Spelling suggestions: "subject:"european directive"" "subject:"puropean directive""
1 |
Accessibility in e-commerce: A comparative study of WCAG 2.1 and EU Directive 2019/882Klingofström, Gabriel, Runsten Fredriksson, Linnéa January 2023 (has links)
The EU Directive on the accessibility requirements for products and services, Directive 2019/882, is an accessibility law that will come into effect in the European Union starting in 2025. The criteria for compliance are based on the World Wide Web Consortium’s Web Content Accessibility Guidelines, WCAG 2.1, the industry standard for accessibility on the web. There are however few empirical studies attempting to ascertain the effectiveness of adhering to the guidelines to prevent accessibility issues faced by real users. The present study utilises usability testing with users with disabilities to identify accessibility problems, to then compare whether adherence to Directive 2019/882 or WCAG 2.1 solves the errors. The results showed that the effectiveness of WCAG 2.1’s ability to prevent accessibility problems on e-commerce websites lies between 41% and 71% and that the effectiveness of Directive 2019/882 lies between 39% and 69%. Blind users, visually impaired users, and users with cognitive impairments were overrepresented when it came to encountered issues left unaddressed by Directive 2019/882 and WCAG 2.1. The results may be used to argue whether Directive 2019/882 and WCAG 2.1 are appropriate guidelines to determine accessibility on the web, which may have societal consequences. We recommend further studies testing the findings of the present study by performing similar research on different websites and different spread of disabilities among participants in the test group.
|
2 |
Perspektivy veřejného zadávání v kontextu revize práva Evropské unie / Perspectives of public contracts in the context of revision of the European Union’s lawVránová, Iveta January 2013 (has links)
Diploma thesis with the topic "Perspectives of public contracts in the context of revision of the European Union's law", provides a summary of the most important changes brought by the transposition of the European Directive to the Czech Law. This thesis is based on the Public Contracts Directive 2014/24/EU, dated 26th February 2014, which replaced the previous Public Contracts Directive 2004/18/ES, and Directive 2014/25/EU, which replaced the Directive 2004/17/ES. The thesis deals with the reasons leading to the change of all mentioned Directives as well as with the "technical amendment" of the Public Procurement Act No. 137/2006 Coll., which has been in effect since the 1st of January 2014.
|
3 |
Product liability in Germany and South Africa : a comparative studyDe Villiers, Cornelius January 1997 (has links)
For almost twenty years, the general delictual claim as found in par. 823 (!) BGB formed the basis for product liability claims against producers in Germany. In 1985, however, a European Directive on Product Liability was issued and in 1990 Germany enacted the Product Liability Act. Setting a strict liability standard, the Act was to
operate in tandem with the existing general delictual claim. Since producers in any event find it very difficult to successfully defeat product liability claims based on par. 823 BGB, the Act should not drastically change the landscape of German product liability jurisprudence.
In South African product liability claims fall under the Lex Aquiliae which has fault as its cornerstone. Although our Courts are willing to assist a plaintiff by applying the doctrine of res ipsa loq11it11r, the German experience has shown that procedural devices do not provide a permanent solution to the problem of product liability. In the
long run legislation is the best way to bring about a rational and equitable system of strict liability. / Mercantile law / LL.M.
|
4 |
Product liability in Germany and South Africa : a comparative studyDe Villiers, Cornelius January 1997 (has links)
For almost twenty years, the general delictual claim as found in par. 823 (!) BGB formed the basis for product liability claims against producers in Germany. In 1985, however, a European Directive on Product Liability was issued and in 1990 Germany enacted the Product Liability Act. Setting a strict liability standard, the Act was to
operate in tandem with the existing general delictual claim. Since producers in any event find it very difficult to successfully defeat product liability claims based on par. 823 BGB, the Act should not drastically change the landscape of German product liability jurisprudence.
In South African product liability claims fall under the Lex Aquiliae which has fault as its cornerstone. Although our Courts are willing to assist a plaintiff by applying the doctrine of res ipsa loq11it11r, the German experience has shown that procedural devices do not provide a permanent solution to the problem of product liability. In the
long run legislation is the best way to bring about a rational and equitable system of strict liability. / Mercantile law / LL.M.
|
5 |
O risco de desenvolvimento e a responsabilidade civilBreviglieri, Etiene Maria Bosco 27 February 2013 (has links)
Made available in DSpace on 2016-04-26T20:21:31Z (GMT). No. of bitstreams: 1
Etiene Maria Bosco Breviglieri.pdf: 1711543 bytes, checksum: 47b9fab6e0f761d6c41b276e86544ab5 (MD5)
Previous issue date: 2013-02-27 / This study presents a comparative analysis of the risk of development as exclusion of liability in different jurisdictions. For this purpose, includes the main concepts and ideas advocated by the sociologist Ulrich Beck has called that today's society as "risk society". Within this paper presents a legal analysis of the text of the European Directive n. 374 of 1985 on the effects of their adoption by different member states of the European Community as a starting point for further reflections on the possible inclusion of the risk of development as excluding liability in our civil or consumerist law. It also includes reflections of new technologies and their interaction with the risk of development in order to confirm their applicability or not with nanotechnology and genetic manipulation. Due to the continued appearance of innovative technologies whose risks cannot be predicted and calculated the work points to the use of the principle of precaution and prevention to control risks from new technologies. Finally, it also brings two proposals of lege ferenda that address the risk of development planning in our civil and consumer in promoting the discussing of possibility of additions to the theme of the Civil Code and the Code of Consumer Protection / O presente trabalho apresenta uma análise comparada do risco do desenvolvimento como excludente de responsabilidade civil em diferentes ordenamentos. Para isso, inclui como conceitos primordiais as idéias defendidas pelo sociólogo Ulrich Beck que denominou a sociedade atual como sociedade do risco . No âmbito jurídico este trabalho apresenta uma análise do texto da Diretiva Européia n. 374 de 1985 apontando os efeitos de sua adoção por diferentes estados membros da Comunidade Européia como ponto de partida para posteriores reflexões sobre a possível inserção do risco de desenvolvimento como excludente de responsabilidade seja em nosso ordenamento civil ou na legislação consumerista. Inclui ainda o presente estudo reflexões sobre as novas tecnologias e sua interação com o risco de desenvolvimento no intuito de comprovar sua aplicabilidade ou não a nanotecnologia e a manipulação genética. Em virtude do aparecimento constante de tecnologias inovadoras cujos riscos não podem ser previstos e calculados o trabalho aponta a utilização do princípio da precaução e da prevenção para controle dos riscos inerentes às novas tecnologias. Por fim, traz ainda duas propostas de lege ferenda que abordam o tema do risco de desenvolvimento em nosso ordenamento no âmbito civil e consumerista promovendo o debate sobre possíveis inclusões do tema no Código Civil e no Código de Defesa do Consumidor
|
6 |
Des enjeux juridiques concernant l'efficacité des systèmes d'échange de droits d'émissionBrophy, Alain 04 1900 (has links)
Ce mémoire décrit et analyse différents types de systèmes d'échange de droits d'émission utilisés dans le
cadre de politiques de gestion de la pollution atmosphérique. L'objectif premier est de répertorier des enjeux
juridiques étant liés à l'efficacité de ces systèmes.
Dans un premier temps, nous nous attardons à la structure et aux mécanismes internes des systèmes
d'échange de droits d'émission. Tout d'abord, nous soulignons le fondement théorique de ce type de système.
Nous évaluons par la suite la structure et certains litiges liés au système d'échange américain dans le cadre
des émissions de dioxyde de soufre.
Dans un deuxième temps, nous continuons la description de systèmes en nous attardant plus spécifiquement
aux interactions entre les systèmes d'échange de droits d'émission et les autres politiques et règlementations
environnementales (incluant d'autres systèmes d'échange d'émission) visant la même problématique
environnementale. / The present essay describes and analyses different types of emissions trading schemes as an instrument in
air quality and environmental policy. The objective is to index legal stakes or risks relating to the efficiency of
emissions trading schemes.
ln the first part, we evaluate the structure and the design of emissions trading schemes. The knowledge of the
economic theory transcending those schemes is necessary to understand ail the structural mechanisms. After
this evaluation, this essay proposes an analysis of the U.S. sulphur dioxide program based on the U.S. Clean
Air Act and sorne of the litigations that occurred in the application of the said program.
ln part two, we are describing the structure and the design of emissions trading schemes with the specific goal
of underlining the interactions between different types of environmental policies or regulations and emissions
trading schemes when they are ail used for the same environmental problem.
|
7 |
Strategie pro dopravní podniky k umístění na liberalizovaném trhu veřejné osobní dopravy / Strategies for transportation companies to establish themselves in the liberalized public transportation marketGregor Wittner, Naděžda January 2007 (has links)
This diploma deals with the changes and challenges that transportation companies will face at the beginning of 2010 due to the liberalization of the public transportation market. It is structured into a first part describing the theory and a second part that applies the theory into praxis. The theory focuses on the development of public transportation, the nomenclature, and specific terms related to the public transportation market, legal changes, financials and other influencing effects. The complete diploma is written with focus on bus transportation. The second part analyzes the current situation on the Czech public bus transportation market and further expected changes starting with 2010. General recommendations are made and possible strategies described how to establish in the market. Finally there is made an explicit recommendation for a specific bus company
|
8 |
Des enjeux juridiques concernant l'efficacité des systèmes d'échange de droits d'émissionBrophy, Alain 04 1900 (has links)
Ce mémoire décrit et analyse différents types de systèmes d'échange de droits d'émission utilisés dans le
cadre de politiques de gestion de la pollution atmosphérique. L'objectif premier est de répertorier des enjeux
juridiques étant liés à l'efficacité de ces systèmes.
Dans un premier temps, nous nous attardons à la structure et aux mécanismes internes des systèmes
d'échange de droits d'émission. Tout d'abord, nous soulignons le fondement théorique de ce type de système.
Nous évaluons par la suite la structure et certains litiges liés au système d'échange américain dans le cadre
des émissions de dioxyde de soufre.
Dans un deuxième temps, nous continuons la description de systèmes en nous attardant plus spécifiquement
aux interactions entre les systèmes d'échange de droits d'émission et les autres politiques et règlementations
environnementales (incluant d'autres systèmes d'échange d'émission) visant la même problématique
environnementale. / The present essay describes and analyses different types of emissions trading schemes as an instrument in
air quality and environmental policy. The objective is to index legal stakes or risks relating to the efficiency of
emissions trading schemes.
ln the first part, we evaluate the structure and the design of emissions trading schemes. The knowledge of the
economic theory transcending those schemes is necessary to understand ail the structural mechanisms. After
this evaluation, this essay proposes an analysis of the U.S. sulphur dioxide program based on the U.S. Clean
Air Act and sorne of the litigations that occurred in the application of the said program.
ln part two, we are describing the structure and the design of emissions trading schemes with the specific goal
of underlining the interactions between different types of environmental policies or regulations and emissions
trading schemes when they are ail used for the same environmental problem. / "Mémoire présenté à la Faculté des études supérieures en vue de l'obtention du grade de Maîtrise en droit (LL.M.) option recherche". Ce mémoire a été accepté à l'unanimité et classé parmi les 15% des mémoires de la discipline. Commentaires du jury ; "Le jury souligne la difficulté du sujet et l'importance des enjeux économiques, politiques et juridiques. Le candidat a bien déblayé le sujet et a su structurer son analyse de manière intéressante".
|
9 |
Les fusions transfrontalières de sociétés de capitaux dans l'Union européenne : aspects de droit social / Cross border mergers of incorporated companies in the European Union : labour and employment aspectsDupin, Coralie 23 March 2013 (has links)
Les fusions transfrontalières de sociétés de capitaux n’intéressent pas uniquement le droit des sociétés mais revêtent aussi d’importants aspects de droit social. Si la directive du 26 octobre 2005 facilite ces opérations, le renvoi aux législations nationales opéré soulève de nombreuses difficultés en l’absence de traitement harmonisé de leurs conséquences sociales. Les interrogations suscitées par la mise en oeuvre de la participation des travailleurs aux organes de gestion de la société issue de l’opération n’en sont qu’une illustration. D’autres questions relatives notamment au devenir des instances de représentation du personnel existant au sein des sociétés parties à la fusion, aux normes collectives ou aux contrats de travail, restent en suspens. A celles-ci et à d’autres, cette étude tente d’apporter des réponses. Les enjeux dont les fusions transfrontalières sont porteuses l’exigent. / Cross-border mergers of incorporated companies do not only interest Company Law but also comprise important aspects of Labour & Employment Law. If the European Directive dated 26 October 2005 facilitates these transactions, the reference made to national legislation raises many difficulties in the absence of harmonized treatment of the social consequences of transactions. The questions raised by the implementation of workers' participation in management bodies of the company resulting from the transaction are an illustration. Other issues include the fate of employees’ representative bodies of existing staff within the merging companies, collective norms and employment contracts, remain unresolved. To these and others, this study attempts to provide answers. The consequences of the cross-border transactions require that answers be given to the unresolved issues.
|
Page generated in 0.1178 seconds