Academic literature on the topic 'Proceedings in antimonopoly cases'

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Journal articles on the topic "Proceedings in antimonopoly cases"

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Vovkivskaya, L. V., and E. V. Savostina. "Analytical review of judicial cases involving antitrust body." Russian competition law and economy, no. 4 (August 20, 2021): 90–93. http://dx.doi.org/10.47361/2542-0259-2020-4-24-90-93.

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Analysis of the arbitration court’s legal positions in cases of violation of antimonopoly legislation on the following issues: limitation period for the institution of administrative proceedings for merger deals, determining the dominant position of an economic entity, court actions against, Antimonopoly service warnings, administrative fines reductions, ways of proving anti-competitive agreements. Purpose: the formation of uniform approaches in law enforcement practice in cases of violation of antitrust laws.
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Shkliar, Sergii, and Olha Bulaieva. "PROTECTION OF ECONOMIC COMPETITION: AN OVERVIEW OF THE LATEST LEGISLATIVE NOVELTIES." Administrative law and process, no. 2(25) (2019): 165–71. http://dx.doi.org/10.17721/2227-796x.2019.2.11.

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Purpose. The article is dedicated to the analysis of the main changes introduced by the Law of Ukraine “On Amendments to Some Laws of Ukraine ensuring the principles of procedural justice and increasing the efficiency of proceedings in cases of violations of the legislation on the protection of economic competition”. Methods. Law of Ukraine “On Amendments to Some Laws of Ukraine ensuring the principles of procedural justice and increasing the efficiency of proceedings in cases of violations of the legislation on the protection of economic competition” proposes the implementation of several novelties. Among them are: the restriction for the Antimonopoly Committee of Ukraine by certain time limits for considering cases; possibility of extension of the term for consideration of cases by decision of the Committee’s State Commissioner or head of a territorial office; renewal of deadlines for consideration of cases where the respondent is replaced or a co-respondent is involved; provision for the consequences of missing the deadlines for considering cases and also the mechanism of consultations during the consideration of a case, which may be appointed either on the initiative of the Antimonopoly Committee of Ukraine or on the motion of interested persons. Results. The abovementioned amendments will influence the existing system of economic competition protection in a serious way. Among the changes are: – the fine for delayed payment of a fine imposed by the Antimonopoly Committees of Ukraine decision on violation of the legislation on the protection of economic competition is cancelled; – the member of the Antimonopoly Committee of Ukraine who conducted or organized an investigation is deprived of the right to vote in the process of decision-making in the respective case; – the procedure for holding hearings is defined; – recusals and self-recusals are envisaged for the Antimonopoly Committee of Ukraine officers; – the grounds for acquiring the third-party status in a case are changed; – the rights of persons involved in the case are specified and expanded. An important remark of the Law of Ukraine “On Amendments to Some Laws of Ukraine ensuring the principles of procedural justice and increasing the efficiency of proceedings in cases of violations of the legislation on the protection of economic competition” is that a person that is exempted from liability or whose fine is reduced shall still be liable for damage caused by the violation to other persons. Conclusions. As a result, Law of Ukraine “On Amendments to Some Laws of Ukraine ensuring the principles of procedural justice and increasing the efficiency of proceedings in cases of violations of the legislation on the protection of economic competition” is expected to become an important step forward in increasing the effectiveness of investigations into violations of the legislation on the protection of economic competition. It can also be regarded as the next step to harmonize Ukrainian legislation with the European Union acquis.
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Usoltseva, Z. A. "Pre-trial Procedure for the Resolution of Disagreements and Disputes Arising from the Establishment of Regulated Tariffs (Prices)." Rossijskoe pravosudie 3 (February 21, 2020): 21–28. http://dx.doi.org/10.37399/issn2072-909x.2020.3.21-28.

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The article considers the current pre-trial (extrajudicial) procedure for considering disputes and disagreements arising from the tariff setting. Several provisions of the draft Federal Law «On the Fundamentals of State Regulation of Prices (Tariffs)» prepared by the Federal Antimonopoly Service of Russia are analyzed, and the relevant amendments to this draft, as well as to the Code of Administrative Proceedings of the Russian Federation, are proposed. The article substantiates the expediency of legislative establishment of the obligatory pre-trial procedure for the consideration of cases on contestation of regulatory legal acts establishing tariffs (prices) by specialized departments of the Federal Antimonopoly Service of Russia.
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Vovkivskaya, L. V., and E. V. Savostina. "Analytical review of judicial cases considered with the participation of an antimonopoly body." Russian competition law and economy, no. 1 (March 30, 2020): 92–95. http://dx.doi.org/10.32686/2542-0259-2020-1-92-95.

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The review contains an analysis of the legal positions of the arbitration courts in cases of violation of the antimonopoly legislation regarding the consideration of the following issues: an order of the antimonopoly body on transferring to the budget the income received as a result of violation of the antimonopoly law; non-payment of services received under the contract as an abuse of a dominant position; trust agreement as a condition for the admissibility of an anti-competitive agreement; claims of the antimonopoly body on forcing an economic entity to comply with the instructions of this body.Purpose: the formation of uniform approaches in law enforcement practice in cases of violation of antitrust laws.
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Avdasheva, S., and A. Shastitko. "Economic Analysis in Cases Settled According to the Law "On the Protection of Competition"." Voprosy Ekonomiki, no. 2 (February 20, 2011): 122–39. http://dx.doi.org/10.32609/0042-8736-2011-2-122-139.

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The article focuses on economic analysis in cases of violation of the Russian antimonopoly legislation. It presents quantitative characteristics of various tools of economic analysis, prescribed by the rules of analysis and assessment of competition, developed by the Federal Antimonopoly Service. They are based on a small sample of cases filed by the Russian competition authorities. Sources of demand for higher standards of economic analysis in cases of violation of antitrust laws are under consideration.
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Konopkina, E. E., and M. I. Matyashevskaya. "Practice of the Appeal Board of the Federal Antimonopoly Service (Russia) (Scientific review of the most significant cases examined in the fourth quarter of 2019)." Russian competition law and economy, no. 1 (March 30, 2020): 96–100. http://dx.doi.org/10.32686/2542-0259-2020-1-96-100.

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Ratio of regional antimonopoly`s decisions appealed under collegial body of the Federal antimonopoly service related to the establishment of the facts of the conclusion of prohibited competition-restricting agreements exceeds the part of the other decisions.In most cases, this is related to the issues of proving the arrangement and implementation of competition-restricting agreement, because not always certain circumstances can clearly indicate the fact of conclusion of such agreement.The most interesting are the cases of «bid rigging» cartels, which are prohibited by paragraph 2 of the part 1 of article 11 of the Federal law "On protection of competition" (hereinafter — the Law on protection of competition). Establishing that competitionrestricting agreements in each case, all collected in the case on violation of Antimonopoly legislation of the evidence to be assessed, without which it is impossible to make an informed decision on the case, and defendants in cases usually do not agree with the competition authority of certain evidence as proof of anti-competitive agreements.
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Tarasova, D. V., A. A. Oganesyan, and A. A. Ladeyshchikov. "Antimonopoly aspects of “vertical” agreements in the online trade." Russian competition law and economy, no. 3 (September 30, 2018): 38–43. http://dx.doi.org/10.32686/2542-0259-2018-3-38-43.

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This article provides for a brief overview of certain antimonopoly aspects related to vertical agreements concluded in the area of sales through Internet. In Russia, the antimonopoly practice has started developing. The authors therefore suggest analyzing certain cases considered in foreign countries that may be interesting and useful for the companies engaged in sales through various Internet resources on the Russian market.
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Vovkivskaya, L. V., and E. V. Savostina. "Analytical review of antitrust judicial practice (second half of 2019)." Russian competition law and economy, no. 4 (December 30, 2019): 74–77. http://dx.doi.org/10.32686/2542-0259-2019-4-74-77.

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The review contains an analysis of the legal positions of the arbitration courts of the Russian Federation in cases of violation of the antimonopoly legislation regarding the consideration of the following issues: the primacy of antimonopoly control in relation to entities holding a dominant position; creation by the customer of unequal conditions for the participation of persons in procurement; inaction of the authority, leading to restriction of competition; creating benefits for a particular business entity during the procurement; repetition when brought to administrative responsibility. The purpose of the analytical review is the formation of uniform approaches in law enforcement practice in cases of violation of antitrust laws.
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Kosyakina, Anastasia, and Alina Podlesnaya. "Counteraction to Monopolistic Activity in the Field of Software on the Example of Cases against Microsoft." Scientific Research of Faculty of Economics. Electronic Journal 10, no. 2 (2018): 29–52. http://dx.doi.org/10.38050/2078-3809-2018-10-2-29-52.

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The present work is devoted to the description of the evolution of antimonopoly cases brought against Microsoft by the American, European and Russian antimonopoly authorities. The focus of this work is on assessing the ability of Microsoft as a manufacturer of an operating system that occupies a dominant position that can influence competition in the application software market, including the browser market, antivirus protection and media players. The position in the market of operating systems is closely related to the presence of direct and indirect network effects. It was found that in most cases Microsoft was accused of obtaining vertical restrictions and related sales in order to restrict competition. In addition, in later antitrust cases against Microsoft, there has been an increasing focus on behavioral aspects.
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Pisenko, Кirill А. "Current Issues and Problems of Challenging Legal Proceedings for Antimonopoly Control of Administrative Offences Legal in Courts." Pravosudie / Justice 3, no. 2 (2021): 103–16. http://dx.doi.org/10.37399/2686-9241.2021.2.103-116.

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Introduction. The article is devoted to the development of methods of solving the current issues and problems of how to challenge legal acts of administrative offence proceedings for antimonopoly control in the courts. The focus is on the problem of the balance of interests between support for, and on the other hand increasing the burden on the judicial system of administrative procedural regulations for challenging such acts. Theoretical Basis. Methods. The theoretical basis of this article is the works of domestic and foreign researchers in the field of jurisprudence. This is primarily the administration and administrative procedures, antimonopoly (competition) law, business law and their related scientific fields. The methodological basis of this research is a combination of philosophical, general scientific and private scientific methods of cognition. Results. This study of administrative and procedural antimonopoly regulation has shown that there is no well-thought-out system of legal means in the legislation that meets the needs of en- suring a balance of interests in terms of approaches to procedural economy and the efficiency of using public and private resources. As a result, administrative and judicial proceedings in- crease for the same events of alleged violations whilst there is an absence of an objective need to engage in many of them. This leads to overloading of the judicial system, an unreasonable expenditure of public resources and costs of participants in the process. It creates unreason- able economic-legal barriers, resulting in the distraction of the forces and resources of the state and the private sector from solving problems of social-economic development and socially useful business activity. Discussion and Conclusion. To overcome this complicated problem, obviously, requires legisla- tive change, confidently using the principles of law, and an analogy of law that will form the ap- proaches for the objective needs of the balance of interests. This paper contains specific propos- als for the development of such approaches.
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Dissertations / Theses on the topic "Proceedings in antimonopoly cases"

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Doherty, Paula. "Resolving 'edge of care' proceedings cases: getting by and tipping points." Thesis, Lancaster University, 2013. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.646024.

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Grobecker, Reeve. "The Effect of Shifting Cases from District Courts to Administrative Proceedings at the Securities and Exchange Commission." Scholarship @ Claremont, 2019. https://scholarship.claremont.edu/cmc_theses/2274.

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Using a set of 4708 observations, we analyze the impact of Dodd-Frank on shifting cases from federal courts to administrative courts. Overall, we find that there is a higher probability of a case being an administrative proceeding post Dodd-Frank. In addition, we find a higher average total payment for administrative proceedings post Dodd-Frank, and a lower average total payment for federal court cases post Dodd-Frank. We also find a higher average disgorgement payment for administrative proceedings post Dodd-Frank. While this finding could be the result of the SEC shifting more complex and thus higher paying cases from federal courts to its own, we find that the SEC is not shifting cases strictly away from federal courts that have the highest average payments. Higher average disgorgement payments are simply the result of the SEC litigating more cases with higher average payments in general. Lastly, we find a higher probability of settling for administrative proceedings overall. However, settlement rates for administrative proceedings decrease post Dodd-Frank. This finding reflects an overall decrease in the SEC’s “home court” advantage and undermines the argument that the SEC is shifting weaker cases to its own courts.
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Mangezi, Mutsa. "International law before municipal courts: the role of International Court of Justice decisions in domestic court proceedings with specific reference to United States case examples." Thesis, Rhodes University, 2008. http://hdl.handle.net/10962/d1007325.

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In the case of LaGrand (Germany v United States), the International Court of Justice held that the United States (US) had violated its international obligation to Germany under the Vienna Convention on Consular Relations when it executed two German nationals without first informing them of their consular rights. The case came before the court after the United States had disregarded a preliminary ruling passed by the IC], which directed the US not to execute the German nationals pending the outcome of the ICJ case. The decision raised the issue of the effect of ICJ decisions in domestic proceedings and the effectiveness of ICJ enforcement mechanisms. This thesis considers the possibility of a role for national courts as active enforcers of ICJ decisions. It is argued that whilst evidence shows that there is no legal obligation on courts to enforce ICJ decisions, there is certainly room in international law to facilitate this development. In support of this argument, the thesis demonstrates how basic presuppositions about international law have shifted over the last few decades. This shift has been both the impetus and the result of globalisation. The case of LaGrand alongside similar cases is used to show how national courts may play an increased role in the enforcement of ICJ decisions.
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Genis, Marina. "A content analysis of forensic psychological reports written for sentencing proceedings in criminal court cases in South Africa." Pretoria : [s.n.], 2009. http://upetd.up.ac.za/thesis/available/etd-03302010-141420.

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Genis, Marina. "A content analysis of forensic psychological reports written for sentencing proceedings in criminal court cases in South Africa." Diss., University of Pretoria, 2008. http://hdl.handle.net/2263/23628.

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Since the 1970s there has been a rising trend in South Africa for legal professionals to use the services of psychologists in legal proceedings. Psychologists have therefore increasingly started to appear as expert witnesses in court cases. Despite this, the field of forensic psychology in South Africa has yet to be defined and delineated. Currently there are no set guidelines or regulations regarding who is qualified to do forensic work, and no standards against which this work can be measured. Psychology in the courtroom has begun to receive a notorious reputation as a result of this. The Professional Board for Psychology (PBP) of the Health Professions Council of South Africa (HPCSA) is investigating the creation of a new category of registration, that of Forensic Psychologist, partly in an effort to manage and address this problem. However, to date little, if any, research has been conducted on the scope of the work presented to the courts by psychologists appearing as expert witnesses. This research aimed to address this gap by analysing a sample of forensic psychological reports. The following aspects were investigated: <ul><li>Who (category or registration, length of registration, etc.) is doing sentencing reports;</li> <li>How (interviews, collateral information, psychometric tests, etc.) these reports are compiled; and</li> <li>Whether these reports measure up to professional expectations as well as adhere to the guidelines of the HPCSA.</li></ul> It is clear from the results of this research that some of the psychologists doing forensic assessments and writing reports do so in an idiosyncratic way. Besides the fact that no uniformity exists, forensic work is sometimes done by psychologists who are not qualified to do so in terms of their registration category and thus their scope of practice. The reports analysed did not always measure up to guidelines or professional standards from abroad (in lieu of local standards or guidelines for reports) and/or transgressions were made in terms of HPCSA policies and guidelines. This situation is understandable in the light of two shortfalls in this field, namely training and regulation. The following recommendations can be made on the basis of this study: <ul><li>That psychologists who are adequately trained and have the proven experience in forensic work, be accredited by the PBP;</li> <li>That guidelines and standards for forensic work be drawn up by the PBP; in addition, that more complete ethical guidelines than those contained in chapter 7 of the PBP’s Rules of Conduct Pertaining Specifically to Psychology also be drawn up;</li> <li>That adequate training at MA level in basic forensic issues be made compulsory, with the option of advanced training for those wishing to specialise in the field; and</li> <li>That lawyers be trained in basic concepts of psychology so as to allow for better selection of an appropriate psychologist to assist them and also to assure effective cross-examination regarding psychological issues in court.</li></ul> If these recommendations were implemented, they could aid in regulating the field, thus producing forensic work of a consistently high quality. This will hopefully help to narrow the gap between the expected and actual interaction between law and psychology. Copyright<br>Dissertation (MA)--University of Pretoria, 2010.<br>Psychology<br>unrestricted
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Olofsson, Sara. "Concurrent jurisdiction and parallel investigations and criminal proceedings in cases of foreign bribery : With focus on global settlement agreements." Thesis, Uppsala universitet, Juridiska institutionen, 2016. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-295160.

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Saunders, Marilyn C. "Adolescent girls testifying in a criminal court in cases of sexual abuse or rape a narrative analysis /." Pretoria : [s.n.], 2007. http://upetd.up.ac.za/thesis/available/etd-04292008-110951.

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Forrester, Kim, and n/a. "The Impact of Structural (Legislation and Policy), Professional and Process Factors on the Outcomes of Disciplinary Tribunals and Committees in Cases of Sexual Misconduct and Incompetent or Unsafe Practice." Griffith University. School of Nursing, 2004. http://www4.gu.edu.au:8080/adt-root/public/adt-QGU20040615.144659.

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This study was conducted in the context of the regulation of professional nursing and midwifery practice in the Australian health care system. In this environment, professional regulatory authorities established by State and Territory legislation in all jurisdictions, regulate and control the work of health professionals. In Queensland, registered nurses, enrolled nurses and midwives are regulated by the Queensland Nursing Council, the statutory body created by the Nursing Act 1992 (Qld). Part of the regulatory role of this and other authorities is to discipline professionals whose conduct or behaviour falls short of appropriate and acceptable standards of practice. All regulated health professionals, including nurses and midwives, are potentially subject to professional disciplinary action if a complaint is lodged in relation to their conduct. This being an important issue in the management and delivery of health care, and an increased trend among health care consumers, the dearth of existing research into the disciplinary process is a major concern. This exploratory study examined the disciplinary role of the Queensland Nursing Council in adhering to its legislative mandate to ensure safe and competent nursing practice. The study focused on the extent to which structural (legislation and policy), professional, and process factors impacted on the outcomes of disciplinary Tribunals and Committees in cases of incompetent or unsafe practice and sexual misconduct. The study was situated within the interpretive paradigm using a case study approach. Specifically, it investigated cases of sexual misconduct by nurses and unsafe or incompetent practice by midwives. The study was guided by Donabedian's conceptual framework of structure-process-outcome. This framework was seen to be most suited to the aims of the study and provided a template for in-depth analysis of the data emerging from the two cases. The findings of this study provided insight into the factors underpinning the decisions of the disciplinary bodies in making determinations and formulating outcomes. There was found to be a lack of consistency and predictability in both the legislative frameworks and the interpretation of terms and concepts used to identify conduct warranting a disciplinary response from regulatory authorities. Although the processes of disciplinary proceedings are prescribed by both legislation and policy, their practical application was characterised by considerable challenges, which resulted in varying outcomes. The thesis reports this information so that it can be used as an initial basis to build a body of knowledge from practical experience with disciplinary proceedings that will inform future processes. Subsequent case studies in other contexts and systems will increase the level of knowledge available to nurses, other health care providers, health care institutions and regulatory authorities. The initial base of evidence suggests implications for practice, education and further research which are outlined in the final chapter of the thesis.
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Samuelson, Jan. "Den svenska ersättningsmodellen för rättegångskostnader i skattemål i ljuset av rätten till rättvis rättegång." Thesis, Stockholms universitet, Juridiska institutionen, 2018. http://urn.kb.se/resolve?urn=urn:nbn:se:su:diva-157185.

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Access to justice and the right to a fair trial are basic human rights explicitly stipulated in the European Convention on Human Rights (ECHR) as well as in the Swedish constitution. The fundamental meaning of these rights is that everyone should have an effective option for bringing their case to a court governed by the rule of law. Counsel fees and other process-costs may constitute a significant barrier to entry for an individual bringing his or her case to the court. Consequently, such cost-related barriers may deprive individuals of their right to a fair trial in practice. This fact is recognised in many legislations through legal aid provisions, reimbursement rules or similar mechanisms with the common purpose of eliminating, or at least lowering, the cost-barrier in question for the individual. Tax cases are often complex, and the average taxpayer would typically need to obtain legal counsel to vindicate his or her rights in a dispute with the tax authority. The taxpayer’s costs for such vindication may consequently be high. Swedish legislation stipulates that such costs under certain circumstances can be reimbursed by the state. In practice, however, the taxpayer seldom gets reimbursed for the full cost or even the majority of the cost, regardless of the outcome of the case. Even if the taxpayer wins the court case against the tax authority, it is not unusual that the taxpayer gets no reimbursement at all. This thesis analyses the Swedish reimbursement model for process-costs in tax cases and how it relates to the right to a fair trial. The question is whether the relevant legislation, and/or the courts’ application of it, risks being in breach of the ECHR’s and/or the Swedish constitution’s stipulated right to a fair trial. This thesis argues that it does; not as a result of the legislation itself, but because of the courts’ application of it. The risk of violating the right to a fair trial correlates primarily with two factors. These are what are at stake for the taxpayer (typically the disputed tax amount) and the complexity of the legal issues involved in the case. Trigger points for when the respective factor comes into play from a human rights perspective are analysed and discussed in the thesis. When they do, the absence of real possibilities of reimbursement of process-costs in a given tax case may constitute an unacceptable barrier for the individual to access justice and get a fair trial.
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Kouchanou, Balbine Léa Modukpé. "Les rapports entre la justice étatique et la justice arbitrale : Etude comparative France-OHADA." Thesis, Perpignan, 2019. http://www.theses.fr/2019PERP0011.

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L’arbitrage est un moyen de gestion de litige apprécié et privilégié par les acteurs du commerce international. Son bon fonctionnement dépend de la justice étatique. Ces deux appareils doivent entretenir un rapport tantôt fusionnel et tantôt concurrentiel. Le déroulement de cette relation peut réciproquement susciter des complications et de la méfiance. En France comme dans plusieurs autres États de l’Afrique subsaharienne, le juge étatique est le collaborateur de l’arbitre malgré l’envergure de leurs rapports. Ces États reconnaissent à la justice étatique son pouvoir explicite et implicite durant l’arbitrage. La présente recherche et étude aborde la mise en œuvre des compétences respectives attribuées à l’arbitre et au juge durant l’arbitrage. Afin d’accentuer et de pérenniser le bon déroulement de l’arbitrage en France et en Afrique francophone, cette étude s’est attardée sur la question de l’arbitrabilité et du développement économique. Après avoir énuméré des réalités freinant la floraison durable de l’arbitrage en Afrique, quelques solutions sont proposées pour le préserver de tout dysfonctionnement<br>Arbitration has been used to resolving cases appreciated by international trade actors. However, well-functioning depends upon state justice. Both devices should have maintain a fusional and competitive relationship. The unfolding of this relationship can reciprocally bring complications and mistrust. State judge is referee’s collaborator despite the spacing of reports in France and several other states in sub-Saharan Africa. These states recognize the explicit and implicit power of state justice during arbitration. This study approaches courts assigned to the arbitrator and judge during their challenge. In order to accentuate and sustain the smooth running of arbitration in France and Francophone Africa, this research has been focused on the issue of economic development. After listing realities hindering the flowering of arbitration in this part of Africa, some solutions have been proposed to preserve this method of dispute resolution of dysfunction
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Books on the topic "Proceedings in antimonopoly cases"

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1953-, Kurita Makoto, Tōjō Yoshizumi 1966-, and Takeda Kuninobu 1971-, eds. Jōbun kara manabu Dokusen kinshihō: Antimonopoly law : text, outline, and cases. Yūhikaku, 2014.

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Shea, Karen Sweeney, Patricia A. Gorman, Peter J. Duffy, and Michael Gabriel Xavier. Modification & contempt proceedings in divorce cases. MCLE New England, 2013.

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Kane, Martin F., Jeffrey A. Abber, Karen Sweeney Shea, and Michael Gabriel Xavier. Modification & contempt proceedings in divorce cases. MCLE New England, 2012.

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LeCesne, Blaine G. Special proceedings in Louisiana civil procedure: Commentary and cases. Esquire Books, Inc., 2015.

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Paño, Ernani Cruz. Notes and cases on the Revised Rule on Summary Procedure, 1991. Published & distributed by Rex Book Store, 1991.

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Shapiro, Keith J. Searching for the core: A survey of decisions interpreting core vs. noncore proceedings. Professional Education Systems, 1988.

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Miller, Tobin L. Child protective proceedings benchbook: A guide to abuse and neglect cases. Michigan Judicial Institute, 1999.

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Miller, Tobin L. Child protective proceedings benchbook: A guide to abuse and neglect cases. Michigan Judicial Institute, 2003.

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Professional Case Conference (1989 Seattle, Wash.). Small remedies & interesting cases: Proceedings of the 1989 Professional Case Conference. Edited by King Stephen and International Foundation for Homeopathy. International Foundation for Homeopathy, 1990.

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Briscoe, Andrew. Disciplinary proceedings against senior staff. Morula Press, 2002.

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Book chapters on the topic "Proceedings in antimonopoly cases"

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Teleki, Alexander-Cosmin, Maria Fritz, and Matthias Kreimeyer. "Use cases for automated driving commercial vehicles." In Proceedings. Springer Fachmedien Wiesbaden, 2017. http://dx.doi.org/10.1007/978-3-658-19059-0_11.

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Lampé, Zs, and L. Kolozsvári. "Ultrasonography in cases of phthisis bulbi." In Documenta Ophthalmologica Proceedings Series. Springer Netherlands, 1993. http://dx.doi.org/10.1007/978-94-011-1846-0_44.

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Pape, Anna-Antonia, Sonja Cornelsen, Victor Faeßler, et al. "Empathic assistants – Methods and use cases in automated and non-automated driving." In Proceedings. Springer Fachmedien Wiesbaden, 2020. http://dx.doi.org/10.1007/978-3-658-29943-9_34.

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Lin, Kang Ping, Po-Chung Shih, Keng Hung Lin, et al. "Feature Evaluation of Flow Limitation in Obstructive Sleep Apnea Cases." In IFMBE Proceedings. Springer International Publishing, 2014. http://dx.doi.org/10.1007/978-3-319-02913-9_140.

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Fukiyama, J., N. Nao-I, F. Maruiwa, and A. Sawada. "Two cases of benign lacrimal gland tumors." In Documenta Ophthalmologica Proceedings Series. Springer Netherlands, 1993. http://dx.doi.org/10.1007/978-94-011-1846-0_10.

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Cilla, Savino, Anna Ianiro, Gabriella Macchia, Alessio G. Morganti, Vincenzo Valentini, and Francesco Deodato. "Automated VMAT Treatment Planning for Complex Cancer Cases: A Feasibility Study." In IFMBE Proceedings. Springer Singapore, 2018. http://dx.doi.org/10.1007/978-981-10-9023-3_84.

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Lombardi, A., L. A. Irarrazaval, J. O. Croxatto, R. Hulsbus, R. Fernández Meijide, and E. S. Malbrán. "Ultrasonographic findings in selected cases of masquerading syndrome." In Documenta Ophthalmologica Proceedings Series. Springer Netherlands, 1990. http://dx.doi.org/10.1007/978-94-009-0601-3_39.

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Filipov, D., K. C. Mafra, H. R. Schelin, and D. S. Soboll. "Fetal Dose Evaluation in X-Ray Radiotherapy in Cases of Advanced Gestation." In IFMBE Proceedings. Springer Berlin Heidelberg, 2009. http://dx.doi.org/10.1007/978-3-642-03902-7_148.

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Krause, D., J. Tongio, J. L. Drape, and D. Maitrot. "Cervical chemonucleolysis: a study of 130 cases." In Proceedings of the XIV Symposium Neuroradiologicum. Springer Berlin Heidelberg, 1991. http://dx.doi.org/10.1007/978-3-642-49329-4_49.

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Kotschenreuther, Thomas, and A. Rupalla. "The impact of the introduction of DoIP and Ethernet for the development of electric vehicles – Use cases and benefits." In Proceedings. Springer Fachmedien Wiesbaden, 2015. http://dx.doi.org/10.1007/978-3-658-08844-6_87.

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Conference papers on the topic "Proceedings in antimonopoly cases"

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Mokronosov, A., A. Аnisimov, and M. Аnisimova. "Forming the institutional principles of antimonopoly regulation in the digital economy." In Proceedings of the 2nd International Scientific conference on New Industrialization: Global, national, regional dimension (SICNI 2018). Atlantis Press, 2019. http://dx.doi.org/10.2991/sicni-18.2019.42.

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Lindström, Fredrik. "Experiences of use cases and similar concepts." In Addendum to the proceedings. ACM Press, 1992. http://dx.doi.org/10.1145/157709.157732.

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Samavarchi, Hassan, Mohammad Reza Dehghani, and Heydar Ghasemzadeh. "Improving Basic Cases of Data Mining." In Proceedings of the International Conference on ICCNT 2009. WORLD SCIENTIFIC, 2009. http://dx.doi.org/10.1142/9789814289771_0017.

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Blackwell, N., S. Leinster-Evans, and S. K. Dawkins. "Developing safety cases for integrated flight systems." In 1999 IEEE Aerospace Conference. Proceedings (Cat. No.99TH8403). IEEE, 1999. http://dx.doi.org/10.1109/aero.1999.790204.

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Liwu Li. "Translating use cases to sequence diagrams." In Proceedings of ASE 2000 15th IEEE International Automated Software Engineering Conference. IEEE, 2000. http://dx.doi.org/10.1109/ase.2000.873681.

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Mizik, S., P. Baranyi, P. Korondi, and L. T. Koczy. "Widely popular cases of fuzzy rule interpolation techniques." In Proceedings of 8th International Fuzzy Systems Conference. IEEE, 1999. http://dx.doi.org/10.1109/fuzzy.1999.793271.

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Grabar, Natalia, Vincent Claveau, and Clément Dalloux. "CAS: French Corpus with Clinical Cases." In Proceedings of the Ninth International Workshop on Health Text Mining and Information Analysis. Association for Computational Linguistics, 2018. http://dx.doi.org/10.18653/v1/w18-5614.

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Heyden, A., and K. Astrom. "Flexible calibration: minimal cases for auto-calibration." In Proceedings of the Seventh IEEE International Conference on Computer Vision. IEEE, 1999. http://dx.doi.org/10.1109/iccv.1999.791241.

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Barnett, M., W. Grieskamp, W. Schulte, N. Tillmann, and M. Veanes. "Validating use-cases with the AsmL test tool." In Third International Conference on Quality Software, 2003. Proceedings. IEEE, 2003. http://dx.doi.org/10.1109/qsic.2003.1319107.

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KAWANO, HIROKAZU, HARUKA NAKANISHI, YASUHIRO TSUBOI, TAKASHI KIMITSUKI, TETSUYA TONO, and SHIZUO KOMUNE. "SURGERY FOR TYMPANOSCLEROTIC STAPES FIXATION. A REPORT OF 6 CASES." In Proceedings of the 3rd Symposium. WORLD SCIENTIFIC, 2004. http://dx.doi.org/10.1142/9789812703019_0041.

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Reports on the topic "Proceedings in antimonopoly cases"

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Proceedings of the workshop on integrating reproductive tract infection case management in LGU health centers. Population Council, 1997. http://dx.doi.org/10.31899/rh1997.1003.

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Abstract:
This report documents the proceedings of a training workshop on reproductive tract infection (RTI) case management for physicians, nurses, and midwives in selected health centers of the Philippines. The training started with presentation of focus group discussion results emphasizing existing beliefs and perceptions of the community regarding RTIs. The results of the situation analysis served as an eye opener for many in that clients with RTI-related symptoms were found to be rather rare and not systematically managed in the health clinics. Many providers report that since they are not trained to handle such cases, they refer whoever comes with symptoms to the hospital or to private practitioners. The open forum sessions revealed preconceived notions and initial confusion regarding RTI management held by service providers. Participants were trained in history taking, physical examination, and management of RTIs. To guide service providers on giving appropriate messages to the client and the community, sessions on integrated RTI/FP counseling and community awareness were included. Training of service providers in RTI management is the first of several components of the RTI integration study.
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