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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.
291

From plan to market: firm-level adjustment to trade liberalization and business environment reform. Evidence from Vietnam

Le, Quoc Thai 23 May 2023 (has links)
“What drives firms' performance?” remains one of the most intriguing topics in the economic literature. The myriad determinants identified so far include both internal and external factors. While the internal factors tend to relate to either firms' characteristics or the business decision-making process determined by managers/owners, the external factors tend to relate to the business environment and any possible stimulus for the conditions in which firms are located and operate. This thesis follows the strand of literature that continues the quest for relevant firm-performance-driving factors, taking an applied approach. The thesis, consisting in three essays, provides empirical evidence of how trade liberalization, together with local business environment features, affects firms' performance in the context of a transitional country, Vietnam. The main focus centres particularly on firms' productivity (the first and second essays). As firms use labour as an indispensable input of production, interest, in the third essay, shifts to firm-level demand for skills so as to understand also potential consequences of trade reform policies for the labour market. Highlights of the three essays are as follows: The first essay (Chapter 2) investigates the interplay of trade liberalization and local business environment features in affecting firms’ productivity. Particular interest lies in how frictions in the local business environment where firms operate alter the productivity gains from trade. Making use of a large panel dataset of Vietnamese manufacturing firms from 2006 to 2012, the analysis provides robust evidence of a positive effect of trade liberalization on firms’ total factor productivity. However, distortions in the local business environment such as unenforceable property rights, an ineffective land-titling system, bureaucratic hurdles and labour market frictions play a crucial role in the transmission of trade liberalization shocks. It is recommended, from the results obtained, that complementary business environment reforms addressing local market constraints need to be implemented alongside trade liberalization. The second essay (Chapter 3) investigates first the impact on firms’ productivity of trade liberalization and second how corruption interacts with trade policies. Particular interest centres on how firms’ productivity improvement induced by trade openness is reduced by corruption. Using firm-level data on Vietnamese manufacturing enterprises from 2000 to 2012, the period of which spans the country's accession to the World Trade Organization (WTO), the analysis provides robust causal evidence that trade openness increases firms’ productivity, the higher so if firms export. However, the productivity gains expected by firms from trade liberalization are reduced by corruption, which has important implications for aggregate productivity. The findings suggest that complementary policies addressing either export constraints or corruption need to be implemented in company with trade reform policies. The third essay (Chapter 4) investigates the firm-level employment consequences of trade liberalization. Particular interest is given to how small and medium-sized enterprises (SMEs) adjust their labour demand in response to different types of trade shocks. Using a unique dataset of private manufacturing SMEs over the 2003--2014 period that captures the 2007–2008 drastic reduction in both output and input tariffs, that analysis shows that the effects on firms' labour demand of output and input tariff liberalization are non-identical. While output tariff liberalization has a labour-friendly effect on unskilled workers, a reduction in input tariffs has an “absolute” skill-biased effect, shifting firms’ demand from unskilled workers to skilled labour. The findings suggest important consequences of trade openness for the labour market evolution. A cautious view on the employment consequences of trade openness is strongly suggested, coupled with the implementation of coherent education and training policies to guide the labour supply under trade liberalization. The contributions of this thesis to the literature are as follows. First, it helps to understand how firms adjust to trade liberalization policies in terms of both behaviour and performance in the context of a developing country in transition. Second, it shows that the effectiveness of trade liberalization policies significantly varies with the business environment conditions, explaining why gains from trade are unevenly distributed across locations. Third, in a movement towards free trade, benefits are shown to go hand in hand with drawbacks. In terms of policy implications, a thorough multi-dimensional view on the potential consequences of trade openness is highly recommended. Besides, the effective implementation of appropriate complementary policies in the wake of trade liberalization is of utmost importance in order to first achieve an overall optimal economic outcome and second make trade openness beneficial for everyone.
292

Le recours à des mesures restrictives du commerce international par l’État canadien comme moyen de lutte contre le travail dangereux des enfants

Villanueva, Francisco 09 1900 (has links)
Cette thèse porte sur le recours à des mesures restrictives du commerce par le Canada comme moyen de lutte contre le travail dangereux des enfants, dans un contexte de mise en œuvre de la responsabilité internationale d’un État en cas de non respect de la Convention de l’Organisation internationale du travail nº 182 sur les pires formes de travail des enfants. Bien que la capacité d’imposer des telles mesures se rapportant à des situations de travail dangereux des enfants soit analysée, essentiellement, du point de vue du droit de l’Organisation internationale du commerce (OMC), cette étude reste circonscrite à l’application de la Convention OIT 182. De plus, cette thèse veut fournir une analyse prospective de nature spéculative portant sur l’opportunité de recourir à de telles mesures en discutant de leurs éventuelles conséquences sur les enfants qu’on vise à protéger par ce moyen. La première partie de la thèse s’intéresse à la légalité d’éventuelles sanctions commerciales imposées par le Canada afin d’amener un pays membre de l’OMC dont il importe des produits à respecter la Convention OIT 182. La légalité de ces sanctions est abordée tant du point de vue du régime général du GATT que de celui des exceptions générales. Du point de vue du régime général, l’analyse porte notamment sur l’article III de cet accord relatif au principe du traitement national. Une fois constatée leur illicéité à l’égard de l’article III du GATT, seul l’article XX de cet accord peut être invoqué pour permettre le recours à ces mesures. Nous nous attardons plus particulièrement aux exceptions de l’article XX relatives à la protection de la moralité publique et à celle de la protection de la vie et de la santé humaine. La thèse aborde les conditions auxquelles est assujetti le recours aux exceptions de l’article XX retenues comme pertinentes, notamment celles de la « nécessité » des mesures et du respect des compétences étatiques. En outre, cette étude analyse les conditions d’application des mesures restrictives du commerce découlant du préambule de l’article XX. En ce qui concerne l’exception relative à la moralité publique, cette notion est discutée dans un contexte national spécifique, soit celui du Canada. La seconde partie de la thèse s’intéresse à l’opportunité de recourir à des mesures commerciales restrictives et leurs conséquences éventuelles sur les enfants dont la protection est recherchée. La démarche, qui est éminemment prospective, prend la forme d’une étude de cas portant sur un secteur productif qui n’a jamais connu dans les faits des sanctions commerciales, soit la production floricole en Équateur. Il s’agit d’un secteur caractérisé par la présence d’enfants en situation de travail dangereux impliqués dans la production de biens destinés à l’exportation. Notre recherche est de type exploratoire. De ce fait, elle ne vise pas à formuler des conclusions fermes quant aux effets des sanctions, mais plutôt à déceler les effets potentiellement bénéfiques ou nuisibles que les mesures restrictives du commerce pourraient avoir sur les enfants exploités, ainsi qu’à évaluer la contribution des sanctions commerciales à la solution du problème. / This thesis focuses on Canada’s use of restrictive trade measures to fight against hazardous child labour, in the context of the implementation of the International Labour Organization (ILO) Convention concerning the Prohibition and Immediate Action for the Elimination of the Worst Forms of Child Labour (No. 182). Canada’s capacity to impose such measures in instances of hazardous child labour is analyzed primarily from the legal standpoint of the World Trade Organization (WTO), though the focus of this study is limited to the application of ILO Convention No. 182. In addition, this thesis aims to assess the appropriateness of such restrictive trade measures by discussing their potential consequences for working children. The first part of the thesis deals with the legality of prospective trade sanctions imposed by Canada to make a WTO trading partner comply with ILO Convention No. 182. The legality of these sanctions is discussed according to the General Agreement on Tariffs and Trade (GATT) general rules as well as general exceptions. With regard to the general rules, our analysis focuses in particular on Article III, which pertains to national treatment. Once the illicitness of restrictive trade measures with respect to Article III of GATT is demonstrated, we turn to Article XX of this agreement as the only means to justify the measures. Specifically, we concentrate on the exceptions presented in Article XX related to the protection of public morals and the protection of life and human health. The notion of public morality is actualized within the Canadian national context. The thesis analyses the conditions limiting the use of Article XX’s relevant exceptions, including the "necessity" test and compliance with the rules of international law on state jurisdiction. Moreover, this study focuses on the rules related to the application of trade restrictive measures presented in Article XX’s chapeau. The second part of the thesis focuses on the appropriateness of using trade restrictions and their potential impact on the children whose protection is sought. The research consists in a case study on flower production in Ecuador, a sector characterized by the presence of children working under hazardous conditions and involved in producing goods for export. This sector has not yet been the target of commercial sanctions. Therefore, our research speculates on the effects of hypothetical sanctions and is exploratory in nature. The aim is not to reach firm conclusions about the effects of sanctions, but rather to identify the potentially beneficial or harmful effects that restrictive trade measures might have on exploited children, as well as to assess the potential contribution of such measures in solving the problem.
293

Le recours à des mesures restrictives du commerce international par l’État canadien comme moyen de lutte contre le travail dangereux des enfants

Villanueva, Francisco 09 1900 (has links)
Cette thèse porte sur le recours à des mesures restrictives du commerce par le Canada comme moyen de lutte contre le travail dangereux des enfants, dans un contexte de mise en œuvre de la responsabilité internationale d’un État en cas de non respect de la Convention de l’Organisation internationale du travail nº 182 sur les pires formes de travail des enfants. Bien que la capacité d’imposer des telles mesures se rapportant à des situations de travail dangereux des enfants soit analysée, essentiellement, du point de vue du droit de l’Organisation internationale du commerce (OMC), cette étude reste circonscrite à l’application de la Convention OIT 182. De plus, cette thèse veut fournir une analyse prospective de nature spéculative portant sur l’opportunité de recourir à de telles mesures en discutant de leurs éventuelles conséquences sur les enfants qu’on vise à protéger par ce moyen. La première partie de la thèse s’intéresse à la légalité d’éventuelles sanctions commerciales imposées par le Canada afin d’amener un pays membre de l’OMC dont il importe des produits à respecter la Convention OIT 182. La légalité de ces sanctions est abordée tant du point de vue du régime général du GATT que de celui des exceptions générales. Du point de vue du régime général, l’analyse porte notamment sur l’article III de cet accord relatif au principe du traitement national. Une fois constatée leur illicéité à l’égard de l’article III du GATT, seul l’article XX de cet accord peut être invoqué pour permettre le recours à ces mesures. Nous nous attardons plus particulièrement aux exceptions de l’article XX relatives à la protection de la moralité publique et à celle de la protection de la vie et de la santé humaine. La thèse aborde les conditions auxquelles est assujetti le recours aux exceptions de l’article XX retenues comme pertinentes, notamment celles de la « nécessité » des mesures et du respect des compétences étatiques. En outre, cette étude analyse les conditions d’application des mesures restrictives du commerce découlant du préambule de l’article XX. En ce qui concerne l’exception relative à la moralité publique, cette notion est discutée dans un contexte national spécifique, soit celui du Canada. La seconde partie de la thèse s’intéresse à l’opportunité de recourir à des mesures commerciales restrictives et leurs conséquences éventuelles sur les enfants dont la protection est recherchée. La démarche, qui est éminemment prospective, prend la forme d’une étude de cas portant sur un secteur productif qui n’a jamais connu dans les faits des sanctions commerciales, soit la production floricole en Équateur. Il s’agit d’un secteur caractérisé par la présence d’enfants en situation de travail dangereux impliqués dans la production de biens destinés à l’exportation. Notre recherche est de type exploratoire. De ce fait, elle ne vise pas à formuler des conclusions fermes quant aux effets des sanctions, mais plutôt à déceler les effets potentiellement bénéfiques ou nuisibles que les mesures restrictives du commerce pourraient avoir sur les enfants exploités, ainsi qu’à évaluer la contribution des sanctions commerciales à la solution du problème. / This thesis focuses on Canada’s use of restrictive trade measures to fight against hazardous child labour, in the context of the implementation of the International Labour Organization (ILO) Convention concerning the Prohibition and Immediate Action for the Elimination of the Worst Forms of Child Labour (No. 182). Canada’s capacity to impose such measures in instances of hazardous child labour is analyzed primarily from the legal standpoint of the World Trade Organization (WTO), though the focus of this study is limited to the application of ILO Convention No. 182. In addition, this thesis aims to assess the appropriateness of such restrictive trade measures by discussing their potential consequences for working children. The first part of the thesis deals with the legality of prospective trade sanctions imposed by Canada to make a WTO trading partner comply with ILO Convention No. 182. The legality of these sanctions is discussed according to the General Agreement on Tariffs and Trade (GATT) general rules as well as general exceptions. With regard to the general rules, our analysis focuses in particular on Article III, which pertains to national treatment. Once the illicitness of restrictive trade measures with respect to Article III of GATT is demonstrated, we turn to Article XX of this agreement as the only means to justify the measures. Specifically, we concentrate on the exceptions presented in Article XX related to the protection of public morals and the protection of life and human health. The notion of public morality is actualized within the Canadian national context. The thesis analyses the conditions limiting the use of Article XX’s relevant exceptions, including the "necessity" test and compliance with the rules of international law on state jurisdiction. Moreover, this study focuses on the rules related to the application of trade restrictive measures presented in Article XX’s chapeau. The second part of the thesis focuses on the appropriateness of using trade restrictions and their potential impact on the children whose protection is sought. The research consists in a case study on flower production in Ecuador, a sector characterized by the presence of children working under hazardous conditions and involved in producing goods for export. This sector has not yet been the target of commercial sanctions. Therefore, our research speculates on the effects of hypothetical sanctions and is exploratory in nature. The aim is not to reach firm conclusions about the effects of sanctions, but rather to identify the potentially beneficial or harmful effects that restrictive trade measures might have on exploited children, as well as to assess the potential contribution of such measures in solving the problem.
294

Vybrané aspekty hospodářských vztahů Evropské unie a Čínské lidové republiky na prahu 21. století a jejich reálný dopad na světovou ekonomiku / Selected aspects of economic relations between the European Union and the People's Republic of China at the beginning of the 21st century and their real impact on the world economy

Smola, Filip January 2014 (has links)
The main aim of this dissertation is to analyze selected economic activities and economic relations occurring between the European Union and China. This dissertation is divided into four main chapters to ensure coherence and continuity throughout the research. The first chapter deals with the historical development of mutual cooperation between Europe and China. This chapter emphasizes recent events. The most extensive part of this work, the second section, addresses key areas of cooperation between the EU and China. Most of the research focus is devoted to trade economic relations and investment relations. Further, the second chapter addresses controversial areas within the mutual EU-China relations. In contrast with the second chapter, which looks at the mutual relations from the perspective of the whole EU, the third chapter distinguishes bilateral relations between two EU countries and China. The purpose of the third chapter is therefore to highlight the different approach of individual EU member countries. In the last chapter, I try to assess the growing influence of both the EU and China within the global economy. Finally, I outline the possible future development of the research topic.
295

The window of Opportunity for the Paradox of Disputes Despite Interdependence by the Relational Theory of World Politics : A Predicate Analysis of the Relationship Between Japan and South Korea

Palomäki, Maija January 2022 (has links)
This thesis examines the relationship between Japan and South Korea and the paradox of its disputes despite the economic interdependence with the relational theory of world politics by Qin (2018b). World Trade Organization (WTO) Dispute Settlement Body (DSB) complaints between the countries between the years 2016 and 2020 have been analyzed to study this. The method utilized is that of a predicate discourse analysis. Both qualitative and quantitative approaches are employed within the analysis as it includes the extraction of the predicates from qualitative complaint documents but additionally, a quantitative table of the predicates is generated to provide information on the frequencies and case locations of the findings. Neither the theory nor the unit of relation has been widely examined by Western international relations (IR) scholars, which allows this study to lead way for future research on the further expansion of knowledge and utilization of the relational theory. Furthermore, it provides insight into the relational object space of disputes in the relationship between the economically interdependent Japan and South Korea. The theoretical concepts of relational identity, actors as relators, hierarchy, and cultural communities in the analysis explain the existence of the paradox of disputes despite interdependence.
296

Transnational Corporations and Human Rights : Assessing the position of TNCs within international human rights law, and the appropriateness of an international treaty on business and human rights

Söderlund, Erik January 2018 (has links)
Transnational corporations are playing an important role in the global economy of today. Many of these corporations have great economic resources and have the possibility of contributing to the development of societies in developing states. At the same time, in their search for profit, the activities of TNCs have proven fatal to some of the individuals employed by them, or otherwise in contact with their activities. Within the international legal framework, corporations are not traditionally treated as subjects and if a TNC allocates its production to a state with lax human rights protection, no binding international standards exist to regulate the conduct of the corporation.  In my thesis I will assess the position of TNCs under the present core human rights instruments and soft law initiatives. I will also analyze a draft treaty text produced by the Intergovernmental Working Group on Business and Human Rights, released in July 2018, to reach a conclusion on whether such an instrument would affect the international legal status of TNCs and provide a more robust protection of international human rights.
297

La protection des indications géographiques dans un contexte global : essai sur un droit fondamental / The protection of geographical indication in the global context : essay on a fundamental right

Bagal, Monique 05 December 2016 (has links)
Les négociations internationales concernant la protection des indications géographiques connaissent, depuis près de deux décennies, un blocage au sein de l’Organisation Mondiale du Commerce opposant des pays défenseurs des indications géographiques, à des pays plus sceptiques. Résultant d’un compromis entre l’approche des pays de l’Union Européenne et celle des Etats-Unis, les standards minimum de protection des indications géographiques de l’ADPIC ont mis en lumière la diversité des approches juridiques en la matière et fait émerger un débat quasi-passionnel sur les moyens appropriés que l’Etat doit mettre en œuvre pour protéger les noms géographiques. L’histoire renseigne sur le fait que le plaidoyer pour ou le réquisitoire contre l’un ou l’autre camp ont toujours tourné autour des philosophies de la protection des indications géographiques : d’une part, les pays défenseurs des indications géographiques prônent à travers leur mise en œuvre, la protection d’industries plus vulnérables à la concurrence ; d’autre part, les pays sceptiques privilégient le plus possible, la liberté du commerce et de l’industrie et par ricochet, la libre exploitation des signes. Pour ces derniers, seule la reconnaissance par le consommateur d’une association qualité-origine du produit justifie une réservation du nom. Le régime multilatéral des IG issu de l’Accord sur les aspects de la propriété intellectuelle qui touchent au commerce résulte donc d’un compromis entre ces deux philosophies de la protection. D’aucuns ont souligné le caractère insatisfaisant d’un tel compromis qui ne rend pas nécessairement compte de la nature réelle de ces signes géographiques. Ce travail tente de le transcender. Il est fondé sur le pari que, dans une perspective juridique, tout n’a peut-être pas été essayé. Dans un effort pour trouver un dénominateur commun et pour proposer une solution à l’impasse actuelle, cette recherche repose sur le rapprochement du régime de protection des indications géographiques, au régime de protection des droits de l’Homme. Non pas dans une perspective moralisatrice mais bien dans un effort pour déduire des solutions concrètes quant à la portée de la protection internationale des IG et du rôle des Etats dans la mise en œuvre de ces outils de propriété intellectuelle. L’article 15.1 c) du Pacte sur les droits économiques, sociaux et culturels prévoit : « Chacun a droit à la protection de ses intérêts moraux et matériels découlant de toute production scientifique, littéraire ou artistique dont il est l’auteur ». L’activation de cet article pourrait permettre de voir en les détenteurs d’IG non pas seulement les sujets bénéficiaires de la protection mais les sujets destinataires de politiques publiques. Il y aurait un donc un « droit de » bénéficier d’une certaine protection des IG et un « droit à » certaines prestations publiques. Au-delà de ce cadre en apparence rigide, le recours au droit international des droits de l’Homme rend la recherche d’un équilibre entre les droits de détenteurs IG et les droits du public plus intégratrice d’enjeux multiples et indispensable à la légitimité du régime multilatéral de protection des IG. / Since two decades, the international protection of geographical indications is characterized by a “blockage” in the negotiations at the World Trade Organization opposing the countries favorable to the protection of geographical indications to countries more skeptical in this regard. Deriving from a compromise between the European conception of the protection of GIs and the American one, the minimum standards of TRIPS have revealed the different legal options in this field and have resulted in a passionate debate over the appropriate role of the State. History shows that the advocacy for, or indictment against one or the other way of protecting GIs focuses essentially on the philosophy of protection in one or the other territories. As a reminder, the European Union “culture” is to protect industries far too exposed to competition while the American “culture” is to preserve economic freedom of operators and to grant monopoly on a geographical name only where such name has been tested on the market and is recognized by the “public” as having a geographical anchorage. Equally compelling, neither of these philosophies has allowed reaching the most acceptable balance for GI regime. This work seeks to transcend them. It bets that everything has not been tried yet, at least from a legal perspective. In order to find a common solution and a way forward to multilateral protection of geographical indications, the paper relies on the culture of “human rights”, not really with a view to “moralize” the field of study but more to deduct practical answers deriving from the international human rights law. As a matter of fact, article 15.1 c) of the Convention on Economic, Social and Cultural Rights provides that “The States Parties to the present Covenant recognize the right of everyone […] to benefit from the protection of the moral and material interests resulting from any scientific, literary or artistic production of which he is the author”. The activation of this article could allow approaching geographical indications operators, not only as beneficiaries of certain rights but also as beneficiaries of public policies. By virtue of article 15.1 c), there shall be a right to benefit from the GI protection (“right-liberty”) but also, a right to claim certain public policies (“right-debt”) in this regard. Beyond this seemingly strict framework for GIs, the reference to international human rights law proves to beneficial to the necessary balance between the rights of GI operators and the rights of the public. Incidentally, this balance is inclusive of multiple issues which is essential to the legitimacy of the multilateral regime of protection of GIs.
298

Summerhill school is it possible in Aotearoa ??????? New Zealand ???????: Challenging the neo-liberal ideologies in our hegemonic schooling system

Peck, Mikaere Michelle S. January 2009 (has links)
The original purpose of this thesis is to explore the possibility of setting up a school in Aotearoa (New Zealand) that operates according to the principles and philosophies of Summerhill School in Suffolk, England. An examination of Summerhill School is therefore the purpose of this study, particularly because of its commitment to self-regulation and direct democracy for children. My argument within this study is that Summerhill presents precisely the type of model Māori as Tangata Whenua (Indigenous people of Aotearoa) need in our design of an alternative schooling programme, given that self-regulation and direct democracy are traits conducive to achieving Tino Rangitiratanga (Self-government, autonomy and control). In claiming this however, not only would Tangata Whenua benefit from this model of schooling; indeed it has the potential to serve the purpose of all people regardless of age race or gender. At present, no school in Aotearoa has replicated Summerhill's principles and philosophies in their entirety. Given the constraints of a Master's thesis, this piece of work is therefore only intended as a theoretical background study for a much larger kaupapa (purpose). It is my intention to produce a further and more comprehensive study in the future using Summerhill as a vehicle to initiate a model school in Aotearoa that is completely antithetical to the dominant neo-liberal philosophy of our age. To this end, my study intends to demonstrate how neo-liberal schooling is universally dictated by global money market trends, and how it is an ideology fueled by the indifferent acceptance of the general population. In other words, neo-liberal theory is a theory of capitalist colonisation. In order to address the long term vision, this project will be comprised of two major components. The first will be a study of the principal philosophies that govern Summerhill School. As I will argue, Summerhill creates an environment that is uniquely successful and fulfilling for the children who attend. At the same time, it will also be shown how it is a philosophy that is entirely contrary to a neo-liberal 3 mindset; an antidote, to a certain extent, to the ills of contemporary schooling. The second component will address the historical movement of schooling in Aotearoa since the Labour Party's landslide victory in 1984, and how the New Zealand Curriculum has been affected by these changes. I intend to trace the importation of neo-liberal methodologies into Aotearoa such as the 'Picot Taskforce,' 'Tomorrows Schools' and 'Bulk Funding,' to name but a few. The neo-liberal ideologies that have swept through this country in the last two decades have relentlessly metamorphosised departments into businesses and forced ministries into the marketplace, hence causing the 'ideological reduction of education' and confining it to the parameters of schooling. The purpose of this research project is to act as a catalyst for the ultimate materialization of an original vision; the implementation of a school like Summerhill in Aotearoa. A study of the neo-liberal ideologies that currently dominate this country is imperative in order to understand the current schooling situation in Aotearoa and create an informed comparison between the 'learning for freedom' style of Summerhill and the 'learning to earn' style of our status quo schools. It is my hope to strengthen the argument in favour of Summerhill philosophy by offering an understanding of the difference between the two completely opposing methods of learning.
299

“Accumulation by Dispossession” by the Global Extractive Industry: The Case of Canada

Kinuthia, Wanyee 13 November 2013 (has links)
This thesis draws on David Harvey’s concept of “accumulation by dispossession” and an international political economy (IPE) approach centred on the institutional arrangements and power structures that privilege certain actors and values, in order to critique current capitalist practices of primitive accumulation by the global corporate extractive industry. The thesis examines how accumulation by dispossession by the global extractive industry is facilitated by the “free entry” or “free mining” principle. It does so by focusing on Canada as a leader in the global extractive industry and the spread of this country’s mining laws to other countries – in other words, the transnationalisation of norms in the global extractive industry – so as to maintain a consistent and familiar operating environment for Canadian extractive companies. The transnationalisation of norms is further promoted by key international institutions such as the World Bank, which is also the world’s largest development lender and also plays a key role in shaping the regulations that govern natural resource extraction. The thesis briefly investigates some Canadian examples of resource extraction projects, in order to demonstrate the weaknesses of Canadian mining laws, particularly the lack of protection of landowners’ rights under the free entry system and the subsequent need for “free, prior and informed consent” (FPIC). The thesis also considers some of the challenges to the adoption and implementation of the right to FPIC. These challenges include embedded institutional structures like the free entry mining system, international political economy (IPE) as shaped by international institutions and powerful corporations, as well as concerns regarding ‘local’ power structures or the legitimacy of representatives of communities affected by extractive projects. The thesis concludes that in order for Canada to be truly recognized as a leader in the global extractive industry, it must establish legal norms domestically to ensure that Canadian mining companies and residents can be held accountable when there is evidence of environmental and/or human rights violations associated with the activities of Canadian mining companies abroad. The thesis also concludes that Canada needs to address underlying structural issues such as the free entry mining system and implement FPIC, in order to curb “accumulation by dispossession” by the extractive industry, both domestically and abroad.
300

“Accumulation by Dispossession” by the Global Extractive Industry: The Case of Canada

Kinuthia, Wanyee January 2013 (has links)
This thesis draws on David Harvey’s concept of “accumulation by dispossession” and an international political economy (IPE) approach centred on the institutional arrangements and power structures that privilege certain actors and values, in order to critique current capitalist practices of primitive accumulation by the global corporate extractive industry. The thesis examines how accumulation by dispossession by the global extractive industry is facilitated by the “free entry” or “free mining” principle. It does so by focusing on Canada as a leader in the global extractive industry and the spread of this country’s mining laws to other countries – in other words, the transnationalisation of norms in the global extractive industry – so as to maintain a consistent and familiar operating environment for Canadian extractive companies. The transnationalisation of norms is further promoted by key international institutions such as the World Bank, which is also the world’s largest development lender and also plays a key role in shaping the regulations that govern natural resource extraction. The thesis briefly investigates some Canadian examples of resource extraction projects, in order to demonstrate the weaknesses of Canadian mining laws, particularly the lack of protection of landowners’ rights under the free entry system and the subsequent need for “free, prior and informed consent” (FPIC). The thesis also considers some of the challenges to the adoption and implementation of the right to FPIC. These challenges include embedded institutional structures like the free entry mining system, international political economy (IPE) as shaped by international institutions and powerful corporations, as well as concerns regarding ‘local’ power structures or the legitimacy of representatives of communities affected by extractive projects. The thesis concludes that in order for Canada to be truly recognized as a leader in the global extractive industry, it must establish legal norms domestically to ensure that Canadian mining companies and residents can be held accountable when there is evidence of environmental and/or human rights violations associated with the activities of Canadian mining companies abroad. The thesis also concludes that Canada needs to address underlying structural issues such as the free entry mining system and implement FPIC, in order to curb “accumulation by dispossession” by the extractive industry, both domestically and abroad.

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