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  • About
  • The Global ETD Search service is a free service for researchers to find electronic theses and dissertations. This service is provided by the Networked Digital Library of Theses and Dissertations.
    Our metadata is collected from universities around the world. If you manage a university/consortium/country archive and want to be added, details can be found on the NDLTD website.
71

An approach to assess the integration of the Water Framework Directive and Floods Directive

Segovia, Carolina January 2021 (has links)
The development of the European water policy has been in a continuous improvement process during the last fifty years. The adoption of Water Framework Directive (WFD) enabled the consolidation of a fragmented policy to comprehensive approach with a focus on sustainability. The floods Directive was developed as acomplement to the WFD and promoted their integration. However, several opportunities have been identified in the implementation and in achieving integration. This paper identifies integration gaps faced by practitionersand develops an assessment framework which can be used by diverse stakeholders from policy makers to water users to understand the degree of integration in a systematic way. Indicators within the framework can shed light on the progress and optimize the development of action plans to address integration gaps and achieveefficiency gains. Although not a remedy for the complex challenges, establishing measuring systems is a first step to ensure integration of current and future directives.
72

A transaction cost approach for environmental policy analysis : the case of the Water Framework Directive in the Scheldt International river basin district / Une approche par les coûts de transaction pour l'analyse des politiques environnementales : le cas de la directive cadre eau dans le bassin de l'Escaut

Laurenceau, Marion 28 September 2012 (has links)
Cette recherche propose une méthodologie pour prendre en compte les coûts de transaction politiques et pour évaluer comment ils conditionnent la mise en œuvre d’une politique. A partir d’une analyse empirique de la Directive Cadre Eau, ce travail (1) propose une typologie des déterminants des Coûts de Transaction Politiques (CTP) et (2) présente les stratégies des acteurs pour pallier ces CTP (‘arrangements’). Les arrangements correspondent aux stratégies visant à minimiser soit des coûts de recherche et de collecte d’informations, des coûts de négociation, ou des coûts de coordination. Cette recherche témoigne que certains choix de mise en œuvre de politique peuvent s'expliquer par la recherche d'une minimisation des CTP selon des déterminants contextuels. La prise en compte des CTP pour l’analyse des politiques permet d’anticiper (i) les contraintes auxquelles les acteurs peuvent être confrontés lors de la mise en œuvre d’une politique et (ii) comment ils sont enclins à y répondre. / This research proposes a methodology to account for policy transaction costs and to assess how they condition the implementation of policy tasks. In light of an empirical analysis of the European Water Framework Directive implementation in 4 institutional contexts, this work (1) elaborates a typology of Policy Transaction Costs (PTC) determinants and (2) depicts stakeholders’ strategies to cope with PTC (‘arrangements’). We distinguish three main categories of arrangements: strategies to minimize either research and information collection costs, negotiation costs, or coordination costs. This research testifies that certain policy implementation decisions can be explained by the search for PTC minimization according to contextual determinants. Policy analysis shall thus consider PTC linked to policy implementation so as to anticipate (i) the constraints policy actors will face when implementing a given policy and (ii) how these actors are likely to respond to such constraints.
73

Balancing employer and employee iterests : legitimate expectations and proportionality under the Acquired Rights Directive

Skandalis, Ioannis January 2013 (has links)
This thesis analyses the aims and objectives of the EU Acquired Rights Directive (ARD) in the context of the larger evolution of EU labour law itself. The thesis presents the overall goal of the ARD as that of striking an appropriate balance between the employer’s prerogative to transfer the business and the employee’s interest in not having the security of the job unduly threatened by such transfers. Given the current complexity and incoherence of the law regulating economic dismissals in the context of transfers, the central argument of the thesis is that there is a need for a clearer conceptual framework for defining and understanding the rights and obligations in the Acquired Rights Directive (ARD). It is suggested that the principles of legitimate expectations and proportionality are ideally adapted to play this role. In analyzing the teleology of the ARD based on these principles, this study not only assists in understanding and explaining the ARD itself, but also has wider implications for understanding the challenges facing European social policy in the field of employment protection. In its attempts to reconcile fundamental economic freedoms of employers on the one hand, and fundamental rights of employees on the other, the Court of Justice has frequently relied upon the proportionality principle to achieve a ‘fair balance’ between both parties. Following the interpretations of ‘proportionality’ in Viking and Laval, there is admittedly a fear that the proportionality balancing is likely to accord an almost absolute priority to the employers’ economic freedoms. The thesis is cognizant of this danger, and therefore advocates a ‘symmetrical’ approach to balancing. In this way the thesis offers some insight into the potential for the ARD to remain continuously effective in times of economic crisis. The study therefore finds reason to be optimistic about the prospects for the ARD and other standard-setting directives in the future of social Europe.
74

The influence of hydromorphology on instream ecology in lowland rivers

Worrall, Thomas P. January 2012 (has links)
With the formal adoption of the Water Framework Directive in 2000, into European legislation it committed all member states to ensure that all inland waterbodies should reach good ecological status by 2015. As a result examination of the influence of hydromorphology on the ecological health of riverine ecosystems has become an increasingly important priority for statutory monitoring agencies such as the Environment Agency of England and Wales and equivalents in other parts of the UK. It is anticipated that by increasing our understanding of the role that hydromorphological processes play in shaping river habitats and the ecosystems that they support, river management strategies can be developed that will help lead to waterbodies achieving good ecological status. In this thesis, the influence of river hydromorphology and instream channel management activities on instream macroinvertebrate communities is explored. A two-scale approach was used at a regional macro-scale and local / catchment micro-scale. The macro-scale study examines the ecological, hydrological and geomorphological data for 88 river reaches located within the Environment Agency , Anglian Central and Anglian Northern regions, over a twenty year period (1986-2005). At the micro-scale two sub-catchments were selected, the River Bain and River Lymn, both located in Lincolnshire, England for detailed investigation. The micro-scale study was undertaken using ecological, hydrological and geomorphological data collected over three successive seasons (Autumn 2008, Spring 2009 and Summer 2009) enabling the seasonal variations and the influence of both stream size and habitat biotope on macroinvertebrate community composition and structure to be explored. The hydromorphological characteristics and condition of the rivers were quantified using ecologically relevant hydrological indices, calculated from flow discharge paired with geomorphological indices from River Habitat Survey data. The response of the instream macroinvertebrate communities was examined using a range of ecological indices including the Lotic-invertebrate Index for Flow Evaluation (LIFE). The results of the macro-scale investigation demonstrate that the macroinvertebrate community is directly influenced by instream hydromorphology and the level of anthropogenic modification. The micro-scale study highlights important differences in macroinvertebrate communities associated with instream habitat / biotope composition. The quantification of river hydromorphology, with the use of ecologically relevant hydrological indices and geomorphological indices, derived from River Habitat Survey data, is discussed with regards its ability to help explain the structure and composition of macroinvertebrate communities within highly managed /regulated riverine ecosystems. The implications of this research for river managers and for implementing river restoration and rehabilitation schemes are explored.
75

De nya EU-direktiven om hållbarhetsrapportering : En fallstudie genomförd på Stora Enso / : The new Euro directives regarding sustainability reporting

Engström, Erika, Wilén, Tyra January 2016 (has links)
Bakgrund Denna uppsats behandlar de nya EU-kraven som föreslås träda i kraft från och med det räkenskapsår som inleds närmast efter den 31 december 2016. Uppsatsen har undersökt hur Stora Enso arbetar med hållbarhetsrapportering enligt Global Reporting Initiatives riktlinjer. Detta eftersom att Stora Enso var det första börsnoterade företaget i Sverige vars hållbarhetsrapportering granskats av en tredje part. Vidare siktar denna uppsats på att ge de företag som ej tidigare har erfarenhet från hållbarhetsrapportering en inspirationskälla, som stöd i upprättningen av egna hållbarhetsrapporter. Syfte Syftet med den här fallstudien är att beskriva hur ett företag som redan innan EU-kraven börjat tillämpats rapporterat i enlighet med dessa, och hur de aktivt arbetar med hållbarhetsrapportering. Metod Fallstudie: intervjuer och dokumentanalys. Slutsats Det är viktigt att hela tiden fortsätta förbättra företagets hållbara utveckling och dess mål. Stora Ensos hållbarhetsrapportering kopplades ihop med den hållbara utvecklingen i stort, och här sågs att rapporteringen har hjälpt Stora Enso att uppnå och utveckla sina hållbarhetsmål. Utan hållbarhetsrapporteringen skulle Stora Ensos positiva utveckling inte varit lika omfattande. Utifrån de intervjuer som genomfördes konstaterades det att GRI:s riktlinjer medför både en fördel och en nackdel: de är väldigt omfattande. / Background This study describes the new requirements from the European Union, which are supposed to come in to effect in the first financial year that ushers after December 31th 2016. We have examined how Stora Enso works with its sustainability reports according to the Global Reporting Inititative's guidelines. Stora Enso was considered a suitable candidate because it was the first publicly listed company in Sweden which had its sustainability report audited by a third party. Furthermore, this study aims to give inspiration and support to companies without previous experience with sustainability reporting. Purpose The purpose of this case study is to describe how a specific company reported in accordance with the EU-directives regarding sustainability reporting, even before they come in to effect. And also describe how they actively works with their sustainability reporting. Methods Case study: interviews and public documents. Conclusion It is important that the company keeps improving their sustainable development and their goals. Stora Ensos sustainability reporting was connected to the sustainable development, without the sustainability reports Stora Enso would have had a harder time developing in a sustainable manner and probably not had such a big positive change. From the interviews that was performed, we concluded that GRI’s guidelines brings both an advantage and a disadvantage: it is comprehensive.
76

Karakterisering och klassificering av gotländska ytvatten enligt ramdirektivet för vatten / Characterisation and classification of lakes and streams on Gotland, Sweden, according to the EU Water Framework Directive

Eklund, Frida January 2005 (has links)
<p>In this study the practical work with the EU Water Framework starts on the island of Gotland. 33 lakes and 32 streams have been characterized and classified regarding to their ecological status. The aim with the characterisation is to create a uniform discription of all waterbodies and a comparable estimation for the future. The aim with the classification is both to study the waterbodies ecological status and to gain knowledge of where the resources should be concentrated so that the ecological status in all waterbodies will be good in 2015.</p><p>The characterisation has been done according to the EU Water Framework Directive, and the factors that have been applied are the mean depth and area of the lake. The length and size on the catchment area are the factors that have been used on streams. The classification is issued from biological, chemical and hydromorphological elements. The biological elements in both lakes and streams are fish and benthic macroinvertebrates. The chemical elements in lakes consist of total phosphorus, total nitrogen, quotient total nitrogen/total phosphorus, chemical oxygen demand, alkalinity and pH-value. The chemical elements in streams consist of area-specific losses of total phosphorus and total nitrogen, chemical oxygen demand, alkalinity and pH-value. The hydromorphological elements are lakes that are regulated, streams that have been straightened out and streams that have something stopping sawing fish.</p><p>The result of the characterisation shows five different sea types: large and deep seas, meanlarge and deep seas, meanlarge and shallow seas, small and deep seas as well as small and shallow seas. The result from the classification shows that 26 lakes have high or good ecological status. However, this still means that the seven lakes Asträsk, Bogeviken, Bondansträsk, Fridträsk, Inre Stockviken, Mjölhatteträsk and Paviken have moderate ecological status. 15 streams have good or high ecological status, while nine have moderate status. These nine streams are Burgsvikenån, Gothemsån, Ireån, Halorån, Lummelundaån, Närkån, Snoderån, Vägumeån as well as Västergarnsån. The ecological status could not be decided in eight streams, due to the low number of facts. All lakes and streams with moderate ecological status, except Bondansträsk, have recieved this estimation as a result of the high substance of nutrients. While fish in Bondansträsk is not good, the lake recieved the estimation moderate status.</p> / <p>I detta examensarbete inleds det praktiska arbetet med ramdirektivet för vatten på Gotland. I enlighet med vattendirektivet har 33 gotländska sjöar och 32 gotländska vattendrag karakteriserats och klassificerats utifrån ekologisk status. Syftet med karakteriseringen är att skapa en enhetlig beskrivning av samtliga vattenförekomster, vilket ger ett jämförbart underlag inför fortsatta bedömningar av sjöar och vattendrag på Gotland. Syftet med klassificeringen är att dels ta reda på den ekologiska statusen för gotländska ytvatten, dels att få kunskap om var resurserna bör läggas för att en god ekologisk status skall uppnås till år 2015.</p><p>Karakteriseringen utfördes enligt vattendirektivets system B, och de faktorer som användes är maxdjup och sjöarea för sjöar samt längd och avrinningsområdets area för vattendrag.</p><p>Detta resulterade i fem sjötyper: stora och djupa sjöar, stora och grunda sjöar, mellanstora och grunda sjöar, små och djupa sjöar samt små och grunda sjöar. Vattendragen indelades i fyra typer: långa vattendrag med stort avrinningsområde, långa vattendrag med mellanstort avrinningsområde, korta vattendrag med mellanstort avrinningsområde samt korta vattendrag med litet avrinningsområde.</p><p>Klassningen utgick, i enlighet med vattendirektivet, från biologiska, kemiska och hydromorfologiska faktorer. Den biologiska klassningen i både sjöar och vattendrag gjordes med utgångspunkt från fisk och bottenfauna. Den kemiska bedömningen i sjöar gjordes utifrån totalfosfor, totalkväve, fosfor/kväve-kvot, kemisk syreförbrukning, alkalinitet och pH-värde. För vattendrag har arealspecifik förlust av fosfor och kväve, kemisk syreförbrukning, alkalinitet och pH-värde använts. Den hydromorfologiska bedömningen gjordes med hänsyn tagen till rätning av vattendrag, vandringshinder i vattendrag samt reglering av sjöar.</p><p>Resultatet av klassificeringen visar att hela 26 av de 33 undersökta gotländska sjöarna har hög eller god ekologisk status, och sju sjöar, Asträsk, Bogeviken, Bondansträsk, Fridträsk, Inre Stockviken, Mjölhatteträsk och Paviken, har måttlig ekologisk status. 15 av de 32 undersökta vattendragen har hög eller god ekologisk status, medan nio vattendrag, Burgsvikenån, Gothemsån, Ireån, Halorån, Lummelundaån, Närkån, Snoderån, Vägumeån samt Västergarnsån, har måttlig ekologisk status. Vidare har ekologisk status inte kunnat bestämmas för åtta vattendrag, då inte tillräckligt med data funnits för att kunna genomföra en rättvis bedömning. Samtliga sjöar och vattendrag som har måttlig ekologisk status, förutom Bondansträsk, har erhållit denna bedömning på grund av alltför höga halter respektive transporter av näringsämnena kväve och fosfor. Bondansträsk har fått detta omdöme eftersom tillstånd och avvikelse från jämförvärde för fisk inte är helt bra.</p>
77

New model of component-based product-oriented environmental management system (C-POEMS) for small and medium-sized enterprises

Kim, Na-Kyung January 2008 (has links)
Product-oriented environmental improvement is a great challenge for SMEs. There are two main reasons for this; firstly, a contradictory situation exists because SMEs lack the knowledge and competence to adopt the mainstream principle holistic approach of environmental product policy and regulations, and, secondly, there is a growing demand to incorporate environmental management system (EMS) and product dimension via ecodesign. To address these issues, this research focused on a product-oriented environmental management system (POEMS) that has been specifically developed to solve these problems. However, POEMS studies so far lack methodological development and focus more on how to incorporate EMS and eco-design rather than how to interpret the contents and improve POEMS as a standard tool. This research aimed to develop a new model, namely, component-based POEMS (CPOEMS). The C-POEMS model is a first attempt to define a potential standardised form of POEMS in its contents and structure, and form the basis for a useable self-help format for SMEs. A C-POEMS model, comprising stages of process, categories of functional areas/units, and elements, and a diagnosis template, as a component-based application, are developed and formulated. Through primary research, the C-POEMS conceptual model was verified and applicability of a C-POEMS component to SMEs was validated. C-POEMS made major contributions of two aspects: (1) methodological development of POEMS; (2) improvement of the format applicable for SMEs incorporating mainstream principles. Regarding methodological development of POEMS, arguments of existing POEMS methods were revealed, and the suggestions as well as analytical information in this research would provide benefit for further research in this field. The C-POEMS improved POEMS by providing clear contents and structure with predefined prior and iii correlated categories of functional area/units, which are helpful for SMEs. In addition, a diagnostic approach would help SMEs recognise their own problems and focus areas. As a result, SMEs can reduce the initial time to identify a structure of product-related environmental management, and increase opportunities to focus on major targets and product aspect for environmental improvements. Because of time constraint and underdevelopment of POEMS, there remain problems, in particular, to fully integrate EMS and eco-design, and the asymmetric situation between maintaining the broad scope of POEMS and focusing upon specific areas and user demand. However, this C-POEMS model provides a foundation for the development of EMS for SME’s and for ongoing development of POEMS.
78

Investigation of regulatory efficiency with reference to the EU Water Framework Directive : an application to Scottish agriculture

Lago Aresti, Manuel January 2009 (has links)
The Water Framework Directive (WFD) has the stated objective of delivering good status (GS) for Europe’s surface waters and groundwaters. But meeting GS is cost dependent, and in some water bodies pollution abatement costs may be high or judged as disproportionate. The definition and assessment of disproportionate costs is central for the justification of time-frame derogations and/or lowering the environmental objectives (standards) for compliance at a water body. European official guidance is discretionary about the interpretation of disproportionate costs which consequently can be interpreted and applied differently across Member States. The aim of this research is to clarify the definition of disproportionality and to convey a consistent interpretation that is fully compliant with the economic requirements of the Directive, whilst also being mindful of the principles of pollution control and welfare economics theory. On this basis, standard-setting derogations should aim to reach socially optimal decisions and be judged with reference to a combination of explicit cost and benefit curves – an application of Cost-Benefits Analysis - and financial affordability tests. Arguably, these tools should be more influential in the development of derogation decisions across member states, including Scotland. The WFD is expected to have extensive effects on Scottish agriculture, which is faced with the challenge of maintaining its competitiveness, while protecting water resources. Focusing the analysis on the socio-economic impacts of achieving water diffuse pollution targets for the sector, a series of independent tests for the assessment of disproportionate costs are proposed and evaluated. These are: i) development of abatement cost curves for agricultural Phosphorus (P) mitigation options for different farm systems; ii) a financial characterisation of farming in Scotland and impact on profits of achieving different P loads reductions at farm level are investigated in order to explore issues on "affordability" and "ability to pay" by the sector; and iii) an investigation of benefits assessment using discrete choice modelling to explore public preferences for pollution control and measure non-market benefits of WFD water quality improvements in Scotland. Results from these tests provide benchmarks for the definition of disproportionate costs and are relevant to other aspects of the economic analysis of water use in Scotland. This study helps to clarify the nature of agricultural water use and how it leads to social tradeoffs with other non agricultural users. Ultimately, this perspective adds to the debate of how and where water is best employed to maximize its value to society.
79

An investigation into the implementation of the construction (design and management) regulations in the construction industry

Mzyece, Dingayo January 2015 (has links)
The European Union (EU), in 1992, issued the Temporary or Mobile Construction Sites (TMCS) Directive, which requires EU members to introduce specific law to improve health and safety (H&S) performance outcomes by placing specific duties on key stakeholders. This Directive led to the introduction of the first Construction (Design and Management) (CDM) Regulations in the UK construction industry on 31 March 1995 and since their introduction, the overall performance of construction H&S has improved gradually. However, despite this positive outlook, there are still significant concerns surrounding the implementation of the CDM Regulations, a subject on which empirical research has been very scanty. It is against such a background that this study investigates the practical implementation of the CDM Regulations and extends current knowledge and understanding, and develops a framework for appropriate remedial action by industry. The research method involved a thorough critical review of literature, semi-structured interviews, and two postal questionnaire surveys, using as research informants, practitioners with experience of the Designer, CDM Coordinator (CDM-C), and Principal Contractor (PC) roles under the CDM Regulations. Primary data were collected and analysed from in-depth interviews with six organisations purposively selected based on their construction design expertise and 122 questionnaires returned in total. The finding regarding lack of collaborative working amongst duty holders is a significant outcome of this study; a requirement expressed explicitly within the CDM Regulations, yet questionable in terms of its implementation. Further, the study reveals a number of statistically significant correlations between the extent of discharge of duties and their perceived degree of importance. However, the strength of the majority of these correlations is weak. In particular, the evidence indicates that 50% of the duties of the CDM-C are misaligned in terms of extent of discharge and perceived degree of importance, whereas 25% of the PC duties are also misaligned. This signals a lack of understanding regarding the importance of duties, towards achieving improved H&S management. Surprisingly, a comparison between extent of discharge of duties and their perceived degree of difficulty reveals that all the duties of the PC are statistically significant, meaning that the perceived degree of difficulty does not impede their extent of discharge. While 90% of the CDM-C duties are also statistically significant, again the same interpretation applies. Further, a consensus reached by Designers supports the view that CDM-Cs provide insufficient input throughout the planning and construction phase, raising doubt as to whether the duty holder is fit for purpose. Overall, the results confirm that interdependent working of duty holders is still a challenge, demonstrated by the Designer duty to ensure appointment of the CDM-C (Regulation 18(1)), the CDM-C duty to ensure Designers comply with their duties (Regulation 20(2)(c)), and the PC duty to liaise with the CDM-C and Designer (Regulation 22(1)(b)). Three recurring themes emerge from the results, that is: (i) collaboration, (ii) accountability and compliance, and (iii) facilitation, which in turn inform the remedial action framework comprising 13 remedial actions and 8 change drivers. Validation of the remedial action framework by 15 study participants reveals that, at least 10 remedial actions and 7 change drivers are considered likely to improve CDM implementation. The top three remedial actions are: (i) ensuring adequate arrangements for coordination of H&S measures; (ii) including provisions within the regulations specifying the stages for the appointment of duty holders; and (iii) amending the ACoP to provide guidance on determining what resources are adequate for a particular project. Whereas, the top three change drivers are: (i) management leadership; (ii) the proactive participation of duty holders; and (iii) training to equip duty holders with sufficient knowledge on provision of timely and adequate preconstruction information. Based on these outcomes, conclusions, recommendations, and further areas of research are drawn.
80

Regulation of Hedge Funds and Private Equity in the Light of the Global Financial Crisis / Regulation of Hedge Funds and Private Equity in the Light of the Global Financial Crisis

Šinka, Michal January 2011 (has links)
The aim of the thesis is to analyse the non-bank regulatory framework with particular attention devoted to hedge funds and private equity funds. The thesis describes functioning of the funds, discusses their performance during the global financial crisis of 2007-present and, predominantly, describes and analyses the EU and U.S. regulatory reforms with respect to these institutions which have arisen as a response to the crisis. Based on the analysis of the measures incorporated in these reforms, the thesis outlines its own proposal of an alternative investment fund regulatory framework which, if applied, would lead to a more efficient functioning of the alternative investment industry than what is likely to be the outcome of the already adopted reforms. The nature of the thesis is institutional; its methodology is characterized by a broad literature survey. Hedge funds and private equity funds are considered both in pre-crisis context as well as in circumstances that have been brought about by the crisis. Several hypotheses concerning systemic risk and the approach of the regulatory reforms to it are assessed. Mostly qualitative analysis is employed to evaluate the hypotheses.

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