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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.
11

L'effet des législations canadiennes entourant le contrôle des armes à feu sur les homicides et les suicides

Gagné, Marie-Pier January 2008 (has links)
Mémoire numérisé par la Division de la gestion de documents et des archives de l'Université de Montréal
12

Sur la prise en compte de la qualité environnementale des produits dans la conception des chaines logistiques vertes / On the design of green supply chains

Nouira, Imen 20 September 2013 (has links)
Les enjeux environnementaux impactent de plus en plus le comportement des clients ainsi que les stratégies des entreprises. Dans ce contexte, l’optimisation de la chaine logistique en tenant compte des questions environnementales devient un enjeu critique. Dans cette thèse nous nous intéressons à cette problématique. Une originalité de ce travail est de montrer que les décisions prises lors de la conception d’une chaine (localisation des sites, choix des processus de production, de transport,…) ont une influence sur la qualité environnementale d’un produit perçue par les clients, et influent donc sur le niveau de la demande et/ou prix de ces produits. La demande et le prix ne sont plus des variables exogènes comme pratiquement toujours considéré dans les travaux existants, mais bien des variables endogènes. Dans cette thèse nous proposons alors des modèles d’optimisation des activités logistiques en tenant compte de la qualité environnementale des produits élaborés et des préférences clients. Nous montrons grâce à des expérimentations sur un cas d’étude du secteur de textile, la pertinence de la considération de la qualité environnementale des produits dans les modèles d’optimisation des activités logistiques. / Environmental concerns are increasingly impacting customers’ behavior as well as companies’ strategies. In this context, optimizing the supply chain with environmental considerations is becoming a critical issue. In this thesis we focus on this issue. An originality of our work is to show that supply chain design decisions (facility location, choice of production processes, transportation modes, etc.) impact the environmental quality of a product and therefore affect the level of its demand and / or its selling price. Demand and price are no longer considered as exogenous variables as often done in supply chain optimization existing works, but rather as endogenous variables. In this work we propose a set of supply chain optimization models that take into account the product environmental quality and customers’ preferences towards product environmental quality. Based on a case study from the textile sector, we show the relevance of considering the products’ environmental quality in supply chain optimization models.
13

O papel do BIRD e BID nas reformas educacionais no Brasil e no Paraguai na década de 1990 / The role of BIRD and BID in educational reforms in Brazil and Paraguay in the 1990s

Duarte, Luiza Franco 19 August 2016 (has links)
Submitted by Rosangela Silva (rosangela.silva3@unioeste.br) on 2018-05-23T17:00:28Z No. of bitstreams: 2 Luiza Franco Duarte.pdf: 594689 bytes, checksum: 494d670d0d795b5bf39737de38886dbe (MD5) license_rdf: 0 bytes, checksum: d41d8cd98f00b204e9800998ecf8427e (MD5) / Made available in DSpace on 2018-05-23T17:00:28Z (GMT). No. of bitstreams: 2 Luiza Franco Duarte.pdf: 594689 bytes, checksum: 494d670d0d795b5bf39737de38886dbe (MD5) license_rdf: 0 bytes, checksum: d41d8cd98f00b204e9800998ecf8427e (MD5) Previous issue date: 2016-08-19 / Throughout the 1990s, several Latin American countries underwent deep economic-political reforms linked to loans and financing from the World Bank Group for the dissemination of the Neoliberal Project. In March 1990, the World Conference on Education for All (UNESCO, 1990) expresses the convergence of the function and conception of school education along the lines defined by the Washington Consensus, 1989. It marks a historic moment of rooting of the form of organization and management of the education before the process of economic, political, social and cultural restructuring, in construction with the accomplishment of the Reformation of the Latin American States, keeping the proportions as the peculiarities of each country and also of the level of effectiveness of the prescription of the Washington Consensus, put into practice. In this way, the present bibliographic and documentary research sought to present the realities and conjunctures of Brazil and Paraguay through the educational legislation produced in the 1990s, based on BIRD and BID recommendations to support the process of penetration of the neoliberal project in these countries. The BIRD or BID loans for school education had their objectives directed to the political orientations of the governments for the maintenance of the economic order and the deepening of the internationalization and concentration of capital for the financial sector. Due to the large financial disbursements of these organizations, with the demand for guarantees from counterparts of countries and / or federated borrowers, there was a significant increase in external debts, in the form of legal-political organization of the states, and in the ideological spread of neoliberalism, which were presented in the said loans for projects in various sectors of the economy and the social area, particularly those for school education. This research generally involves an understanding of the role of Multilateral International Organizations in the formulation and implementation of educational policies guided by the Neoliberal Project; specifically, the identification in the Brazilian and Paraguayan context of the influence of IBRD and IDB through technical and financial advice. It is necessary to emphasize that the loans of these Financial Agencies for the mentioned countries was not limited to the technical advice, but mainly it permeated an ideological and political character of the capitalism in its new model of expression. The implications of these agreements were on the organizational mode and the direction of educational policies. It did not have an eminently economic character, but it covered the social, political and ideological aspects. Therefore, the characteristics of the neoliberal reforms in Latin America, in terms of educational policies, highlighting Brazil and Paraguay were the expansion of schooling time, through the stipulation of obligatory years, establishes a minimum of workload and school days through of a school calendar. Another aspect is the redistribution of functions and responsibility between the levels of the systems, besides the specializations and rationalization of human resources. / Ao longo dos anos 1990, diversos países da América Latina passaram por profundas reformas econômico-políticas vinculadas aos empréstimos e financiamentos do Grupo do Banco Mundial para difusão do Projeto Neoliberal. A realização, em março de 1990 da Conferência Mundial de Educação para Todos (UNESCO, 1990) expressa a convergência da função e da concepção de educação escolar com as linhas definidas pelo Consenso de Washington, em 1989. Assinala um momento histórico de enraizamento da forma de organização e gerenciamento da educação diante do processo de reestruturação econômica, política, social e cultural, em construção com a efetivação da Reforma dos Estados Latinoamericanos, guardadas as proporções quanto as particularidades de cada país e também do nível de efetivação das receitas do Consenso de Washington, colocadas em prática. Desse modo, o presente trabalho buscou apresentar as realidades e conjunturas de Brasil e Paraguai por meio das legislações educacionais produzidas nos anos 1990 a partir da recomendações do BIRD e BID para respaldar o processo da penetração do projeto neoliberal nesses países da América Latina. Os empréstimos realizados pelo BIRD ou BID para a educação escolar tinham seus objetivos direcionados para os encaminhamentos políticos dos governos para a manutenção da ordem econômica e o aprofundamento da internacionalização e concentração de capital para o setor financeiro. Em razão dos grandes desembolsos financeiros destes Organismos, com a exigência das garantias das contrapartidas dos países e/ou estados federados tomadores de empréstimos, houve aumento expressivo das dívidas externas, da forma de organização jurídico-política dos Estados e de uma disseminação ideológica do neoliberalismo, que foram veiculadas nos referidos empréstimos para projetos em vários setores da economia e da área social, particularmente os para a educação escolar. Esta pesquisa envolve, de modo geral, a compreensão acerca do papel dos Organismos Internacionais Multilaterais na formulação e implementação de políticas educacionais orientadas pelo Projeto Neoliberal e; especificamente, a identificação no contexto brasileiro e paraguaio sobre a influência do BIRD e BID por meio do assessoramento técnico-financeiro. É necessário ressaltar, os empréstimos dessas Agências Financeiras para os referidos países não encontrou-se limitado ao assessoramento técnico, mas sobretudo permeou um caráter ideológico e político do capitalismo em seu novo modelo de expressão. As implicações destes acordos incidiram no modo organizacional e no direcionamento das políticas educacionais. Não possuiu um caráter eminentemente econômico, mas abrangeu os aspectos sociais, políticos e ideológicos. Portanto, as características das reformas neoliberais na América Latina, quanto às políticas educativas, em destaque para o Brasil e Paraguai foram a expansão do tempo de escolarização, por meio da estipulação de anos obrigatórios, estabelece um mínino de carga horária e dias letivos por meio de um calendário escolar. Outro aspecto reserva-se à redistribuição de funções e responsabilidade entre os níveis dos sistemas, além das especializações e racionalização dos recursos humanos.
14

Three essays on the effects of environmental regulations on supply chain practices / Les effets de législations environnementales sur la chaîne d'approvisionnement

Mazahir, Muhammad Shumail 26 August 2016 (has links)
Cette thèse est consacrée à l'étude des législations environnementales et leurs effets sur la chaîne d'approvisionnement. Plus précisément, nous nous intéressons à la législation basée sur le recyclage du produit mais aussi sur les normes de conformité (ROHS). Nous étudions le potentiel de réutilisation ainsi que les aspects environnementaux et économiques de différents systèmes de législation. La solution se présente sous forme d'une combinaison de politiques de récupération qui mène à de meilleurs résultats sur le plan écologique ainsi que sur le plan économique.Dans la deuxième partie de la thèse, Nous étudions la performance comparative des régimes à base sur la législation de récupération avec des problématiques d'innovation et de conception de produits. La politique de réutilisation des produits peut aggraver l’environnement si le cadre de la régulation n'est pas bien défini. Dans la dernière partie, une étude est menée sur le choix des produits dans une chaine d’approvisionnement avec des législations basées sur la récupération et sur la conformité des produits. Nous intégrons les effets de l'incertitude associée à la demande du marché et les paramètres de coût de récupération. Une méthode d'optimisation robuste pour la sélection et distribution des produits est présentée. / Climate change and global temperature rise has made environmental legislations a focal point of discussion. This dissertation is devoted to the study of environmental legislations and their effect on supply chain practices. More precisely, our center of interest is the product recovery based legislation along with compliance based regulations. We explore the reuse potential and the environmental and economical aspects of different product recovery based legislation schemes by modeling a stackelberg game between a social welfare maximizing policy maker and a profit maximizing monopolistic firm and find that a combination of existing recovery policies i.e., a recovery target in combination with incentive structure such as taxation/subsidy may lead to better outcomesnot only from environmental perspective but also from economical aspects. In Chapter 2, we extend the discussion comparative performance of the recovery legislation based schemes in presence of innovation and product design issues and show how unintended environmental outcomes may appear if the policy framework is not adequately designed. In Chapter 3, wecapture the effect of recovery legislation and compliance based legislation on product selection when a firm serves a number of markets. We incorporate the effects of uncertainty associated with market demands and recovery cost parameters and present a robust optimization based method for product selection and allocation decisions.
15

Analyse des bornes extrêmes et le contrôle des armes à feu : l’effet de la Loi C-68 sur les homicides au Québec

Linteau, Isabelle 12 1900 (has links)
Contexte et objectifs. En 1995, le gouvernement canadien a promulgué la Loi C-68, rendant ainsi obligatoire l’enregistrement de toutes les armes à feu et affermissant les vérifications auprès des futurs propriétaires. Faute de preuves scientifiques crédibles, le potentiel de cette loi à prévenir les homicides est présentement remis en question. Tout en surmontant les biais potentiels retrouvés dans les évaluations antérieures, l’objectif de ce mémoire est d’évaluer l’effet de la Loi C-68 sur les homicides au Québec entre 1974 et 2006. Méthodologie. L’effet de la Loi C-68 est évalué à l’aide d’une analyse des bornes extrêmes. Les effets immédiats et graduels de la Loi sont évalués à l’aide de 372 équations. Brièvement, il s’agit d’analyses de séries chronologiques interrompues où toutes les combinaisons de variables indépendantes sont envisagées afin d’éviter les biais relatifs à une spécification arbitraire des modèles. Résultats. L’introduction de la Loi C-68 est associée à une baisse graduelle des homicides commis à l’aide d’armes longues (carabines et fusils de chasse), sans qu’aucun déplacement tactique ne soit observé. Les homicides commis par des armes à feu à autorisation restreinte ou prohibées semblent influencés par des facteurs différents. Conclusion. Les résultats suggèrent que le contrôle des armes à feu est une mesure efficace pour prévenir les homicides. L’absence de déplacement tactique suggère également que l’arme à feu constitue un important facilitateur et que les homicides ne sont pas tous prémédités. D’autres études sont toutefois nécessaires pour clairement identifier les mécanismes de la Loi responsables de la baisse des homicides. / Context and objectives. Laws with extensive background checks and making mandatory the registration of all guns have been adopted by some governments to prevent firearms-related homicides. On the other hand, methodological flaws found in previous evaluations question the potential of such laws to prevent gun homicides. By taking into account previous limitations, the main objective of this study is to estimate the effect of Bill C-68 on homicides committed in the Province of Quebec, Canada, between 1974 and 2006. Methodology. Using extreme bounds analysis, we assess the effect of Bill C-68 on homicides. Estimates of the immediate and gradual effects of the law are based on a total of 372 equations. More precisely, interrupted time series analyses were conducted, using all possible variable combinations, in order to overcome biases related to model specification. Results. We found that Bill C-68 is associated with a significant and gradual decline in homicides committed with a long gun (either a riffle or a shotgun). The substitution effects are not robust with respect to different model specifications. Patterns observed in homicides involving restricted or prohibited firearms suggest that they are influenced by different factors, not considered in our analyses. Conclusion. Results suggest that enhanced firearm control laws are an effective tool to prevent homicides. The lack of tactical displacement supports the concept of firearm as a crime facilitator and suggests that all homicides are not carefully planned. Other studies are however needed to pinpoint law provisions accountable for the decrease in homicides.
16

Analyse des bornes extrêmes et le contrôle des armes à feu : l’effet de la Loi C-68 sur les homicides au Québec

Linteau, Isabelle 12 1900 (has links)
Contexte et objectifs. En 1995, le gouvernement canadien a promulgué la Loi C-68, rendant ainsi obligatoire l’enregistrement de toutes les armes à feu et affermissant les vérifications auprès des futurs propriétaires. Faute de preuves scientifiques crédibles, le potentiel de cette loi à prévenir les homicides est présentement remis en question. Tout en surmontant les biais potentiels retrouvés dans les évaluations antérieures, l’objectif de ce mémoire est d’évaluer l’effet de la Loi C-68 sur les homicides au Québec entre 1974 et 2006. Méthodologie. L’effet de la Loi C-68 est évalué à l’aide d’une analyse des bornes extrêmes. Les effets immédiats et graduels de la Loi sont évalués à l’aide de 372 équations. Brièvement, il s’agit d’analyses de séries chronologiques interrompues où toutes les combinaisons de variables indépendantes sont envisagées afin d’éviter les biais relatifs à une spécification arbitraire des modèles. Résultats. L’introduction de la Loi C-68 est associée à une baisse graduelle des homicides commis à l’aide d’armes longues (carabines et fusils de chasse), sans qu’aucun déplacement tactique ne soit observé. Les homicides commis par des armes à feu à autorisation restreinte ou prohibées semblent influencés par des facteurs différents. Conclusion. Les résultats suggèrent que le contrôle des armes à feu est une mesure efficace pour prévenir les homicides. L’absence de déplacement tactique suggère également que l’arme à feu constitue un important facilitateur et que les homicides ne sont pas tous prémédités. D’autres études sont toutefois nécessaires pour clairement identifier les mécanismes de la Loi responsables de la baisse des homicides. / Context and objectives. Laws with extensive background checks and making mandatory the registration of all guns have been adopted by some governments to prevent firearms-related homicides. On the other hand, methodological flaws found in previous evaluations question the potential of such laws to prevent gun homicides. By taking into account previous limitations, the main objective of this study is to estimate the effect of Bill C-68 on homicides committed in the Province of Quebec, Canada, between 1974 and 2006. Methodology. Using extreme bounds analysis, we assess the effect of Bill C-68 on homicides. Estimates of the immediate and gradual effects of the law are based on a total of 372 equations. More precisely, interrupted time series analyses were conducted, using all possible variable combinations, in order to overcome biases related to model specification. Results. We found that Bill C-68 is associated with a significant and gradual decline in homicides committed with a long gun (either a riffle or a shotgun). The substitution effects are not robust with respect to different model specifications. Patterns observed in homicides involving restricted or prohibited firearms suggest that they are influenced by different factors, not considered in our analyses. Conclusion. Results suggest that enhanced firearm control laws are an effective tool to prevent homicides. The lack of tactical displacement supports the concept of firearm as a crime facilitator and suggests that all homicides are not carefully planned. Other studies are however needed to pinpoint law provisions accountable for the decrease in homicides.
17

L'obligation de coopération dans le statut de Rome : analyse critique du respect des engagements internationaux devant la cour pénale internationale. / The obligation of cooperation in the Status of Rome : analysis criticizes some respect for the international commitments in front of the International Criminal Court

Ndiaye, Yaram 27 September 2012 (has links)
A l’instar des juridictions qui l’ont précédé dans la répression des crimes internationaux, la Cour pénale internationale a besoin de la coopération des Etats pour exister. C’est une condition d’effectivité de l’action de la Cour qui se traduit par la participation des Etats à la procédure pénale internationale et par l’harmonisation des législations nationales. Toutefois, en dépit de son affirmation dans le Statut, les Etats parties exécutent difficilement l’obligation de coopération. Ces difficultés s’observent tant au niveau de leur participation à la procédure initiée par la Cour que dans l’exercice de la justice au niveau national. De fait, pour un respect des engagements internationaux devant la Cour, l’institution doit surmonter l’obstacle de la souveraineté nationale. Pour atteindre les objectifs fixés, elle doit amener les Etats à dépasser les critères traditionnels de compétence dans le domaine pénal et à taire les résistances souverainistes en la matière. C’est seulement à ce titre qu’elle peut être fonctionnelle, en opposant aux Etats une conception plus étendue de la justice pour laquelle ils se sont engagés. / Following the example of the jurisdictions which preceded her in the repression of the international crimes, the International Criminal Court needs the cooperation of States to exist. It is a condition of effectiveness of the action of the Court that is translated by the participation of States in the international criminal procedure and by the harmonization of the national legislations. But in spite of its assertion in the Status, States execute with difficulty the obligation of cooperation. These difficulties observe as long at the level of their participation in the procedure in front of the Court that in the exercise of the justice at the national level. Actually, for a respect for the international commitments in front of the Court, the institution has to surmount the obstacle of the national sovereignty. To reach the fixed objectives, she has to bring States to exceed the traditional criteria of skill in the penal domain and to keep silent about the resistances of states on the subject. It is only as such that she can be functional, by setting to States a more vast conception of the justice for which they made a commitment.
18

The effectiveness of the South Africa-Cuban Technical Support Programme (SACTSP) in improving the quality of life of housing beneficiaries in South Arica

Mukhadakhomu, Aifheli Ismael 09 1900 (has links)
The post-apartheid government inherited an urban housing backlog of approximately 1.3 million units at its inception in 1994. This huge backlog was partially contributed by apartheid discriminatory administrations and laws such as the Black (Native) Laws Amendment Act, No 46 of 1937 and the Black Communities Development Act, No 4 of 1984 along with rapid urbanization during the post-apartheid period. In a bid to address past injustice related to housing, it has become necessary for the post-apartheid government to diversify housing delivery approach to include alternative development and delivery strategies, methodologies and products including upgrading of informal settlements, and increasing rental stock. The human settlements department also encouraged the establishment and implementation of self-help housing through the establishment of the People Housing Process (PHP). It is the implementation of this programme that led to the establishment of the SACTSP aimed at enhancing South African housing service delivery using Cuban experience. The programme has been implemented in the South African human settlements sector since 2002. The focus of this research is to evaluate the impact of the South African Cuban Technical Support Programme (SACTSP) in the lives of the South African housing beneficiaries. The collected and analysed data, to a large degree, confirmed the effect of the programme in the lives of the beneficiaries. The research design of the study is a multiple Case Studies approach. The scope of the study is the three provinces participating in the SACTSP, which are Mpumalanga (MP), Western Cape (WC), and Limpopo (LP). The intention was to have both the control group and the intervention group in the same province, but due to the over usage of the CTA’s in these provinces the researcher decided to use Gauteng Province (GP), a non-participating province in the programme, as a control group. This is also due to the fact that the province (Gauteng) is also commonly known for publicly criticising the effectiveness of the SACTSP programme. Data was collected in three housing projects from the three Gauteng Metropolitan Municipalities Tshwane, Ekurhuleni and City of Johannesburg. The selected projects were Mamelodi Extension 5 in Tshwane, Villa Lisa (Boksburg) in Ekurhuleni and Driekiek Extension 3 in Orange Farm, Johannesburg. The selected projects where the CTAs participated (experimental group) were Chicago Bulls at Strand in Cape Town (WC), Thekwane South Housing Projects, Nelspruit in Mpumalanga and Westernburg at Polokwane in Limpopo Province. In each unit of evaluation, questionnaires to collect data were distributed to the rightful owners (beneficiaries) of the houses, who were above eighteen years of age. (Annexure A). The participants, all rightful owners of state subsidies, were identified by means of purposive sampling. The main goal of purposive sampling is to focus on particular characteristics of a population that are of interest, which will best enable the researcher to answer the research questions Semi-structured interview questions were also conducted to the main stakeholders in the housing circle. This includes officials in all spheres of government involves in delivering sustainable human settlements (Annexure B). The selection is also influenced by what is called the “good enough” rule in formulating evaluation research (Rossi et al., 2012:28). Stated simply the “good enough” rule advocates that the evaluator should choose the strongest possible design from a methodological stand point after having taken into account the potential importance of the results, the practicality and feasibility of each design and the probability that the design chosen will produce useful and credible results (Rossi et al., 2012:33) The collected data was analysed and presented in five principal stages involving descriptive and inferential statistics. The first phase involves presenting the reliability of the instrument using Cronbach’s alpha. The second phase presents the descriptive statistics of the sample using frequencies, and proportions for categorical data and means and standard deviations for continuous variables. The validity of the instrument then follows using exploratory factor analysis which explains the observed variables that are linked to underlying factors. The fourth phase involves calculation of composite variables using the means and averages to determine the trend patterns in the data. The central limit theorem was applied to the data and comparative analyses were done to determine whether views differed by socio-demographic variables. The two sample independent t-tests were done to determine whether views of the respondents differed for two-categorical variables and the one-way Analysis of Variance (ANOVA) was used to determine whether views differ for variables with more than two categories. The fifth stage presented the correlation analysis which was used to determine the extent or degree of the relationship between the constructs. The findings of the studies confirm the effectiveness of the programmes in the participating provinces. The study also discovered that, CTA’s are mostly transferring skills to contractors who happened to be working close to the CTAs and only to beneficiaries in a few instances. This is due to the nature of the self-help model that the South African government adopted which involves private contractors in building PHP houses. This model ignores the national PHP policy and guidelines which recognise beneficiaries as the main drivers of the PHP. The study concludes by recommending the department policy makers to monitor and enforce correct implementation of formulated policy to close the gaps that are usually created between policy formulation and implementation. / Public Administration and Management / D. Admin. (Public Administration)
19

THE CRIMINALISATION OF NGO-LED SAR OPERATIONS : A Contributing Factor Towards Crimes Against Humanity Against Migrants in Libya

Kaur, Maanpreet January 2023 (has links)
In the perilous waters of the Mediterranean Sea, migrants find themselves facing limited choices when in distress. Their options are stark: either to rely on the lifesaving efforts of Non- Governmental Organisations (NGO) aid workers conducting Search and Rescue (SAR) Operations, to be intercepted by the Libyan Coast Guard (LCG) and subsequently detained in Libya where their human rights are gravely violated, or to face the tragic fate of perishing at sea. Unfortunately, the criminalisation of SAR Operations, spearheaded by NGO aid workers, hinders the rescue of migrants, thereby exacerbating the risks they face and leaving them vulnerable to interception by the LCG. This interception, as argued in this thesis, inevitably leads to the perpetration of Crimes Against Humanity (CAH) against these vulnerable migrants. This thesis sheds light on the issue of Italy’s increasing criminalisation and vilification of humanitarian aid workers engaged in SAR missions in the Mediterranean Sea. It critically examines the consequences of such criminalisation on the lives and rights of migrants, exploring the complex dynamics between SAR Operations, interception by the LCG, and the commission of CAH. Drawing upon a comprehensive lens of interpretation that integrates legal analysis, human rights principles, and the international legal framework, this study concludes that criminalisation of SAR operations is indeed a contributing factor towards the CAH faced by migrants in Libya. Moreover, it identifies the potential liability of Italian State Officials (ISO) at the International Criminal Court (ICC) for their role in enacting legislations that effectively criminalises SAR operations.
20

Le patriotisme économique à l'épreuve du droit de l'Union européenne / The legality of economic patriotism under the European Union law

Simen, Martial 12 December 2014 (has links)
Le patriotisme économique relève davantage du discours politique que d’un concept juridique. Il fait référence aux comportements des citoyens, des entreprises et des États. Celui des États peut en substance être défini comme la défense par ces derniers de leurs entreprises stratégiques. Ainsi précisée, cette notion se traduit en pratique par l’institution de dispositifs nationaux de contrôle des investissements étrangers, par la stabilisation de l’actionnariat des entreprises stratégiques au travers des prises de participations des fonds stratégiques d’investissement, ou encore, par l’octroi de droits exclusifs ou spéciaux. De tels comportements peuvent contrarier les principes de la libre circulation - capitaux, établissement - et de la libre concurrence. Ces principes souffrent cependant de tempéraments qui laissent une certaine marge de manœuvre aux États, laquelle est cependant étroite. Cette étroitesse conduit ces derniers à être sans cesse inventifs pour défendre leurs entreprises. Le droit des sociétés offre de ce point de vue des outils pertinents pouvant servir ce dessein. Mais, la protection des entreprises stratégiques en dehors des exceptions ou dérogations prévues par le traité, qui traduit la persistance des replis nationaux, n’est pas sans relever les limites de l’opposition systématique aux patriotismes économiques nationaux. De plus, une telle faculté risque de fragiliser l’achèvement du marché intérieur. Pour ces raisons, il importe pour les autorités de l’Union européenne, d’engager une dynamique permettant de mieux prendre en compte les préoccupations patriotiques des États. Agrégée à un concept cohérent, à savoir le patriotisme économique européen, une telle démarche consisterait à instaurer une politique d’investissement commune qui sache conjuguer ouverture aux capitaux étrangers et préservation des secteurs stratégiques. Mais, l’efficacité d’une telle politique est relative. C’est pourquoi, on doit lui adjoindre un cadre autonome de contrôle des investissements en provenance des pays tiers. / Economic patriotism is more a political speech than a legal concept. It refers to behaviors of citizens, companies and governments. Concerning States, this concept can essentially be defined as defense of strategic companies. In practice, this notion is reflected by the institution of national systems of foreign investments control, by stabilizing the shareholding of companies through strategic investment funds, or by granting exclusive or special rights. These behaviors can antagonize the European Union law. However, this law allows exceptions that offer opportunities to States. But the flexibility of States is close. This narrowness leds them to be constantly inventive to defend their strategic companies. Business law allows such an approach. But the protection of strategic companies without the exceptions or derogations permitted by the treaty, which reflects the persistence of domestic markets partitioning, is not without showing the limits of systematic opposition to national economic patriotisms. In addition, such a power may weaken the completion of the internal market. For these reasons, it is important for the authorities of the European Union, to initiate a dynamic that can permit to take better account of the States patriotic concerns. Aggregate to a coherent concept, namely the european economic patriotism, such an approach will permit to establish a common investment policy that can combine openness to foreign investments and preservation of strategic sectors. But, the effectiveness of such a policy is relative. That’s why, it’s crucial to add to it an autonomous control framework for investments coming from non-member countries.

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