Libros sobre el tema "Cost Consequences Analysis"

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1

Nelson, Hugh. The economic consequences of smoking in Northern Ireland: A cost-benefit analysis of tobacco production and use in the province. Belfast: Action on Smoking and Health (Northern Ireland) Committee of the Ulster Cancer Foundation, 1986.

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2

Bartram, Jamie y S. Pedley. Pathogenic mycobacteria in water: A guide to public health consequences, monitoring and management. London, UK: IWA Pub., 2004.

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3

Joyce, Theodore J. The consequences and costs of maternal substance abuse in New York City: A pooled time-analysis, cross-section analysis. Cambridge, MA: National Bureau of Economic Research, 1992.

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4

Cookson, Richard, Susan Griffin, Ole F. Norheim y Anthony J. Culyer, eds. Distributional Cost-Effectiveness Analysis. Oxford University Press, 2020. http://dx.doi.org/10.1093/med/9780198838197.001.0001.

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Distributional cost-effectiveness analysis aims to help healthcare and public health organizations make fairer decisions with better outcomes. Standard cost-effectiveness analysis provides information about total costs and effects. Distributional cost-effectiveness analysis provides additional information about fairness in the distribution of costs and effects—who gains, who loses, and by how much. It can also provide information about the trade-offs that sometimes occur between efficiency objectives such as improving total health and equity objectives such as reducing unfair inequality in health. This is a practical guide to a flexible suite of economic methods for quantifying the equity consequences of health programmes in high-, middle-, and low-income countries. The methods can be tailored and combined in various ways to provide useful information to different decision makers in different countries with different distributional equity concerns. The handbook is primarily aimed at postgraduate students and analysts specializing in cost-effectiveness analysis but is also accessible to a broader audience of health sector academics, practitioners, managers, policymakers, and stakeholders. Part I is an introduction and overview for research commissioners, users, and producers. Parts II and III provide step-by-step technical guidance on how to simulate and evaluate distributions, with accompanying hands-on spreadsheet training exercises. Part IV concludes with discussions about how to handle uncertainty about facts and disagreement about values, and the future challenges facing this young and rapidly evolving field of study.
5

Freudenberg, Nicholas. At What Cost. Oxford University Press, 2021. http://dx.doi.org/10.1093/oso/9780190078621.001.0001.

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Every day people decide what to eat, how to educate their children, where to find health care, and how to connect to others. For many, freely choosing a lifestyle defines the American dream. But in the 21st century, these choices are increasingly constructed by corporations and designed not to promote well-being, happiness, and planetary health, but to increase corporate profits and power. As a result, the decisions that corporations encourage individuals to make can lead to premature death, illness, or psychological distress as well as environmental pollution and social conflict. At What Cost: Modern Capitalism and the Future of Health maps the landscape of the changing role of capitalism in shaping health in America, documenting the human costs of the dominant political and economic system. It describes how globalization, financial speculation, monopoly concentration, and business control of science and technology have enhanced the ability of corporations and their allies to overwhelm influences of government, family, and community. It analyses how 21st-century capitalism structures the choices that affect the well-being of individuals, families, communities, and the planet. The book also explores how people, governments, civil society, and social movements are challenging corporate domination and forging alternative paths to a healthier, more sustainable world. While other books have explored pieces of this story, At What Cost offers a comprehensive analysis of the health consequences of modern capitalism. It provides citizens, parents, activists, scholars, and policy makers with the evidence they need to construct a better world for current and future generations.
6

Rayner, Mike, Kremlin Wickramasinghe, Julianne Williams, Karen McColl y Shanthi Mendis. Evidence for population-level approaches to the prevention of NCDs. Oxford University Press, 2017. http://dx.doi.org/10.1093/med/9780198791188.003.0009.

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This chapter describes health economics, which is an important component of effective health system management. The chapter provides a brief overview of the process of economic evaluation and how to assess the costs and consequences of alternative courses of actions. It goes on to discuss the various types of economic evaluation, including cost-effectiveness analysis, cost–utility analysis, and cost–benefit analysis, which may be used to assess health system performance and to prioritize the allocation of health-care resources. It provides practical examples of cost-effective analyses of prevention interventions from around the world. Finally, it outlines key steps in conducting an economic evaluation and provides tools to critically appraise an economic evaluation.
7

Pedley, S., A. Dufour, G. Rees, J. Bartram y J. A. Cotruvo. Pathogenic Mycobacteria in Water: A Guide to Public Health Consequences, Monitoring and Management. IWA Publishing, 2004.

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8

Hansmann, Henry y Richard Squire. External and Internal Asset Partitioning. Editado por Jeffrey N. Gordon y Wolf-Georg Ringe. Oxford University Press, 2016. http://dx.doi.org/10.1093/oxfordhb/9780198743682.013.3.

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This chapter analyzes the economic consequences of external and internal asset partitioning, and it considers implications of this analysis for creditor remedies. External partitioning refers to the legal boundaries between business firms and their equity investors, while internal partitioning refers to the legal boundaries within corporate groups. The chapter begins by cataloguing the benefits and costs of corporate partitioning; it then employs this catalogue to analyze the relative economics of external and internal partitioning. Non-partitioning functions of subsidiaries are also identified. The chapter then considers whether cost-benefit analysis predicts how courts actually apply de-partitioning remedies, with particular emphasis on veil piercing and enterprise liability. The chapter concludes by arguing that courts should employ the distinction between external and internal partitioning when applying creditor remedies that disregard corporate partitions, and it identifies factors—in addition to whether a partition is internal or external—that courts should consider when deciding whether to de-partition.
9

Kharchenko, Sergey, Nikita Zhizhin y Dmitry Kucher. RISKS AND PROBLEMS OF 5G NETWORKS DEVELOPMENT IN RUSSIA. LCC MAKS Press, 2022. http://dx.doi.org/10.29003/m2574.978-5-317-06740-3.

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The authors describe the advantages and the adverse consequences of 5G networks development. They propose their own classification of the advantages, dividing them into explicit, implicit and hidden. The hidden advantages are determined to be decisive. Special attention is paid to the potential of 5G networks to provide police functions, in particular, to ensure all issues of total surveillance of any person. The risk-cost-benefit analysis is carried out, allowing us to draw conclusions about the justification for the 5G networks development. The analysis makes us doubt the justification of spending trillions of rubles for the development of 5G networks in the Russian Federation. The book is intended for specialists in the field of ecology, environmental protection and for students studying and specializing in these areas.
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Livermore, Michael A. y Richard L. Revesz. Reviving Rationality. Oxford University Press, 2020. http://dx.doi.org/10.1093/oso/9780197539446.001.0001.

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Reviving Rationality: Saving Cost-Benefit Analysis for the Sake of the Environment and Our Health explains how Donald Trump destabilized the decades-long bipartisan consensus that federal agencies must base their decisions on evidence, expertise, and analysis. Administrative agencies are charged by law with protecting values like stable financial markets and clean air. Their decisions often have profound consequences, affecting everything from the safety of workplaces to access to the dream of home ownership. Under the Trump administration, agencies have been hampered in their ability to advance these missions by the conflicting ideological whims of a changing cast of political appointees and overwhelming pressure from well-connected interest groups. Inconvenient evidence has been ignored, experts have been sidelined, and analysis has been used to obscure facts rather than inform the public. The results are grim: incoherent policy, social division, defeats in court, a demoralized federal workforce, and a loss of faith in government’s ability to respond to pressing problems. This experiment in abandoning the norms of good governance has been a disaster. Reviving Rationality explains how and why our government has abandoned rationality in recent years, and why it is so important for future administrations to restore rigorous and even-handed cost-benefit analysis if we are to return to a policymaking approach that effectively tackles the most pressing problems of our era.
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Sobczyk, Eugeniusz Jacek. Uciążliwość eksploatacji złóż węgla kamiennego wynikająca z warunków geologicznych i górniczych. Instytut Gospodarki Surowcami Mineralnymi i Energią PAN, 2022. http://dx.doi.org/10.33223/onermin/0222.

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Hard coal mining is characterised by features that pose numerous challenges to its current operations and cause strategic and operational problems in planning its development. The most important of these include the high capital intensity of mining investment projects and the dynamically changing environment in which the sector operates, while the long-term role of the sector is dependent on factors originating at both national and international level. At the same time, the conditions for coal mining are deteriorating, the resources more readily available in active mines are being exhausted, mining depths are increasing, temperature levels in pits are rising, transport routes for staff and materials are getting longer, effective working time is decreasing, natural hazards are increasing, and seams with an increasing content of waste rock are being mined. The mining industry is currently in a very difficult situation, both in technical (mining) and economic terms. It cannot be ignored, however, that the difficult financial situation of Polish mining companies is largely exacerbated by their high operating costs. The cost of obtaining coal and its price are two key elements that determine the level of efficiency of Polish mines. This situation could be improved by streamlining the planning processes. This would involve striving for production planning that is as predictable as possible and, on the other hand, economically efficient. In this respect, it is helpful to plan the production from operating longwalls with full awareness of the complexity of geological and mining conditions and the resulting economic consequences. The constraints on increasing the efficiency of the mining process are due to the technical potential of the mining process, organisational factors and, above all, geological and mining conditions. The main objective of the monograph is to identify relations between geological and mining parameters and the level of longwall mining costs, and their daily output. In view of the above, it was assumed that it was possible to present the relationship between the costs of longwall mining and the daily coal output from a longwall as a function of onerous geological and mining factors. The monograph presents two models of onerous geological and mining conditions, including natural hazards, deposit (seam) parameters, mining (technical) parameters and environmental factors. The models were used to calculate two onerousness indicators, Wue and WUt, which synthetically define the level of impact of onerous geological and mining conditions on the mining process in relation to: —— operating costs at longwall faces – indicator WUe, —— daily longwall mining output – indicator WUt. In the next research step, the analysis of direct relationships of selected geological and mining factors with longwall costs and the mining output level was conducted. For this purpose, two statistical models were built for the following dependent variables: unit operating cost (Model 1) and daily longwall mining output (Model 2). The models served two additional sub-objectives: interpretation of the influence of independent variables on dependent variables and point forecasting. The models were also used for forecasting purposes. Statistical models were built on the basis of historical production results of selected seven Polish mines. On the basis of variability of geological and mining conditions at 120 longwalls, the influence of individual parameters on longwall mining between 2010 and 2019 was determined. The identified relationships made it possible to formulate numerical forecast of unit production cost and daily longwall mining output in relation to the level of expected onerousness. The projection period was assumed to be 2020–2030. On this basis, an opinion was formulated on the forecast of the expected unit production costs and the output of the 259 longwalls planned to be mined at these mines. A procedure scheme was developed using the following methods: 1) Analytic Hierarchy Process (AHP) – mathematical multi-criteria decision-making method, 2) comparative multivariate analysis, 3) regression analysis, 4) Monte Carlo simulation. The utilitarian purpose of the monograph is to provide the research community with the concept of building models that can be used to solve real decision-making problems during longwall planning in hard coal mines. The layout of the monograph, consisting of an introduction, eight main sections and a conclusion, follows the objectives set out above. Section One presents the methodology used to assess the impact of onerous geological and mining conditions on the mining process. Multi-Criteria Decision Analysis (MCDA) is reviewed and basic definitions used in the following part of the paper are introduced. The section includes a description of AHP which was used in the presented analysis. Individual factors resulting from natural hazards, from the geological structure of the deposit (seam), from limitations caused by technical requirements, from the impact of mining on the environment, which affect the mining process, are described exhaustively in Section Two. Sections Three and Four present the construction of two hierarchical models of geological and mining conditions onerousness: the first in the context of extraction costs and the second in relation to daily longwall mining. The procedure for valuing the importance of their components by a group of experts (pairwise comparison of criteria and sub-criteria on the basis of Saaty’s 9-point comparison scale) is presented. The AHP method is very sensitive to even small changes in the value of the comparison matrix. In order to determine the stability of the valuation of both onerousness models, a sensitivity analysis was carried out, which is described in detail in Section Five. Section Six is devoted to the issue of constructing aggregate indices, WUe and WUt, which synthetically measure the impact of onerous geological and mining conditions on the mining process in individual longwalls and allow for a linear ordering of longwalls according to increasing levels of onerousness. Section Seven opens the research part of the work, which analyses the results of the developed models and indicators in individual mines. A detailed analysis is presented of the assessment of the impact of onerous mining conditions on mining costs in selected seams of the analysed mines, and in the case of the impact of onerous mining on daily longwall mining output, the variability of this process in individual fields (lots) of the mines is characterised. Section Eight presents the regression equations for the dependence of the costs and level of extraction on the aggregated onerousness indicators, WUe and WUt. The regression models f(KJC_N) and f(W) developed in this way are used to forecast the unit mining costs and daily output of the designed longwalls in the context of diversified geological and mining conditions. The use of regression models is of great practical importance. It makes it possible to approximate unit costs and daily output for newly designed longwall workings. The use of this knowledge may significantly improve the quality of planning processes and the effectiveness of the mining process.
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Massey, Douglas S., Len Albright, Rebecca Casciano, Elizabeth Derickson y David N. Kinsey. Climbing Mount Laurel. Princeton University Press, 2019. http://dx.doi.org/10.23943/princeton/9780691196138.001.0001.

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Under the New Jersey State Constitution as interpreted by the State Supreme Court in 1975 and 1983, municipalities are required to use their zoning authority to create realistic opportunities for a fair share of affordable housing for low- and moderate-income households. Mount Laurel was the town at the center of the court decisions. As a result, Mount Laurel has become synonymous with the debate over affordable housing policy designed to create economically integrated communities. What was the impact of the Mount Laurel decision on those most affected by it? What does the case tell us about economic inequality? This book undertakes a systematic evaluation of the Ethel Lawrence Homes—a housing development produced as a result of the Mount Laurel decision. The book assesses the consequences for the surrounding neighborhoods and their inhabitants, the township of Mount Laurel, and the residents of the Ethel Lawrence Homes. Their analysis reveals what social scientists call neighborhood effects—the notion that neighborhoods can shape the life trajectories of their inhabitants. The book proves that the building of affordable housing projects is an efficacious, cost-effective approach to integration and improving the lives of the poor, with reasonable cost and no drawbacks for the community at large.
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Grush, Rick y Lisa Damm. Cognition and the Brain. Editado por Eric Margolis, Richard Samuels y Stephen P. Stich. Oxford University Press, 2012. http://dx.doi.org/10.1093/oxfordhb/9780195309799.013.0012.

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The article explores the relationship between cognition and the brain. Some researches indicate that emotions provide information, anticipate future responses, influence reasoning strategy, index value, and direct attention toward particular objects but few psychologists have attempted to incorporate these results into an integrative general theory of cognition and emotion. Antonio Damasio claims that emotions are primarily representations of somatic states, including visceral and musculoskeletal, at the psychological level. The relationship between the event type and the associated emotional reaction is learned so that when the same type of event is encountered, or the same type of action considered, it can induce the corresponding emotion and the valance of that emotion can influence how the agent behaves in that situation. Damasio argued that somatic markers help facilitate reasoning by providing a rapid processing of potential decision outcomes based on immediate endorsement or rejection, which then helps constrain the decision-making space to a manageable size for which it becomes reasonable to employ more traditional means of evaluation such as cost-benefit analysis on the remaining options. Berthoz argued that the brain is a simulator of action and a generator of hypotheses such that anticipating and predicting the consequences of actions based on the remembered past is one of the basic properties of the brain.
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Francesca, Mazza. Ch.9 Assignment of rights, transfer of obligations, assignment of contracts, s.1: Assignment of rights, Art.9.1.8. Oxford University Press, 2015. http://dx.doi.org/10.1093/law/9780198702627.003.0177.

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This commentary analyses Article 9.1.8 of the UNIDROIT Principles of International Commercial Contracts (PICC). According to Art 9.1.8, the obligor has a right to be compensated by the assignor or the assignee for any additional costs caused by the assignment. The additional costs for which the obligor claims compensation must be caused by the assignment of a right; that is, they must be a direct consequence of it. In particular, additional costs may be caused by the fact that performance has to be rendered at a different place or to more than one obligee in the case of a partial assignment. This commentary discusses additional costs relating to change of place of performance and partial assignments, as well as the obligor's right to choose to claim compensation from either the assignor or the assignee.
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Chaisty, Paul, Nic Cheeseman y Timothy J. Power. Partisan Powers and Coalition Management. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198817208.003.0007.

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This chapter examines how presidents manage coalitions by wielding control over the behaviour of their co-partisans. It presents examples of presidents in Armenia, Ecuador, and Malawi who failed to deploy this tool effectively, and discusses the significant costs that they incurred. It also discusses the system-level (electoral system, party organization), coalition-level (size of the president’s party, heterogeneity of the coalition), and conjunctural factors (crisis, policy success, time) that have shaped the relative costs that presidents face when they deploy partisan powers. It analyses data on party defections to assess the consequences of weak partisan powers, and it explores examples of effective and ineffective partisan tool deployment in Brazil, Ukraine, and Malawi. Finally, it uses data from surveys of MPs to assess the relative significance of partisan power, and explores the differences in the ways that presidents deploy partisan powers across the nine country cases.
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Blum, Matthias y Jari Eloranta. The Economics of Total War and Reconstruction, 1914–1922. Editado por Nicholas Doumanis. Oxford University Press, 2014. http://dx.doi.org/10.1093/oxfordhb/9780199695669.013.7.

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This chapter features a discussion of the economy and mobilization for the First World War. The authors analyse the implications and cost of total war, concluding with an examination of its contradictory legacies. In studying the war’s impact on Germany in particular, the chapter provides an in-depth look at the consequences of war on Europe’s strongest pre-war economy, without the complications of separating out the issues of a developing country, which can mimic those faced in wartime. The economic challenges that warring parties faced during the war included mobilization, warfare, labour shortage, impaired domestic economic activity, restricted international trade, a systematic redistribution of resources towards the war economy, food rationing, the predictable emergence of black markets, and a drop in living standards. The authors also discuss strategies to meet the significant financial demands associated with the war, and its tumultuous economic and political aftermath.
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Barnhurst, Kevin G. The “What” Waned in Broadcast News. University of Illinois Press, 2017. http://dx.doi.org/10.5406/illinois/9780252040184.003.0008.

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This chapter analyzes changes in news event coverage. In early 1950, when Sen. Joseph R. McCarthy mounted his virulent attacks accusing the Truman administration of harboring Communists in the State Department, the press simply reported who said what. The Republican Party won the 1952 election and took control of the Senate, and McCarthy became committee chair and expanded his attacks, going after defense industries, universities, and the broadcasters themselves. ABC Television came into national prominence by airing the hearings about supposed Communist infiltration of the U.S. Army, riveting national attention with the live proceedings. But the events could not really speak for themselves, a discovery that seemed to expose a weakness in realism. Every name named exacted a human cost, as McCarthy dragged innocent individuals into the public eye, and his baseless accusations harmed their relationships and destroyed their livelihoods. The consequences, although not lost on the press, were not in themselves news events as then defined.
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Montgomery, Erwin B. Medical Reasoning. Oxford University Press, 2018. http://dx.doi.org/10.1093/med/9780190912925.001.0001.

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Modern medicine is one of humankind’s greatest achievements. Yet medical errors and irreproducibility in biomedical research suggest something is amiss. Concerns have driven considerable and thoughtful critical analyses, but the apparent intransigence of these problems suggests a different perspective is needed. The perspective pursued in this book begins with the idea that the need for certainty in medical decision-making has been and remains the primary driving force in medical reasoning. Faced with the unique challenges of having to treat the individual patient, the great variety of manifestations across patients is daunting. Either there are as many different “diseases” as there are patients, or there is some economical set of principles and facts that can be combined to explain each patient’s disease. Modern allopathic medicine follows from the presumption that economical sets of principles and facts exist. The challenge is to discover those principles and facts and develop means to reason from them to the individual patient in a way that provides certainty. Medical reasoning implicitly evolved from variations of logical deduction and induction reflected in the hypothetico-deductive, pattern recognition, and intuitive approaches used in medicine today. However, these require the judicious use of logical fallacies that increase utility but at the cost of certainty. Similarly, medical research necessarily requires the judicious use of a variation on syllogistic deduction. Their necessary use creates risks for errors. Many problems in medical reasoning and research are the consequence of injudicious uses. This book is a critical and historical analysis of medical reasoning from this perspective.
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Tir, Jaroslav y Johannes Karreth. Managing Civil Wars from the Perspective of Their Development. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780190699512.003.0002.

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After surveying the literature on the causes, consequences, and management of civil wars, we argue that novel ways of examining civil war management are needed. We advocate for a developmental view of civil wars in order to better understand how to prevent the escalation of low-level armed conflict to full-scale civil war. To prevent full-scale civil war, third parties need to (a) respond swiftly, (b) have the will and ability to impose tangible costs on (and offer benefits to) governments and rebels, and (c) remain involved over the long term. Our analysis shows that typical third-party civil war management approaches (mediation, peacekeeping, and intervention) fail to adequately address at least one of these issues. This motivates our argument in favor of focusing on a different type of third party that could arguably play a particularly constructive role in civil war prevention: highly structured intergovernmental organizations.
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Craig, Tevendale y Bakstad Samantha. Part I Commercial Arbitration in the Energy Sector, 2 Upstream Oil and Gas Disputes. Oxford University Press, 2018. http://dx.doi.org/10.1093/law/9780198805786.003.0002.

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This chapter focuses on Joint Operating Agreements (JOAs). A JOA is an agreement between two or more companies which defines their respective rights and obligations in the exploration of a hydrocarbon project. The purpose of the JOA is for the participating companies to share risks (costs) and rewards (revenues) in relation to the project, and to define their respective roles. Among other things, the chapter discusses leading model form JOAs, as well as the interpretation and application of clauses typically found in JOAs, such as exculpatory or liability limitation clauses, pre-emption clauses, and clauses dealing with the consequences of a party's default or forfeiture. It also analyzes case law from various jurisdictions regarding implied or statutory obligations, such as duties of ‘good and fair dealing’ and fiduciary duties amongst the partners.
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Giorgio, Sacerdoti. Has China Become ‘Legally’ a Market-economy Country on 11 December 2016 under the WTO Antidumping Agreement? Analysing an Open Question. Oxford University Press, 2017. http://dx.doi.org/10.1093/law-iic/9780198809722.016.0010.

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The rules applicable to the antidumping investigation on China’s exports after the expiration of subparagraph (a)(ii) of Section 15 of China's Accession Protocol on 11 December 2016 are contentious. China immediately challenged both the EU and US regimes at the WTO claiming that the general WTO rules on price comparability must now be applied to its exports. The chapter concludes that Section 15(a)(i) of China’s Accession Protocol, as subsisting, still allows importing countries to treat China as a non-market economy in certain conditions. As a consequence, there is recourse to constructed value based on the prices and costs of an analogue third country instead of the domestic ones in China, if the latter are being distorted by state intervention. However, recourse to this alternative methodology cannot be ‘automatic’ anymore and the issue of which party has to prove that the imports at issue are distorted by state intervention becomes crucial.
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Gray, Kevin R., Richard Tarasofsky y Cinnamon Carlarne, eds. The Oxford Handbook of International Climate Change Law. Oxford University Press, 2016. http://dx.doi.org/10.1093/law/9780199684601.001.0001.

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Climate change presents one of the greatest challenges of our time, and has become one of the defining issues of the twenty-first century. The radical changes which both developed and developing countries will need to make, in economic and in legal terms, to respond to climate change are unprecedented. International law, including treaty regimes, institutions, and customary international law, needs to address the myriad challenges and consequences of climate change, including variations in the weather patterns, sea level rise, and the resulting migration of peoples. This book provides an authoritative overview of all aspects of international climate change law as it currently stands, with guidance for how it should develop in the future. This book sets out to analyse the legal issues that surround this vitally important but still emerging area of international law. This book addresses the major legal dimensions of the problems caused by climate change: not only in the content and nature of the international legal frameworks, which need implementation at the national level, but also the development of carbon trading systems as a means of reducing the costs of meeting emission reduction targets. After an introduction to the field, the book assesses the relevant institutions, the key applicable principles of international law, the international mitigation regime and its consequences, and climate change litigation, before providing perspectives focused upon specific countries or regions.
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Schwindt-Bayer, Leslie A., ed. Gender and Representation in Latin America. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780190851224.001.0001.

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In the past thirty years, women’s representation and gender equality has developed unevenly in Latin America. Some countries have experienced large increases in gender equality in political offices, whereas others have not, and even within countries, some political arenas have become more gender equal whereas others continue to exude intense gender inequality. These patterns are inconsistent with explanations of social and cultural improvements in gender equality leading to improved gender equality in political office. Gender and Representation in Latin America argues instead that gender inequality in political representation in Latin America is rooted in institutions and the democratic challenges and political crises facing Latin American countries and that these challenges matter for the number of women and men elected to office, what they do once there, how much power they gain access to, and how their presence and actions influence democracy and society more broadly. The book draws upon the expertise of top scholars of women, gender, and political institutions in Latin America to analyze the institutional and contextual causes and consequences of women’s representation in Latin America. It does this in part I with chapters that analyze gender and political representation regionwide in each of five different “arenas of representation”—the presidency, cabinets, national legislatures, political parties, and subnational governments. In part II, it provides chapters that analyze gender and representation in each of seven different countries—Argentina, Chile, Costa Rica, Uruguay, Mexico, Brazil, and Colombia. The authors bring novel insights and impressive new data to their analyses, helping to make this one of the most comprehensive books on gender and political representation in Latin America today.
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Sturken, Marita. Terrorism in American Memory. NYU Press, 2022. http://dx.doi.org/10.18574/nyu/9781479811670.001.0001.

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This book examines the role of cultural memory in the post-9/11 era of American culture, an era that begins with 9/11 memorialization and ends with battles over the memory of racial injustice. The book argues that 9/11 was a shaping force in the two decades that followed and that the post-9/11 era came to a close in the disruption of the COVID-19 pandemic and protests of 2020. The post-9/11 era thus begins with the numerous nationalistic memorial projects of 9/11 and ends with the radical intervention of the Legacy Museum and the National Memorial for Peace and Justice in Montgomery, Alabama, a project that dramatically rewrites the national script of American history. The book looks in depth at the proliferation of 9/11 memorials, with thousands of memorials built from the bent steel of the twin towers throughout the country, and situates the 9/11 museum in New York and the architectural rebuilding of lower Manhattan as an intermix of memorialization, securitization, commercialization, and starchitecture. It analyzes the erasure of the post-9/11 wars in Iraq and Afghanistan and the memory projects that have aimed to render their human and economic costs visible. Finally, it examines the Legacy Museum and the National Memorial for Peace and Justice in Montgomery as a project of memory activism that aims to memorialize the legacies of slavery and lynching as a means to intervene into the consequences of mass incarceration in the present.
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Szewczyk, Janusz. Rola zaburzeń w kształtowaniu struktury i dynamiki naturalnych lasów bukowo-jodłowo-świerkowych w Karpatach Zachodnich. Publishing House of the University of Agriculture in Krakow, 2018. http://dx.doi.org/10.15576/978-83-66602-35-9.

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The aim of the study was to determine the influence of different disturbances (both natural and anthropogenic) on species composition and stand structure of old-growth mixed mountain forests in the Western Carpathians. These stands are usually dominated by beech, fir and spruce, mixed in different proportions. The tree main species represent different growth strategies, and they compete against each other. The longevity of trees makes the factors influencing the stand structure difficult to identify, even during longitudinal studies conducted on permanent research plots. That is why dendroecological techniques, based upon the annual variability of tree rings, are commonly used to analyze the disturbance histories of old-growth stands. Dendroecological methods make it possible to reconstruct the stand history over several centuries in the past by analyzing the frequency, intensity, duration and spatial scale of disturbances causing the death of trees. Combining the dendroecological techniques with the detailed measurements of stand structure, snag volume, CWD volume, and the analyses of regeneration species composition and structure allows us to identify the factors responsible for the changes in dynamics of mixed mountain forests. Various disturbance agents affect some species selectively, while some disturbances promote the establishment of tree seedlings of specific species by modifying environmental conditions. Describing the disturbance regime requires a broad scope of data on stand structure, on dead wood and tree regeneration, while various factors affecting all the stages of tree growth should be taken into consideration. On the basis of the already published data from permanent sample plots, combined with the available disturbance history analyses from the Western Carpathians, three research hypotheses were formulated. 1. The species composition of mixed mountain forests has been changing for at least several decades. These directional changes are the consequence of simultaneous conifer species decline and expansion of beech. 2. The observed changes in species composition of mixed mountain forests are the effect of indirect anthropogenic influences, significantly changing tree growth conditions also in the forests that are usually considered natural or near-natural. Cumulative impact of these indirect influences leads to the decrease of fir share in the tree layer (spruce decline has also been observed recently),and it limits the representation of this species among seedlings and saplings. The final effect is the decrease of fir and spruce share in the forest stands. 3. Small disturbances, killing single trees or small groups of trees, and infrequent disturbances of medium size and intensity dominate the disturbance regime in mixed mountain forests. The present structure of beech-fir-spruce forests is shaped both by complex disturbance regime and indirect anthropogenic influences. The data were gathered in permanent sample plots in strictly protected areas of Babia Góra, Gorce, and Tatra National Parks, situated in the Western Carpathians. All plots were located in the old-growth forest stands representing Carpathian beech forest community. The results of the measurements of trees, snags, coarse woody debris (CWD) and tree regeneration were used for detailed description of changes in the species composition and structure of tree stands. Tree ring widths derived from increment cores were used to reconstruct the historical changes in tree growth trends of all main tree species, as well as the stand disturbance history within the past two to three hundred years. The analyses revealed complex disturbance history in all of the three forest stands. Intermediate disturbances of variable intensity occurred, frequently separated by the periods of low tree mortality lasting from several decades up to over one hundred years. The intervals between the disturbances were significantly shorter than the expected length of forest developmental cycle, in commonly used theories describing the dynamics of old-growth stands. During intermediate disturbances up to several dozen percent of canopy trees were killed. There were no signs of stand-replacing disturbances, killing all or nearly all of canopy trees. The periods of intense tree mortality were followed by subsequent periods of increased sapling recruitment. Variability in disturbance intensity is one of the mechanisms promoting the coexistence of beech and conifer species in mixed forests. The recruitment of conifer saplings depended on the presence of larger gaps, resulting from intermediate disturbances, while beech was more successful in the periods of low mortality. However, in the last few decades, beech seems to benefit from the period of intense fir mortality. This change results from the influence of long-term anthropogenic disturbances, affecting natural mechanisms that maintain the coexistence of different tree species and change natural disturbance regimes. Indirect anthropogenic influence on tree growth was clearly visible in the gradual decrease of fir increments in the twentieth century, resulting from the high level of air pollution in Europe. Synchronous decreases of fir tree rings’ widths were observed in all three of the sample plots, but the final outcomes depended on the fir age. In most cases, the damage to the foliage limited the competitive abilities of fir, but it did not cause a widespread increase in tree mortality, except for the oldest firs in the BGNP (Babia Góra National Park) plot. BGNP is located in the proximity of industrial agglomeration of Upper Silesia, and it could be exposed to higher level of air pollution than the other two plots. High level of fir regeneration browsing due to the deer overabundance and insufficient number of predators is the second clear indication of the indirect anthropogenic influence on mixed mountain forests. Game impact on fir regeneration is the most pronounced in Babia Góra forests, where fir was almost completely eliminated from the saplings. Deer browsing seems to be the main factor responsible for limiting the number of fir saplings and young fir trees, while the representation of fir among seedlings is high. The experiments conducted in fenced plots located in the mixed forests in BGNP proved that fir and sycamore were the most preferred by deer species among seedlings and saplings. In GNP (Gorce National Park) and TNP (Tatra National Park), the changes in species composition of tree regeneration are similar, but single firs or even small groups of firs are present among saplings. It seems that all of the analysed mixed beech-fir-spruce forests undergo directional changes, causing a systematic decrease in fir representation, and the expansion of beech. This tendency results from the indirect anthropogenic impact, past and present. Fir regeneration decline, alongside with the high level of spruce trees’ mortality in recent years, may lead to a significant decrease in conifers representation in the near future, and to the expansion of beech forests at the cost of mixed ones.

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