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A field investigation into the impact of task demands on worker responses in the South African forestry silviculture sectorParker, Rhiannon Jennifer January 2014 (has links)
Background: In South Africa, limited research has focused on the task demands and workers responses associated with forestry silviculture work, particularly pitting and planting. The methods currently in use are manual, but despite our lack of understanding of the existing demands, advances in forestry engineering have resulted in an introduction of semi-mechanised versions of these tasks. This project aimed to compare the task demands of silviculture tasks using the current manual techniques and the more modern, semi-mechanised techniques. Methods: A holistic investigation focused on the worker characteristics of a sample of black male pitters and black female planters from the Kwa-Zulu Natal forestry industry, as well as biomechanical (spinal kinematics and L5/S1 forces), physiological (heart rate, oxygen consumption and energy expenditure) and psychophysical (ratings of perceived exertion and body discomfort) responses associated with manual and semi-mechanised pitting and planting. Results: The pitting task saw significant improvements in the spinal kinematic measures as a result of the increased mechanisation, with eight of the 16 recorded variables decreasing to a lower level of risk classification. Physiologically, the manual task was associated with a mean heart rate of 157 bt.min⁻¹ and absolute energy expenditure of 11.27 kcal.min⁻¹, which were not found to be significantly different to the values of 143 bt.min⁻¹ and 9.8 kcal.min⁻¹ recorded during the semi-mechanised technique. Psychophysical responses indicated that the workers perceived manual pitting to be more physically demanding than the semi-mechanised method. The manual and semi-mechanised planting tasks were, in general, found to be acceptable from a spinal kinematics perspective, with the majority of variables classified as low risk. However, the maximum sagittal angle was reduced by more than 20 degrees as a result of the new equipment. The physiological and psychophysical demands associated with manual planting were found to be within acceptable limits. Conclusion: In terms of pitting, it can tentatively be concluded that the semi-mechanised technique is better than the manual one, based on the biomechanical and psychophysical findings, however physiological demands require further investigation. When considering the planting techniques, the semi-mechanised method showed a slight improvement from the biomechanical perspective, but further physiological and psychophysical investigations are needed.
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Účetní a daňové podvody: komparativní analýza české a americké legislativy a praxe / Accounting and Tax Frauds from Comparative Perspective of Czech and American Law and PracticeHolub, Ondřej January 2015 (has links)
This diploma thesis entitled Accounting and Tax Frauds from Comparative Perspective of Czech and American Law and Practice analyses accounting frauds and tax frauds in the Czech Republic with added comparative aspects from the US. The purpose of the thesis divided to 6 chapters is to provide a complex and comprehensive analysis from the perspective of accounting, legal and justice system and police investigation and to propose original policy solutions how to improve combating this sophisticated economic criminal activities. This thesis is grounded in an interdisciplinary context and applies economics, taxes, accounting, law, criminology and forensic science. It also combines theoretical background with practical case study analysis. Stemming from the case study analysis and the comparative perspectives from the US, this thesis proposes practical solutions proposals for the police work. One of the common features of both Czech and the US system is the essential role of experts. The added value of this thesis includes 10 different proposals in the legislative, institutional, informational and practical police area, such as establishing special police unit tasked with accounting and audit frauds, protection of whistleblowers, more severe punishments, uniform tax software and electronic evidence, better coordination between police and the tax authorities, improving the education of policemen in the economic, tax and accounting area, cooperation with academia and police internships of economics students and also enhanced international cooperation. One cross-cutting finding is the absolute necessity of close and long-term cooperation and coordination between police, judiciary, tax authorities and academia, sharing knowledge, information and know-how and critically analysing recent trends and practical issues. That is the only way how to effectively improve the fight against this complex white-collar crime.
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Confiscating the proceeds of crime : the amendments to Canada's Criminal Code, their force and effectGerman, Peter Maurice January 1990 (has links)
This thesis examines the amendments to Canada's Criminal Code which target the proceeds of crime by, inter alia, criminalizing money laundering and enabling the confiscation of assets. The amendments represent the central thrust of Canada's contribution in a global effort to stem the traffic in illicit drugs, Canada belatedly following the lead of the United States, Great Britain and Australia.
In the thesis, I argue that the amendments go much further than earlier crime control initiatives and represent a paradigmatic shift from the traditional, single transaction, individual-oriented structure of criminal law to one which is both property-driven and premised upon multiple-transactions perpetrated by criminal organizations. The amendments focus on the proceeds of crime, as opposed to the offender, individual or corporate, their avowed purpose being to neutralize criminal organizations rather than punish offenders.
The effectiveness of the amendments is inexorably tied to the speed by which criminal proceeds can be seized or restrained and thus they operate prospectively, in anticipation of a later conviction. In order to accomplish their objectives, the amendments draw upon concepts previously the preserve of the private law of contract and tort, introducing some which are foreign to the classic norms and traditions of criminal law and sentencing, both substantive and procedural.
The thesis examines the amendments from both a textual and a Charter perspective. In so doing, considerable emphasis is accorded the presumption of innocence, a strong legitimating force in criminal law. Integral to the presumption is the Crown's burden of proof - beyond a reasonable doubt. The legislation's adoption of the civil balance of probabilities test is, therefore, considered its weakest link. Other aspects of the legislation give rise to interpretive and Charter challenges.
The thesis also discusses the need for tracing mechanisms, mandatory financial transaction reporting, the development of a strike force approach to implementation and a sharing of proceeds by law enforcement agencies. Further, the thesis decries any use of the legislation as a tool for plea bargaining or to target petty criminals. / Law, Peter A. Allard School of / Graduate
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Relationship between Fortune 500 companies with regulatory violations and/or criminal offenses and resulting stock values.Bhagwat, Tanya A. 12 1900 (has links)
The purpose of this study was to determine whether publicly disclosed violations by U.S corporations, resulting in convictions or settlements, erode shareholder investment in the offending organizations. This study was designed to assess whether or not the shareholders' reactions to corporations' violations were related to a decline in organizations' stock valuations across sectors. In addition, this study attempted to assess whether or not shareholder support, expressed by stock prices, declined more after a corporation was prosecuted or reached a settlement for violations, as compared to corporations that disclosed earnings disappointments. Also, this study investigated the stock prices of violating corporations compared to the non-offending corporations from within the same business sector, as well as considered the percentage decline for repeat offenders for violation two compared to violation one. Opposite to hypothesis, results showed that stock prices for the violating companies were significantly greater 12 months after the violation compared to the other months and no significant differences in percent decline between the eight sectors on any of the five decline measures. There were also no differences between violating companies and their matched companies. Companies with a violation had significantly greater stock prices overall than those without a violation.
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A study of employee theft in hospitalsCastillo-Pekarcik, Elena 01 January 1994 (has links)
No description available.
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"This Fundamental Lack": StoriesBohanan, Ronal L. 08 1900 (has links)
This short story collection includes five original works of fiction, three of which make up a trilogy titled "The World Drops Beneath You," which follows the life of James McClellan from 1969 in Texas until roughly 2009, when he is struggling to care for his wife, who suffers from Alzheimer's disease. One of the two remaining stories, "She Loved Him When He Looked Like Elvis," prominently features James McClellan's parents and is set approximately eight years before the start of the trilogy. Each of the stories is concerned with blue-collar families trying to make their way in postindustrial America and the forces that buffet them, including some brought on by the choices they make.
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Horská chata pod Poľanou / Chalet under PoľanaBabicová, Ivana January 2018 (has links)
The aim of my diploma thesis is to design the object of a chalet, which is intended for recreation, boarding and accommodation. The accommodation is designed for 16 people in the form of tourist accommodation. The land, on which the proposed building is located, is on a slight slope, in an uninterrupted area in the protected landscape area of Poľana. Access to the land is secured by asphalt road from the northeast side of the land. It is also accessible by a tourist route from the southeastern side. The affected area is located approximately 10 km from the nearest village Hriňová. In the past, the site was often used for recreation. At a distance of 1 kilometer is the old mountain hotel Poľana, which is out of operation, but provides only temporary accommodation. The new chalet should return tourism to this area and increase the interest of tourists. The underground floor has a separate service for servicing and borrowing sports equipment. The building has one underground floor partially embedded in the terrain, from the south side accessible for the public. Two above-ground floors are made up of CLT panels, the first serving for a restaurant and a private dwelling unit, the second one for accommodation. The underground floor is designed with concrete filling blocks. The roof is a saddle, made of wooden collar construction. On the south side of the building is a large dormer.
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Le droit à l'épreuve du flux financiers illicites dans le secteur extractif : entre manipulation et double discours / Illicit financial flows within the extractive sector : between abuse and double talkLemaître, Sophie 11 December 2017
Le pétrole, le gaz et les minerais sont des ressources indispensables pour le bon fonctionnement de nos économies et sont très convoitées. Elles sont, en outre, particulièrement propices à l’émergence de flux financiers illicites tels que la corruption, l’évitement fiscal ou encore le blanchiment de capitaux. La prise de conscience relative à l’ampleur des pratiques illicites dans le secteur extractif est relativement récente. Depuis une vingtaine d’années, diverses mesures formant un régime juridique ambitieux ont été adoptées pour endiguer ce phénomène. Malgré l’existence de ce régime juridique, les pratiques illicites perdurent au sein de ce secteur. Les acteurs du secteur extractif, entreprises et agents publics, ont su s’adapter et faire preuve de créativité pour contourner, détourner et manipuler ce régime juridique, afin de préserver leurs avantages et de perpétuer les flux financiers illicites. Ils peuvent également recourir à l’ingénierie juridique et financière qui leur fournit un arsenal d’outils juridiques et mobilise des experts maîtrisant à la perfection l’environnement juridique, politique et financier dans lequel les acteurs du secteur extractif évoluent. Ainsi le droit peut-il être propice aux flux financiers illicites et même au service de ceux-ci tout en voulant les combattre. / Oil, gas and minerals are indispensable resources for our economies and are sought-after. They are particularly prone to illicit financial flows such as corruption, tax avoidance and money laundering. Awareness of the extent of illicit practices in the extractive sector is relatively new. Over the last two decades, various measures have been adopted, forming an ambitious legal framework to combat illicit financial flows in the extractive sector. Despite the existence of this legal framework, illicit practices are still persistent. Stakeholders within the extractive sector such as companies and public officials have been able to adapt and be creative in order to abuse, circumvent and manipulate this legal framework in order to preserve their advantages and perpetuate illicit financial flows. They can also use legal and financial engineering, which provides them with an arsenal of legal tools and mobilizes experts who master the legal, political and financial environment in which companies and public officials evolve. Hence while wanting to combat illicit financial flows, law can find itself propitious to these illicit practices and even to their service.
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Fyzioterapeutické postupy po operaci krční páteře - literární rešerše / Physiotherapy after cervical spine surgery - literature reviewValášková, Veronika January 2021 (has links)
Author: Bc. Veronika Valášková Title of thesis: Physiotherapy after cervical spine surgery - literature research. Aims: The aim of my diploma thesis is to give an overview of physiotherapeutic care after cervical intervertebral disc herniation surgery. Methods: The diploma thesis is processed as a research of literacy sources. Fifteen studies were selected that met the required study selection criteria. All studies focused on postoperative physiotherapy in patients after cervical spine surgery by the anterior approach. The diploma thesis is divided into two parts. The first part is theoretical, deals with anatomy, kinesiology, biomechanics of the cervical spine, surgical techniques and subsequent complications that may occur after surgery. The second part is the methodology itself, which processes the available information about postoperative physiotherapy. Results: The results of the diploma thesis show that in the early phase after the operation, active exercise in the shoulder joints, respiratory physiotherapy, strengthening the deep flexors of the cervical spine are most recommended. In the long term, emphasis is placed on strengthening the muscles of the cervical spine, increasing the stability of the cervical spine and increasing the overall condition. The cervical collar is not primarily...
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La lutte contre la corruption au sein de l’espace de liberté, de sécurité et de justice au moyen du droit pénal / The fight against corruption within the area of freedom, security and justice by means of criminal lawZanin, Hadrien 29 September 2016 (has links)
Depuis le milieu des années 1990, plus d’une dizaine d’instruments internationaux destinés à lutter contre la corruption transnationale ont été adoptés. À l’échelle mondiale, la multiplication des échanges commerciaux a rendu nécessaire la mise en place d’une coopération interétatique susceptible de répondre à l’essor de la criminalité transfrontalière. En outre, l’harmonisation des législations, par le biais d’engagements internationaux contraignants, se présentait comme le seul moyen de réduire les distorsions de concurrence. Un retournement s’est ainsi opéré : l’autorisation implicite, voire la promotion des « frais commerciaux exceptionnels », a cédé la place à la criminalisation de la corruption transnationale.À l’échelle de l’Union européenne, la réalisation du marché unique et l’ouverture des frontières justifient l’adoption de plusieurs instruments spécifiques. Toutefois, les États membres refusent d’abandonner le droit de punir — ou de ne pas punir — prérogative régalienne qui constitue l’un des attributs de la souveraineté. L’harmonisation des législations européennes a par conséquent été influencée par la problématique plus large d’un droit pénal de l’Union européenne en construction. Les dispositions destinées à lutter contre la corruption sont enfermées dans des instruments de nature intergouvernementale et sont strictement limitées afin de faire échec à l’éventualité d’une « communautarisation rampante ».Quinze ans plus tard, la mise en œuvre de la législation anticorruption demeure inégale et l’ineffectivité de la répression en Europe contraste avec les lourdes condamnations des entreprises européennes par des juridictions étrangères. La stratégie initiale, qui ne comprend aucun mécanisme de suivi afin d’assurer une pression permanente sur les États membres, montre ainsi ses limites et s’avère incapable de répondre aux enjeux actuels.La présente étude cherche à appréhender les nouvelles dynamiques anticorruption au sein de l’espace de liberté, de sécurité et de justice au lendemain de la « dépilarisation » opérée par le traité de Lisbonne. Elle met en exergue l’émergence d’une lutte contre la corruption à deux vitesses. Ainsi, l’intégration de la lutte contre la corruption au niveau supranational devrait, à moyen terme, se limiter à la protection des intérêts financiers de l’UE : elle se traduit, d’une part, par l’adoption d’une directive d’harmonisation du droit pénal substantiel et, d’autre part, par la mise en place d’un procureur européen garantissant une répression effective. Au-delà de cet objectif isolé, le « paquet anticorruption » de la Commission européenne n’amorce pas la rationalisation nécessaire du cadre juridique actuel. La pierre angulaire de la nouvelle stratégie est limitée à l’adoption d’un mécanisme d’évaluation périodique afin de susciter, par le biais du droit souple, un surcroît de volonté politique de la part des États membres.Aussi, dans une démarche prospective, la présente thèse tend à démontrer que l’Union européenne constitue le niveau adéquat pour mener la lutte contre la corruption. Toutefois, son rôle moteur ne peut se réaliser, dans sa dimension tant répressive que préventive, qu’à travers l’incrimination de l’eurocrime de corruption. / Since the mid 1990s, more than ten international instruments aimed at fighting foreign bribery have been adopted. Globally, the increased trade has necessitated the establishment of an interstate cooperation likely to respond to the growth of cross-border crime. Furthermore, the harmonization of legislation, through binding international commitments, was the only way to reduce distortions of competition. A turnaround has thus been made: the implicit authorization, or sometimes even the promotion, of ‘exceptional commercial costs’, has been replaced by the criminalization of bribery.At the European Union level, the single market and open borders justify the adoption of several specific instruments. However, Member States refuse to give up the right to sanction – or not to sanction – which is one of the attributes of sovereignty. The harmonization of anticorruption legislation was therefore influenced by the broader issue of a European criminal law. The provisions intended to fight corruption are enclosed in intergovernmental instruments and strictly limited in order to thwart the possibility of an unwanted ‘communautarisation’.Fifteen years later, the implementation of anti-corruption legislation remains uneven and the ineffectiveness of repression in Europe contrasts with the heavy sentences of European companies by foreign courts. The initial strategy, which includes no monitoring mechanism to ensure constant pressure on Member States, shows its limits and is unable to meet the current challenges.This study seeks to understand the new anticorruption dynamics within the area of freedom, security and justice after the ‘depilarisation’ made by the Lisbon Treaty. It highlights the emergence of a two-tier approach in the fight against corruption. The integration of the fight against corruption at the supranational level should, in the medium term, be limited to the protection of the financial interests of the EU: it translates, firstly, by the adoption of a new directive aimed at harmonizing substantive criminal law and, secondly, by the establishment of a European public prosecutor ensuring effective prosecution. Beyond this single goal, the ‘anti-corruption package’ of the European Commission does not initiate the necessary rationalization of the existing legal framework. The cornerstone of the new strategy is limited to the adoption of a periodic evaluation mechanism in order to generate, through soft law, additional political will on the part of Member States.In a forward-looking approach, this thesis suggests that the European Union is the appropriate level to lead the fight against corruption. However, its central role can only be achieved through the criminalization of corruption as a eurocrime.
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