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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.
141

En komparativ studie om återkallelse av serveringstillstånd i Norge och Sverige

Bilgic, Daniella, Callenholm, Lisa, Estam, Victoria January 2008 (has links)
No description available.
142

The use and the impact of judicial review in England and Wales

Sunkin, Maurice January 2002 (has links)
No description available.
143

Vorsorgender Küstenschutz und integriertes Küstenzonenmanagement (IKZM) an der deutschen Ostseeküste Strategien, Vorgaben und Defizite aus der Sicht des Raumordnungsrechts, des Naturschutz- und europäischen Habitatschutzrechts sowie des Rechts der Wasserwirtschaft /

Bosecke, Thomas. January 1900 (has links)
Univ., Diss.--Rostock, 2003. / Includes bibliographical references and index.
144

Insurance and the Anthropocene: like a frog in hot water

Herbstein, Tom Philip January 2015 (has links)
Includes bibliographical references / This thesis explores the relationship between the commercial insurance industry, global environmental change (GEC) and what Beck (1992; 1999) termed the 'risk society'. In recent decades, there have been growing concerns that many of the risks impacting contemporary society have undergone fundamental changes. Many of these risks are increasingly being linked to the unintended consequences of humankind's remarkable progress in science and technology, and have been described as debounded, given that they so often transcend both geographical and temporal boundaries (Beck 1992). Within the risk society, the commercial insurance industry - which relies on statistical (actuarial) analysis to help it assess and manage its risk exposure - has been described as demarcating the frontier barrier between bounded (i.e. insurable) and debounded (i.e. uninsurable) risk. However, this claim has been a highly contested one, leading to calls for more empirical data to help clarify how commercial insurance is actually responding under conditions of uncertainty. Of all the debounded risks, GEC has emerged as one of the risk society's most recognisable. Now understood to be a result of the anthropogenic emission of greenhouse gasses, particularly since the onset of the industrial revolution, its impacts have risen so sharply in recent decades that it has prompted claims that Earth has moved away from the era of the Holocene and into the Anthropocene (Crutzen 2002). Given that at least 40% of the cost of environmental catastrophes is now borne by commercial insurance, GEC provides an excellent opportunity to gain a deeper understanding of how the industry is responding to debounded risk at the risk society's frontier barrier. Early commentators suggested that the commercial insurance industry would be well motivated to respond proactively to GEC, by taking a more mitigative approach to managing its drivers at both the global and local levels. However, the industry, so far, has been described as more adaptive of its own business activities than mitigative. This raises questions about whether such claims are true across all three of the insurance industry's activities - as risk carriers, risk managers and as investors, why they have responded in such ways, and what implications this has for broadening our understanding of the complex relationship between commercial insurance, debounded risk and the risk society's frontier barrier. To consider these questions, a collective case study was undertaken with a variety of commercial insurance companies, re-insurers, asset managers, clients, brokers, industry associations and regulators across South Africa, Germany, Switzerland, the United Kingdom and Belgium. The research identified how commercial insurers have indeed responded more by adaptation of their business activities than mitigation of the drivers of GEC. This is mainly through the use of defensive underwriting to help them manage their exposure. However, the research extends this analysis by highlighting some of the nuances of the industry's response. This includes its focus on centralisation, the influence of the existing paradigm framing its understanding of risk, and by highlighting the irony that the area of insurers' activities, initially believed to be most suited for responding to GEC (i.e. their investment portfolios), have, in practice, been the area recording the least response. In exploring why this is so, the study draws on understandings of the Anthropocene to argue that commercial insurers are finding their existing risk assessment tools progressively out-dated in a world where risk is no longer as predictable as it once was. This is further compounded by increasingly plural access to the risk society's science and technologies, which, in some instances, are undermining the role commercial insurance plays as society's primary financial risk manager. This raises questions around the role commercial insurance plays in demarcating the risk society's frontier barrier which, ultimately, has far broader implications for why so many of society's institutions are struggling to adapt to risk in the 21st Century.
145

Polycentric security governance : legitimacy, accountability, and the public interest

Berg, Julie January 2015 (has links)
This thesis examines how power is constituted in hybrid polycentric systems of security governance. In particular, the thesis explores how legitimacy - as one form of power - is configured in Improvement Districts in South Africa, with a specific focus on three ways by which it is gained: through promoting public participation in decision-making; through transparent and accountable policing nodes; and through the delivery of effective security for the public good. Polycentric systems of security governance are usually composed of a number of policing or security nodes that are independent of each other, but take account of each other in relationships of co-operation or conflict and where no single node dominates all the rest. In other words, some or all of these nodes, may co-ordinate around specific security problems or events in a sustained manner. The functioning of polycentric security governance was explored in Improvement Districts in Cape Town and Johannesburg, as they are an exemplar of polycentricity in the way that they operate. Qualitative field research was employed using a nodal analytical framework and a collective case study approach. In-depth interviewing, participant and direct observation as well as documentary analysis were the primary research methods employed. The findings of the research reveal that polycentricity impacts on legitimacy in a number of ways. Legitimacy may originate from multiple sources and state and non-state policing nodes within polycentric security governance systems may undermine, enhance and/or co-produce democratic participation, accountability and security for the public interest. There are a number of factors or conditions that shape whether polycentric systems of governance are legitimate and how they derive this legitimacy. The main finding of the thesis is that for a polycentric system to be aligned to the public interest, it needs to be motivated by public, peer and political expectations, amongst other things. The findings of the thesis both challenge the normative tendency to associate democratic legitimacy with the state and contribute to the pressing question of how to theoretically account for the empirical reality of polycentric security governance systems.
146

A normative approach to state secession : in search of a legitimate right to secede

Lenong, Jentley 12 1900 (has links)
Thesis (LLM)-- Stellenbosch University, 2013. / ENGLISH ABSTRACT: Secession is one of the oldest and probably more controversial themes of public international law. The potential of a right to secede draws even more controversy amongst international law scholars and lawyers alike. This research merges classical international law perspectives on secession and the right to secede in particular, within a contemporary setting. Two research questions are answered: (i) Does a legitimate right to state secession exist under contemporary international law; if so, what are its normative characteristics? (ii) What is the position of the International Court of Justice (ICJ) in the realisation of a legitimate right to secede, considering its opinion in the Kosovo-case? The work follows a normative methodological approach in tackling and presenting the arguments towards and against the legitimacy of the right to secede. This allows for a clear interrogation of the norms constituting classic international law against the realities of an evolving pedagogy. Classical international law is traditionally statecentred, primarily due to the 1648 legacy of the Treaty (Peace) of Westphalia. However, contemporary international law has come to incorporate the roles of nonstate actors and even individuals. Consequently, the impact of secession extends beyond traditional international law norms like; territorial integrity and sovereignty, nationalism and uti possidetis. Moving forward, a critical inclusion within modern conceptualisation of secession needs to be considerations like, the right to selfdetermination and the promotion of human rights. The research departs with a clear comprehension of the status quo of a general theory of secession. The identification of a prescriptive general theory of secession remains rather elusive. However, cogent arguments are presented for the establishment of a right to secede with a sufficient legal foundation to support a general theory and find effective enforcement for the right. The arguments for the right to secede are rooted within a sound conceptual framework and historical context. In dealing with the normative characteristics of the right to secede, the historic reasoning of Shaw is utilised in order to establish a legal process for secession. This reasoning is applied in the presentation of the municipal manifestation of the right to secede, which traditionally is found in the constitutional entrenchments of the right. The relationship between the right to secede and selfdetermination is presented through a balancing of the components that constitute the right to self-determination. Following the Canadian Supreme Court’s contribution on the right to self-determination in the Quebec-case, the aspirations of peoples for selfdetermination needs to follow this dual view of self-determination as consisting of the right to internal and external self-determination. The contemporary position of the right to secede under international law is best illustrated in the ICJ treatment of secession in its Kosovo Opinion. The focus here is to present new insights into the impact of unilateralism and multilateralism in the interaction with secession. Ultimately, this research in its normative methodological approach presents the arguments both ancient and contemporary for the legitimate potential of a right to secede. / AFRIKAANSE OPSOMMING: In die internationale reg, is sessessie (afskeiding) sekerlik een van die meer kontroversiële temas. Binne die geledere van akademici en praktisyns veroorsaak die moontlikheid van ‘n reg tot afskeiding selfs meer onenigheid. Met hierdie navorsing word die klassieke sienings hieroor in die internationale reg saamgesnoer binne ‘n meer hedendaagse uitleg. Twee navorsingsvrae word beantwoord: (i) Bestaan daar ‘n legitieme reg vir staatsafskeiding binne die hendendaagse internationale reg en indien wel wat is die normatiewe karaktereienskappe van so ‘n reg? (ii) Wat is die stand van die Internationale hof vir Geregtigheid (ICJ) aangaande die verwesinliking van ‘n legitieme reg op afskeiding in die lig van die hof se uitspraak in die Kosovo-Opinie. Die navorsing volg ‘n normatiewe metodologiese benadering om die argumente teen asook vir die legitieme reg op afskeiding te voer. Dit skep ruimte vir ‘n duidelike bevraagtekening van die klassieke internationale regsnorme teen die agtergrond van ‘n transformerende pedagogie. Die klassieke internationale reg is kenmerkend staatsgeorienteerd, grootendeels as gevolg van die nalatingskap van die 1648 Verdrag (Vrede) van Westphalia. Tog gee hedendaagse internasionale reg erkening aan die handelinge van nie-regeringsentiteite en selfs individue. Gevolglik, strek die impak van sessessie heel verder as tradisionele internasionale regsnorme soos; territoriale integriteit en soewereiniteit, nasionalisme en uti possidetis. 'n Kritiese blik op die moderne begrip van sessessie moet oorwegings soos die reg op selfbeskikking en die bevordering van menseregte in ag neem om vooriutgang te bewerkstellig. Die navorsing begin met 'n duidelike begrip van die status quo insake 'n algemene teorie van sessessie. Die identifisering van 'n voorskriftelike algemene teorie van afskeiding bly ongelukkig ontwykend. Tog word oortuigende argumente vir die vestiging van 'n reg om af te skei gevoer. Dit gaan gepaard met 'n voldoende regsgrondslag wat 'n algemene teorie ondersteun, asook die moontlikheid vir die doeltreffende uitvoering van die reg. Die argumente ter ondersteuning van die reg tot afskeiding word geïllustreer binne 'n verantwoordbare konseptuele raamwerk en historiese konteks. In die hantering van die normatiewe kenmerke van die reg word die klassieke redenasie van Shaw benut ten einde 'n regsproses vir afskeiding te vestig. Hierdie redenasie word toegepas by die handtering van voorbeelde oor plaaslike manifestasies van die reg to afskeiding. Hierdie plaaslike manifestasies word tradisioneel gevind binne state se grondwetlike erkennings van die reg. Die verhouding tussen die reg om af te skei en selfbeskikking word aangebied deur 'n balansering van die komponente waaruit die reg op selfbeskikking bestaan. Na aanleiding van die Kanadese Hooggeregshof se bydrae tot die reg om selfbeskikking in die Quebec-saak, is die aspirasies van volkere vir selfbeskikking gevestig in die reg om interne en eksterne selfbeskikking. Die kontemporêre posisie van die reg om af te skei ingevolge die internasionale reg word goed geïllustreer in die Wêreldhof se behandeling van afskeiding in die Kosovo-Opinie. Die fokus hier is die uitleg van nuwe insig oor die mag van unilateralisme en multilateralisme in die interaksies oor sessessie. Ten slotte bied hierdie navorsing in sy normatiewe metodologiese benadering die argumente, beide antiek en kontemporêre, vir die legitieme potensiaal van 'n reg om af te skei.
147

Les fonctions des principes fondamentaux de la commande publique / The functions of the fundamental principles of public law contracts

Bontron, Marie-Charlotte 07 November 2015 (has links)
Les principes de la commande publique souffrent d’une imprécision juridique dans la mesure où, aspirant à des finalités communes au moyen d’instruments juridiques identiques, aucun des objectifs généraux qu’ils poursuivent ensemble ne peut être spécifiquement rattaché à l’un d’eux. Afin de pallier cette insuffisance du droit positif, une nouvelle clé de lecture des principes doit être découverte. Une analyse détaillée du droit positif dévoile que le temps constitue le pivot d’une lisibilité certaine des fonctions des principes. Structurant le droit de la commande publique, cet élément permet d’identifier différents temps poursuivant des objectifs spécifiques, dont la concordance avec les principes permet de délimiter les finalités caractéristiques à chacun. À partir de cette application temporelle des principes, il est possible de définir leurs fonctions propres, en ce sens que chacune des règles spécifiques du droit de la commande publique peut être rattachée àl’un d’entre eux. Une confrontation de cette conceptualisation temporelle au droit positif dévoile que de cette définition des fonctions propres, découlent des implications positives sur le droit de la commande publique. D’une part, certaines zones d’ombres latentes de cette branche du droit sont clarifiées. D’autre part, l’office du juge des contentieux précontractuel et contractuel est précisé. Une lecture singulière des fonctions des principes permet ainsi de pallier en partie la complexité patente du droit de la commande publique. / The principles of the Public Commission suffer a legal indistinctness, inasmuch as, aspiring to common purposes by means of identical legal instruments, none of the general objectives that they pursue together cannot be specifically connected to one of them. To mitigate this insufficiency of the substantive law, a new key to the interpretation of principles must be discovered. A detailed analysis of the substantive law reveals that the time constitutes the pivot of a certain legibility of the fonctions of the principles. Structuring Public Commissions Law, this element allows to identify different time pursuing specific objectives, of which the concordance with the principles allows to delimit the characteristic purposes of each.From this temporal application of the principles, it is possible to define their own fonctions, in this sense that each of the rules specific of Public Commissions Law can be connected to one of them. A confrontation of this temporal conceptualisation reveals that of this definition of appropriate functions, ensue positives implications of the Public Commission Law. On one hand, some latent grey areas of this branch of the law are clarified. On the other hand, the office of the judge of pre-contractual and contractual disputes is specified. A singular reading of the fonctions of the principles allows thereby to mitigate partially to the obvious complexity of the Public Commission Law.
148

Partnership and the limits of procedure: prospects for relationships between parents and professionals under the new Public Law Outline

Broadhurst, K., Holt, Kim January 2010 (has links)
No / April 2008 saw the introduction of a new Public Law Outline (PLO) that aims to improve judicial case management of Public Law Children Act cases. The PLO is a response to concerns about the rising number of care proceedings, associated costs, and the difficulties of achieving case resolution given this volume. Based on an ethos that care proceedings should be avoided wherever possible, the new approach to case management, which places significant emphasis on pre-proceedings work and the effective engagement of parents, can be seen to reinforce the ‘no order principle’ enshrined in the Children Act (CA) 1989. Focusing specifically on relationships between parents and professionals, this paper provides a critical discussion of the potential of the PLO to further promote consensual practices with parents. Discussion traces the introduction of the concept of partnership within the CA 1989, provides a review of the evidence to-date of effective partnership working, before considering the prospects for the PLO with respect to parental engagement. A number of key contextual obstacles are highlighted that will inevitably undermine the aspirations of the new outline, and a more general observation is drawn about the limits of procedure in effecting change in complex social issues.
149

Acquisitive prescription in view of the property clause

Marais, Ernst Jacobus 12 1900 (has links)
Thesis (LLD )--Stellenbosch University, 2011. / ENGLISH ABSTRACT: Acquisitive prescription (“prescription”), an original method of acquisition of ownership, is regulated by two prescription acts. Prescription is mostly regarded as an unproblematic area of South African property law, since its requirements are reasonably clear and legally certain. However, the unproblematic nature of this legal rule was recently brought into question by the English Pye case. This case concerned an owner in England who lost valuable land through adverse possession. After the domestic courts confirmed that the owner had lost ownership through adverse possession, the Fourth Chamber of the European Court of Human Rights in Strasbourg found that this legal institution constituted an uncompensated expropriation, which is in conflict with Article 1 of Protocol No 1 to the European Convention on Human Rights and Fundamental Freedoms 1950. This judgment may have repercussions for the constitutionality of prescription in South African law, despite the fact that the Grand Chamber – on appeal – found that adverse possession actually constitutes a mere (constitutional) deprivation of property. Therefore, it was necessary to investigate whether prescription is in line with section 25 of the Constitution. To answer this question, the dissertation investigates the historical roots of prescription in Roman and Roman-Dutch law, together with its modern requirements in South African law. The focus then shifts to how prescription operates in certain foreign systems, namely England, the Netherlands, France and Germany. This comparative perspective illustrates that the requirements for prescription are stricter in jurisdictions with a positive registration system. Furthermore, the civil law countries require possessors to possess property with the more strenuous animus domini, as opposed to English law that merely requires possession animo possidendi. The justifications for prescription are subsequently analysed in terms of the Lockean labour theory, Radin’s personality theory and law and economics theory. These theories indicate that sufficient moral and economic reasons exist for retaining prescription in countries with a negative registration system. These conclusions are finally used to determine whether prescription is in line with the property clause. The FNB methodology indicates that prescription constitutes a non-arbitrary deprivation of property. If one adheres to the FNB methodology it is equally unlikely that prescription could amount to an uncompensated expropriation or even to constructive expropriation. I conclude that prescription is in line with the South African property clause, which is analogous to the decision of the Grand Chamber in Pye. / AFRIKAANSE OPSOMMING: Verkrygende verjaring (“verjaring”), ‘n oorspronklike wyse van verkryging van eiendomsreg, word gereguleer deur twee verjaringswette. Verjaring word grotendeels beskou as ‘n onproblematiese aspek van die Suid-Afrikaanse sakereg, aangesien die vereistes daarvan taamlik duidelik en regseker is. Nietemin is die onproblematiese aard van hierdie regsinstelling onlangs deur die Engelse Pye-saak in twyfel getrek. Hierdie saak handel oor ‘n eienaar wat waardevolle grond in Engeland deur adverse possession verloor het. Nadat die plaaslike howe die verlies van eiendomsreg deur adverse possession bevestig het, het die Vierde Kamer van die Europese Hof van Menseregte in Straatsburg bevind dat hierdie regsreël neerkom op ‘n ongekompenseerde onteiening, wat inbreuk maak op Artikel 1 van die Eerste Protokol tot die Europese Verdrag van die Reg van die Mens 1950. Hierdie uitspraak kan implikasies inhou vir die grondwetlikheid van verjaring in die Suid-Afrikaanse reg, ten spyte van die Groot Kamer se bevinding – op appèl – dat adverse possession eintlik neerkom op ‘n grondwetlik geldige ontneming van eiendom. Derhalwe was dit nodig om te bepaal of verjaring bestaanbaar is met artikel 25 van die Suid-Afrikaanse Grondwet. Vir hierdie doel word die geskiedkundige wortels van verjaring in die Romeinse en Romeins- Hollandse reg, tesame met die moderne vereistes daarvan in die Suid-Afrikaanse reg, ondersoek. Daar word ook gekyk na hoe hierdie regsreël in buitelandse regstelsels, naamlik Engeland, Nederland, Frankryk en Duitsland, funksioneer. Hierdie regsvergelykende studie toon dat verjaring strenger vereistes het in regstelsels met ‘n positiewe registrasiestelsel. Verder vereis die sivielregtelike lande dat ‘n besitter die grond animo domini moet besit, wat strenger is as die Engelsregtelike animus possidendi-vereiste. Die regverdigingsgronde van verjaring word vervolgens geëvalueer ingevolge die Lockeaanse arbeidsteorie, Radin se persoonlikheidsteorie en law and economics-teorie. Hierdie teorieë illustreer dat daar genoegsame morele en ekonomiese regverdigings vir die bestaan van verjaring is in lande met ‘n negatiewe regstrasiestelsel. Hierdie bevindings word ten slotte gebruik om te bepaal of verjaring bestaanbaar is met die eiendomsklousule. Die FNB-metodologie toon dat verjaring neerkom op ‘n geldige, nie-arbitrêre ontneming volgens artikel 25(1). Indien ‘n mens die FNB-metodologie volg is dit eweneens onwaarskynlik dat verjaring op ‘n ongekompenseerde onteiening – of selfs op konstruktiewe onteiening – neerkom. Gevolglik strook verjaring wel met die Suid-Afrikaanse eiendomsklousule, welke uitkoms soortgelyk is aan dié van die Groot Kamer in die Pye-saak.
150

Equality of arms and aspects of the right to a fair criminal trial in Botswana

Cole, Rowland James Victor 03 1900 (has links)
Thesis (LLD (Public Law))--University of Stellenbosch, 2010. / ENGLISH ABSTRACT: The guarantee of a fair trial is fundamental to the criminal process of every modern society. Like all civilised nations, Botswana’s legal order provides for the protection of accused persons through the guarantee of a fair trial. But equality of arms, a central feature of medieval trial by combat, seems to have disappeared from modern criminal procedural systems. The question arises, therefore, whether criminal justice systems sufficiently cater for the fair trial of accused persons. This thesis will argue that the present legal and institutional framework for the protection of fair trial rights in Botswana falls short of guaranteeing procedural equality and that this severely compromises fairness. The institutional framework does not support equality of arms and therefore leaves procedural rights in a basic state of application. The thesis, therefore, seeks to analyse the protection of fair trial rights in Botswana in light of the principle of equality of arms. The thesis explores the origins and theoretical foundations of the principle. It recognises that the present application of the principle occurs by implicit countenance. The absence of any constitutional recognition of the principle leaves procedural rights in a basic state of application. The thesis discusses the practical implications of an express recognition and constitutional application of the principle in the adversarial system. Equality of arms should be central in the criminal process and no party should have an unfair advantage over the other. The thesis recognises that the prosecution is in a position of advantage in that it has the support of the state. This advantage manifests itself in the form of vast resources regarding expertise, investigatory powers and legislative powers. Disparities in resources, the ability to investigate and access to witnesses create an inequality of arms between the state and the accused. This can only be balanced and countered by empowering the accused with constitutional and procedural rights that specifically protect the accused in the face of the might of the state. These procedural rights include the presumption of innocence, the right to legal representation and the right to disclosure. It is argued, however, that though accused-based rights and constitutional rules of procedure generally protect the accused and ensure that the process is fair, they mainly remain theoretical declarations if they are not applied in line with equality of arms. In other words, the meaningful enjoyment of these rights by the accused, demands the strengthening of resources and legislative and institutional governance. Fairness in criminal trials is epitomised in the balance between the overwhelming resources of the state and the constitutional protection of the accused. Otherwise, the constitutional protection afforded to the accused is compromised. The first part engages the reader with the development of accused-based rights and introduces the constitutionalisation of procedural rights in Botswana. It discusses the scope and application of the principle of equality of arms, develops its relevance to the adversarial system and justifies an application of the principle in Botswana domestic law. It makes a comparison between the adversarial and inquisitorial models while recognising the growing tendency towards convergence. It highlights the adversarial system as interest-based, and recognises the indispensability of the principle of equality of arms to such a system. While recognising that inquisitorial procedures often offend equality of arms, the role of the inquisitorial system in ensuring equality of arms is also recognised. It measures and analyses the normative value, application and recognition of equality of arms in Botswana’s legal system, arguing for express recognition and a conceptual application of the principle by the courts. It is reasoned that express recognition of the principle will result in fuller protection and better realisation of accused-based rights. Exploring the adversarial-inquisitorial dichotomy, it recognises the need for convergence, but emphasises the principle of equality of arms and the right to adversarial proceedings as the foundation for fair trials. The second part analyses the investigation process and generally bemoans the great inequalities at this stage of the criminal process. It discusses procedural and evidential rules that serve to minimise the imbalances and the role that exclusionary rules play in ensuring fair trials and reliable verdicts. The third part identifies specific trial rights which are relevant to the principle of equality of arms. Central to the discussion are the right to legal representation and the presumption of innocence which are discussed in chapters 7 and 8 respectively. These two important rights are central to the protection of the accused but unfortunately are the most compromised due to lack of resources and legislative intervention. Chapter 9 deals with other rights that are relevant to the principle as well as the ability of the accused to present his case and effectively defend himself. It emphasises the need for the courts to engage in the trial, thereby enabling the unrepresented accused. The fourth part contains final conclusions which argue that the principle of equality of arms forms the basis for the full realisation of individual procedural rights and advocates for the recognition of the principle in the Botswana legal order. It is concluded that the constitutional enshrinement of fair trial rights and their basic application by the courts, without actual measures to ensure their realisation, are insufficient. Suggestions include legislative and institutional reforms, as well as a constitutional recognition of the principle of equality of arms. / AFRIKAANSE OPSOMMING: Die waarborg van ‘n billike verhoor is fundamenteel tot die strafprosesregstelsel van elke beskaafde gemeenskap. Soos in ander beskaafde lande, word die beskuldige in Botswana ook beskerm deur die reg op ‘n billike verhoor. In die Middeleeue was gelykheid van wapens (“equality of arms”) die sentrale kenmerk van die tweegeveg as geskilberegtigingsmetode. Dit blyk egter dat hierdie sentrale kenmerk afwesig is in moderne strafprosesregstelsels is. Die vraag ontstaan of hierdie toedrag van sake ‘n beskuldige se reg op ‘n billike verhoor op risiko plaas. In hierdie tesis word betoog dat die posisie in Botswana van so ‘n aard is dat “ongelyke bewapening” veroorsaak dat die reg op ‘n billike verhoor belemmer word. Die plaaslike institusionele bedeling onderskraag nie die beskerming van gelykheid van wapens nie en veroorsaak derhalwe dat prosessuele regte in “a basic state of application” is, met ander woorde, op ‘n eenvoudige en meganiese toepassingvlak is. Met die norm van gelyke bewapening as vertrekpunt, ondersoek hierdie tesis die beskerming van die reg op ‘n billike verhoor in Botswana. ‘n Ondersoek word geloods na die oorsprong en toereriese basis van die beginsel van gelyke bewapening. Die afwesigheid van uitdrukklike grondwetlike erkenning van die beginsel, word vergelyk met die praktiese implikasies en uitdruklike grondwetlike erkenning en toepassing in ‘n adversatiewe stelsel. Gelykheid van wapens behoort sentraal tot die strafproses te wees en geen party behoor ‘n onbillike voordeel bo die ander te geniet nie. In hierdie tesis word erken dat die vervolging bloot vanweë die feit dat dit deur die staatsmasjienerie ondersteun word, wesenlik bevoordeel word bo die individu as aangeklaagde. Dit gaan hier om toegang tot hulpbronne soos deskundigheid, asook die rol wat misdaadondersoekmagte en ander wetgewing speel. Ongelykhede byvoorbeeld in hulpbronne, in die vermoë om misdaad te ondersoek en in die toegang tot getuies, dra alles daartoe by dat ‘n wanbalans tussen die staat en die individu ontstaan. Die verlening van prosessuele regte aan die beskuldigde is ‘n metode om die balans te probeer herstel. Voorbeelde van sulke regte is die reg om onskuldig vermoed te wees, die reg op ‘n regsverteenwoordiger en die reg op insae in verklarings. In hierdie tesis word egter betoog dat alhoewel hierdie regte en ander grondwetlike strafprosedures die beskuldigde kan beskerm en die billikheid van die proses kan bevorder, dit absoluut noodsaaklik is dat voormelde regte en prosedures in lyn met die beginsel van gelykheid van wapens geïnterpreteer en toegepas moet word. Betekenisvolle afdwinging en toepassing van ‘n beskuldigde se regte verg versterking van bronne en die institusionele bedeling. Billikheid in die strafverhoor word gekenmerk aan die graad van balans wat bereik kan word tussen die oorvloedige hulpbronne van die staat teenoor die grondwetlike beskerming van die beskuldigde. In die afwesigheid van ‘n balans, word die beskuldigde benadeel. Die eerste gedeelte van hierdie tesis behandel die ontwikkeling van die beskuldigde se regte en bevat ‘n inleiding tot die konstitusionalisering van prossuele regte in Botswana. In Deel Een word die omvang en toepassing van die beginsel van gelykheid van wapens bespreek en word die relevantheid van hierdie beginsel in die adversatiewe proses identifiseer, veral wat Botswana betref. Die adversatiewe en inkwisitoriese modelle word vergelyk en bespreek met erkenning aan die moderne neiging dat die twee modelle besig is om in een te vloei – die sogenaamde verskynsel van “convergence”. Daar word aangetoon dat gelykheid van wapens die adversatiewe model onderlê. Hierteenoor is dit so dat die inkwisitoriese model ook erkenning aan gelykheid van wapens verleen. Daar word betoog dat gelykheid van wapens ‘n normatiewe waarde het en uitdruklik in Botswana deur die howe erken moet word. Uitdruklike erkenning sal tot groter beskerming en realisering van ‘n beskuldigde se regte lei. In Deel Een word ook tot die slotsom geraak dat alhoewel daar ‘n behoefte aan “convergence” is, dit onvermydelik tog ook so is dat gelykheid van wapens en die reg op ‘n adversatiewe proses die grondslag van ‘n billike verhoor vorm. In Deel Twee word die misdaadondersoekproses ontleed en word die grootskaalse ongelykhede wat hier onstaan en bestaan, bespreek. Daar word gelet op prosesregtelike en bewysregtelike reëls wat hierdie ongelykhede kan minimaliseer. Die rol van uitsluitingsreëls ter bevordering van ‘n billike verhoor en ‘n betroubare bevinding, word ook aangespreek. Deel Drie identifiseer spesifieke verhoorregte wat in ‘n besondere direkte verband met die beginsel van gelykheid van wapens staan. Hier is veral twee regte van besondere belang: die reg op ‘n regsverteenwoordiger (hoofstuk 7) en die reg om onskukdig vermoed te wees (hoofstuk 8). Ongelukkig is dit so dat hierdie twee regte erg ondermyn word. Die reg op resverteenwoordiging word ingekort deur ‘n gebrek aan finansiële bronne terwyl die vermoede van onskuld deur wetgewing ondergrawe word. In hoofstuk 9 word ander relevante regte bespreek en word die noodsaak van ‘n aktiewe hof in die geval van ‘n onverteenwoordigde beskuldigde bepleit Deel Vier bevat finale gevolgtrekkings. Daar word betoog dat die beginsel van gelykheid van wapens die basis vorm in die volle relisering van individuele regte en, verder, dat hierdie beginsel ten volle in die regstelsel van Botswana erken behoort te word. Blote grondwetlike verskansing van die grondwetlike reg op ‘n billike verhoor en ‘n blote basiese interpretasie daarvan deur die howe, is onvoldoende wanneer daar geen maatreels is om die haalbare realisering af te dwing nie. Wetgewende en institusionele hervorming is nodig, asook ‘n grondwetlike erkenning van die beginsel van gelykheid van wapens. / Research funds made available by Prof. S. E. van der Merwe

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