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Understanding regionalisation and preferential relations in world trade law and policy: a perspective from the East African Community (EAC).Lunani, Sadat Mulongo January 2011 (has links)
Magister Legum - LLM / The rapid growth in the number of regional trade agreements (RTAs) has led to concern about the weakening of the multilateral trading system. This thesis examines the spread of such agreement and the extent to which they pose a threat to the multilateral system. Regionalism and multilateralism are complimentary as shown in the case study of the East African Community. The current regional trade agreement management rules are weak and ambiguous and possible amendments for these rules are proposed. / South Africa
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A Critical analysis of the role of the private sector and civil society in regional integration in East AfricaAdera, Johnson Otieno January 2009 (has links)
Magister Legum - LLM
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The legal implications of multiple memberships in regional economic communities: the case of the Democratic Republic of CongoSowa, Joseph Tshimanga January 2009 (has links)
Magister Legum - LLM
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Anticipating pressing issues in trade and climate change Policies: a Critical analysis of border carbon adjustment measures with WTO LawAdedeji, Adedayo Samuel January 2011 (has links)
Magister Legum - LLM
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The Effects of Trade Liberalization Policies on Human Development in Selected Least Developed CountriesRay, Elizabeth Thompson 12 1900 (has links)
This dissertation examines the effects of trade liberalization policies (represented by membership in the General Agreement on Tariffs and Trade/World Trade Organization on selected Least Developed Countries' (LDCs) human development (represented by the Human Development Index). In this dissertation, General Agreement on Tariffs and Trade (GATT) and World Trade Organization (WTO) policies are theorized to have two distinct types of effects: their direct effect and their indirect effect. Two questions are focused on: first, what is the effect (total, direct and indirect) of WTO policies on human development for selected LDCs? Second, what is the effect (total, direct and indirect) of WTO policies on human development for selected developing/developed countries (i.e. non-LDCs) holding economic development constant? Using the dependency theory of development as a theoretical basis, this dissertation examines the assumptions of modernization-theory-based policies as expressed in trade liberalization policies (i.e. the implementation of comparative advantage and now market fundamentalism) with world-system analysis techniques. To examine these questions, four panel regression models are constructed to measure the total, direct and indirect effects of WTO policies during the near-term (1998-2003) and during a longer historical term (1975-2000). The data for the analyses are taken from seven different sources of international data. The analyses seemingly demonstrate that there are quantifiable negative effects of GATT/WTO membership (trade liberalization policies) on human development in selected LDCs. The current implementation of trade liberalization policies does not benefit the well-being of all concerned as promoted by the WTO.
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The trade, development and cooperation agreement between the Republic of South Africa and the European Union : an analysis with special regard to the negotiating process, the contents of the agreement, the applicability of WTO law and the Port and Sherry AgreementVolz, Eckehard 12 1900 (has links)
Thesis (LLM)--University of Stellenbosch, 1999. / ENGLISH ABSTRACT: This thesis deals with the Trade, Development and Cooperation Agreement (TDCA)
between the European Union and the Republic of South Africa, which was concluded
in October 1999. In particular, the agreement is analysed in the light of the
negotiating process between the parties, the contents of the agreement, the
applicability of WTO law and the compatibility of the agreement with it and the Port
and Sherry Agreement.
Since the EU emphasised its aim to commence economic and development
cooperation with other African, Caribbean and Pacific (ACP) countries on a reciprocal
basis during the negotiations for a successor of the Lomé Convention, the TDCA
between the EU and South Africa had to be seen as a "pilot project" for future
cooperation agreements between countries at different levels of development. The
TDCA between the EU and South Africa is therefore not only very important for the
two concerned parties, but could serve as an example for further negotiations
between the EU and other ACP countries. Thus the purpose of this thesis is to
examine the TDCA between the EU and South Africa from a wider global
perspective.
The thesis is divided into six Chapters:
The first Chapter provides an introduction to the circumstances under which the
negotiations between the EU and South Africa commenced. It deals briefly with the
economic situation in South Africa during the apartheid era and presents reasons
why the parties wanted to enter into bilateral negotiations. The introductory part
furthermore presents an overview of the contents of the thesis.
The second chapter contains a detailed description of the negotiating process that
took place between the parties and shows why it took 43 months and 21 rounds of
negotiations to reach a deal. South Africa's partial accession to the Lomé Convention
and the conclusion of separate agreements such as the Wine and Spirits Agreement,
are also analysed. Chapter three presents the various components of the TOCA and illustrates what the
negotiators achieved. This chapter on the TOCA concludes with an evaluation of the
Agreement and shows the potential benefits to South Africa and the EU.
Since the Agreement had to satisfy international rules, the provisions of the General
Agreement on Tariffs and TradelWorld Trade Organisation (GATTIWTO) were of
major importance. The EC Treaty, however, does not contain any provision that
indicates whether, or how, an international agreement like the GATTIWTO penetrates
the Community legal order. In Chapter four, accordingly, questions are raised
regarding the extent to which the bilateral agreement between South Africa and the
EU was influenced by the GATTIWTO provisions and how these rules were
incorporated into the agreement. Furthermore, since the parties agreed on the
establishment of a free trade area, this chapter deals with the question of in how far
the TOCA is in line with Article XXIV GATT.
In addition to the GATT provisions, the TOCA is also affected by the Agreement on
Trade Related Aspects of Intellectual Property Rights (TRIPs). Therefore Chapter five
deals with TRIPs in connection with the TOCA. The use of the terms "Port" and
"Sherry" as the major stumbling block to the conclusion of the TOCA is analysed
more closely.
The final part, namely Chapter six, provides a summary of the results of the
investigation. Furthermore, a conclusion is provided with regard to the question of
whether the TOeA can be seen as an example for further trade relations between the
EU and other ACP countries. / AFRIKAANSE OPSOMMING: Hierdie tesis is gerig op die Handels-, Ontwikkelings- en Samewerkingsooreenkoms
(TDGA) tussen die Europese Unie (EU) en die Republiek van Suid Afrika wat in
Oktober 1999 gesluit is. Die ooreenkoms word veral in die lig van die
onderhandelingsproses tussen die partye, die inhoud van die ooreenkoms, die
toepaslikheid van Wêreldhandelsorganisasiereg en die versoenbaarheid daarvan
met die ooreenkoms en die Port en Sjerrie-ooreenkoms ontleed.
Aangesien die EU sy oogmerk van wederkerige ekonomiese en ontwikkelings-gerigte
samewerking met ander lande in Afrika en die Karibiese en Stille Oseaan-Eilande
gedurende die onderhandelings vir 'n opvolger van die Lomé Konvensie beklemtoon
het, moes die ooreenkoms tussen die EU en Suid-Afrika as 'n "loodsprojek" vir
toekomstige samewerkingsooreenkomste tussen lande wat op verskillende vlakke
van onwikkeling is, gesien word. Die Handels-, Ontwikkelings- en
Samewerkingsooreenkoms tussen die EU en Suid-Afrika is dus nie net baie belangrik
vir die betrokke partye nie, maar dit kan ook as 'n voorbeeld vir verdere
onderhandelings tussen die EU en lande van Afrika en die Karibiese- en Stille
Oseaan-Eilande dien. Die doel van dié tesis is om die Handels-, Ontwikkelings- en
Samewekingsooreenkoms tussen die EU en Suid-Afrika vanuit 'n meer globale
perspektief te beskou.
Die tesis is in ses Hoofstukke ingedeel:
Die eerste hoofstuk bied 'n inleiding tot die omstandighede waaronder die
onderhandelings tussen die EU en Suid-Afrika begin het. Dit behandel die Suid-
Afrikaanse ekonomiese situasie onder apartheid kortliks en toon hoekom die partye
tweesydige onderhandelings wou aanknoop. Verder bied die inleidende deel 'n
oorsig oor die inhoud van die tesis.
Die tweede hoofstuk bevat 'n gedetailleerde beskrywing van die
onderhandelingsproses wat tussen die partye plaasgevind het en toon aan waarom
dit drie-en-veertig maande geduur het en een-en-twintig onderhandelingsrondtes
gekos het om die saak te beklink. Suid-Afrika se gedeeltelike toetrede tot die Lomé Konvensie en die sluit van aparte ooreenkomste soos die Port- en Sjerrieooreenkoms
word ook ontleed.
Die daaropvolgende hoofstuk bespreek die verskillende komponente van die
Handels-, Ontwikkelings- en Samewerkingsooreenkoms en toon wat die
onderhandelaars bereik het. Hierdie hoofstuk oor die Ooreenkoms sluit af met 'n
evaluering daarvan en dui die potensiële voordele van die Ooreenkoms vir Suid-
Afrika en die EU aan.
Aangesien die Ooreenkoms internasionale reëls moes tevrede stel, was die
voorskrifte van die Algemene Ooreenkoms oor Tariewe en Handel (GATT) van
uiterste belang. Die EG-verdrag bevat egter geen voorskrif wat aandui óf, of hoé, 'n
internasionale ooreenkoms soos GATTNVTO die regsorde van die Europese
Gemeenskap binnedring nie. Die vraag oor in hoeverre die tweesydige ooreenkoms
tussen Suid-Afrika en die EU deur die GATTIWTO voorskrifte beïnvloed is, en oor
hoe hierdie reëls in die ooreenkoms opgeneem is, word dus in Hoofstuk vier
aangeraak. Aangesien die partye ooreengekom het om 'n vrye handeisarea tot stand
te bring, behandel hierdie hoofstuk ook die vraag oor in hoeverre die TOGA met
Artikel XXIV GATT strook.
Tesame met die GATT-voorskrifte word die TOGA ook deur die Ooreenkoms ten
opsigte van Handelsverwante Aspekte van Intellektuele Eiendomsreg (TRIPs)
geraak. Hoofstuk vyf behandel daarom hierdie aspek ten opsigte van die TOGA. Die
gebruik van die terme "Port" en "Sjerrie" as die vernaamste struikelblok tot die sluiting
van die TOG-ooreenkoms word ook deegliker ontleed.
Die laaste gedeelte, naamlik Hoofstuk ses, bied 'n opsomming van die resultate van
die ondersoek. Verder word 'n gevolgtrekking voorsien ten opsigte van vraag of die
TOGA as 'n voorbeeld vir verdere handelsverwantskappe tussen die EU en ander
lande in Afrika en die Karibiese en Stille Oseaan-eilande beskou kan word.
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Anticipating pressing issues in trade and climate change policies: a critical analysis of border carbon adjustment measures with WTO lawAdedeji Adedayo Samuel January 2011 (has links)
Magister Legum - LLM
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Trade distorting provisions under the multilateral agreement on agriculture : addressing the question of Africa’s limited participation in agricultural tradeMulenga, Chipasha 02 December 2012 (has links)
No abstract available. / Dissertation (LLM)--University of Pretoria, 2013. / Centre for Human Rights / unrestricted
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Performance Requirement Prohibitions in International Investment LawGenest, Alexandre January 2017 (has links)
Performance requirements act as policy instruments for achieving broadly-defined economic and developmental objectives of States, especially industrial and technological development objectives. Many States consider that performance requirements distort trade and investment flows, negatively impact global and national welfare and disrupt investment decisions compared to business-as-usual scenarios. As a result, a number of States have committed to prohibiting performance requirements in international investment agreements (“IIAs.”). Performance requirement prohibitions (“PRPs”) are meant to eliminate trade-distorting performance requirements and performance requirements which replace investor decision-making by State decision-making.
This thesis focuses on providing answers to two research questions: first, how do States prohibit performance requirements in IIAs? And second, how should PRPs in IIAs be interpreted and applied?
For the first time, this thesis: proposes a comprehensive understanding of PRPs in IIAs by drawing notably on the General Agreement on Tariffs and Trade (“GATT”) Uruguay Round of negotiations and on the United States Bilateral Investment Treaty (“BIT”) Programme; develops a detailed typology and analysis of PRPs in IIAs through the identification of systematically reproduced drafting patterns; conducts the first critical and in-depth analysis of all arbitral awards which have decided claims based on PRPs in IIAs; analyses interpretation and application issues related to provisions that exempt government procurement from PRPs and to reservations that shield sensitive non-conforming measures or strategically important sectors from PRPs; and anticipates the application of most-favoured nation (“MFN”) treatment clauses to PRPs in the future.
Finally, this thesis formulates proposals that can help interpret and apply existing PRPs and draft future PRPs in a more deliberate and informed way.
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Le recours à des mesures restrictives du commerce international par l’État canadien comme moyen de lutte contre le travail dangereux des enfantsVillanueva, Francisco 09 1900 (has links)
Cette thèse porte sur le recours à des mesures restrictives du commerce par le Canada comme moyen de lutte contre le travail dangereux des enfants, dans un contexte de mise en œuvre de la responsabilité internationale d’un État en cas de non respect de la Convention de l’Organisation internationale du travail nº 182 sur les pires formes de travail des enfants. Bien que la capacité d’imposer des telles mesures se rapportant à des situations de travail dangereux des enfants soit analysée, essentiellement, du point de vue du droit de l’Organisation internationale du commerce (OMC), cette étude reste circonscrite à l’application de la Convention OIT 182. De plus, cette thèse veut fournir une analyse prospective de nature spéculative portant sur l’opportunité de recourir à de telles mesures en discutant de leurs éventuelles conséquences sur les enfants qu’on vise à protéger par ce moyen.
La première partie de la thèse s’intéresse à la légalité d’éventuelles sanctions commerciales imposées par le Canada afin d’amener un pays membre de l’OMC dont il importe des produits à respecter la Convention OIT 182. La légalité de ces sanctions est abordée tant du point de vue du régime général du GATT que de celui des exceptions générales. Du point de vue du régime général, l’analyse porte notamment sur l’article III de cet accord relatif au principe du traitement national. Une fois constatée leur illicéité à l’égard de l’article III du GATT, seul l’article XX de cet accord peut être invoqué pour permettre le recours à ces mesures. Nous nous attardons plus particulièrement aux exceptions de l’article XX relatives à la protection de la moralité publique et à celle de la protection de la vie et de la santé humaine. La thèse aborde les conditions auxquelles est assujetti le recours aux exceptions de l’article XX retenues comme pertinentes, notamment celles de la « nécessité » des mesures et du respect des compétences étatiques. En outre, cette étude analyse les conditions d’application des mesures restrictives du commerce découlant du préambule de l’article XX. En ce qui concerne l’exception relative à la moralité publique, cette notion est discutée dans un contexte national spécifique, soit celui du Canada.
La seconde partie de la thèse s’intéresse à l’opportunité de recourir à des mesures commerciales restrictives et leurs conséquences éventuelles sur les enfants dont la protection est recherchée. La démarche, qui est éminemment prospective, prend la forme d’une étude de cas portant sur un secteur productif qui n’a jamais connu dans les faits des sanctions commerciales, soit la production floricole en Équateur. Il s’agit d’un secteur caractérisé par la présence d’enfants en situation de travail dangereux impliqués dans la production de biens destinés à l’exportation. Notre recherche est de type exploratoire. De ce fait, elle ne vise pas à formuler des conclusions fermes quant aux effets des sanctions, mais plutôt à déceler les effets potentiellement bénéfiques ou nuisibles que les mesures restrictives du commerce pourraient avoir sur les enfants exploités, ainsi qu’à évaluer la contribution des sanctions commerciales à la solution du problème. / This thesis focuses on Canada’s use of restrictive trade measures to fight against hazardous child labour, in the context of the implementation of the International Labour Organization (ILO) Convention concerning the Prohibition and Immediate Action for the Elimination of the Worst Forms of Child Labour (No. 182). Canada’s capacity to impose such measures in instances of hazardous child labour is analyzed primarily from the legal standpoint of the World Trade Organization (WTO), though the focus of this study is limited to the application of ILO Convention No. 182. In addition, this thesis aims to assess the appropriateness of such restrictive trade measures by discussing their potential consequences for working children.
The first part of the thesis deals with the legality of prospective trade sanctions imposed by Canada to make a WTO trading partner comply with ILO Convention No. 182. The legality of these sanctions is discussed according to the General Agreement on Tariffs and Trade (GATT) general rules as well as general exceptions. With regard to the general rules, our analysis focuses in particular on Article III, which pertains to national treatment. Once the illicitness of restrictive trade measures with respect to Article III of GATT is demonstrated, we turn to Article XX of this agreement as the only means to justify the measures. Specifically, we concentrate on the exceptions presented in Article XX related to the protection of public morals and the protection of life and human health. The notion of public morality is actualized within the Canadian national context. The thesis analyses the conditions limiting the use of Article XX’s relevant exceptions, including the "necessity" test and compliance with the rules of international law on state jurisdiction. Moreover, this study focuses on the rules related to the application of trade restrictive measures presented in Article XX’s chapeau.
The second part of the thesis focuses on the appropriateness of using trade restrictions and their potential impact on the children whose protection is sought. The research consists in a case study on flower production in Ecuador, a sector characterized by the presence of children working under hazardous conditions and involved in producing goods for export. This sector has not yet been the target of commercial sanctions. Therefore, our research speculates on the effects of hypothetical sanctions and is exploratory in nature. The aim is not to reach firm conclusions about the effects of sanctions, but rather to identify the potentially beneficial or harmful effects that restrictive trade measures might have on exploited children, as well as to assess the potential contribution of such measures in solving the problem.
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