• Refine Query
  • Source
  • Publication year
  • to
  • Language
  • 56
  • 18
  • 18
  • 10
  • 6
  • 5
  • 5
  • 4
  • 2
  • 1
  • 1
  • 1
  • 1
  • 1
  • Tagged with
  • 131
  • 50
  • 44
  • 33
  • 24
  • 23
  • 20
  • 18
  • 17
  • 17
  • 15
  • 15
  • 15
  • 15
  • 14
  • 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

Homosexuality : South African evangelical perspective

Shayi, Frank 11 1900 (has links)
This dissertation deals with the sensitive topic of h :,mosexuality. For the most part, the Judeo-Christian tradition regards homosexual practice as sin, and an unacceptable alternative lifestyle for Christians. We looked at the current evangelical ethical position in comparison to this tradition and a liberal approach. Homosexuality is the phenomenon of sexually desiring and having sex with people of the same sex. Evangelicals uphold the centrality of the Bible as God's Word and the supreme guide for faith and practice. Three different sets of questionnaires were completed by homosexuals, evangelical leaders and members respectively and the data analysed. Old and New Testament texts showed that homosexuality is biblically never accepted. Data from homosexuals showed that more than fifty percent homosexuals have had sex with people of the opposite sex, thus not 'exlusive'. Data from evangelicals in South Africa, showed that homosexuality is not an acceptable lifestyle, especially for Christians. / Philosophy, Practical and Systematic / M.Th. (Theological Ethics)
122

Populismo Penal no Brasil: do modernismo ao antimodernismo penal, de 1984 a 1990 / Penal Populism in Brazil: from penal modernism to late modernism, 1984 - 1990

Luiz Guilherme Mendes de Paiva 09 April 2015 (has links)
A tese discute a transformação dos discursos político-criminais sobre a pena de prisão no Brasil, no período que compreende os debates para a elaboração da Parte Geral do Código Penal e da Lei de Execução Penal, que reformaram o sistema penal em 1984, e os dispositivos penais e processuais penais discutidos na Assembleia Nacional Constituinte e contemplados na Constituição de 1988. Utilizando conceitos da literatura político-criminal anglo-saxã, as teorias tradicionais da pena e analisando os debates legislativos dos principais marcos legais do período escolhido, pretendeu-se verificar se o processo de superencarceramento brasileiro está inserido no contexto ocidental de valorização da prisão no final do século XX, ou se as peculiaridades do caso nacional indicam tratar-se de um fenômeno com causas endógenas. O trabalho parte da hipótese de que a virada punitiva brasileira está ligada ao processo de redemocratização, que atribuiu ao sistema de justiça criminal o papel de instrumento de resolução de problemas sociais complexos. Em um curto período, partiu-se de uma concepção de pena criminal como ultima ratio, instrumento de um sistema mais amplo de ressocialização e inclusão social, para um direito penal essencialmente punitivo. Nesse processo, a pena criminal foi revalorizada tanto por setores conservadores que se aproveitaram da utilidade eleitoral da política criminal para construir a narrativa da pena como instrumento de exclusão dos indesejáveis, em detrimento dos direitos humanos dos condenados quanto por setores progressistas que viram no potencial simbólico da prisão uma forma de assegurar pautas e de buscar direitos sociais. Assim, de maneira paradoxal, a pena de prisão assumiu o papel de síntese das demandas contraditórias que se apresentaram durante as disputas políticas nos anos 1980. Ao final, conclui-se que a prática contemporânea do sistema penal brasileiro está ligada à função atribuída à pena de prisão a partir da abertura política. O recurso a penas cada vez mais altas, o perene apelo a restrições processuais penais e a indiferença quanto à situação dos cárceres (agora concebidos como meros instrumentos de exclusão) refletem a lógica de colonização do sistema de justiça pelo aparato de segurança pública, característica constitutiva do antimodernismo penal no país. / The thesis presents a discussion about the transformation of criminal policy discourses on imprisonment in Brazil, from the 1984 criminal justice reform laws to the debates on the constitutional framework of the criminal justice system during the National Constituent Assembly, in 1988. Using concepts developed in the Anglo-Saxon criminology and the traditional justifications for criminal sanctions, the work analyses the legislative debates in order to verify if Brazilian overincarceration is part of the punitive turn wave which took place in the Western world in the late 20th century, or if its peculiarities should rather be explained by endogenous causes. It goes to illustrate how, in few years, Brazilian punitive turn departed from a welfare penal agenda to one essentially based on punitive sanctions. The hypothesis investigated along the work is that this phenomenon has direct links to the democratization process which attributed to the criminal justice system the role of solving complex social problems. Both conservatives, who discovered the electoral potential of penal populism, and new social movements, who relied on the symbolic nature of criminal law to support and organize civil rights demands, reinvigorated imprisonment. Paradoxically, prison became a synthesis of contradictory political forces and demands raised at the decline of military regime. The work concludes that contemporary practices of Brazilian criminal justice system are determined by the role assigned to imprisonment since democratization. Ever-higher prison sentences, limits on procedural rights for the accused and indifference towards inhumane prisons (now merely defined as a neutralization tool) reflects colonization of the criminal justice system by crime control apparatus, which is a constitutive feature of penal late modernism in Brazil.
123

Adolescente em conflito com a lei: uma análise dos discursos dos operadores jurídico-sociais em processos judiciais

Sartório, Alexsandra Tomazelli 14 November 2007 (has links)
Made available in DSpace on 2016-12-23T14:36:48Z (GMT). No. of bitstreams: 1 Adolescente em conflito com a lei.pdf: 1615956 bytes, checksum: 95a7d6202855dbc49eef9aeae42c1417 (MD5) Previous issue date: 2007-11-14 / This dissertation deals with the interface between the social issue and the legal issue in the context of the adolescent who answered a due process law. This study aims to analyses the discourse of the legal-social operators in five due process law of the Serra and Vila Velha youth and Childhood Judgeship of the. The social issue and the historical building of the rights of adolescents in conflict with the law had been configured as the theoretic referential. We analyzed the discourses of the judge, public prosecutor, lawyer or counsel for indigents, social work of UNIP, technician of the Court and the professionals of program LAC. After successive readings of the material the data had been analyzed using the referential of the analysis of discourse. The data were organized and presented in the follow way: the history of each adolescent and his/her passage in the legal process; the discourses of the instauration and proceeding of the legal process; discourses for application of the social-educative actions; discourses to execute the social-educative actions and finally the discourses of the final proceeding of the legal process analyzing each one of these parts. As a result was evidenced that in the initial phase of the legal process the expressions of the social matter had been occulted taking advantage the legal issue. The situation of breaking rights of the adolescents and the social circumstances of their evolvement in the practice of infraction was not considered. And the protection to the adolescents through the social-educative action was not sued at law. In the phase of application of the social-educative action we verify a low influence of the discourses of the others legal-social operators and a high influence of the discourses of the magistrate and public prosecutor. The families of the adolescents almost were not mentioned in the audience and in the proceeding of the legal tram. We verify in the phase of execution of the social-educative that the educative process was not reach. It happened because of the lack of systematization in the attendance, the lack of attention to the social necessities of the adolescents and their families and the consequent absence of insertion of them in programs of social inclusion, implying in the strong presence of the sanction and punitive character. The speech of the social reinsertion of the adolescent through the school and the work was evidenced. The data had proven the lack of mediation between rights and public policy and demonstrated that the adolescent in conflict with the law is dealt in a way that stressing the figure of the infractor and overcast the figure of the adolescent citizen in peculiar condition of development. In the final phase of the legal process we verify a legal system whose performance in prominence was of the public prosecutor and the magistrate what indicated that they conducting the process, demonstrating the prevalence of the legal issue. It was concluded that the content of the social matter was enunciated in the legal-social discourses in a non polity way showing that the guilt of the infraction is only of the adolescents and their families. The legal social-educative action is not integrate and do not promote an efficient educative process. Finally we conclude that o ECRIAD was set in motion about periods and rites and was completely ignored about the social rights and the educative aspects of the social-educative actions. / A presente dissertação trata da interface entre a questão social e a questão jurídica no contexto do adolescente que respondeu a processo judicial. O objetivo geral da pesquisa foi analisar os discursos dos operadores jurídico-sociais presentes em cinco processos judiciais das Varas da Infância e Juventude de Serra e Vila Velha. A questão social e a construção histórica dos direitos do adolescente em conflito com a lei configuraram-se como referenciais teóricos. Selecionou-se os discursos do Juiz, Promotor de Justiça, Advogado ou Defensor Público, Assistente Social da UNIP, dos Técnicos do Juizado e dos profissionais do programa LAC. Após leituras sucessivas do material os dados foram analisados utilizando-se o referencial da análise do discurso. Os dados foram organizados e apresentados da seguinte forma: histórico de cada adolescente e seu percurso no processo judicial; discursos da instauração e trâmites iniciais do processo judicial; discursos da aplicação da medida sócioeducativa; discursos da execução da medida sócio-educativa e discursos dos trâmites finais do processo judicial sucedendo-se com a análise de cada uma dessas partes. Como resultado constatou-se que na fase inicial do processo judicial as expressões da questão social foram ocultadas, prevalecendo a questão jurídica. Não se considerou a situação de violação de direitos dos adolescentes e nem as circunstâncias sociais de envolvimento destes na prática de infração e nem foram acionadas a proteção aos adolescentes, através de medidas protetivas. Na fase de aplicação da medida sócio-educativa observou-se pouca influência dos discursos dos outros operadores jurídico-sociais, sobressaindo-se os discursos do Magistrado e do Promotor de Justiça. As famílias dos adolescentes foram pouco acionadas nas Audiências e no decorrer da trama judicial. Verificou-se na fase da execução da medida a não realização do processo sócio-educativo, dada a falta de sistematização no atendimento, a falta de atenção às necessidades sociais dos adolescentes e de suas famílias e a conseqüente ausência de inserção destes em programas de inclusão social, implicando na forte presença do caráter sancionatário e punitivo. Constatou-se o discurso da reinserção social do adolescente através da escola e do trabalho. Os dados comprovaram a ausência de mediação do direito com as políticas públicas demonstrando que o adolescente em conflito com a lei é tratado de forma a se acentuar a figura do infrator, ficando obscurecida a figura do adolescente cidadão em condição peculiar de desenvolvimento. Na fase de finalização do processo judicial verificou-se uma ritualização jurídica cuja atuação em destaque foi do Promotor de Justiça e do Magistrado o que indicou que são eles os condutores do processo, demonstrando a prevalência da questão jurídica. Concluiu-se que o conteúdo da questão social foi enunciado nos discursos jurídicosociais de forma despolitizada, quando da individualização e culpabilização do adolescente, sendo este e sua família responsabilizados sozinhos pela situação de infração, bem como não se efetivaram ações jurídico-sociais integradas de forma a promover um processo sócio-educativo eficaz. Concluiu-se que o ECRIAD foi acionado no que diz respeito aos prazos e ritos processuais e foi completamente ignorado quanto aos direitos sociais e aos aspectos educativos das medidas sócioeducativas.
124

Responsabilité civile et responsabilité pénale : à la recherche d'une cohérence perdue / Civil liability and criminal liability : in search of lost consistency

Dubois, Charlotte 02 December 2014 (has links)
La responsabilité civile est traditionnellement attachée à la réparation des préjudices individuels. Pour sa part, le droit pénal est présenté comme la branche du droit qui assure la protection de l’intérêt général par la sanction de comportements attentatoires à un socle commun de valeurs sociales. Cette distinction de finalités justifie une hiérarchie des disciplines qui se traduit par une primauté accordée au droit pénal. Pourtant, on se propose de démontrer que le législateur, au même titre que le juge d’ailleurs, semble s’engager dans une direction contestable en considérant qu’il y a une différence de degré entre droit civil et droit pénal là où existe en réalité une différence de nature. De ce postulat inexact naît une confusion généralisée qui conduit chaque discipline à s’approprier les considérations de l’autre : le droit civil devient punitif tandis que, dans le même temps, le droit pénal accorde une place sans cesse accrue à la réparation du préjudice. Ce mouvement nous semble porteur d’un double danger : en premier lieu, le droit pénal délaisse sa fonction protectrice de l’intérêt général lorsqu’il s’attache à réparer des préjudices purement individuels ; en second lieu, le droit civil punitif, délié des garanties fondamentales dont est assortie la matière répressive, peut se révéler être une menace pour les libertés individuelles. Ce mouvement croisé des deux disciplines met en péril la cohérence de leurs régimes respectifs : leurs influences réciproques doivent être révélées afin de mieux cerner les faiblesses du droit de la responsabilité et de proposer des remèdes en vue d’assurer un agencement cohérent et complémentaire des responsabilités civile et pénale. / Studying two separate disciplines, such as Civil and Criminal liability, it would not be expected to find any interactions between them: Civil Law repairs the damage caused to private interests; while Criminal Law punishes, thereby ensuring public interests. These differences in purpose justify a hierarchy of disciplines resulting in the supremacy of Criminal Law over Civil Law. However, it will be shown that the legislature and the judge are going in the wrong direction by considering that there is a difference of degree between Civil Law and Criminal Law where there is actually a difference in nature. This incorrect assumption has given rise to a widespread confusion where each discipline takes ownership of the considerations of the other: Civil Law becomes punitive, while, at the same time, Criminal Law becomes increasingly compensatory. The present work aims to denounce a double danger: first, Criminal Law abandons its protective function of public interests when it attempts to repair purely individual damages; second, a punitive Civil Law, detached from the fundamental safeguards that are attached to criminal matters, may prove to be a threat to individual freedoms. This cross-movement between the two disciplines jeopardizes the consistency of their respective systems: reciprocal influences must be revealed in order to better understand the weaknesses of legal liability and to propose remedies that ensure a consistent and complementary arrangement of legal rules.
125

Les sanctions en droit de la consommation / Consumer Law sanctions

Leroux-Campello, Marie 10 December 2018 (has links)
De multiples sanctions répondent à la violation du droit de la consommation. Ces sanctions sont perçues comme des outils indispensables au respect de ce droit. Leur prolifération ainsi que leur caractère dérogatoire au droit commun sont pourtant fréquemment dénoncés. Surpénalisation, prime à la mauvaise foi des consommateurs, automaticité, intrusion du juge dans la sphère contractuelle, atteindraient leur légitimité. L’instrumentalisation des sanctions provoquerait leur confusion et leur dénaturation généralisée. La pénalisation des sanctions civiles et la banalisation des sanctions pénales sont particulièrement critiquées. Mais ce double mouvement est-il systématique ? Ce travail entend apporter une réponse plus nuancée. L’abstraction de la protection offerte aux consommateurs exige certains aménagements. Saisir l’essence des sanctions devient alors nécessaire afin identifier celles qui participent d’un dévoiement. Certaines sanctions seront ainsi réhabilitées. D’autres, à l’inverse, seront condamnées. Après avoir mesuré le dévoiement des sanctions du droit de la consommation, une remise en ordre s’est avérée indispensable. Diverses propositions ont ainsi été formulées, dans une quête constante d’équilibre entre efficacité et validité, afin que l’effectivité du droit de la consommation soit elle-même mieux assurée. / Multiple sanctions respond to violations of consumer law. These sanctions are perceived as essential tools for the respect of this right. However, their proliferation and their derogatory nature from ordinary law are frequently denounced. Over-criminalisation, primacy over bad faith on the part of consumers, automaticity, intrusion by the judge into the contractual sphere, would achieve their legitimacy. The instrumentalization of sanctions would lead to their confusion and general distortion. The criminalisation of civil sanctions and the trivialisation of criminal sanctions are particularly criticised. But is this double movement systematic ? This work aims to provide a more nuanced response. Abstracting from the protection offered to consumers requires certain adjustments. Understanding the essence of sanctions then becomes necessary in order to identify those that participate in a misuse. Some sanctions will thus be rehabilitated. Others, on the other hand, will be condemned. After having measured the misuse of consumer law sanctions, it was essential to put them in order. Many proposals were then formulated, so that the effectiveness of consumer law could be better ensured.
126

L’application et l’interprétation de la Loi sur l’adéquation de la peine et du crime par les acteurs judiciaires entre 2010 et 2016

Poitras-Labonté, Pier-Anne 12 1900 (has links)
La législation actuelle permet la prise en compte du temps de détention présentencielle dans la détermination de la peine. Le paragraphe 719(3) du Code criminel encadre la comptabilisation du crédit sur la peine de ce type de détention. Depuis l’entrée en vigueur de la Loi sur l’adéquation de la peine et du crime en 2010, le Code criminel stipule que le juge doit appliquer un crédit de un jour sur le temps de la peine pour chaque jour passé en détention présentencielle. Un maximum d’un jour et demi pour chaque jour de détention présentencielle peut être accordé lorsque les circonstances le justifient. Cette loi, qui s’inscrit dans un durcissement des politiques pénales, apporta un resserrement législatif en circonscrivant le pouvoir judiciaire quand au calcul du crédit pour le temps déjà passé sous garde. L’objectif de l’étude est de comprendre l’application et l’interprétation de la Loi sur l’adéquation de la peine et du crime par les acteurs judiciaires entre 2010 et 2016. Pour ce faire, une analyse d’arrêts de la Cour du Québec et de l’arrêt Summers (2014) de la Cour Suprême du Canada a été réalisée. Les motifs évoqués par les juges quant au calcul du crédit ont été mis en lumière. Il ressort que les conditions de vie en détention présentencielle et que le comportement de l’accusé appuient les décisions des juges. En effet, les résultats de l’étude indiquent que la difficulté des conditions de détention est un motif qui contribue à l’octroi d’un crédit majoré. Ce motif repris par les juges fait appel à un argument de la jurisprudence antérieure aux changements législatifs de 2010. De plus, le « mauvais comportement » de l’accusé peut amener les juges à calculer le crédit à la baisse. Nous concluons que les acteurs judicaires ont résisté face à la politique pénale de 2010, mais aussi qu’une sévérité pénale teinte le calcul du crédit. / Current legislation allows for pre-sentence detention time to be taken into account in sentencing. Subsection 719 (3) of the Criminal Code regulates the accounting of the credit for the penalty for this type of detention. Since the Truth in Sentencing Act came into force in 2010, the Criminal Code stipulates that the judge must apply on the sentence a one-day credit for each day spent in pre-sentence detention. A maximum of one and a half days for each day of pre-sentence detention may be granted when the circumstances warrant. This law, which would be part of a punitive turn of criminal policies, brought in legislative tightening by circumscribing the judicial power when calculating the credit for the time already spent in custody. The objective of this study is to understand the application and interpretation of the Truth in Sentencing Act by judicial actors between 2010 and 2016. To do so, an analysis of judgments of the Court of Quebec and R.v. Summers (2014) of the Supreme Court of Canada has been carried out. The reasons given by the judges for the calculation of the credit have been highlighted. It appears that the living conditions in pre-sentence detention and that the behavior of the accused support the judges' decisions. Indeed, the results of the study indicate that the difficulty of the remand conditions is a reason which contributes to the granting of increased credit. This reason taken up by the judges draws on an argument from the case law prior to the legislative changes of 2010. In addition, the “bad behavior” of the accused may lead the judges to calculate the credit downwards. From this, we conclude that the judicial actors partly resisted the penal policy of 2010, but also that a penal severity tints the calculation of the credit.
127

從風險管理與犯罪預防觀點論保險詐欺之防制

林秉耀 Unknown Date (has links)
保險詐欺是自有保險制度以來就有的問題,世界各國都被這個問題所困擾。因為沒有受到廣泛的宣傳及討論,加上執法機關的忽視、抗拒提供調查機能及加強追訴,所以在1980年代以前沒有被當作重大問題予以重視,一般民眾完全不知它的嚴重性,把它當作「沒有被害人的犯罪(victimless crime)」。然而保險詐欺隨時都在發生,而且範圍及程度日益擴大,已堪稱為「溫和的巨災(quiet catastrophe)」,不但影響個人經濟負擔,且破壞社會安定,因此本文就如何防制保險詐欺加以探討。 保險詐欺直接衝擊的是保險公司的經營穩定性與安全性,對保險公司而言是經營上的風險,因此從風險管理的角度,分析保險公司的實務運作,探討運用各種風險管理對策防制保險詐欺的可行性。經本文研究發覺以風險管理模式可以防制保險詐欺或減輕保險詐欺的損失,各種風險管理對策運用如下: (一) 風險自承原則:對規模小、影響層面小的保險詐欺案件,列為「堪忍的詐欺」,予以承受,以節省相關的查證經費。 (二) 風險規避原則:建立「防範保險詐欺查核表」,在進行核保、理賠作業時嚴格查核,積極避開保險詐欺風險。 (三) 風險分散原則:針對損失頻率低、損失幅度大的案件採取同業共保的方式;對損失頻率高、損失幅度小的案件採取約定自負額方式承保,以分散風險。 (四) 風險轉嫁原則:約集保險同業成立相互保險組織,把保險詐欺所帶來的風險移轉給相互保險組織。 保險詐欺基本上是犯罪行為,要消弭犯罪行為可以藉由對犯罪環境加以有效管理、設計或操作,以及降低犯罪機會達到目的。本文研究發現推動「詐欺管理生命週期理論」的嚇阻、預防、察覺、緩和、分析、政策、偵查、追溯等措施,及「情境犯罪預防理論」的增加犯罪困難度、提升犯罪風險、降低犯罪報酬、削弱犯罪動機等措施,喚起全民共同防制保險詐欺的意念,可以壓制保險詐欺之發生。 嚴謹的法令規範是防制犯罪的根本,經由本文的探討發覺保險詐欺的盛行,除了民眾法治觀念差以外,現行法令不周全,讓歹徒有機可乘及執法單位強制力不足,亦是原因之一。修訂保險法及刑法,對於防制保險詐欺有很大的效益。 / “Insurance Fraud” has been an issue, by which the countries all over the world are perplexed, since there exists the system of insurance. By 1980’s, not much attention has been paid to this issue which deemed a victimless crime and the public does not realize how serious the problem is due to the lake of broad propaganda and the ignorance, being rejected to offer the function, and being refused to strengthen prosecution by the law enforcement agency. Nevertheless, insurance fraud happens all the time and has already been called the “quiet catastrophe” because the range and severity caused keep expanding day by day. Resulting from, not only the financial burden of the individual is influenced, but the social stability is destroyed as well. Therefore, this paper probed into “how to prevent Insurance Fraud”. Since Insurance Fraud would strike the financial stability and security of an insurance company, it becomes kind of risk on company’s management. This paper would be analyzing the practical operation of an insurance company and trying to find out the feasibility of Insurance Fraud Prevention by using various kinds of risk management countermeasures. By which, this paper discovers the losses caused by insurance fraud could be prevented and/ or reduced. The followings are those risk management countermeasures studied and applied: A. The principle of “Risk Retention & Reduction”: Sorting out those cases by loss amount scale. Smaller ones are classified & named as “Admitted Fraud”, and settled without verification in order to save the related expenses for investigation. B. The principle of “Risk Avoidance or Hedging”: Setting up “Checking List of Insurance Fraud”, by using which to actively avoid the risk of insurance fraud while carrying on the operations of underwriting and claim handling. C. The principle of “Risk Sharing & Diversification”: Co-insuring with peer companies for those accounts with the characteristic of low frequency & high severity in terms of loss exposure. As to other accounts, appointing an appropriate policy deductible level to disperse the risk of Insurance Fraud. D. The principle of “Risk Transference or Shift”: Establishing the pooling system or organization to transfer the risk of Insurance Fraud to the peer companies. Basically, Insurance Fraud is a criminal offence, which could be eliminated and / or reduced by way of methods of management, design, and operation on the crime environment. It is found that the occurrence of Insurance Fraud could be depressed by: A. Promoting measures of “The Fraud Management Lifecycle Theory”, such as deterrence, prevention, detection, mitigation, analysis, policy, investigation, prosecution etc., and B. Executing the countermeasures of “The Situational Crime Prevention Theory” such as increasing perceived efforts, increasing perceived risks, reducing anticipated reward, removing excuses etc., and C. Arousing the public the thought of fighting Insurance Fraud mutually. A rigorous legal system is the base of preventing criminal offence. As discovered and presented by this paper, reasons why the Insurance Fraud has been prevailing are not only because of a poor sense of legal compliance of the public, but also the un-thoroughness of the current legal system resulting in offering ruffians opportunities to take advantages from Insurance Fraud and the in-sufficient power of prosecution of the law enforcement agency. Therefore, to revise the insurance law and criminal law would be greatly workable for preventing Insurance Fruad.
128

從臺灣塑化劑團體訴訟案檢討消費求償之機制 / The Reflection of Civil Liabilities Arising from Food Scandals: Focus on The Plasticizer Food Scandal in Taiwan

游惠琳, Yu, Hui Lin Unknown Date (has links)
2011年5月臺灣爆發不肖業者將具有毒性之塑化劑添加入合法食品添加物─起雲劑當中,販賣給多家食品業者,用以生產各種食品及飲料,戕害國民健康。惟案件中消費者僅獲賠求償額的兩千分之一,差距甚大,明顯不如預期,更是引發社會諸多撻伐。本論文藉由上述塑化劑案件,探討食品安全消費訴訟消費者求償困境並檢討現行法的缺失與不足,以符合消費者權益保障之宗旨。 文章中首先針對食品安全消費訴訟特性以及我國食品管制上主管機關的權責劃分進行概念性介紹,並就訴訟中消費者可主張的民法、消費者保護法、食品安全衛生管理法上請求權基礎進行要件及爭點說明。其次,就損害賠償之概念及損害進行界定與討論。另由於此類型訴訟,消費者食用問題產品後,多半不會產生立即性身體傷害或臨床病徵,導致訴訟上消費者就其所受之損害難以舉證而敗訴,故本文藉由參酌美國毒物侵權行為訴訟上之損害認定,將損害概念擴張至損害或「損害之虞」,以解決訴訟上消費者損害認定不易的難題。 此外,於因果關係舉證方面,則藉由德國環境責任法、德國基因科技法上之原因推定理論、美國法上市場佔有率責任之因果關係以及日本法上疫學因果關係理論,作為此類型訴訟我國因果關係認定之參考,並就損害賠償範圍、我國懲罰性賠償金制度的引進、目的、重要爭點等析述討論之。最後,本論文藉由實務上判決,觀察現行食品安全衛生管理法第56條法院適用情形,從中檢討現行條文不盡完備之處,並嘗試提出相關修法建議,希冀可作為將來立法者修法之參考。 / In May, 2011 the Taiwan Food and Drug Administration reported that plasticizers, such as: di(2-ethylhexyl)phthalate (DEHP) and di(iso-nonyl)phthalate (DINP), were illegally added to clouding agents used in foods and several beverages.The endocrine disruptors have been linked to developmental problems with children and pregnant women, etc.This paper would mainly discuss the issues of the reflection of civil liabilities arising from food scandals, particularly focus on the plasticizer food scandal in Taiwan. First, the author gives an overview of consumer litigation of food safety, food administration in Taiwan, and the basic of claim such as the Civil law, the Act Governing Food Safety and Sanitation as well as the Consumer Protection Law.Secondly, interprets the concept of civil compensationand expand the traditional concept of personal injury to risk of injury (the plaintiff has not manifested any symptoms of disease but may suffer from illness in the future) by referring to toxic tort.Thirdly, illustrates the special rules on causation in the aspect of the environmental liability law, the biotech law and the market share liability to solve the problems of the causation.Fourthly,probes the compensation scope and punitive damages. Finally,by observing court decisions on article 56 of the Act Governing Food Safety and Sanitation, the author analyzes the deletion of existing legal norms and suggests a proposal for law amendments.
129

Condicionantes para a aplicação da sanção administrativa de multa sobre o infrator pessoa física, no mercado de seguros privados fiscalizado pela SUSEP

Schmitt, Daniel January 2016 (has links)
Submitted by Daniel Schmitt (daniel@schmitt.adv.br) on 2017-03-08T14:29:56Z No. of bitstreams: 1 FGV - Trabalho de Qualificação da Dissertação (DS) (28-02-17).pdf: 1238374 bytes, checksum: 77427104099be295ae4735e8aae098ed (MD5) / Approved for entry into archive by Publicação Direito Rio (publicacao.direitorio@fgv.br) on 2017-03-15T18:39:05Z (GMT) No. of bitstreams: 1 FGV - Trabalho de Qualificação da Dissertação (DS) (28-02-17).pdf: 1238374 bytes, checksum: 77427104099be295ae4735e8aae098ed (MD5) / Made available in DSpace on 2017-03-23T13:10:50Z (GMT). No. of bitstreams: 1 FGV - Trabalho de Qualificação da Dissertação (DS) (28-02-17).pdf: 1238374 bytes, checksum: 77427104099be295ae4735e8aae098ed (MD5) Previous issue date: 2017 / This paper deals with the repressive regime in the private insurance market ('MSP'), supervised by SUSEP – Superintendência de Seguros Privados. The research focus is to investigate the structure and the application of the norms that govern SUSEP's regulatory activity, regarding the application of the administrative sanction of fine on the individual offender. The administrative accountability in these cases is analyzed. For that, the theory of sanctioning is dealt with, dealing with the violation and the administrative sanction, especially the administrative penalty of fine. Some of the main principles of administrative sanctioning law are also highlighted, such as due process, lawfulness, characteristics and culpability. It also addresses the issue of relativisation of legality in special compliance regimes. These issues are displayed in an environment of sectoral regulation, therefore, contextualizing the sanctioning power of regulatory agencies. The repressive regime of the MSP is systematized. It identifies the National Council of Private Insurance (CNSP), the Resource Council of the National Private Insurance System (CRSNSP) and SUSEP. The normative archetype of the repressive regime of the MSP is presented, especially CNSP Resolution 243/11. A confrontation between SUSEP's guidelines and decisions of the CRSNSP in the opposite direction is made, regarding the imposition of the administrative penalty of fine on the individual offender, due to its administrative responsibility. At the end, as an outcome of the research, a set of constraints that ensure a more consistent application of the administrative penalty of fines on individuals - when considered as offenders in the MSP – is proposed. / O presente trabalho aborda o regime repressivo no mercado de seguros privados ('MSP'), fiscalizado pela Superintendência de Seguros Privados (SUSEP). O problema de pesquisa é investigar a estrutura e a aplicação das normas que regem a atividade regulatória da SUSEP, no que toca a aplicação da sanção administrativa de multa sobre o infrator pessoa física. Analisa-se a responsabilização administrativa realizada nestes casos. Para tanto, aborda-se a teoria da sanção, tratando do ilícito e da sanção administrativa, em especial da penalidade administrativa de multa. Alguns princípios informadores do direito administrativo sancionador também são destacados, tais como o devido processo legal, a legalidade, a tipicidade e a culpabilidade. Aborda-se, também, a questão da relativização da legalidade nos regimes de sujeição especial. Estas questões são expostas em um ambiente de regulação setorial, portanto, contextualizando-se o poder sancionador dos órgãos reguladores. É realizada a sistematização do regime repressivo do MSP. Identifica-se o Conselho Nacional de Seguros Privados (CNSP), o Conselho de Recursos do Sistema Nacional de Seguros Privados (CRSNSP) e a SUSEP. O arquétipo normativo do regime repressivo do MSP é descrito, destacando-se a Resolução CNSP no 243/11. Realiza-se um confronto entre orientações da SUSEP e decisões do CRSNSP em sentido contrário, a respeito da imposição da sanção administrativa de multa sobre o infrator pessoa física, em razão da sua responsabilização administrativa. Ao final, como resultado de pesquisa, propõe-se um conjunto de condicionantes que asseguram uma aplicação juridicamente mais consistente da penalidade administrativa de multa sobre as pessoas físicas, quando consideradas como infratores no MSP.
130

Le contentieux privé des pratiques anticoncurrentielles : Étude des contentieux privés autonome et complémentaire devant les juridictions judiciaires / Private litigation of competition law (cartels and abuses of dominance) : Study of stand alone and follow-on litigations in national courts

Amaro, Rafael 05 December 2012 (has links)
L’actualisation des données sur le contentieux privé des pratiques anticoncurrentielles fait naître laconviction que l’état de sous-développement souvent pointé est aujourd’hui dépassé. Les statistiquessont nettes : des dizaines d’affaires sont plaidées chaque année. Toutefois, ce contentieux s’esquissesous des traits qui ne sont pas exactement ceux du contentieux indemnitaire de masse faisant suite àla commission d’ententes internationales. C’est un fait majeur qui doit être noté car l’essentiel desprojets de réforme furent bâtis sur cet idéal type. Trois des caractères les plus saillants de la réalitéjudiciaire témoignent de cette fracture entre droit positif et droit prospectif. D’abord, le contentieuxprivé est majoritairement un contentieux contractuel entre professionnels aux forces déséquilibrées. Ensuite, c’estun contentieux national – voire local – plus qu’un contentieux international. Enfin, c’est plutôt uncontentieux autonome se déployant devant les juridictions judiciaires sans procédure préalable oupostérieure des autorités de concurrence (stand alone). Paradoxalement, les actions complémentaires(follow-on), pourtant réputées d’une mise en oeuvre aisée, sont plus rares. Ces observations invitentalors à réviser l’ordre des priorités de toute réflexion prospective. Ainsi, la lutte contre l’asymétried’informations et de moyens entre litigants, l’essor de sanctions contractuelles efficaces, larecomposition du rôle des autorités juridictionnelles et administratives dans le procès civil ou encorele développement des procédures de référé s’imposent avec urgence. Mais s’il paraît légitime desoutenir ce contentieux autonome déjà existant, il n’en reste pas moins utile de participer à laréflexion déjà amorcée pour développer le contentieux indemnitaire de masse tant attendu et dont onne peut négliger les atouts. De lege ferenda, le contentieux privé de demain présenterait donc uncaractère bicéphale ; il serait à la fois autonome et complémentaire. Il faut alors tenter de concevoir unrégime efficace pour ces deux moutures du contentieux privé en tenant compte de leurs exigencesrespectives. Or l’analyse positive et prospective de leurs fonctions révèlent que contentieuxautonome et contentieux complémentaire s’illustrent autant par les fonctions qu’ils partagent que parcelles qui les distinguent. Il serait donc excessif de vouloir en tous points leur faire application derègles particulières ou, à l’inverse, de règles identiques. C’est donc vers l’élaboration d’un régime commun complété par un régime particulier à chacun d’eux que s’orientera la présente recherche.PREMIÈRE PARTIE. Le régime commun aux contentieux privés autonome et complémentaireSECONDE PARTIE. Le régime particulier à chacun des contentieux privés autonome et complémentaire / Pas de résumé en anglais

Page generated in 0.0578 seconds