• Refine Query
  • Source
  • Publication year
  • to
  • Language
  • 103
  • 59
  • 46
  • 18
  • 12
  • 12
  • 6
  • 6
  • 4
  • 4
  • 4
  • 4
  • 4
  • 4
  • 4
  • Tagged with
  • 362
  • 362
  • 75
  • 67
  • 63
  • 52
  • 48
  • 48
  • 37
  • 36
  • 35
  • 32
  • 30
  • 29
  • 28
  • 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.
61

A tradução de binômios nos contratos de \'common law\' à luz da lingüística de corpus / Translating binomial expressions in common law agreements: a corpus-based study

Luciana Carvalho Fonseca 30 May 2007 (has links)
O objetivo desta pesquisa é estudar os binômios que ocorrem em contratos de common law à luz da Lingüística de Corpus, procurando dar subsídios que auxiliem os tradutores de textos jurídicos a chegar a uma tradução natural, ou seja, para que traduzam linguagem jurídica por linguagem jurídica. Os binômios são formados por duas palavras pertencentes à mesma categoria gramatical, ligadas pela conjunção and ou or. Alguns exemplos são: terms and conditions, any and all, executed and delivered, due and payable, action or proceeding, agreement or obligation. Os binômios são uma marca do inglês jurídico e como tal têm sido objeto de diversos estudos. O mesmo, porém, não ocorre com a linguagem jurídica em português. Assim, ao lidar com a tradução de binômios, estudos mostram que os tradutores brasileiros se apegam à opção mais literal. A escolha de estudar os binômios nos contratos de common law se deve ao fato de estarem os contratos entre os documentos mais difíceis de traduzir e de ler e por terem uma altíssima concentração de binômios. Por essas razões, para estudar os binômios na linguagem jurídica em inglês e dar elementos para o tradutor chegar à tradução em português do Brasil, compilamos um corpus comparável de agreements e contratos autênticos perfazendo, aproximadamente, 1 milhão de palavras - 705 744 em inglês e 289 984 em português - composto por 5 amostras de 28 espécies de contratos e agreements, totalizando 140 documentos em cada língua. O corpus foi explorado de acordo com os princípios e ferramentas da Lingüística de Corpus. Para etiquetar o corpus usamos o programa CLAWS 7 (the Constituent Likelihood Automatic Word-tagging System) do UCREL (Universidade de Lancaster) e para explorá-lo, o WordSmith Tools de Mike Scott. / This research aims at studying binomial expressions in common law agreements in the light of Corpus Linguistics in an attempt to provide translators with the necessary linguistic elements that will enable them to render a natural translation, that is, to translate legal language into legal language. Binomial expressions are formed by two words belonging to the same grammatical category and joined by and or or. Some examples are: terms and conditions, any and all, executed and delivered, due and payable, action or proceeding, agreement or obligation. Binomials are an integral part of English legal language and as such have deserved a considerable amount of study. The same, however, does not occur in Brazilian Portuguese legal language. Therefore, when dealing with binomial expressions, studies show that Brazilian translators tend to translate all the elements of a binomial literally. The choice of text type is due to the fact that agreements and contratos are among the most difficult documents to translate and seem to have an incredibly high concentration of binomial expressions. For said reasons, in order to study binomials in English legal language and provide elements for translators to arrive at their own translation into Brazilian Portuguese, we have compiled and explored a bilingual comparable corpus consisting of authentic agreements and contratos, totalling, approximately, 1 million words - 705,744 in English and 289,984 in Brazilian Portuguese - made up of 5 samples of 28 different kinds of contratos and agreements, a total of 140 documents in each language. Exploring such a corpus greatly depended on the principles and tools of Corpus Linguistics. To tag the corpus we used UCREL\'s CLAWS 7 (the Constituent Likelihood Automatic Word-tagging System) and to explore the corpus we used Mike Scott\'s WordSmith Tools.
62

Financement de l'arbitrage par un tiers : une approche française et international / Third-party fuding in arbitration : a French and international approach

Mechantaf, Khalil 14 January 2019 (has links)
Le financement des procès présente de nombreux avantages pour le développement de l'arbitrage international, auparavant inaccessible aux parties impécunieuses. Les systèmes anglo-saxons, traditionnellement contre le financement des procès, commencent à introduire des règlementations facilitant l'accès au financement et promouvant son développement. La sophistication des formes de financement et le statut du tiers financeur apportent cependant une certaine complexité à l'exercice par l'arbitre de son pouvoir et au déroulement de la procédure arbitrale. Cette dernière reste gérer par le consensus des parties et la confidentialité de la procédure. La divulgation de l'accord de financement et la détermination du statut du financeur sont parmi les questions que posent l'existence d'un tiers dans la procédure arbitrale. / Third-party funding presents various advantages for the development of international arbitration, previously inaccessible for insolvent parties. Common law systems, traditionally against the funding of litigation, are recently adopting regulations allowing access to funding and promoting its development. The sophistication of the forms of funding and the status of third-party funder give rise to certain challenges with regard to the exercise by the arbitrator of his/her powers and the administration of the arbitration process. This process remains widely governed by the will of the parties and the confidentiality of the procedure. The disclosure of the funding agreement and determining the status of the funder are amongst the various questions triggered by the presence of a third-party in the arbitration process.
63

Das Vertragsrecht Hongkongs und dessen zukünftige Entwicklung : unter besonderer Berücksichtigung des englischen Common Law /

Reifenrath, Carola. January 2006 (has links) (PDF)
Univ., Diss.--Hamburg, 2005. / Literaturverz. S. XXVII - XLIII.
64

England and the criminal legislation of Egypt from 1882

Saroufim, Ebeid January 1950 (has links)
No description available.
65

Breve Itinerario Acerca de las Teorías Civiles de la Personalidad Jurídica. Su Impacto en el Common Law y en el Levantamiento del Velo Societario

Saavedra Velazco, Renzo E. 01 1900 (has links)
En este artículo el autor, partiendo de un contexto histórico preliminar, nos permite analizar el surgimiento de la personalidad jurídica, las teorías que la desarrollan y el concepto de la misma. Además desarrolla claramente el concepto de velo societario y su calificacion jurídica. Finalmente expone un breve análisis en relación a la propuesta de reforma al Código Civil presentada en el 2006."
66

Contratos en el ámbito internacional y en el Common Law en Inglaterra, Estados Unidos e India.

Gobind Daswani, Arti January 2004 (has links)
Memoria (licenciado en ciencias jurídicas y sociales) / Esta tesis buscará, en primer lugar, otorgar una somera descripción de los contratos, para entrar después a los contratos internacionales; en ambos casos con un enfoque hacia la compraventa, principal instrumento mediante el cual se desarrolla el comercio internacional. Una vez propuesta una definición de los contratos internacionales, detallaremos los distintos métodos que ha distinguido la doctrina para determinar la ley que se aplicará a los conflictos que puedan surgir en su celebración, ejecución o terminación. El de mayor aplicación práctica se remite a normas nacionales, lo que hace necesario estudiar los distintos enfoques de los contratos comerciales en el derecho comparado, específicamente en el sistema legal presentado como opuesto al nuestro, el Common Law.
67

The effect of the partial codification of the common law duties of directors in the companies Act 71 of 2008 on the liability of directors

Mohiudeen, Safia January 2018 (has links)
Magister Legum - LLM / The global financial crisis resulted in a corporate collapse in different parts of the world. The global financial crisis was caused by poor governance. Consequently many countries, including South Africa, began to place more emphasis on good governance. The framework and guidelines for the development of good governance in South African company law was published by the Department of Trade of Trade and Industry (hereafter DTI) in a document referred to as The South African Company Law for the 21st Century: Guidelines for Corporate Law Reform (hereafter the DTI Policy Document) published by the DTI. The DTI Policy Document recognised the need for a regulatory framework within which enterprises operate to promote growth, employment, innovation, stability, good governance, confidence and international competitiveness. In order to further develop governance, the effectiveness of directors’ standards as well as the liability of directors was also said to have developed. Prior to the development of South African corporate law, liability of directors was to a large extent governed by the common law and the King Codes, despite the existence of the Companies Act 61 of 1973 (as amended). As of the 1st of May 2011, corporate law in South Africa appears to have dramatically changed the duties and liabilities of directors. The 1st of May 2011 marked the implementation of Companies Act 71 of 2008 (hereafter the Act). The Act is written in plain language in an attempt to make it more accessible and align it with international trends. The Act has also theoretically changed the roles and duties of directors as well as the liability that they may face in that it potentially changes the existing common law and alters policies and philosophies of corporate law in general. The Act partially codifies the common law and introduces the business judgement rule to South Africa. The business judgment rule will draw a balance between the directors’ ability to steer a company and the shareholders' right to hold directors accountable for their decisions. It is perceived as a mechanism that can be used to balance the tension between these opposing rights.
68

The law and Regulation of credit rating agencies in the US and EU

Hemraj, Mohammed Baker January 2018 (has links)
The need for regulation of the credit rating agencies (CRAs) arose due to their role in the subprime mortgage crisis. The CRAs awarded risky securities '3-A' investment grade status and then failed to downgrade them quickly enough when circumstances changed which led to investors suffering substantial losses. The causes identified by the regulators for the gatekeeper failure were conflicts of interest (as the issuers of these securities pay for the ratings); lack of competition (as the Big Three CRAs have dominated the market share); and lack of CRA regulation. The regulators, both in the US and EU, have tried to address these problems by introducing soft law self-regulation in accordance with the International Organisation of Securities Commissions Code and hard law statutory regulation such as that found in the "Reform Act" and "Dodd-Frank Act" in the US and similar provisions in the EU. This thesis examines these provisions in detail by using a doctrinal black-letter law method to assess the success of the regulators in redressing the problems identified. It also examines the US case law regulation relating to the legal liability of CRAs. The findings are that the US First Amendment protection, exclusion clauses and case law, all lack a deterrent effect on the actions of CRAs. As CRAs have escaped substantial damages, investors are left uncompensated for their losses. The thesis concludes that the issues of conflicts of interest and an anti-competitive environment persist. This thesis recommends the introduction of liability for the CRAs based on the Australian Bathurst case and which should be put in a statutory footing, including the requirements that are needed for making exclusion clauses effective. Rotation of CRAs for every three years would minimise the conflicts of interest. Regulators should require CRAs to purchase professional indemnity insurance, if available, to compensate investors.
69

Lawyer Problem Solving: An Investigation of the Knowledge Used in Solving Practical Legal Problems

Chay, Allan James, N/A January 2007 (has links)
This study investigates the knowledge that legal practitioners use to solve authentic practical legal problems in naturalistic settings. The study examines the declarative and procedural knowledge that practitioners use in that context and whether experienced practitioners use knowledge organised in encapsulated and script form (Boshuizen & Schmidt, 1992; Schmidt, Norman, & Boshuizen, 1990) to enable ‘expert’ performance. The purpose of the study is to provide an empirically-based understanding of the knowledge used in solving real-life practical legal problems, for the information of the providers of practical legal training in Australia and other common law countries. The providers of that training use assumptions about that knowledge and how it is acquired, which do not always rest on coherent theoretical or empirically-derived foundations. The study uses the lawyering literature to identify the knowledge such literature considers is required to solve practical legal problems in lawyer and client interview settings. The study also examines the assumptions about the nature of that knowledge, and how it is acquired, which are apparent in the approaches of the providers of practical legal training. The limitations of those assumptions are identified from a cognitive perspective. The study examines cognitive conceptions of the knowledge used in problem solving in particular fields and how that knowledge becomes proceduralised and organised into structures called chunks and schemas. A particular examination is made of cognitive theories developed in the field of medical problem solving, which use the concepts of ‘encapsulations’ and ‘illness scripts’ to explain ‘expert’ performance in diagnosing disease in clinical settings. This analysis is used to synthesise the prediction that experienced legal practitioners may develop and use structures similar to encapsulations and illness scripts in problem solving. This prediction is based on the similarities between the way medical practitioners and legal practitioners are educated and trained, and are taught to solve problems using a hypotheticodeductive method (or a domain variant in the case of law), and on the similarities between clinical settings and lawyer and client interview settings. The study also examines theories that explain human problem solving by reference to a metaphorical ‘problem space’, and synthesises the prediction that practical legal problem solving can be explained by a problem space theory that was developed to accommodate complex, ill-defined problems. That theory uses the concepts of a problem zone to reflect the ill-defined nature of the problem as presented to the problem solver, a search and construction zone to reflect the phenomenon that the problem solver will have to construct operators to use to solve the problem, and a satisficing zone to reflect the phenomenon that there will be no single unambiguous solution to the problem (Middleton, 1998). The study uses the lawyering literature to identify the characteristics of practical legal problems in a lawyer and client interview setting. The cognitive literature is used to identify the cognitive conceptions that correspond to those characteristics. It is argued that these problems are complex, ill-defined problems that have to be found by the problem solver using weak problem solving strategies such as problem decomposition, attribute identification and means-ends analysis (Simon, 1973; Dillon, 1982; Newell, 1980). Based on these predictions two research questions are developed as follows: How do legal practitioners find and construct practical legal problems? Are there differences in the knowledge that experienced legal practitioners use and that which novice practitioners use? Do those differences reflect differences in the individual practitioner’s underlying knowledge and how that knowledge is organised? These questions are investigated in four case studies. Two of these studies involve experienced legal practitioners and two involve novices. These studies reveal that all the subjects used similar general problem solving strategies to find and construct problems. The subjects all constructed a series of problems rather than one large problem. The subjects did not all find and construct the same problems and some subjects’ constructions of problems changed as new information came to light. Most subjects did not finish the construction of problems at the interview. The processes that the subjects use to construct problems can be explained by Middleton’s (1998) problem space model, although this study suggests that model needs to be modified to accommodate the on-going emergent character of practical legal problems as they occur in lawyer and client interview settings. The investigation revealed qualitative differences between the problem attributes and moves that the experienced subjects identified and those that the novices identified. In summary, the experienced subjects identified attributes and moves that were more detailed, more directly related to the ‘facts’ and more concrete than those that the novices identified. Both the experienced subjects and the novices appeared to rely on recognition (Newell & Simon, 1972) to identify problem attributes and moves rather than on any apparent step-by-step legal analysis and reasoning process. This study suggests that the superior performance of the experienced subjects may be explained by their use of knowledge in encapsulated and script form, as predicted. The study discusses the implications of its findings for practical legal training courses as a need to provide students with general problem solving knowledge, provide them with the knowledge that they will need to recognise problems in specific areas of practice, to help them start to develop knowledge in encapsulated and script form, and to develop an understanding of the limits of institutional training in developing professional expertise.
70

In Search of the 'Golden Thread': Common Law Interactions With Indigenous Law in Canada, Australia and New Zealand

Ng, Mei Lin, n/a January 2006 (has links)
The thesis explores the interactions of the common law with indigenous law in three jurisdictions: Australia, New Zealand and Canada. Case law involving family, criminal and land law is examined in detail, to establish how the common law has interacted with indigenous law. Two aspects of common law interactions are explored: judicial approaches to the recognition of indigenous law; and, judicial perceptions about the relationship between the common law and indigenous law. Courts faced with indigenous law have taken one of three approaches to recognising it. These are respectively referred to in the thesis as the non-recognition approach, the accommodation approach and the recognition approach. With regard to judicial perceptions about the relationship between the common law and indigenous law, the case law reveals seven different perceptions. They are: no relationship; mere acknowledgement; separate but capable of recognition; adjustment; assimilation/domination; assimilation/search for partnership; and absorption. Where a relationship is acknowledged, although perceptions may vary, essentially they can be placed in one of three categories. Courts may regard the relationship as one between two separate bodies of law, with points of intersection. They may regard it as one of convergence, perhaps even partial integration, between separate legal traditions. Finally, they may regard indigenous law as having been absorbed into the dominant legal system. Courts with this latter perception regard indigenous law as analogous to English local customs. Having identified more than one approach to the recognition of indigenous law, consideration is given to the circumstances in which the approaches are used, exploring differences arising out of the subject area in question and the jurisdiction in which the case is considered. The thesis also demonstrates that some correlation exists between the judicial approach to recognition of indigenous law and judicial perceptions about the relationship of the common law with indigenous law, though this correlation cannot be demonstrated in all cases. Lastly, the capacity of the common law to recognise changes to indigenous law is considered, where the case law reveals that both the judicial approach to recognition of indigenous law, and judicial perceptions about the relationship between the common law and indigenous law have a bearing on the capacity of the courts to recognise change. The thesis demonstrates that both the judicial approach to recognition of indigenous law and judicial perceptions about the relationship between the common law and indigenous law affect common law interactions with indigenous law.

Page generated in 0.06 seconds