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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.
121

A competência para a instituição do ICMS na extração do petróleo / The capability to create ICMS on oil extraction

Vieira, Rodrigo Rodrigues Leite 09 June 2014 (has links)
O objetivo deste trabalho é analisar a regra-matriz constitucional do ICMS mercantil e dos princípios que regem esse imposto, a fim de verificar se os Estados e o Distrito Federal detêm competência para a instituição do ICMS na extração do petróleo, a exemplo do que fez o Estado do Rio de Janeiro por meio da Lei nº 4.117/03, conhecida como Lei Noel. Para tal desiderato, será investigado, inicialmente, o tratamento constitucional atribuído ao petróleo, e serão abordadas questões atinentes às atividades econômicas do monopólio da União sobre esse bem público, prescritas no artigo 177 da Carta Maior, e a sua flexibilização com o advento da Emenda Constitucional nº 9/95. Com supedâneo nas conclusões obtidas a partir da regra-matriz de incidência do ICMS mercantil e dos enunciados constitucionais relativos ao petróleo, serão analisados os os critérios componentes da regra-matriz de incidência construída a partir dos enunciados veiculados pela Lei nº 4.117/03 para que seja possível, dessa forma, verificar se o legislador ordinário estadual observou os limites para o exercício da competência ao instituir o ICMS na extração do petróleo. / The purpose of this study is to analyze the ICMS constitutional matriz-rule of tax incidence and principles that govern such tax, in order to verify the capability of States to create this tax on oil extraction, as it did Rio de Janeiro through Law No. 4.117/03, known as Lei Noel. This study will initially analyze constitutional rules regarding oil as well as aspects related to the economic activities of monopoly, prescribed in Article 177 of Federal Constitution and its flexibility with the advent of Constitutional Amendment No. 9, occurred in 1995. Based on the conclusions obtained from the analysis of ICMS matriz-rule of tax incidence and constitutional rules concerning oil, we will investigate Law No. 4.117/03 in order to check if the Rio de Janeiro State respected the limits imposed by Federal Constitution to create ICMS on oil extraction.
122

"Köp inte! Det är inte öl, det är vatten" : En multimodal kritisk diskursanalys av Systembolagets marknadskommunikation / “Don’t buy it! It’s not beer, it’s water” : A multimodal critical discourse analysis of the marketing communication of Systembolaget

Boskovic, Sara, Hammarberg, Fanny January 2019 (has links)
This study analyses the marketing communication of Systembolaget. The material is the organization's last three tv-commercials. The aim of the study is to problematize the marketing communication of Systembolaget since it is a non-profit organization owned by the government. The organization exists to keep the alcohol consumption in control and to reduce the alcohol-related problems in society. The three latest tv-commercials of Systembolaget are analyzed through a multimodal critical discourse analysis as both theory and method. The language is critically reviewed through relevant tools. In MCDA the language includes both the expressions in writing and verbal, and also visual signs. The material is divided in three themes: alcohol as something exclusive, alcohol as something humorous and the contra wise language of Systembolaget. A study of this phenomenon helps to clarify how Systembolaget can be marketed even though the organization has no purpose to make financial profit. The study also describes how the two research fields marketing communication and strategic communication are connected. The results show how the social responsibility by the government does not show clearly at the same time as humor is used to catch the attention of the public. / I den här studien analyseras Systembolagets marknadskommunikation. Materialet är organisationens tre senaste reklamfilmer. Studien syftar till att problematisera Systembolagets marknadskommunikation då de är en icke vinstdrivande organisation och ägs av staten. Organisationen finns till för att hålla alkoholkonsumtionen under kontroll och därmed minska de alkoholrelaterade problemen i samhället. Systembolagets tre senaste reklamfilmer analyseras. Detta sker med hjälp av multimodal kritisk diskursanalys (MCDA) som både teori och metod. Språket granskas kritisk med hjälp av relevanta analysverktyg. I MCDA innefattar språk både det som uttrycks skriftligt och verbalt samt visuella tecken. Materialet delas in i tre teman: alkohol som något exklusivt, alkohol som något humoristiskt och Systembolagets tvärtomspråk. En studie av Systembolagets marknadskommunikation bringar klarhet i hur Systembolaget kan marknadsföras trots att organisationen inte har till syfte att gå med ekonomisk vinst. Vidare i studien beskrivs det hur de två forskningsfälten marknadskommunikation och strategisk kommunikation hör samman. Resultatet av studien visar hur Systembolagets samhällsansvar av staten inte framgår på ett tydligt sätt samtidigt som humor används för att fånga publikens uppmärksamhet.
123

Les aspects juridiques du microcrédit

Kinda, Yves 29 September 2011 (has links)
Une fraction non négligeable de la population mondiale n’a pas accès au crédit, en raison d’une insuffisance de ressources, d’une inscription dans un fichier de surendettement ou de la restriction des critères d’octroi du crédit bancaire. Pourtant, devenus incontournables avec la domiciliation des salaires et des prestations sociales, les produits et les services bancaires participent au processus d’exclusion sociale. Ne pas avoir accès au crédit, ou y avoir accès de manière inadaptée, est, en soi, un facteur d’appauvrissement. Faute d’accès à un prêt personnel ou à un découvert bancaire, de nombreux ménages recourent à des crédits renouvelables dont les conditions d’octroi sont de plus en plus contestées par les pouvoirs publics ; aussi, les risques de surendettement s’en trouvent-Ils accrus. Or, dans le contexte actuel de crise économique, de recrudescence du chômage et des emplois précaires, le recours au microcrédit peut être un outil utile pour répondre aux besoins de réinsertion à travers la création, la reprise ou le transfert d'activités rémunératrices. La conjoncture actuelle semble d'autant plus favorable à un renouveau du microcrédit que celui-Ci peut permettre à l’emprunteur de rebondir en créant sa petite entreprise, ou de s’assumer sans détériorer sa situation financière personnelle. Bien géré, il constitue un facteur d’autonomie de la personne,tout en favorisant une pratique nouvelle de la solidarité par des relations plus ou moins directes entre prêteurs, épargnants et emprunteurs. Il a en quelque sorte un caractère universel qui sied à l’esprit du temps. Actualisé et modernisé dans les pays du Sud, le crédit solidaire nécessite une adaptation du concept dans les pays développés, pour tenir compte de leur contexte. Ainsi, une pratique des pays moins développés est « exportée » vers les pays du Nord, qui redécouvrent des pratiques anciennes — mutualisme, prêt sur gages, tontine,solidarité familiale ou de groupe — dont l’esprit originel s’était estompé avec la modernisation de leur système bancaire ou, tout simplement, leur mode de vie plus individualiste. Beaucoup de débats existent entre économistes sur la réalité de l’efficacité du microcrédit. Bien que celui-Ci soit économiquement et socialement séduisant pour les uns,proprement illusoire pour les autres, le juriste semble être placé hors du débat. Il n’existe pas de vrais débats (en Europe en tout cas) sur les aspects juridiques du microcrédit de sorte qu’on pourrait douter de sa place en droit. Est-Ce à dire que cette belle invention économique a manqué de pénétrer le domaine juridique ? Cette thèse tente de jeter les bases d’un vrai débat juridique sur le phénomène du microcrédit. Elle s'efforce de dresser, juridiquement, un état des lieux du microcrédit, l’offre, la demande, mais aussi les perspectives envisageables pour un développement de la pratique. / All over the world, a significant fraction of the population has no access to credit, due to insufficient resources, a registering in a file of big debts or of restriction criteria for the granting of bank credit. However, now indispensable due to the address of wages and social security benefits, banking services are involved in the process of social exclusion. Not having access to credit, or having access in an inappropriate manner is in itself a factor of impoverishment. Without access to a personal loan or to an overdraft, many households relyon revolving credits whose conditions of granting is increasingly challenged by the authorities, and thus the risk of big debt are there by increased. But in the current context ofthe economic crisis of growing unemployment and of part-Time work, the use of microcreditcan be a useful tool to meet the needs of some households in terms of business start-Ups,business transfers or business continuities. The current environment seems to favor a revivalof microcredit, as it allows the borrower to bounce back and create his or her employment orsmall business, or to support themselves without damaging their personal financialsituation. Properly managed, it is a factor of individual autonomy, while promoting a newpractice of solidarity through more or less direct relationship between lenders, borrowers andsavers. There is a sort of universal character that befits the spirit of time. Modernized andupdated in southern countries, solidarity loan requires an adaptation of the concept indeveloped countries, to take their context into account. Thus, a practice of less developedcountries is "exported" towards western countries, which are rediscovering ancient practices –mutualism, pawnshop, tontine, family or group solidarity – whose original spirit had dimmedwith the modernization of their banking system or, simply, their more individualistic lifestyle.There are many debates between economists about the reality of the effectiveness ofmicrocredit. About microcredit which is economically and socially attractive to some, purelyan illusion for others, the legal representative seems to stand aside from the debate. There isno real debate (at any rate in Europe) on the legal aspects of microcredit in such an extent thatwe might question its position in law. Is it that this wonderful economic invention has failedto enter the legal domain ? Our work aims at laying the groundwork for a real legal debate onthe phenomenon of microcredit. Its ambition is to draw, legally, an overview of themicrocredit, the supply, the demand and also the way forward for the development of thepractice.
124

抗戰時期的專賣事業(1941~1945)

何思瞇, Ho,Shi-mi Unknown Date (has links)
本文即擬對抗戰時期專賣事業的實施過程,及其與國家財政之關係,加以探討分析。由於專賣屬獨占事業, 國內外史學界研究此一課題的文章極少,相關史料亦多未刊行,故本文撰寫時引用之參考資料, 以檔案為主。計有:國史館典藏之國民政府檔案、財政部檔案; 中央研究院近代史研究所典藏之鹽務檔案;中國南京第二歷史檔案館典藏之財政部檔案、火柴專賣公司檔案、菸類專賣局檔案、專賣事業管理局檔案等。 另輔以已整編刊行之史料、中外文著作等。全文除緒論和結論外,共分七章,其主要內容如下:第一章緒論:論述專賣事業在中國發展的過程 ,及目前國內外研究此一課題之成果、研究方法、問題徵結所在。第二章戰時專賣事業實施背景:以戰時財政赤字與通貨膨脹 、戰時統制政策的形成為主題 ,論述抗戰時期專賣事業實施之背景。第三章戰時專賣事業之籌辦: 論述戰時專賣事業之規畫、制訂與推行的過程。第四章火柴與菸類專賣之產製運銷: 分二節,敘述火柴及菸類專賣之實施,係採用「局部專賣制」,由民間產製後,再經由專賣機構 「統購統銷」。第五章食糖與鹽專賣之產製運銷:論述戰時食糖專賣之產銷制度 ,亦採「民產-民製-官收-民銷」之局部專賣制。 鹽專賣方面,由於實施專賣之前,政府已實施「官收-官運」制度, 為專賣奠定基礎,故各專賣品中,鹽專賣之產銷制度最健全。第六章各專賣物品之專賣價格與特徵:專賣價格合理與否 ,為專賣物品能否順利產銷關鍵, 戰時各專賣品之專賣價格由「專賣品成本+專賣利益+商人之合法利潤」決定,但因各專賣物品多屬民生消費品, 為顧及人民生計起見,其價格多較一般市價為低。第七章專賣與緝私:凡未依專賣法規定而擅自產製運銷者 ,即屬走私行為,應予以查緝。戰時專賣物品之走私案件 ,除不法商人圖謀私利外,專賣事業人員從中營私舞弊亦時有所聞。第八章專賣之成效與評估: 論述專賣事業之專賣利益與戰時財政關係,及其對國家社會之影響 ,從而了解戰時專賣事業實施之成效與得失。第九章結論:戰時專賣事業實施雖僅四年 ,卻充分顯現統制經濟特色,而專賣利益亦有助於財政收入。
125

CRM i ett konkurrensutsatt monopol : En jämförande studie om arbetet med kundrelationer och kundlojalitet i spelbranschen

Stjepanovic, Zoran, Gustafsson, Thomas January 2009 (has links)
No description available.
126

Research About The Laws And System Of The Electricity Liberalization In Taiwan

Chang, Chun-Te 30 July 2005 (has links)
Electricity power is an irreplaceable resource in industry for a country. Enough and steady-offered electricity is also the support to develop not only traditional industry but high technology industry. Taiwan is a place, where is lacking of natural resources. There is only 3 % of which can be self ¡Vcontained. In fact, electricity power plays one of important roles in achieving ¡§Economic Miracle of Taiwan.¡¨ Basically, electricity power embraces three parts of power generation, power transmission, and distribution. And it is managed by the way of vertically integration. Traditionally, electricity power is assorted into public utility because of its huge principal and social resources, even concerning with the economy and society of the country and is governed and controlled by the government. Whatever country promotes electricity liberalization, the government and the academic put their eye on foster the total efficiency of management through market mechanisms. Electricity liberalization has been working for more than twenty years. Of course, there are some successful cases, for example, like England, Australia, and etc. They do benefit from increasing the occurrence, the efficiency, and decrease the price after operating electricity liberalization. As to Taiwan, the government has the same policy on it, too. The amendments are under discussion in The Legislative Yuan. By referencing to electricity liberalization of other countries and comparing their experiences with Taiwan, the questions below are searched in this thesis. First, does the policy in Taiwan really satisfy the essence of electricity liberalization? Second, could power generation, power transmission, and distribution of the electricity industry be operated by vertically integrated way? After electricity liberalization, it is important that how to do could get good combined with competition of the market, the offer of steady electricity and the society justice. If not, how to modify the rules would satisfy the needs of country development and expectations of the society.
127

Avregleringen av Apoteksmonopolet : snabbare smärtlindring för konsumenten? / Deregulation of the Swedish Pharmacy Monopoly : a quick painkiller for the consumer?

Gustafsson, Jenny, Renström, Karin January 2010 (has links)
Syfte: Syftet med denna uppsats är att undersöka förändringar i pris och tillgänglighet på OTC-läkemedel före och efter avregleringen av det svenska apoteksmonopolet ur ett konsumentperspektiv. Metod: Kvantitativ undersökning med abduktiv forskningsansats, där datainsamling sker via telefonkontakt och observation av hemsidor Teori: Marknadsformer, Avregleringar, Marknadsmixen, Prissättningsstrategier, Öppettider Resultat: Uppgång skedde kontinuerligt i pris på OTC-läkemedel före avregleringen av apoteksmonopolet och öppettiderna var då begränsade. Undersökningen visar att pris på OTC-läkemedel marginellt gått upp och en ökning skett i antal timmars öppethållande per vecka bland samtliga återförsäljare. Avregleringen har bidragit till stora variationer i priser och öppettider bland olika återförsäljare. Det finns ett mycket svagt positivt samband mellan pris på OTC-läkemedel och öppettider. Starkast är sambandet för Bensinstationer och Kiosker och närbutiker där undersökningen visar på både ett högt pris och flexibelt öppethållande. / The purpose of this thesis is to examine the changes in price and availability for OTC-pharmaceuticals before and after the deregulation of the Swedish pharmacy monopoly. In order to carry out the examination a quantitative approach is used and data has been collected by phone calls and observations. The framework is theories on the subject of market structure, deregulation, the marketing mix, price strategies and availability. The thesis has concluded that before the deregulation the price continually increased but the opening hours were limited. After the monopoly ceased the price has marginally increased and the number of opening hours per week has extended. Different retailers are after the deregulation able to sell OTC-pharmaceuticals and there is a variety among them regarding price and opening hours, which enables the customers to make choices between them. The study found a weak positive correlation between price and opening hours. The strongest correlation was found among Petrol stations and Convenience stores, which showed high price and flexible opening hours.
128

The impact of price discrimination on tourism demand / Elizabeth Maria Fouché

Fouché, Elizabeth Maria January 2005 (has links)
The primary goal of this study was to determine the impact of price discrimination on tourism demand. Four objectives were defined with reference to the primary research goal. The first objective was to analyse the concept of price discrimination and relevant theories by means of a literature study. In this regard it was found that price discrimination between markets is fairly common and that it occurs if the same goods were sold to different customers at different prices. Price discrimination is also possible as soon as some monopoly power exists and it is feasible when it is impossible or at least impractical for the buyers to trade among themselves. Three different kinds of price discrimination can be applied, namely first-degree, second-degree and third-degree price discrimination. The data also indicated that price discrimination is advantageous (it mainly increases profit) and that it has several other effects too. The second objective was to analyse examples of price discrimination by means of international case studies. In these different case studies it was found that demand and supply, therefore consumer and product, formed the basis of price discrimination. If demand did not exist, it would be impossible to apply price discrimination. The findings also indicated that, for an organisation to be able to practice price discrimination, the markets must be separated effectively and it will only be successful if there is a significant difference in demand elasticity between the different consumers. Furthermore, the ability to charge these different prices will depend on the consumer's ability and willingness to pay. If an organisation should decide to price discriminate, it would lead to a higher profit, a more optimal pricing policy and also to an increase in sales. The third objective was to analyse national case studies. This was done through comparing the data of a tourism organisation price discriminating (Mosetlha Bush Camp, situated in the North West) to two organisations that did not implement price discrimination (Kgalagadi Transfrontier Park in the Northern Cape and Golden Leopard Resort, also situated in the North West). It was found that a customer with low price elasticity is less deterred by a higher price than a customer with a high price elasticity of demand. As long as the customer's price elasticity is less than one, it will be very advantageous to increase the price: the seller will in this case get more money for less goods. With the increase in price the price elasticity tends to rise above one. The fourth objective was to draw conclusions and make recommendations. It was concluded that price discrimination could be applied successfully in virtually any organisation or industry. Furthermore, price discrimination does not always have a negative effect; but can have a positive ass well. It can have a positive effect on tourism demand. The findings emphasised that the main reason for implementing price discrimination is to increase profit at the cost of reducing consumer surplus. From the results it was recommended that more research on this topic should be conducted. / Thesis (M.Com. (Tourism))--North-West University, Potchefstroom Campus, 2006.
129

Monopólio postal e litigância predatória pelos correios

Morgulis, Maria Clara de Azevedo 02 1900 (has links)
Submitted by Maria Clara Morgulis (claramorgulis@gmail.com) on 2015-02-23T16:30:08Z No. of bitstreams: 1 Dissertacao_MariaClaraMorgulis_20150219_completa.pdf: 2197455 bytes, checksum: b2200c1b97d497f175b99aebeb2bdd62 (MD5) / Rejected by Renata de Souza Nascimento (renata.souza@fgv.br), reason: Prezada Maria Clara, boa noite Seu trabalho foi rejeitado por não estar de acordo com as normas da ABNT. Segue abaixo o que deverá ser alterado: - Na capa, onde consta o nome da Escola retirar: (FVG/EESP). - A página da Introdução, está sem numeração. (A numeração das páginas, deve ter início a partir da página da Introdução). Aguardamos correção e nova submissão. Att Renata on 2015-02-23T22:37:54Z (GMT) / Submitted by Maria Clara Morgulis (claramorgulis@gmail.com) on 2015-02-24T01:34:39Z No. of bitstreams: 1 Dissertacao_MariaClaraMorgulis_20150223_completa.pdf: 2214079 bytes, checksum: c5a4b7674307b299e9c2858b6b69147b (MD5) / Approved for entry into archive by Renata de Souza Nascimento (renata.souza@fgv.br) on 2015-02-24T16:08:06Z (GMT) No. of bitstreams: 1 Dissertacao_MariaClaraMorgulis_20150223_completa.pdf: 2214079 bytes, checksum: c5a4b7674307b299e9c2858b6b69147b (MD5) / Made available in DSpace on 2015-02-24T16:11:42Z (GMT). No. of bitstreams: 1 Dissertacao_MariaClaraMorgulis_20150223_completa.pdf: 2214079 bytes, checksum: c5a4b7674307b299e9c2858b6b69147b (MD5) Previous issue date: 2015-02 / Este trabalho tem por objetivo analisar o comportamento da Empresa Brasileira de Correios e Telégrafos (ECT) no âmbito judicial diante de seus concorrentes e os clientes destes, buscando verificar se há evidências de que a empresa estaria praticando um ilícito concorrencial e utilizando o judiciário para prejudicar concorrentes no mercado e dificultar a entrada de novos agentes (ou seja, se haveria litigância predatória pelos Correios), mediante a criação de novos custos aos seus rivais e, assim, prejudicando a competição no setor postal. No âmbito jurídico, há pouca clareza quanto à extensão do monopólio postal e verifica-se, uma carência de política pública para o setor. Para realizar o estudo, foi analisado o contexto no qual se insere a conduta da ECT e foi elaborada uma base de dados a partir da análise de processos judiciais movidos pela ECT. Na análise empírica dos dados coletados, buscou-se avaliar como a decisão do STF sobre a existência e validade de uma exclusividade da ECT na prestação de certos serviços postais, tais quais definidos por lei, afetou a probabilidade de uma decisão final em 1ª instância ser favorável aos Correios. Os resultados indicaram que tal probabilidade é significativamente menor após a decisão do STF em 2009, o que serve de evidência de que a ECT vinha extrapolando seus direitos nos pedidos realizados judicialmente. Apesar de o contexto no qual a conduta se insere, especialmente quanto aos custos de litigar, indicarem racionalidade na conduta e de a análise empírica ir no mesmo sentido, as evidências não são fortes o suficiente para se concluir que a ECT praticou litigância predatória. / The purpose of this study is to analyze the behavior of the Empresa Brasileira de Correios e Telégrafos (Brazilian Post and Telegraph Company - ECT) before its competitors and related customers, seeking to verify if there is evidence that the company would be practicing an antitrust illicit by using the judiciary to harm competitors in the market and hinder the entry of new players (ie, if ECT was practicing predatory litigation). Through the filing of lawsuits, ECT would be creating new costs to its rivals, which were superior to those supported by itself when adopting such strategy and thus damaging competition in the postal sector. However, in the juridical sphere there is an uncertainty regarding the extension of the postal monopoly, in spite of the decision by the Supreme Court (STF) on a claim of breach of fundamental precept (Arguição de Descumprimento de Preceito Fundamental - ADPF) about this subject on late 2009. There is also a need for public policy on the postal sector. In order to do the study, the context of ECT’s behavior was analyzed, as well as a data base was created from the analysis of claims filed by ECT against its rivals and their clients to end any sort of mail delivery by companies other than ECT. The empirical analysis of the collected data aimed at checking how the Supreme Court’s decision affirming the existence and validity of an exclusivity right of ECT on rendering certain services affected the probability of a lower court deciding in favor of ECT. The results indicate that said probability is significantly lower after the Supreme Court’s decision in 2009, which serves as evidence that ECT had been extrapolating its rights when making its claims. Although the context in which the behavior takes place (especially as to litigation costs) indicates rationality in the ECT enduring predatory litigation, as does the empirical analysis, the evidence is not strong enough to conclude that ECT has actually practiced predatory litigation.
130

Novas fronteiras petrol?feras no Brasil : uma an?lise da necessidade de nova regulamenta??o da ?rea do pr?-sal sob a ?tica constitucional

Fontes, Grazielly dos Anjos 06 September 2010 (has links)
Made available in DSpace on 2014-12-17T14:27:14Z (GMT). No. of bitstreams: 1 GraziellyAF_DISSERT.pdf: 784900 bytes, checksum: da704b54fa7c325ff96c6ff225199454 (MD5) Previous issue date: 2010-09-06 / The Oil industry in Brazil has gone through several stages during the economical, political and social historical process. However, the significative changes have happened in the last fifteen years, due to market opening arising from the relaxation of the state monopoly over the Oil deposits and its derivatives. The edition of the Constitutional Amendment #9, changing the first paragraph of the 177th item of the Federal Constitution, marked the end of a stiffness about the monopoly that the Brazilian state kept in relation to the exploration and research of Oil and Gas. The economical order was fundamental to actualize the idea contained in the #9 Amendment, since its contents has the power to set up measures to be adopted by public power in order to organize the economical relations from a social viewpoint. The new brazilian Oil scenery, called pre-salt, presents itself in a way to amaze the economical markets, in addition to creating a new perspective to the social sector. This work will identify, in this new scenario, the need for change in the legal system. Nevertheless, this subject must not be treated in a thoughtless way: being an exhaustible good, we shall not forget that the future generations also must benefit from the exploration of natural resources recently discovered. The settlement of a new regulatory mark, including the change in the concession contract model to production and sharing is one of the suggested solutions as a bill in the National Congress, in an attempt to ensure the sovereignty of the nation. The constitutionality of a new regulatory mark is questioned, starting from an analysis of the state monopoly, grounding the comprehnsions in the brazilian constitutions, the relevance of the creation of Petrobras for self-assertion of the state about the monopoly of Oil and derivatives, and its posture after the Constitutional Amendment n? 9 (1995), when a company stops having control of the state monopoly, beginning to compete in a fairly way with other companies. The market opening and private initiative are emphasized from the viewpoint of the Constitutional Principles of the Economical and Social Order. The relaxation of the monopoly regarding the exploratory activity in the Federal Constitution doesn't deprive from the Union the ownerships of underground goods, enabling to this federal entity to contract, directly or by concession of exploration of goods, to state-owned or private companies. The existing oil in the pre-salt layer transforms the scenario from very high risk to low risk, which gives the Union the possibility of defining another way of exploring this resources in the best interests of the Public Administration / A ind?stria do petr?leo no Brasil passou por v?rias etapas durante o processo hist?rico econ?mico, pol?tico e social. Todavia, suas significativas mudan?as ocorreram nos ?ltimos quinze anos, atrav?s da abertura do mercado decorrente da flexibiliza??o do monop?lio estatal sobre as jazidas de petr?leo e seus derivados. A edi??o da Emenda Constitucional n? 9, alterando o par?grafo 1?, do art. 177 da Constitui??o Federal, caracterizou o fim de uma rigidez quanto ao monop?lio que o Estado brasileiro mantinha em rela??o ? pesquisa e explora??o de petr?leo e g?s. A ordem econ?mica foi fundamental para efetivar a id?ia contida na Emenda n? 9, visto que seu conte?do tem o cond?o de estabelecer medidas a serem adotadas pelo poder p?blico a fim de organizar as rela??es econ?micas, sob o vi?s social. O novo cen?rio petrol?fero brasileiro, denominado pr?-sal, apresenta-se de forma a surpreender os mercados econ?micos, al?m de criar uma nova perspectiva para o setor social. O presente trabalho identificar? no novo cen?rio a necessidade de mudan?a do regime jur?dico, todavia, esse assunto n?o pode ser tratado de forma imediatista: como se trata de um bem esgot?vel n?o se deve esquecer que as gera??es futuras tamb?m precisam beneficiar-se da explora??o dos recursos naturais rec?m-descobertos. O estabelecimento de um novo marco regulat?rio, incluindo a mudan?a do modelo de contrato concess?o para produ??o e partilha ? uma das solu??es propostas a n?vel de projeto de lei no Congresso Nacional na tentativa de garantir a soberania da na??o. Questiona-se a constitucionalidade de um novo marco regulat?rio, partindo-se da an?lise do monop?lio estatal, resgatando a compreens?o nas constitui??es brasileiras, a relev?ncia da cria??o da Petrobras para auto-afirma??o do Estado quanto ao monop?lio de petr?leo e derivados, e sua postura ap?s a Emenda Constitucional n? 9 de 1995 quando a empresa deixa de ter o controle do monop?lio estatal, passando a concorrer de forma igualit?ria com outras empresas. Ressalva-se a abertura do mercado e a iniciativa privada sob ?tica dos Princ?pios Constitucionais da Ordem Econ?mica e Social. A flexibiliza??o do monop?lio quanto a atividade explorat?ria na Constitui??o Federal n?o retira da Uni?o a propriedade dos bens do subsolo, possibilitando a este ente federal a contrata??o direta ou atrav?s de concess?o da explora??o do bem a empresas estatais ou privada. O petr?leo existente na camada pr?-sal, transforma um cen?rio de alt?ssimo risco em baixo risco, o que confere a Uni?o a possibilidade de determina??o de outra forma de explorar esses recursos de forma a fazer vale os interesses prim?rio da Administra??o P?blica

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