Academic literature on the topic 'Statutory activities'

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Journal articles on the topic "Statutory activities"

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KUDAS, I. B. "Forms of implementation of statutory activities by international banks." ECONOMIC THEORY AND LAW 38, no. 3 (2019): 141–57. http://dx.doi.org/10.31359/2411-5584-2019-38-3-141.

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Zimina, N. "STATUTORY REGULATION OF POLITICAL PARTIES’ ACTIVITIES IN MODERN RUSSIA." Transbaikal State University Journal 27, no. 4 (2021): 84–88. http://dx.doi.org/10.21209/2227-9245-2021-27-4-84-88.

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The basis for the statutory regulation of political parties is the consolidation of relevant norms in the federal laws “On Political Parties”, “On Public Associations”, “On Basic Guarantees of Electoral Rights and the right to participate in a referendum of citizens of the Russian Federation”, “On Elections of Deputies of the State Duma of the Federal Assembly of the Russian Federation”, “On Elections of the President of the Russian Federation”. Political parties have their own organizational and legal basis, have their own charter, program, leaders, their own goals and objectives, and perform certain functions. One of the goals of any political party is to participate in the political life of society, in solving its issues. One of the tasks of the party is to participate in public administration by representing the population’s interests during elections at various levels. The normative legal acts regulating the activities of political parties are updated and amended in accordance with the realities of the life of society. Amendments to the federal legislation on elections and on political parties have been adopted, and a number of conditions governing the establishment and functioning of political parties and their regional branches in the regional dimension have changed dramatically. The amendments to the federal law “On Political Parties” have changed the conditions for the establishment and operation of political parties, in particular, the minimum number of a political party’s members when it is created has been reduced to 500 members; the approaches to voting have been changed. These changes correspond to the state of the modern political process and are aimed at the development of political institutions, including political parties
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Damasceno, Ana Clarissa Lopes Silva, Lauro Antonio Porto, Denise Nunes Viola, Kionna Bernardes, Robson da Fonseca Neves, and Monica Angelim Gomes de Lima. "Relationships between domains of functioning of workers with work-related disorders." Acta Fisiátrica 27, no. 3 (2020): 152–59. http://dx.doi.org/10.11606/issn.2317-0190.v27i3a174902.

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Workers with work-related musculoskeletal disorders (WMDs) have impairments in the body functions and structures, and have difficulty performing daily activities and developing social participation. Environmental factors can act negatively or positively as barriers or facilitators, worsening or improving the health status of people. This study assessed the relationship between health domains, based on components of body functions, activities and participation and environmental factors of non-statutory and statutory workers with WMDS. The negative relationships were stronger between mental and sensory functions and pain and activities/participation and environmental factors of non-statutory workers. The relationships signaled that the more impairments, the more difficulties. Environmental factors such as temperature, vibration and attitudes hindered mental and sensory functions and pain.
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Paudyal, D. R., K. McDougall, and A. Apan. "The Impact of Varying Statutory Arrangements on Spatial Data Sharing and Access in Regional NRM Bodies." ISPRS Annals of Photogrammetry, Remote Sensing and Spatial Information Sciences II-8 (December 23, 2014): 193–97. http://dx.doi.org/10.5194/isprsannals-ii-8-193-2014.

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Spatial information plays an important role in many social, environmental and economic decisions and increasingly acknowledged as a national resource essential for wider societal and environmental benefits. Natural Resource Management is one area where spatial information can be used for improved planning and decision making processes. In Australia, state government organisations are the custodians of spatial information necessary for natural resource management and regional NRM bodies are responsible to regional delivery of NRM activities. The access and sharing of spatial information between government agencies and regional NRM bodies is therefore as an important issue for improving natural resource management outcomes. The aim of this paper is to evaluate the current status of spatial information access, sharing and use with varying statutory arrangements and its impacts on spatial data infrastructure (SDI) development in catchment management sector in Australia. Further, it critically examined whether any trends and significant variations exist due to different institutional arrangements (statutory versus non-statutory) or not. A survey method was used to collect primary data from 56 regional natural resource management (NRM) bodies responsible for catchment management in Australia. Descriptive statistics method was used to show the similarities and differences between statutory and non-statutory arrangements. The key factors which influence sharing and access to spatial information are also explored. The results show the current statutory and administrative arrangements and regional focus for natural resource management is reasonable from a spatial information management perspective and provides an opportunity for building SDI at the catchment scale. However, effective institutional arrangements should align catchment SDI development activities with sub-national and national SDI development activities to address catchment management issues. We found minor differences in spatial information access, use and sharing due to varying institutional environment (statutory versus non-statutory). The non-statutory group appears to be more flexible and selfsufficient whilst statutory regional NRM bodies may lack flexibility in their spatial information management practices. We found spatial information access, use and sharing has significant impacts on spatial data infrastructure development in catchment management sector in Australia.
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Hao, Yanan. "Economic Risks Associated with Non-Statutory Digital Currencies and Regulatory Measures." Economic Society and Humanities 1, no. 1 (2024): 44–54. http://dx.doi.org/10.62381/e244109.

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The development of blockchain technology provides a technical possibility for the emergence of non-statutory digital currencies. Non-statutory digital currencies are digital currencies issued by organizations of entities other than states, and mainly contain unstable coins such as bitcoin and ethereum issued by online communities, as well as stable coins such as libracoin and tadcoin issued by internet companies. Non-statutory digital currencies have essential attributes such as demonetization, price bubbles, de-regulation, and decentralization and re-centralization. And the total amount of non-statutory digital currencies is constant, which is essentially an artificially created scarcity at the technical level. When non-statutory digital currencies transmit their own risks to the financial industry and the real economy, they can create multi-dimensional risks, particularly affecting the price of computer hardware and energy consumption. In this regard, China should continue to strengthen the supervision and regulation of non-statutory digital currencies, impose a complete ban on non-statutory digital currency production activities and transactions, shut down electronic mining farms, prohibit virtual currency mining activities, and increase the regulation of the sale of graphic cards; shut down domestic digital currency exchanges, and enhance the effectiveness of the management of the foreign exchange bureau, so as to avoid the further spread of economic risks.
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Yakimov, Aleksandr Yu. "Reflections over the Statutory Basis of Road Traffic Related Activities." Administrative law and procedure 2 (February 11, 2021): 10–19. http://dx.doi.org/10.18572/2071-1166-2021-2-10-19.

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The article is devoted to the consideration of the legal framework of activities related to road traffic. It includes road activities, traffic management, production and sales of vehicles, state registration and technical inspection of vehicles, vehicle maintenance and repair, training of vehicle drivers and admission to driving vehicles, mandatory civil liability insurance of vehicle owners, road traffic, passenger and cargo transportation activities. Based on the analysis of individual provisions of the relevant legislative and other normative acts, the existing shortcomings of this legal regulation are identified and proposals for its improvement are formulated.
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Ivanova, Elena. "On the Competence of Constitutional (Statutory) Councils in Legislative Bodies of Constituent Entities of the Russian Federation." Academic Law Journal 23, no. 1 (2022): 50–59. http://dx.doi.org/10.17150/1819-0928.2022.23(1).50-59.

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The article is devoted to the research of certain issues of the constitutional (statutory) councils’ organization and activities, supposed to be created under the legislative (representative) bodies of the constituent entities of the Russian Federation (hereinafter referred to as the constituent entities of the Russian Federation). The paper reflects the author's position on the issues of the decision taken by the federal legislator to abolish the constitutional (statutory) courts of the constituent entities of the Russian Federation, its reasons, as well as the possibility of considering constitutional (statutory) councils as successors of their activities. The author of the article concluded that, despite the experience in foreign and domestic practice of the functioning of quasi-judicial bodies involved in ensuring constitutional legality, the activities of modern constitutional (statutory) councils in the constituent entities of the Russian Federation can receive a different, even broader content. In this regard, the article describes the authority entrusted to constitutional (statutory) councils, formulates proposals for securing some of them. In particular, for these bodies, the greatest prospects for the powers of preliminary normative control are substantiated in comparison with the subsequent one, to the bodies of regional constitutional (statutory) justice that are becoming a thing of the past. When considering the exercise of the authority to interpret the provisions of the constitution (charter) of a constituent entity of the Russian Federation, comments were made regarding the procedure for the formation of constitutional (charter) councils if such an interpretation is made binding. The research also describes the analysis of the only existing Law of the Republic of Sakha (Yakutia), which regulates the activities of the Constitutional Council of the Republic of Sakha (Yakutia), some comments are made on this legislative act. The final part of the article contains proposals for improving federal regulation on the creation of constitutional (charter) councils, the development of a model law.
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Tetrevova, Libena, and Martina Jelinkova. "Municipal Social Responsibility of Statutory Cities in the Czech Republic." Sustainability 11, no. 8 (2019): 2308. http://dx.doi.org/10.3390/su11082308.

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Application of the concept of corporate social responsibility (CSR) is demanded of an ever-wider range of entities as time goes by, among which are municipalities. However, the topic of social responsibility of municipalities stands outside of the bounds of mainstream research. This article presents the results of a study, the objective of which was to identify the socially responsible practices applied by the statutory cities in the Czech Republic, in order to analyse and evaluate the scope and structure of socially responsible activities performed by them and communicated on the internet. The study shows that statutory cities in the Czech Republic perform similar activities to those performed by enterprises within the framework of application of the concept of CSR, this being in the field of economic, environmental, ethical, social and philanthropic responsibility. They perform and communicate economic responsibility activities to the greatest extent and, by contrast, ethical responsibility activities to the least extent. Examples of good practice in performance and communication of these activities on the internet are documented in the article using the example of the City of Pardubice.
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Jasper, Rowan, Jane Hughes, Caroline Sutcliffe, Michele Abendstern, Niklas Loynes, and David Challis. "Accessing care coordination information: the non-statutory sector contribution." Quality in Ageing and Older Adults 17, no. 4 (2016): 263–71. http://dx.doi.org/10.1108/qaoa-07-2015-0033.

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Purpose The provision of information and advice for older people arranging their own care is a policy objective. The purpose of this paper is to explore the range and scope of web-based information about care coordination activities for older people in the non-statutory sector in England. Design/methodology/approach Non-statutory organisations were identified through a structured internet search. Services were screened to identify those providing at least one care coordination activity. A postal survey of services was conducted in 2014 and results compared with the initial findings of the web search. Findings Almost 300 services were identified, most of which were provided by three organisations: Age UK; Alzheimer’s Society; and the British Red Cross. Brokerage was the most frequently reported care coordination activity; the majority of services focussed on help to stay at home; and carers and older people (including those with dementia) were the target groups most often identified. Comparison of the two information sources revealed a significant agreement between two care coordination’s activities: compiling support plans and monitoring and review. Research limitations/implications Findings are based on a purposive sample of organisations and therefore care must be exercised in generalising from them. Originality/value This study is one of the first to systematically explore the nature and extent of information about care coordination activities provided by the non-statutory sector in England. It was conducted when policy advocated both an increased role for the non-statutory sector and an increase in self-directed support.
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Скачко, Г., and G. Skachko. "Features of Audit in Non-Commercial Organizations." Auditor 5, no. 4 (2019): 3–9. http://dx.doi.org/10.12737/article_5cb5a4ad09b943.46317711.

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One of the signifi cant diff erences between the audit in a non-commercial organization is the verifi cation that its revenues are in the framework of its statutory activities, which requires an obligatory check of the non-commercial status. In the course of the study conducted by the authors, based on many years of practical experience of conducting audits, the possible main violations related to the incorrect refl ection of income in non-commercial organizations were identifi ed, summarized and analyzed. We believe that the presented material will greatly assist in the process of auditing the statutory activities of NGOs.
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Dissertations / Theses on the topic "Statutory activities"

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Турлак, І. Я. "Особливості обліку та контролю в релігійних організаціях (на прикладі релігійної громади собору Святителя і Чудотворця Миколая Одеської єпархії Української Православної Церкви м. Болград Одеської області)". Thesis, 2017. http://dspace.oneu.edu.ua/jspui/handle/123456789/6447.

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Мета і завдання дослідження. Метою дослідження є розробка теоретичних і практичних положень із обліку і контролю в релігійних організаціях для практичного застосування їх релігійними організаціями з метою підвищення ефективності їх діяльності. Задля реалізації поставленої мети визначено такі основні завдання, спрямовані на її досягнення: - охарактеризувати галузеві особливості діяльності релігійних організацій з погляду специфіки бухгалтерського обліку їх статутної діяльності; - дослідити чинні методики обліку та їх застосовність для обліку діяльності релігійних організацій; - проаналізувати стан та окреслити існуючі проблеми цільового фінансування релігійних організацій; - розглянути склад ресурсів, капіталу та результатів діяльності релігійних організацій з метою розробки їх класифікації для цілей бухгалтерського обліку; - удосконалити методику підготовки та узагальнення показників основних форм фінансової та податкової звітності релігійних організацій; - дослідити еволюцію економічної думки щодо сутності контролю релігійних організацій, побудувати організаційну модель фінансово-господарського контролю з урахуванням особливостей їх функціонування; - запропонувати комплекс заходів щодо ефективності існуючої системи обліку в досліджуваній організації.<br>Цель и задачи исследования. Целью исследования является разработка теоретических и практических положений по учету и контролю в религиозных организациях, для практического применения их религиозными организациями с целью повышения эффективности их деятельности. Для реализации поставленной цели определены следующие основные задачи, направленные на ее достижение: - охарактеризовать отраслевые особенности деятельности религиозных организаций с точки зрения специфики бухгалтерского учета их уставной деятельности; - исследовать действующие методики учета и их применимость для учета деятельности религиозных организаций; - проанализировать состояние и обозначить существующие проблемы целевого финансирования религиозных организаций; - рассмотреть состав ресурсов, капитала и результатов деятельности религиозных организаций с целью разработки их классификации для целей бухгалтерского учета; - усовершенствовать методику подготовки и обобщения показателей основных форм финансовой и налоговой отчетности религиозных организаций; - исследовать эволюцию экономической мысли о сущности контроля религиозных организаций, построить организационную модель финансово-хозяйственного контроля с учетом особенностей их функционирования; - предложить комплекс мероприятий по эффективности существующей системы учета в исследуемой организации.<br>The purpose and objectives of the study. The aim of the study is to develop theoretical and practical provisions on accounting and control in religious organizations, for the practical application of their religious organizations to improve the efficiency of their activities. To achieve this objective includes the following key tasks to achieve: to characterize the sectoral characteristics of the activity of religious organizations from the point of view of the specifics of accounting of their statutory activities; - to explore current practices of accounting and their applicability to account for the activities of religious organizations; - to analyse the current situation and to identify existing problems targeted funding of religious organizations; - to consider the composition of resources, capital and results of operations of religious organizations with the aim of developing their classification for accounting purposes; - to improve the methods of preparation and synthesis of the indicators of the main forms of financial and tax reporting of religious organizations; - explore the evolution of economic thought about the nature of the control of religious organizations to build the organizational model of financial-economic control, taking into account peculiarities of their functioning; - to propose a set of measures for the effectiveness of the existing accounting system in the organization under study.
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Books on the topic "Statutory activities"

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The Adventure Activities Licensing Regulations 1996 (Statutory Instruments: 1996: 772). Stationery Office Books, 1996.

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Broome, Lissa L., and Jerry W. Markham. Statutory Supplement to Accompany Regulation of Bank Financial Service Activities, Cases and Materials, Second Edition (Statutory Supplement). 2nd ed. West, 2004.

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the Civil Jurisdiction (Offshore Activities) Order 1987 (Statutory Instruments: 1987: 2197). Stationery Office Books, 1987.

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Britain, Great. The Adventure Activities (Licensing) (Designation) Order 1996 (Statutory Instruments: 1996: 771). Stationery Office Books, 1996.

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Britain, Great. The Companies (Principal Business Activities) (Amendment) Regulations 1996 (Statutory Instruments: 1996: 1105). Stationery Office Books, 1996.

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The Friendly Societies (Activities of a Subsidiary) Order 1995 (Statutory Instruments: 1995: 3062). Stationery Office Books, 1995.

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Britain, Great. Local Government (Defined Activities) (Exemptions) Order (Northern Ireland) 1998 (Statutory Rule: 1998: 352). Stationery Office Books, 1998.

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Britain, Great. Day Care (Exempt Supervised Activities) Regulations (Northern Ireland) 1996 (Statutory Rule: 1996: 444). Stationery Office Books, 1996.

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The Friendly Societies (Activities of a Subsidiary) Order 1996 (Statutory Instruments: 1996: 3009). Stationery Office Books, 1997.

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The Friendly Societies (Activities of a Subsidiary) Order 1998 (Statutory Instruments: 1998: 2328). Stationery Office Books, 1998.

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Book chapters on the topic "Statutory activities"

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Robinson, Brian E., and Moustapha Diop. "Who Defines Land Tenure Security? De Jure and De Facto Institutions." In Land Tenure Security and Sustainable Development. Springer International Publishing, 2022. http://dx.doi.org/10.1007/978-3-030-81881-4_3.

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AbstractMany land tenure situations are not necessarily defined and adjudicated by governments, that is, at a statutory level. In some cases, these may be defined by a local community and be upheld and resolved locally. This chapter reviews how de jure land rights (those defined by law) and de facto land rights (the “on the ground” and sometimes implicit rights or management activities, sometimes referred to as customary or traditional rights) differ. We examine how land tenure insecurity can plague both these cases and argue that making de jure and de facto situations congruent is necessary for a path toward a more sustainable future.
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Sim, Val. "The New Zealand Outer Space and High-Altitude Activities Act 2017 and the Statutory Review: A Dance Between International and Domestic Law." In Space Law and Policy. Springer Nature Singapore, 2024. http://dx.doi.org/10.1007/978-981-97-0714-0_7.

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Downer, Martin C. "The role of oral health promotion in oral health policy." In Oral Health Promotion. Oxford University Press, 1993. http://dx.doi.org/10.1093/oso/9780192620033.003.0005.

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Abstract Policy is a plan for action adopted or pursued by an individual, government, political party, commercial enterprise, or any other organization. The nub of the definition is ‘plan for action’ and this implies action towards a specified objective or goal. In many places in the world examples may be found of governments, professional organizations, or other groups prescribing broad aims for their communities’ dental services or adopting goals for oral health. In those countries where health care and related systems are most highly developed, action towards these goals is generally supported by a strong statutory framework. Nevertheless, while some countries have a long history of slow and gradual development of their dental services underpinned by networks of laws and regulations, health promotion has been included in oral health and related legislation only relatively recently. In countries at the opposite end of the spectrum health promotional activities, where they exist, have arisen haphazardly mostly from the initiative of local authorities or professional groups. These countries have not yet come to rely on formal legislation.
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Крижевська, Олена Олександрівна. "Глава 2. Суб’єкти нота­ріальних процесуальних правовідносин". У Серія «Процесуальні науки». Видавництво "Алерта", 2023. http://dx.doi.org/10.59835/978-617-566-765-1-1-2.

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Perceiving the current state of the legal system of Ukraine as being reformed, the author believes that the legislation on notaries should be fundamentally revised in order to incorporate theoretical concepts into the Law of Ukraine «On Notaries». That is why scientific approaches to determining the essence and types of subjects of notarial procedural legal relations are analyzed. After all, in fact, there is no unified vision of any theoretical issues related to the subjects of notarial procedural legal relations.The statutory requirements for a notary public are unfounded. It was established that when delineating the circle of persons participating in notarial proceedings, it is necessary to proceed from the task of formulating the terminology of notarial proceedings. Each entity must have its own name and appropriate place in the system of persons participating in notarial proceedings.The regulation of the specialist’s participation in the notarial process cannot be approached in a limited way. It does not seem possible to fully outline the cases of specialist participation in the notarial procedural legislation. The notary must have the discretionary right to involve a specialist in the notarial process at his own discretion, if the specifics of the notarial act performed require it.Based on the tasks of the theory of the notarial process and the need to solve practical problems, the parties to the notarial process should be distinguished, within which to distinguish both applicants (that is, persons who apply to a notary and upon whose application a notarial process arises), and involved persons (persons who have have a material and legal interest in the case, are involved in participation in notarial proceedings for the purpose of protecting or protecting their rights and interests). Proposals are made to improve the legislation of Ukraine.It is considered appropriate to improve not only the provisions of the Law of Ukraine «On Notaries», but also, first of all, the concepts of the further development of notarial activities and the active formation of the doctrine of notaries by leading scientists and specialists in the field of notaries of Ukraine.But it seems that the scientific developments of scientists in the field of the notarial process will never be heard, since the Draft Law № 5644 «On Amendments to Certain Legislative Acts of Ukraine Regarding the Improvement of the Regulation of Notarial Activities» does not contain any changes and additions to the formation of the conceptual apparatus. as for the subjects of the notarial process, no steps have been taken to define the rights and obligations of the applicants and other persons who will participate in the notarial process, and it is proposed to be adopted before the introduction of amendments to the Civil Code of Ukraine, which is difficult to agree with.
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Boggero, Giovanni, and Karin Oellers-Frahm. "Between Cynicism and Idealism: Is the Italian Constitutional Court Passing the Buck to the Italian Judiciary?" In Remedies against Immunity? Springer Berlin Heidelberg, 2021. http://dx.doi.org/10.1007/978-3-662-62304-6_15.

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AbstractIn this chapter we focus on the consequences of Sentenza 238/2014 for the Italian judiciary. The judgment of the Corte Costituzionale obliges the Italian tribunals to admit claims for the reparation of victims or the heirs of victims and to decide on the merits. In this context, a series of difficult legal questions arise that require consistent answers. The practice shows, however, that consistent answers cannot be taken for granted as long as the decision is in the hands of lower-level tribunals. The questions to be solved concern, firstly, who can bring a claim: the victims only or—in cases where they are no longer alive—also their spouses, children, or even grandchildren and other family members? This raises a second question namely whether there is any time limit for bringing claims, which of course touches upon more general concerns, such as intertemporal law, statutory limitations, prescriptions, forfeiture and inadmissibility due to reparation agreements. Thirdly, there is the question as to the specific nature of the reparations: for example, financial reparations and their calculation standards, or satisfaction only? A further question arising from all decisions granting reparation relates to the execution of the judgments, as it seems rather illusory that Germany will comply voluntarily with such judgments. An additional aspect the chapter addresses is the broader impact of the decisions of the Italian judiciary: the non-recognition of state immunity before Italian tribunals will make Italy an attractive forum for similar claims, evidence of which has already emerged. Furthermore, the decisions of the tribunals will serve—although certainly involuntarily—as precedents in similar cases not only in Italy. Such effects will concern issues such as (a) the reparation of war-related claims on an individual basis and (b) their consequences for the readiness of states to terminate armed activities by concluding peace treaties and reparation agreements on a lump sum basis. With a view to actual armed conflicts that are mostly not international armed conflicts the question has then to be asked (c) whether individual reparation claims will lead to discriminatory consequences as reparation will probably only be realizable for victims of war crimes committed by state organs and not those committed by non-state actors. The chapter will then conclude by trying to assess more in general the task of constitutional and/or supreme courts to balance the consequences flowing from their decisions against their power or intent to enhance the development of (international) law.
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Верба, Ольга Богданівна, та Андрій Віталійович Гайченко. "1.3. Гарантії захисту прав осіб у виконавчому провадженні". У Серія «Процесуальні науки». Видавництво "Алерта", 2023. http://dx.doi.org/10.59835/978-617-566-758-3-1-3.

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The part of a monograph is devoted to the principles of enforcement proceedings analysis, established under the Law of Ukraine «On Execution Procedure» and «On Bodies and Persons Engagedin the Execution of Judgments and The Other Jurisdictional Bodies Decisions». An excursion of the researches in the field of general theory of law positions concerning the notion, value, classificationof the principles of law has been carried out and these developments has been extrapolated on the system of enforcement proceedings principles and the organization and practice of executors principles.From the analysis of articles texts, which lists enforcement proceedings principles and the organization and practice of the State executive service and private executors principles, it follows that the legislaturemainly duplicates general (constitutional), interbranch principles of law, failing to formulate principles inherent exactly the institution of jurisdictional bodies decisions enforcement. It has been concludedthat there is no necessity in such duplication, because these principles have already been objectified in other legal acts in the form of separate articles (directly) or follow from logical, lexical analysis and so from their contents (indirectly). Based on the main purpose for legislative confirmation of law principles list, which is to facilitate filling the gaps in the legal regulation by applying the analogy of law, the authorsconsider that the legislative confirmation of only the principles of integrated interdisciplinary institute of enforcement proceedings would be more effective.The legal nature and subject, respectively, of judicial and departmental control over the actions of private executors are studied.Methods (forms) of judicial control over the actions of executors in the course of decisions of courts and other jurisdictional bodies enforcement contained in the procedural legislation are identified: Section VII of the Civil Procedural Code of Ukraine, Section VI of the Commercial Procedural Code of Ukraine, Art. 287 and Section IV of the Code of Administrative Procedure of Ukraine.It is concluded that procedural actions (decisions, actions or omissions) of a private executor, committed during the enforcement of the decision as the final stage of the legal process in accordance with theLaw of Ukraine «On Enforcement Proceedings», are subject to judicial control, with only the court checking the legality of procedural actions of private executors only if the parties (participants) of enforcement proceedings receive complaints, ie, court control is neither periodic or current, nor planned or unscheduled, etc., in contrast to departmental control; the court checks the legality of the executor’s actions, not their expediency; court control is exercised within the procedural form.The court establishes the facts of violations (or their absence) in the procedural actions of private executors; the court restores the violated rights of the complainant by revoking (changing) the procedural decision of the private executor or his obligation to take appropriate procedural actions.It is stated that the institute of a separate decision can be applied by the court in relation to illegal actions of executors. Unlike the judiciary, the Ministry of Justice monitors the activities of a private executor byconducting scheduled and unscheduled inspections.The grounds, procedures and consequences of bringing private and public executors to justice have been studied, which have many differences, as the legal nature of the status of public and privateexecutors differs significantly. Such legislation is discriminatory against private executors compared to public executors.Based on the statutory principle of dispositive enforcement proceedings, the Ministry of Justice has no right to inspect procedural decisions, actions or inaction of a private executor on its own initiativewithout a complaint (administrative claim) of the participant in enforcement proceedings (and only after a court decision on this issue).Instead, written appeals of participants in enforcement proceedings regarding the actions of a private executor as a basis for unscheduled inspections of private executors, should be considered in the mannerprescribed by Art. 3 of the Law of Ukraine «On Citizens’ Appeals».The actions of a private executor as a subject of a written appeal of participants to the Ministry of Justice may not be related to the procedural activities of a private executor during the enforcement proceedings and must have signs of disciplinary misconduct.It is concluded that the subject of departmental control of the Ministry of Justice of Ukraine is the sphere of organization of private executors – powers under the Law of Ukraine «On bodies and personsenforcing court decisions and decisions of other bodies», and not their procedural actions during enforcement proceedings.
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Zhang, Chenyang. "Trial." In Win in Chinese Courts. Springer Nature Singapore, 2023. http://dx.doi.org/10.1007/978-981-99-3342-6_5.

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AbstractThe pretrial preparation and trial will commence after appropriate service of the court documents on all parties. Ordinary procedure, summary procedure and special procedure are three concepts of parallel standing in the CPL. Except for cases under the summary procedure and the special procedure, all the other cases are tried under the ordinary procedure, which is the basis of all procedures and covers all necessary steps stipulated by the CPL. Our introduction will firstly be based on the ordinary procedure as well. (1) After serving court documents on all parties, the court needs to wait at least 30 days (or 45 days if the defendant is a foreign party without domicile in China) for the defendant to submit statement of defense and evidence. After that, the court can arrange a pretrial conference or a court hearing. There is no specific provision on the process and content of the pretrial conference, and in practice, the pretrial conference may proceed as an ordinary court hearing. Therefore, we advise that the parties try to figure out the process and content of the pretrial conference, and even make proper preparations with reference to the requirements of the ordinary court hearing. (2) In China, the steps of a court hearing generally include: court-conducted investigation, debates in court, closing argument and mediation. Among them, court-conducted investigation and debates in court are the core steps of court trial. To avoid unnecessary repetition and improve trial efficiency, Chinese courts sometimes combine these two steps together. During the Chinese court trial, we should pay attention to the following points: Firstly, judges are not passive listeners, but the leaders and controllers of all trial activities. Secondly, judges generally care more about the fact finding than the opinions of the parties on the law application. Thirdly, Chinese courts attach importance to the trial efficiency, and therefore the parties need to express their opinions as concisely as possible. Fourthly, the court trial may be made publicly available on the Internet; some court trials are also conducted online. (3) After finishing court hearing, the court will make the first-instance judgment and serve it on the parties through legal means to complete the rendering thereof. The parties may appeal within 15 days (or 30 days, if the appellant is a foreign party without domicile in China) and initiate the second-instance procedure. (4) Generally speaking, the trial process of second instance is not so different from that of first instance. The second-instance judgment is the effective final judgment. Under certain circumstances, the second-instance court may also remand the case to the first-instance court for retrial. (5) The trial time limit of first-instance cases under ordinary procedure is 6 months, and can be extended twice up to 15 months. The trial time limit of second-instance cases is 3 months, and can be extended once up to 6 months. But it is sometimes difficult for Chinese courts to close the case within the statutory trial time limit due to the litigation explosion. (6) In addition to the ordinary procedure, Chinese courts will try cases with little dispute and simple legal relations through the summary procedure. Cases under summary procedure are tried by one judge only, with shorter trial period and more flexible and simpler trial procedures. The summary procedure is applicable to most cases accepted by Chinese courts. However, the summary procedure is not frequently applied to foreign-related cases in China. (7) For money-judgment cases with a disputed amount below a certain standard, the trial procedure thereof will be further simplified and referred to as “Small Claims Procedure”. The first instance of such cases is final, and no appeal is allowed. However, the small claims procedure is not applicable to foreign-related cases. (8) At last, all civil cases in China can be divided into two categories: foreign-related cases and non-foreign-related cases. Foreign-related cases refer to cases with foreign elements, including cases where one of the litigants is a foreigner or a foreign organization, etc. There are special rules for the trial of foreign-related cases under the Chinese legal system, mainly to protect the litigious rights of foreign parties. However, it is worth noting that if the parties submit a non-foreign-related case to a foreign court or arbitration institution, it is highly likely that Chinese courts may refuse to recognize and enforce the judgment/award so rendered. This is one of the reasons why we have to distinguish foreign-related cases from non-foreign-related cases.
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8

"Principal's Statutory Responsibilities." In Advances in Educational Marketing, Administration, and Leadership. IGI Global, 2023. http://dx.doi.org/10.4018/978-1-6684-4163-3.ch006.

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This chapter concerns school principals' responsibilities according to the law. While mentioning the California Education Code and the Chinese Compulsory Education Act, the chapter focuses on the Ontario Education Act. It lists the sections in the Education Act and Regulation 298/1990 Operation of Schools, which prescribe principals' specific responsibilities. The chapter contains Policy/Program Memorandum (PPM) No. 145 and Policy/Program Memorandum (PPM) No. 120 promulgated by the Ministry of Education, which deal with factors principals shall consider when they discipline students who have engaged in inappropriate activities in schools. In addition, it has the Provincial Model for a Local Police/School Board Protocol by the Ministry of Education stipulating that it is mandatory to report to police certain types of incidents.
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Thompson, Brian, Michael Gordon, and Adam Tucker. "13. Statutory Tribunals." In Cases and Materials on Constitutional and Administrative Law. Oxford University Press, 2021. http://dx.doi.org/10.1093/he/9780198867883.003.0013.

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This chapter examines the rationale for giving the task of resolving disputes to statutory tribunals rather than courts. It also describes the structure and organization for most tribunals and how they conduct dispute resolution adjudication. The hearing technique of redress is considered alongside administrative review, particularly the use of mandatory reconsideration in social security to illustrate the advantages and disadvantages of different methods of dispute resolution. Their place in a staged approach, proportionate dispute resolution, is outlined and the possible benefit of conceiving administrative justice as a system with a focus on users is raised as well as some of the issues raised for users by the adoption of digitalization. An outline is given of the oversight activities conducted by the non-statutory Administrative Justice Council.
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Töpfer, Klaus. "Activities of Governments, Government Departments and Statutory Bodies." In Year Book 1990. Elsevier, 1990. http://dx.doi.org/10.1016/b978-0-08-040809-5.50013-4.

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Conference papers on the topic "Statutory activities"

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Markevych, I. B. "THE STATE OF STATUTORY REGULATION OF ENSURING THE LEGALITY OF LICENSING ACTIVITIES." In THEORETICAL FOUNDATIONS OF LAW, PUBLIC MANAGEMENT AND PRACTICE OF THEIR APPLICATION. Baltija Publishing, 2024. https://doi.org/10.30525/978-9934-26-526-6-75.

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2

Mihaylenko, Natal'ya, and Elena Bondar'. "THE CONTROL FOR THE ACTIVITIES OF RELIGIOUS ORGANIZATIONS IN THE RUSSIAN FEDERATION." In Law and law: problems of theory and practice. Publishing Center RIOR, 2020. http://dx.doi.org/10.29039/02033-3/049-054.

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This article analyzes the concept of control over the activities of religious organizations. The authors focus on certain provisions of the Federal Law “On Freedom of Conscience and on Religious Associations”, for example, one of which contains the following subject of control — the conformity of the activities of religious associations with their statutory goals.
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3

Vaidya, Gauri, and Naresh Pal. "Statutory Approval Process for Cross-Country Hydrocarbon Pipeline Projects." In ASME 2017 India Oil and Gas Pipeline Conference. American Society of Mechanical Engineers, 2017. http://dx.doi.org/10.1115/iogpc2017-2410.

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Laying of petroleum and natural gas pipelines requires Clearances pertaining to Environment, Coastal Regulation Zone (CRZ), Forests and Wildlife from various statutory bodies of the Central and State Government depending on the proposed pipeline route. Because of the time-consuming appraisal process undertaken at various levels, planning the statutory approval process forms a very important part of the project implementation schedule. The project proponents have to forecast and plan well in advance for obtaining statutory approvals as scheduled. This paper details the clearances required for pipeline projects mainly from environmental angle, the procedures involved and difficulties faced by project proponents. It also suggests project proponents to plan the activities in advance and be updated on the new guidelines and notifications issued by the authorities. It also puts forth some recommendations to Statutory Authorities to simplify the procedures for speedy disposal of proposals related to pipeline projects.
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Бардина, Ирина Валентиновна. "ОСОБЕННОСТИ УЧЕТА ОСНОВНЫХ СРЕДСТВ В НЕКОММЕРЧЕСКИХ ОРГАНИЗАЦИЯХ". У Проблемы управления качеством образования: сборник статей LI международной научно-методической конференции (Санкт-Петербург, Май 2024). Crossref, 2024. http://dx.doi.org/10.37539/240529.2024.80.21.006.

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В статье рассматриваются особенности учета основных средств в некоммерческих организациях. Особенности учета связаны с характером приобретения основных средств и характером их использования в организации. Основные средства могут использоваться в целевой уставной деятельности, а могут быть использованы в коммерческой деятельности организации. The article discusses the features of accounting for fixed assets in non-profit organizations. Accounting features are related to the nature of the acquisition of fixed assets and the nature of their use in the organization. Fixed assets can be used in targeted statutory activities, or they can be used in the commercial activities of an organization.
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Caus, Lidia, and Angela Popovici. "Considerente privind contabilitatea activelor transferabile în organizațiile necomerciale." In International Scientific Conference on Accounting ISCA 2023. Academy of Economic Studies of Moldova, 2023. http://dx.doi.org/10.53486/isca2023.06.

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The non-profit organizations use the transferable assets to carry out their statutory activities. In the accounting practice of these organizations, multiple problems regarding the documentation, recognition, evaluation an duse of accounting accounts regarding the record of transferable assets must be solved. In order to solve the mentioned problems it is recommended: the concretization of the recognition and evaluation of transferable assets, as well as the reflection of the schemes of accounting records related to the record of transferable assets depending on the particularities of the activity of non-commercial organizations.
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Ludchenko, M. L. "Theoretical and legal approaches to determining the statutory support for the activities of territorial centers of recruitment and social support." In THEORETICAL FOUNDATIONS OF LAW, PUBLIC MANAGEMENT AND PRACTICE OF THEIR APPLICATION. Baltija Publishing, 2024. https://doi.org/10.30525/978-9934-26-526-6-26.

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Kobos, Edgar. "Analysis of Development Factors of Non-Governmental Organizations with Particular Emphasis on Public Funds and the Process of European Integration." In 5th International Scientific Conference 2021. University of Maribor Press, 2021. http://dx.doi.org/10.18690/978-961-286-464-4.5.

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In the last quarter of the century, there has been a steady increase in the number and scope of organizations operating under the so-called third sector. These organizations implement a wide range of activities, from social services to recreational activities, from political pressure groups to groups that promote art or history. Foundations and associations are an important arena of social, economic and political activity, alongside the state and the private sector, they feature an increasingly important role in today's world. European public funds provide a plentiful supply of financing for these activities. It has been shown that European funds change the statutory objectives of foundations and associations as public funds determine their operational priorities and directions of development. Active civil society supports the creative processes of social capital, and the most important function of NGOs is precise to strengthen social capital. Participation in NGOs is a determinant of civic maturity for citizens. On the other hand, due to the active participation of citizens in such organizations, societies have changed. This is the reason why the direction of the third sector development and the phenomena of its growth is so crucial for every European State.
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Čović, Ana, Oliver Nikolić, and Aleksandra Daria Petrović. "Obligacionopravno dejstvo ugovora o franšizi." In XVI Majsko savetovanje. University of Kragujevac, Faculty of Law, 2020. http://dx.doi.org/10.46793/upk20.117c.

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The franchise agreement is derived from the franchise business agreed by the parties concerned, the franchisor and the franchisee. It belongs to unnamed contracts because the law does not recognize it as a statutory contract of obligation or business law and must rest on the principles of contract law, so there must be agreement of the will of the contracting parties without any deficiencies in compliance with legal regulations. A franchise agreement is a mixed contract in nature, because it also contains elements of other contracts. International and national regulations in this area influence the strengthening of intellectual property rights and franchise activities, thus accelerating global innovation capacity, improving technical and technological development and regulating and improving the market. The subject of this paper is the legal relationship between the franchisor and the franchisee, the content of their mutual rights and obligations, and the origin and importance of the franchise agreement.
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Reece-Barkell, H., and W. J. J. Vorster. "Effective Outage Planning and Implementation for Nuclear Power Plants in the UK." In ASME 2015 Pressure Vessels and Piping Conference. American Society of Mechanical Engineers, 2015. http://dx.doi.org/10.1115/pvp2015-45584.

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Effective outage planning and implementation is critical to the efficient and safe operation of commercial nuclear power plants in the UK. Statutory outages are necessary for refuelling, for preventive and corrective maintenance when shutdown conditions are required, and for major modification and improvement projects. Outages involve the support of many companies and individuals working together and, as such, require high levels of coordination. Planning of activities before the outage is critical to the overall success of the outage. Establishing the integrity of power plant piping and pressure vessels is a key objective as part of any outage and the methodology and processes involved are the subject of this paper. Establishing the integrity of piping and pressure vessels requires an understanding of the specific threats, their relationship to the overall condition of the system, and the mitigating measures required to assure safe operation. Understanding the specific threats allows the engineering function of an organisation to advise on pipework and pressure vessel ‘Minimum Acceptable Thicknesses’ which can be used to assure integrity via comparison with thicknesses measured during outage inspections. Minimum Acceptable Thicknesses should be recorded in the outage management documentation so they are accessible during the outage implementation phase. Historically a variety of different methodologies have been used to advise on Minimum Acceptable Thickness requirements including design drawing specified minimum thicknesses, design code based required thicknesses and thicknesses calculated based on Fitness for Purpose methods. It is important that a robust procedure be applied to promote consistency of approach as regards the calculation of pipework and pressure vessel Minimum Acceptable Thickness requirements across all power station assets. An additional consideration is that of ensuring that the approach adopted is consistent with high level safety case guidance, i.e., the assessment is appropriate for the failure tolerability of the plant item. This paper provides an overview of the strategy, methodologies and processes employed to determine Minimum Acceptable Thicknesses for pipework components. These ensure that, over a specified inspection interval, were the weld/component to be defect free, it would not fail due to any of the relevant failure mechanisms, which typically are plastic collapse, creep rupture, fatigue, incremental collapse (ratcheting) or buckling. Readers of this paper will gain a valuable insight into the statutory outage process applicable to nuclear power plants in the UK. A particular focus of this paper is on the structural integrity assessments applied in a non-traditional sense prior to, during and after the statutory outage. As well as sharing a valuable insight into the assessment methodologies this paper highlights best industrial practice.
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JACHOWICZ, Michał. "Legal Status of a Pharmacist as a Participant of the Pharmacy Market in Poland." In Current Trends in Public Sector Research. Masaryk University Press, 2020. http://dx.doi.org/10.5817/cz.muni.p210-9646-2020-6.

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The provision of the pharmaceutical service is the basic designation of the pharmacy activities as a public health care facility and is a correlate of the subjective right to health care guaranteed under the Polish Constitution. The provision of the pharmaceutical service remains within the scope of the profession of a pharmacist as a profession of public trust, which is also a regulated profession. Taking into account the need to ensure the highest level of implementation of the right to health care, the legal status of a pharmacist as a participant in the pharmacy market should be subject to special legal protection. The assessment of the existing legal status in this respect remains justified by both the subjective distinction between categories of entrepreneurs who hold a permit to operate a generally accessible pharmacy, as well as the legislative process on principles of fulfilling the pharmacist's professional obligations included in the draft Act on the profession of pharmacist. The purpose of this article is to assess the indicated legal conditions undertaken both on the basis of the existing legal status and proposed statutory solutions.
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Reports on the topic "Statutory activities"

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Carter, Becky. Women’s and Girls’ Experiences of Security and Justice in Somaliland. Institute of Development Studies (IDS), 2021. http://dx.doi.org/10.19088/k4d.2021.077.

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This rapid review seeks to provide an overview of the publicly available literature from the academic, donor, and non-government organisation sources on women’s and girls’ experiences of statutory and customary security and justice in Somaliland. In Somaliland women and girls experience poor security, with high rates of sexual and gender-based violence (SGBV), and significant barriers to gender equality in the pluralistic legal system. The predominant clan-based customary justice system, along with conservative social norms and religious beliefs, discriminates against women and girls, while weak formal state institutions are not able to deliver accessible and effective justice for vulnerable and marginalised groups. Social stigma silences SGBV survivors and their families, with many rape crimes resolved through customary compensation or marriage. National and international organisations have undertaken various activities to promote gender equality in security and justice, with support provided to formal and informal security and justice institutions and actors at national and local levels, as well as initiatives to empower women and girls.
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Yaari, Menahem, Elhanan Helpman, Ariel Weiss, et al. Sustainable Well-Being in Israel. The Israel Academy of Sciences and Humanities, 2021. http://dx.doi.org/10.52873/policy.2021.wellbeing-en.

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Well-being is a common human aspiration. Governments and states, too, seek to promote and ensure the well-being of their citizens; some even argue that this should be their overarching goal. But it is not enough for a country to flourish, and for its citizens to enjoy well-being, if the situation cannot be maintained over the long term. Well-being must be sustainable. The state needs criteria for assessing the well-being of its citizens, so that it can work to raise the well-being level. Joining many other governments around the world, the Israeli government adopted a comprehensive set of indices for measuring well-being in 2015. Since 2016, the Israel Central Bureau of Statistics has been publishing the assessment results on an annual basis. Having determined that the monitoring of well-being in Israel should employ complementary indices relating to its sustainability, the Ministry of Environmental Protection, the Bank of Israel, the Central Bureau of Statistics, and Yad Hanadiv asked the Israel Academy of Sciences and Humanities to establish an expert committee to draft recommendations on this issue. The Academy's assistance was sought in recognition of its statutory authority "to advise the government on activities relating to research and scientific planning of national significance." The Committee was appointed by the President of the Academy, Professor Nili Cohen, in March 2017; its members are social scientists spanning a variety of disciplines. This report presents the Committee's conclusions. Israel's ability to ensure the well-being of its citizens depends on the resources or capital stocks available to it, in particular its economic, natural, human, social, and cultural resources. At the heart of this report are a mapping of these resources, and recommendations for how to measure them.
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Review and Comparison of Transfer Pricing Regulations in Latin America, the United States and the OECD Guidelines. Inter-American Development Bank, 2001. http://dx.doi.org/10.18235/0008546.

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This report, prepared by Deloitte Touche Tohmatsu transfer pricing specialists with the funding of the IDB, compares the transfer pricing regulations in the OECD guidelines, which constitute the international standard that OECD member countries have agreed should be used in analyzing transfer pricing issues between multinational enterprises and tax administrations, and the situation in Argentina, Brazil, Mexico, the United States, and Venezuela. It concludes that transfer pricing policies are not exclusively about taxation. Transfer pricing regulations should enable tax administrations to obtain a fair tax base at the same time they minimize the risks of double taxation for multinational enterprises. The OECD Guidelines provide the guidance on transfer pricing issues for both taxpayers and tax authorities by establishing a comparison with what would have happened between independent enterprises. However, there is no universal solution to transfer pricing issues in the OECD Guidelines. Also that the preface to the reform introducing the transfer pricing rules states that the tax administration, for purposes of computing the statutory margins for the import and export RP and cost plus methods, will take into consideration economic analysis by industry sector, branch of activity and based on the current economic situation. Adjustment will be allowed when the economic circumstances necessitate adjustment. This flexibility is different from the Brazilian rules, which provide fixed margins for all economic activities unless the taxpayer establishes a different margin with data from official publications or research carried out by a qualified firm. This report, prepared by Deloitte Touche Tohmatsu transfer pricing specialists with the funding of the IDB, compares the transfer pricing regulations in the OECD guidelines, which constitute the international standard that OECD member countries have agreed should be used in analyzing transfer pricing issues between multinational enterprises and tax administrations, and the situation in Argentina, Brazil, Mexico, the United States, and Venezuela. It concludes that transfer pricing policies are not exclusively about taxation. Transfer pricing regulations should enable tax administrations to obtain a fair tax base at the same time they minimize the risks of double taxation for multinational enterprises. The OECD Guidelines provide the guidance on transfer pricing issues for both taxpayers and tax authorities by establishing a comparison with what would have happened between independent enterprises. However, there is no universal solution to transfer pricing issues in the OECD Guidelines. Also that the preface to the reform introducing the transfer pricing rules states that the tax administration, for purposes of computing the statutory margins for the import and export RP and cost plus methods, will take into consideration economic analysis by industry sector, branch of activity and based on the current economic situation. Adjustment will be allowed when the economic circumstances necessitate adjustment. This flexibility is different from the Brazilian rules, which provide fixed margins for all economic activities unless the taxpayer establishes a different margin with data from official publications or research carried out by a qualified firm.
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