe-b853-d50e41ea0773.

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This thesis seeks to ascertain the rules of private international law determining the procedural law of international commercial arbitral proceedings. In an Introduction, the author outlines the fundamental notions, introduces the topic and the major doctrines and issues, and sets out his methodology and structure of the work. The thesis examine first, as a preliminary issue, the considerations influencing the assumption of jurisdiction over arbitral proceedings. Chapter 1 discusses the various theories on the lex arbitri (the law supplying the general legal framework of an arbitration) as relevant to the procedural law, and concludes that they are deductive and therefore unable to satisfactorily to determine the applicable procedural law. Chapter 2 analyses major national laws as case-studies of the technique and scope of application of international arbitration law, and suggests a model of legislative and court jurisdiction based on the legal concept of 'seat of the arbitration' and on considerations based on the most appropriate court to control an arbitration. Chapter 3 discusses the obligations of the state of the seat under the European Convention on Human Rights and confirms the findings in Chapter 2. In a second part, the thesis elaborates on the title and extent of permissible municipal law interference. Chapter 4 tests the validity of the propositions derived from Chapters 2 and 3 against arbitral practice and concludes that seldom will arbitrators derogate from the law of the seat. Chapter 5 examines the particular case of arbitrations with states and similar entities. The third part discusses the relevance of compliance with the law of the seat at the stage of enforcement of an award. Chapter 6 deals with the technical issue of whether annulment at the place of making precludes enforcement in other fora. That chapter gives the opportunity to discuss models of separation of international jurisdiction and co-operation between different jurisdictions from a practical perspective. It thus serves as a convenient introduction to Chapter 7, which discusses the more abstract question of the nexus required between an arbitral award and the municipal law of the state of rendition in order for the award to enter, in limine, the scope of application of the international instruments in the field. The thesis ends with Conclusions in the form of model provisions for municipal law and arbitration rules.
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Gibbons, Susan M. C. "Subsequent use of documents disclosed in civil proceedings." Thesis, University of Oxford, 2002. http://ora.ox.ac.uk/objects/uuid:ff1dd09b-b699-4cae-8022-85459ac336c8.

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Rule 31.22 of the Civil Procedure Rules 1998 provides, as a general rule, that those who receive documents through disclosure during civil proceedings may use them only for the purpose of the proceedings at hand. The general rule is subject to three exceptions, and judges have discretion to authorise subsequent use for other purposes. However, the foundational presupposition underpinning CPR 31.22 is that subsequent use, generally speaking, is improper. The thesis has two primary aims: (1) to demonstrate that the rule governing subsequent use (as developed in the case law) is theoretically and practically flawed, and that maintaining a blanket, general rule against subsequent use is unsound in principle, unjust, and procedurally inefficient; and (2) to generate a normative and procedural framework suitable for reform. Part I outlines the content, origins and operation of CPR 31.22. Through historical analysis, it suggests that presumptively categorising as improper all forms of subsequent use beyond the original litigation contradicts traditional authority. By identifying and examining the three principal rationales said to justify the modern rule, it argues that none affords sound justification. By analysing the exceptions to the rule, including judicial discretion, it seeks to show that such measures are incapable of remedying the defects in the underlying rule. Part II attempts to formulate a theoretically defensible, procedurally viable model for reforming CPR 31.22. It suggests that the presumption against subsequent use should be abolished, and the law reoriented around two central norms: the harm principle and a balancing approach. It tests this theoretical model by applying it to seven paradigmatic categories of subsequent use. Finally, it outlines a possible structure for procedural reform.
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Tham, Chee Ho. "The mechanics of assignments : functions and form." Thesis, University of Oxford, 2016. https://ora.ox.ac.uk/objects/uuid:9cf7420b-b3d5-4c15-b15d-daaa9892d951.

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Choses in action are valuable assets. This has compelled (and been facilitated by) the development of legal devices such as equitable assignment to allow holders of choses to deal with them, inter vivos. This thesis makes two claims. First, equitable assignments are best conceived as a composite of a bare trust and an atypical agency where the assignee is authorised to invoke the assignor's entitlements against the obligor to the chose assigned, as the assignee pleases. On this conception, equitable assignments merely entail generation of a new set of jural relations as between assignor and assignee. Though these affect how the jural relations between assignor and obligor are to be discharged, those jural relations are left intact and unchanged, unless the requirements for 'statutory' assignments have been satisfied. Second, 'statutory' assignments are regulatory in effect. Where a debt or other chose in action has been validly equitably assigned and the requirements in s 136(1) Law of Property Act 1925 are satisfied, the specific entitlements set out in sections 136(1)(a), (b) and (c) will be passed from the assignor and transferred to the assignee. But that is only true with regards entitlements falling within those provisions, and the set of entitlements listed therein is not exhaustive. The composite model of equitable assignment, and the clarification of the nature of 'statutory' assignment, reduces confusion over their operation and effects. Accordingly, this thesis tempers the urge towards legislative reform of the law of assignment: reform may not be needed since the law is not incoherent, though it is certainly complex. And if targeted law reform to simplify the law on assignment be thought desirable, it is as well to know what one is reforming.
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Birdling, Malcolm David. "Correction of miscarriages of justice in New Zealand and England." Thesis, University of Oxford, 2012. http://ora.ox.ac.uk/objects/uuid:2dae4513-4fd2-40cd-bb6a-dbba696d6d7f.

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This thesis sets out to provide a deep analysis of the mechanisms for review of convictions in New Zealand and England after initial appeal rights are exhausted, and to identify the key areas of similarity and difference between these systems, the reasons for these differences, and their implications. The appeal systems in each jurisdiction are briefly examined, alongside the pressures and restrictions on their functioning. Particular attention is paid to the options for appeal out of time, and for revisiting appeal decisions if new material comes to light. The main discussion is of the specialist procedures for review of suspect convictions in each jurisdiction: the Royal Prerogative of Mercy process carried out by the New Zealand Ministry of Justice and the work of the English Criminal Cases Review Commission. This discussion presents the results of empirical research carried out by the author utilising the files of each of these bodies. It investigates the legal context in which each body functions, and provides an account of how each body functions in practice, by examining the circumstances in which each body will contemplate referring a matter back to an appeal court and the means by which a determination is made as to whether to do so in an individual case. In addition it examines the various factors (legal and non-legal) which impact on their work. Finally, the key features of the two systems are contrasted, with a discussion of the areas of similarity and difference, as well as the possible implications of these, in particular for reform of the New Zealand processes.
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Assy, Rabeea. "The right to litigate in person." Thesis, University of Oxford, 2011. http://ora.ox.ac.uk/objects/uuid:718698cd-9177-49fb-8fbb-336d809aa0ad.

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Litigation in person is a widespread phenomenon in common law jurisdictions. A right to litigate in person is treated as a fundamental right, regardless of whether the litigant has the financial means to hire a lawyer or the capacity to conduct litigation effectively. Due to the high numbers of litigants in person and the various burdens placed on judicial resources by their lack of legal knowledge, they pose a serious challenge to the effective and efficient administration of justice. This thesis assesses the theoretical value of a right to self-representation, and challenges the position that courts should not impose legal representation on a litigant nor require him to obtain such representation as a condition for litigation. It argues that a litigant who lacks the professional knowledge and skills to present his case effectively cannot legitimately insist upon representing himself if in doing so he is likely to inflict disproportionate costs on his opponent and on the administration of justice. This thesis advances the case for mandatory representation in civil proceedings on three main fronts: a comparison with the criminal context, an assessment of the value of self-representation in terms of outcome, and an examination of its possible intrinsic justifications.
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Books on the topic "Procedure of entering to the objects"

1

N, Olson James, ed. Breaking and entering: Burglars on burglary. Belmont, CA: Thomson/Wadsworth, 2004.

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Guo li gu gong bo wu yuan. Bian ji wei yuan hui., ed. Gu gong qian xi: The National Palace Museum entering the new millennium. Taibei Shi: Guo li gu gong bo wu yuan, 2000.

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N, Olson James, and Avary D'Aunn Wester, eds. Breaking and entering: An ethnographic analysis of burglary. Newbury Park, Calif: Sage Publications, 1991.

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1943-, Miller H. Richard, ed. Blazar Variability Workshop II: Entering the GLAST era : proceedings of a workshop held at Florida International University, Miami, Florida, USA, 10-12 April 2005. San Francisco, Calif: Astronomical Society of the Pacific, 2006.

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Court, Canada Supreme. [ General rules and orders which have been framed by the judges of the Supreme and Exchequer Courts for regulating the procedure of those courts, and for carrying out the other objects mentioned in Section 79 of "The Supreme and Exchequer Court Act"]. [Ottawa: s.n., 2002.

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Rossinskiy, Sergey. Pre-trial proceedings in a criminal case: the nature and methods of collecting evidence. ru: INFRA-M Academic Publishing LLC., 2021. http://dx.doi.org/10.12737/1244960.

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The monograph is devoted to a comprehensive review of the problems of pre-trial evidence collection as one of the stages of the general procedural mechanism aimed at establishing the circumstances relevant to the criminal case. The essence, methodological basis and system of investigative actions, forensic examinations and other procedural methods of collecting evidence that make up the modern arsenal of bodies of inquiry and preliminary investigation are investigated. The main cognitive and security technologies used in conducting investigative and other procedural actions are highlighted. The problems of the theory and legal regulation of the general rules of their implementation, the procedural status of their participants, fixing their progress and results, judicial control over their production are reflected; the actual problems of investigative inspection, examination, search, interrogation, confrontation, forensic examination, as well as the presentation, demand and seizure (seizure) of objects and documents are considered. Special attention is paid to the applied aspects, the analysis of errors and difficulties that arise in modern law enforcement practice, and possible ways to overcome them are proposed. For researchers and practitioners, teachers, postgraduates( adjuncts), students, as well as anyone interested in topical issues of criminal procedure law and criminology.
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Virginia Law Foundation. Committee on Continuing Legal Education. and Virginia Association of Defense Attorneys., eds. An Orientation for young lawyers entering a civil defense practice. [Richmond, Va.]: The Foundation, 1989.

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Cromwell, Paul F., and James N. Olson. Breaking and Entering: Burglars on Burglary. Wadsworth Publishing, 2003.

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Cromwell, Paul F., James N. Olson, and D'Aunn W. Avary. Breaking and Entering: An Ethnographic Analysis of Burglary (Studies in Crime, Law, and Criminal Justice). Sage Publications, Inc, 1990.

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Cromwell, Paul F., James N. Olson, and D'Aunn W. Avary. Breaking and Entering: An Ethnographic Analysis of Burglary (Studies in Crime, Law, and Criminal Justice). Sage Publications, Inc, 1990.

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Book chapters on the topic "Procedure of entering to the objects"

1

Bahsoun, Jean-Paul, Rami El-Baïda, and Hugues-Olivier Yar. "Decision Procedure for Temporal Logic of Concurrent Objects." In Euro-Par’99 Parallel Processing, 1344–52. Berlin, Heidelberg: Springer Berlin Heidelberg, 1999. http://dx.doi.org/10.1007/3-540-48311-x_190.

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Ravi, T. V., and K. Chidananda Gowda. "A NEW NONHIERARCHICAL CLUSTERING PROCEDURE FOR SYMBOLIC OBJECTS." In Intelligent Data Engineering and Automated Learning — IDEAL 2000. Data Mining, Financial Engineering, and Intelligent Agents, 35–41. Berlin, Heidelberg: Springer Berlin Heidelberg, 2000. http://dx.doi.org/10.1007/3-540-44491-2_6.

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D’Avenio, G., S. Donatiello, A. Secinaro, A. Palombo, B. Marino, A. Amodeo, and M. Grigioni. "Flow Patterns in Aortic Circulation Associated to the Mustard Procedure." In Computational Modeling of Objects Presented in Images, 51–63. Cham: Springer International Publishing, 2014. http://dx.doi.org/10.1007/978-3-319-04039-4_3.

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Lange, Tatjana, and Pavlo Mozharovskyi. "The Alpha-Procedure: A Nonparametric Invariant Method for Automatic Classification of Multi-Dimensional Objects." In Studies in Classification, Data Analysis, and Knowledge Organization, 79–86. Cham: Springer International Publishing, 2013. http://dx.doi.org/10.1007/978-3-319-01595-8_9.

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Livshits, Mikhail Yu, A. V. Nenashev, and B. B. Borodulin. "Efficient Computational Procedure for the Alternance Method of Optimizing the Temperature Regimes of Structures of Autonomous Objects." In Cyber-Physical Systems: Industry 4.0 Challenges, 79–88. Cham: Springer International Publishing, 2019. http://dx.doi.org/10.1007/978-3-030-32648-7_7.

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Verstreken, Kris, Johan Van Cleynenbreugel, Guy Marchal, Daniel van Steenberghe, and Paul Suetens. "A double scanning procedure for visualisation of radiolucent objects in soft tissues: Application to oral implant surgery planning." In Medical Image Computing and Computer-Assisted Intervention — MICCAI’98, 985–95. Berlin, Heidelberg: Springer Berlin Heidelberg, 1998. http://dx.doi.org/10.1007/bfb0056287.

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"Entering a consent order without the permission of the court." In Civil Procedure, 560–62. Routledge-Cavendish, 2012. http://dx.doi.org/10.4324/9781843145684-125.

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"Procedure Crystallized: The Graphics Processing Unit and the Rise of Computer Graphics." In Image Objects. The MIT Press, 2021. http://dx.doi.org/10.7551/mitpress/11077.003.0008.

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Auslander, Leora, and Tara Zahra. "Epilogue." In Objects of War, 309–18. Cornell University Press, 2018. http://dx.doi.org/10.7591/cornell/9781501720079.003.0012.

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This epilogue argues that war is a profound reminder of human materiality and fragility. Conflicts are made and decided through the interaction of human beings and the material world. The inquiries started in this book offer the foundation for a historically informed investigation of this interaction in the new forms of warfare in an age in which the virtual often seems to have more presence than the material. Indeed, new technologies have radically changed the materiality of war. Rather than physically encountering the enemy on the battlefield or entering homes as they invade enemy territory, for example, many soldiers are now sitting thousands of miles away launching missiles or operating drones that do first the reconnaissance and then the killing for them.
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Sime, Stuart. "13. Default Judgment." In A Practical Approach to Civil Procedure, 133–42. Oxford University Press, 2020. http://dx.doi.org/10.1093/he/9780198858386.003.0013.

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Judgment in default may be entered where the defendant fails to defend a claim. It produces a judgment in favour of a claimant without holding a trial. This chapter discusses when default judgment may be entered; cases excluded from judgment in default; entering default judgment; final judgment and judgment for an amount to be decided; deciding the amount of damages; setting aside default judgments; and stay of undefended cases.
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Conference papers on the topic "Procedure of entering to the objects"

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Tolpadi, Anil K., and Mark E. Braaten. "Numerical Study of Branched Turboprop Inlet Ducts Using a Multiple Block Grid Procedure." In ASME 1991 International Gas Turbine and Aeroengine Congress and Exposition. American Society of Mechanical Engineers, 1991. http://dx.doi.org/10.1115/91-gt-339.

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An important requirement in the design of an inlet duct of a turboprop engine is the ability to provide foreign object damage protection. A possible method for providing this protection is to include a bypass branch duct as an integral part of the main inlet duct. This arrangement would divert ingested debris away from the engine through the bypass. However, such an arrangement could raise the possibility of separated flow in the inlet, which in turn can increase pressure losses if not properly accounted for during the design. A fully elliptic three-dimensional body-fitted computational fluid dynamics (CFD) code based on pressure correction techniques has been developed that has the capability of performing multiple block grid calculations compatible with present day turboshaft and turboprop branched inlet ducts. Calculations are iteratively performed between sets of overlapping grids with one grid representing the main duct and a second grid representing the branch duct. Both the grid generator and the flow solver have been suitably developed to achieve this capability. The code can handle multiple branches in the flow. Using the converged flow field from this code, another program was written to perform a particle trajectory analysis. Numerical solutions were obtained on a supercomputer for a typical branched duct for which experimental flow and pressure measurements were also made. The flow separation zones predicted by the calculations were found to be in good agreement with those observed in the experimental tests. The total pressure recovery factors measured in the experiments were also compared with those obtained numerically. Within the limits of the grid resolution and the turbulence model, the agreement was found to be fairly good. In order to simulate the path of debris entering the duct, the trajectories of spherical particles of different sizes introduced at the inlet were determined.
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Ivakhiv, Orest, Markiyan Nakonechnyi, Oleksandr Viter, Grygoriy Hladiy, Inna Shylinska, and Taras Lendyuk. "Optimization of Complex Dynamic Objects Survey Procedure." In 2019 10th IEEE International Conference on Intelligent Data Acquisition and Advanced Computing Systems: Technology and Applications (IDAACS). IEEE, 2019. http://dx.doi.org/10.1109/idaacs.2019.8924415.

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Polewski, M., P. Kozakowski, R. Lech, and J. Mazur. "Fast iterative procedure for wave scattering by cylindrical objects." In 2005 European Microwave Conference. IEEE, 2005. http://dx.doi.org/10.1109/eumc.2005.1610040.

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Ikeda, Saori, Toru Tajima, Junya Abe, and Ikumi Matsuda. "Improved Re-Entry Prediction Method Using the Last-Minute Motion of Re-Entering Objects." In SpaceOps 2014 Conference. Reston, Virginia: American Institute of Aeronautics and Astronautics, 2014. http://dx.doi.org/10.2514/6.2014-1836.

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Zheng, Tan, Wu Feng, and Liu Min. "Research on process planning of data entering outsourcing based on task cost and duration objects." In 2011 8th International Conference on Service Systems and Service Management (ICSSSM 2011). IEEE, 2011. http://dx.doi.org/10.1109/icsssm.2011.5959320.

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Blake, Douglas, and Joseph Shang. "A procedure for rapid prediction of electromagnetic scattering from complex objects." In 29th AIAA, Plasmadynamics and Lasers Conference. Reston, Virigina: American Institute of Aeronautics and Astronautics, 1998. http://dx.doi.org/10.2514/6.1998-2925.

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Kabbes, Andrew, D. Marc Kilgour, Ross Cressman, Ilias Kotsireas, Roderick Melnik, and Brian West. "A Procedure for Fair Division of Indivisible, Identical Objects with Entitlements." In ADVANCES IN MATHEMATICAL AND COMPUTATIONAL METHODS: ADDRESSING MODERN CHALLENGES OF SCIENCE, TECHNOLOGY, AND SOCIETY. AIP, 2011. http://dx.doi.org/10.1063/1.3663497.

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Xu, Qiang, and Cong Jin. "Study of interaction procedure of fine water mist with hot objects." In AeroSense 2003, edited by K. Elliott Cramer and Xavier P. Maldague. SPIE, 2003. http://dx.doi.org/10.1117/12.485916.

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Bart, Mischa, Johannes Buurman, and Robert P. W. Duin. "Learning procedure for the recognition of 3-D objects from 2-D images." In Boston - DL tentative, edited by David P. Casasent. SPIE, 1991. http://dx.doi.org/10.1117/12.25135.

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"PROCEDURE FOR MOVING OBJECTS OF WILD FLORA AND FAUNA ACROSS THE CUSTOMS BORDER." In Russian science: actual researches and developments. Samara State University of Economics, 2020. http://dx.doi.org/10.46554/russian.science-2020.03-2-490/493.

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Reports on the topic "Procedure of entering to the objects"

1

Conrad, Cyler. A Standard Operating Procedure for the Inadvertent Discovery of Native American Human Remains and Associated Funerary Objects, Sacred Objects, or Objects of Cultural Patrimony at Los Alamos National Laboratory In Compliance with the Native American Graves Protection and Repatriation Act [25 U.S.C. 3002(d), 43 C.F.R. 10.4]. Office of Scientific and Technical Information (OSTI), September 2020. http://dx.doi.org/10.2172/1660569.

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Kuznetsov, Victor, Vladislav Litvinenko, Egor Bykov, and Vadim Lukin. A program for determining the area of the object entering the IR sensor grid, as well as determining the dynamic characteristics. Science and Innovation Center Publishing House, April 2021. http://dx.doi.org/10.12731/bykov.0415.15042021.

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Currently, to evaluate the dynamic characteristics of objects, quite a large number of devices are used in the form of chronographs, which consist of various optical, thermal and laser sensors. Among the problems of these devices, the following can be distinguished: the lack of recording of the received data; the inaccessibility of taking into account the trajectory of the object flying in the sensor area, as well as taking into consideration the trajectory of the object during the approach to the device frame. The signal received from the infrared sensors is recorded in a separate document in txt format, in the form of a table. When you turn to the document, data is read from the current position of the input data stream in the specified list by an argument in accordance with the given condition. As a result of reading the data, it forms an array that includes N number of columns. The array is constructed in a such way that the first column includes time values, and columns 2...N- the value of voltage . The algorithm uses cycles that perform the function of deleting array rows where there is a fact of exceeding the threshold value in more than two columns, as well as rows where the threshold level was not exceeded. The modified array is converted into two new arrays, each of which includes data from different sensor frames. An array with the coordinates of the centers of the sensor operation zones was created to apply the Pythagorean theorem in three-dimensional space, which is necessary for calculating the exact distance between the zones. The time is determined by the difference in the response of the first and second sensor frames. Knowing the path and time, we are able to calculate the exact speed of the object. For visualization, the oscillograms of each sensor channel were displayed, and a chronograph model was created. The chronograph model highlights in purple the area where the threshold has been exceeded.
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