939 resultados para corporation or legal entities


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This article aims at improving the information systems management support to Risk and Compliance Management process, i.e. the management of all compliance imperatives that impact an organization, including both legal and stra- tegically self-imposed imperatives. We propose a process to achieve such regula- tory compliance by aligning the Governance activities with the Risk Management ones, and we suggest Compliance should be considered as a requirement for the Risk Management platform. We will propose a framework to align law and IT compliance requirements and we will use it to underline possible directions of investigation resumed in our discussion section. This work is based on an exten- sive review of the existing literature and on the results of a four-month internship done within the IT compliance team of a major financial institution in Switzer- land, which has legal entities situated in different countries.

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We are progressively immersed in technology to such extend that in our everyday life we are and we do what technology allows us to be and to do. In this process, cyborgs and robots constitute elements that we analyze from a number of techno scientific and philosophical approaches. Additionally, we propose that a new concept: GEH (Genetic Engineered Human) as a new potential social imaginary element, which would be the human being improved by the broad-sense genetics engineer (that is, changing many genes by genetics engineer, modifications in the genome, cloning, and so on). If our aspirations as humans pass through technology and in particular for cyborgs, robots and GEH, the bidirectional links between these theoretical or real entities and our personal identities will be the more and more substantial in our society.

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Dokumentinhallintajärjestelmien kehittyessä vuosi vuodelta voi yritykselle tulla aiheelli-seksi vaihtaa jo käytössä oleva dokumentinhallinjärjestelmä uuteen. Tällaisessa tilanteessa katsotaan uuden järjestelmän hyödyn olevan suurempi kuin dokumentinhallinjärjestelmän vaihdosta koituvat kustannukset. Myös yhtiön sisäisen rakenteen tai toimintamallien muu-tos voi aiheellistaa dokumentinhallintajärjestelmän vaihtoon. Suurimpia haasteita dokumentinhallijärjestelmästä toiseen siirtymisessä oli dokumentin mukana tulevien ominaisuuksien (attributes) muuntamisessa uuden dokumentinhallijärjes-telmän mukaisiksi. Ominaisuuksien muuttamisella optimoidaan hyötyä, jota dokumentin-hallintajärjestelmän vaihdosta saadaan. Tämä kuitenkin pidentää dokumentinhallijärjestel-mien siirtoaikaa. Jotta siirtoaikaa voitaisiin lyhentää, oli luotava muunnostaulukoita joiden mukaan teknisten dokumenttien ominaisuuksia muutetaan uuteen muotoon. Näitä muunnostaulukoita tulkit-sevat pääasiassa muunnokseen kehitetyt ohjelmat, mutta vaikeissa tapauksissa muunnok-sen joutuu hoitamaan ihminen. Siirron yhteydessä päätavoitteena on kuitenkin informaati-on säilyminen tai jopa sen kasvattaminen, vaikka se työtä hidastaisikin. Kasvavassa teollisuusyrityksessä teknisten dokumenttien versiointivauhti on kova ja koska dokumentteja versioi yleensä myös jokin ulkopuolinen taho, on dokumenttien liikenne suurta myös yrityksen dokumentinhallintajärjestelmän ulkopuolella. Dokumentit voivat liikkua joko kahden eri verkossa olevan dokumentinjärjestelmän välillä tai dokumenteilla voi olla jokin ulkoinen sijoituspaikka versioinnin aikana. Täten on yrityksen otettava huo-mioon myös dokumentinhallijärjestelmän ulkopuolinen dokumentinhallinta.

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BACKGROUND: Early childhood caries (ECC) is a marker of social inequalities worldwide because disadvantaged children are more likely to develop caries than their peers. This study aimed to define the ECC prevalence among children living in French-speaking Switzerland, where data on this topic were scarce, and to assess whether ECC was an early marker of social inequalities in this country. METHODS: The study took place between 2010 and 2012 in the primary care facility of Lausanne Children's Hospital. We clinically screened 856 children from 36 to 71 months old for ECC, and their caregivers (parents or legal guardians) filled in a questionnaire including items on socioeconomic background (education, occupation, income, literacy and immigration status), dental care and dietary habits. Prevalence rates, prevalence ratios and logistic regressions were calculated. RESULTS: The overall ECC prevalence was 24.8 %. ECC was less frequent among children from higher socioeconomic backgrounds than children from lower ones (prevalence ratios ≤ 0.58). CONCLUSIONS: This study reported a worrying prevalence rate of ECC among children from 36 to 71 months old, living in French-speaking Switzerland. ECC appears to be a good marker of social inequalities as disadvantaged children, whether from Swiss or immigrant backgrounds, were more likely to have caries than their less disadvantaged peers. Specific preventive interventions regarding ECC are needed for all disadvantaged children, whether immigrants or Swiss.

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Anàlisi sobre la protecció de dades en l’àmbit empresarial i del destí d’aquelles dades que es troben a la xarxa. Concretament s’analitza la possibilitat de l’existència d’un dret a l’oblit que permeti, tant a persones físiques com jurídiques, eliminar part de la seva història digital a Internet. La finalitat d’aquest treball és investigar i proposar una possible solució per a totes aquelles persones jurídiques que vulguin oblidar aquelles informacions que perjudiquin el desenvolupament de la seva activitat econòmica.

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Drugs of abuse are commonly used outside medical or legal settings where their production, marketing and consumption are subject to legal summons and/or intervention. Classified as emerging contaminants, these substances have been recently detected in samples of environmental concern, such as waters and wastewaters. This review presents the state-of-the-art on the methodological approaches used in sample preparation, the main techniques applied in analytical determination at trace levels, as well as the use of information related to the drug or its metabolite concentration in sewage samples to empirically estimate the consumption of drugs of abuse in a city or region.

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The management of port-related supply chains is challenging due to the complex and heterogeneous operations of the ports with several actors and processes. That is why the importance of information sharing is emphasised in the ports. However, the information exchange between different port-related actors is often cumbersome and it still involves a lot of manual work and paper. Major ports and port-related actors usually have advanced information systems in daily use but these systems are seldom interoperable with each other, which prevents economies of scale to be reached. Smaller ports and companies might not be equipped with electronic data transmission at all. This is the final report of the Mobile port (MOPO) project, which has sought ways to improve the management and control of port-related sea and inland traffic with the aid of ICT technologies. The project has studied port community systems (PCS) used worldwide, evaluated the suitability of a PCS for the Finnish port operating environment and created a pilot solution of a Finnish PCS in the port of HaminaKotka. Further, the dry port concept and its influences on the transportation system have been explored. The Mobile Port project comprised of several literature reviews, interviews of over 50 port-related logistics and/or ICT professionals, two different kinds of simulation models as well as designing and implementing of the pilot solution of the Finnish PCS. The results of these multiple studies are summarised in this report. Furthermore, recommendations for future actions and the topics for further studies are addressed in the report. The study revealed that the information sharing in a typical Finnish port-related supply chain contains several bottlenecks that cause delays in shipments and waste resources. The study showed that many of these bottlenecks could be solved by building a port community system for the Finnish port community. Almost 30 different kinds of potential services or service entities of a Finnish PCS were found out during the study. The basic requirements, structure, interfaces and operation model of the Finnish PCS were also defined in the study. On the basis of the results of the study, a pilot solution of the Finnish PCS was implemented in the port of HaminaKotka. The pilot solution includes a Portconnect portal for the Finnish port community system (available at https://www.portconnect.fi) and two pilot applications, which are a service for handling the information flows concerning the movements of railway wagons and a service for handling the information flows between Finnish ports and Finland-Russian border. The study also showed that port community systems can be used to improve the environmental aspects of logistics in two different ways: 1) PCSs can bring direct environmental benefits and 2) PCSs can be used as an environmental tool in a port community. On the basis of the study, the development of the Finnish port community system should be continued by surveying other potential applications for the Finnish PCS. It is also important to study if there is need and resources to extend the Finnish PCS to operate in several ports or even on a national level. In the long run, it could be reasonable to clarify whether there would be possibilities to connect the Finnish PCS as a part of Baltic Sea wide, European-wide or even worldwide maritime and port-related network in order to get the best benefit from the system

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Under EU competition law, parent companies may be held jointly and severally liable for the competition law infringements committed by their subsidiaries. The possibility of holding parent companies liable demonstrates a significant exception from the idea of separate legal entities. However, it is not the only deviation developed under EU competition law. In cases, where the legal entity responsible for the anti-competitive conduct has changed its form, liability can be attributed to the new operator, in particular, to its successor. The principles of legal certainty and legitimate expectations are issues that surround the doctrines of parental and successor liability. The aim of this thesis is to present a comprehensive comparative analysis of the parental and successor liability doctrines and to clarify the conditions under which it is possible to attribute liability for the infringements of EU competition law. The main purpose is therefore to demonstrate the problems related to the allocation of liability and to discuss whether these liability principles, established to assure the effective enforcement of the EU competition rules, are good solutions. The research methods used in this thesis are the legal dogmatic approach and the comparative law approach. The former enables the possibility of using the case law and legislation as a framework in which the difficulties concerning the application of parental and successor liability can be discussed while the latter ensures the comparison of the characteristics and judgments. The doctrines of parental and successor liability are both well established, but the application practice has caused several difficulties. These problems derive from, inter alia, the broadness and disjointed developed of the doctrines. There has been much recent case law dealing with these issues and having the potential to open up a considerable risk and to allocate strict liability for parent and successor companies.

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An unidentified African Canadian man is featured in this cabinet card by W. J. Rea, photographer, of Windsor, Ontario. The man appears to be in official dress, possibly of a religious or legal nature. This cabinet card bears the stamp of the photographer, W. J. Rea, in black ink along the bottom of the card and on the reverse. While it is undated, it is likely from the 1870s or 1880s. This cabinet card was in the possession of Iris Sloman Bell, of St. Catharines, Ontario. The Sloman - Bell family descendants include African American slaves from the United States who settled in Canada."Cabinet card photographs were first introduced in 1866. They were initially employed for landscapes rather than portraitures. Cabinet cards replaced Carte de visite photographs as the popular mode of photography. Cabinet cards became the standard for photographic portraits in 1870. Cabinet cards experienced their peak in popularity in the 1880's. Cabinet cards were still being produced in the United States until the early 1900's and continued to be produced in Europe even longer. The best way to describe a cabinet card is that it is a thin photograph that is mounted on a card that measures 4 1/4″ by 6 1/2″. Cabinet cards frequently have artistic logos and information on the bottom or the reverse of the card which advertised the photographer or the photography studio's services." Source: http://cabinetcardgallery.wordpress.com/category/cabinet-card-history/

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Les Communautés européennes et l'Union européenne ont toujours exprimé leur engagement à respecter les droits de l'homme. Depuis la première Convention intergouvernementale chargée de la rédaction du projet de Charte des Droits Fondamentaux (1999-2001), une deuxième Convention a été organisée. La dernière a proposé le projet de Constitution pour l'Union européenne qui par la suite a été rejeté dans deux referenda nationaux et a soulevé de nombreuses questions sur la légitimité de l'Union et son avenir. Récemment, le Conseil de l'Union Européenne a décidé d'abandonner le projet de Constitution pour l'Union européenne et a ouvert la voie vers le traité modificatif. À part la légitimité de l'Union en tant que organisation internationale ou ordre juridique international et tous les problèmes auxiliaires que la constitutionnalisation implique, ce processus est inextricablement lié au sujet très controversé de la politique des droits de l'homme. Conformément au traité constitutionnel, la Charte d'un côté et la Convention européenne des droits de l'Homme de l'autre seraient devenu parties intégrantes du système constitutionnel européen. Par contre, le nouveau traité modificatif comprendra juste un renvoi à la Charte. Néanmoins, le problème de l'Union européenne demeure l'absence d'une politique cohérente avec toutes ses éléments - des instruments écrits contraignants, l'efficacité des voies de recours, une agence des droits de l'homme, un budget et un plan horizontal. Tandis que le traité constitutionnel sans pour autant résoudre tous ces problèmes a représenté un grand pas en avant dans cette direction, le nouveau traité semble être un compromis.

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Devenir parent en accueillant un enfant en vue de l’adopter en contexte de protection de la jeunesse, dans le cadre du programme Banque-mixte, est une expérience particulière, puisque l’enfant arrive dans la famille sans aucune garantie qu’il pourra être adopté. Également, les parents Banque-mixte, en tant que famille d’accueil, ont l’obligation d’amener l’enfant à des visites avec ses parents d’origine et doivent composer avec la présence d’intervenants dans leur vie privée. À l’aide d’une démarche de théorisation enracinée, la présente étude vise à comprendre comment le parent Banque-mixte développe son sentiment de filiation, c’est-à-dire le sentiment d’être le parent de l’enfant qu’il accueille, alors qu’il n’est ni le parent légal, ni le parent biologique. Des entrevues semi-dirigées ont été réalisées avec 25 parents afin d’aborder des thèmes tels que les motivations sous-jacentes à leur projet parental, l’expérience du processus pour devenir une famille Banque-mixte et la relation avec l’enfant. Les résultats permettent de jeter les bases d’une nouvelle théorie, selon laquelle le sentiment de filiation précède la filiation légale dans ces circonstances. Ainsi, le parent Banque-mixte ne devient pas un parent au moment du jugement d’adoption; il le devient bien avant, à partir du moment où il atteint un point de non-retour, c’est-à-dire où il constate de manière rationnelle ou émotionnelle que cet enfant est le sien. En l’absence d’un lien de sang et d’un lien légal, le parent Banque-mixte construit son sentiment de filiation sur la base de son profond désir d’enfant et de trois piliers qui lui permettent de justifier son sentiment d’être le parent, soit l’exercice du rôle parental, la construction d’une relation significative avec l’enfant, ainsi que la reconnaissance par autrui de son rôle de parent. Lorsque le parent Banque-mixte n’est pas confronté à l’incertitude de voir l’enfant retourner dans son milieu d’origine, il doit patienter en attendant la concrétisation de l’adoption, mais l’absence de filiation légale ne remet pas en question son sentiment d’être le parent. Par contre, le fait de se sentir le parent avant de le devenir légalement peut générer des tensions dans l’expérience du parent Banque-mixte, puisque le statut de famille d’accueil est en dissonance avec le sentiment de filiation. Afin de minimiser les effets indésirables de l’incertitude, les intervenants de l’adoption et de l’enfant développent différentes stratégies pour rassurer et protéger les parents Banque-mixte, en plus de minimiser l’inquiétude quant à la probabilité du retour de l’enfant dans son milieu familial d’origine. Finalement, guidés par leur besoin de vivre leur filiation de manière exclusive, les parents Banque-mixte font l’effort de mettre à distance les parents d’origine, tout en conservant une certaine ouverture uniquement dans le but de permettre à l’enfant d’intégrer sainement ses origines. En conclusion, les retombées pour l’avancement des connaissances, l’amélioration des pratiques et l’élaboration de nouvelles législations sont discutées.

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El retiro del servicio de los empleados públicos aparece como una facultad reglada en las normas del empleo público que, cuando se da alguna de las hipótesis legales que lo hacen procedente, facultan al nominador para ejercer sus atribuciones legales, persiguiendo, ante todo, razones del servicio: su mejora, renovación, eficiencia y moralidad, entre otras. El problema jurídico a resolver con el presente trabajo se plantea a partir del concepto de una buena administración del Estado, establecer la procedencia y elementos estructurales de una política para la prevención del daño antijurídico por el retiro del servicio de servidores públicos que, conforme al ordenamiento jurídico, gozan de una especial protección constitucional o legal. Conocer el concepto, el alcance, la regulación y desarrollo jurisprudencial de esta trascendental atribución para el servicio público, resulta indispensable para la debida aplicación del derecho, del ejercicio de las atribuciones públicas por parte de la Administración, y para la prevención del daño antijurídico.

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El reconocimiento de la jurisprudencia como fuente jurídica principal concede a todo fallo efectos vinculantes de alcance general y abstracto. Este cambio de esquema ha trastocado los cánones de tradición romano-germánica. La ubicación de la jurisprudencia dentro del sistema de fuentes dependerá, por la forma, de la jerarquía orgánica del juez o tribunal del que emanare. En cuanto al fondo, existen dos aristas. La primera, en cuanto a la materia, en aplicación del principio del paralelismo de las formas jurídicas: si existiese reserva constitucional o legal sobre una materia determinada, la jurisprudencia estará creando subreglas de idéntica naturaleza y jerarquía. Finalmente, desde la perspectiva axiológica, en atención al principio de interpretación pro homine y de progresividad de los derechos fundamentales, la jurisprudencia que prevalecería es aquella que presente un estándar mayormente garantista, sin importar la jerarquía orgánica del juez o tribunal emisor.

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Computer technology enables the creation of detailed documentation about the processes that create or affect entities (data, objects, etc.). Such documentation of the past can be used to answer various kinds of questions regarding the processes that led to the creation or modification of a particular entity. The answer to such questions is known as an entity's provenance. In this paper, we derive a number of principles for documenting the past, grounded in work from philosophy and history, which allow for provenance questions to be answered within a computational context. These principles lead us to argue that an interaction-based model is particularly suited for representing high quality documentation of the past.

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The relationship between Islamic Law and other legal systems (basically western type domestic legal orders and international law) is often thought of in terms of compatibility or incompatibility. Concerning certain subject matters of choice, the compatibility of Islamic (legal) principles with the values embedded in legal systems that are regarded as characteristic of the Modern Age is tested by sets of questions: is democracy possible in Islam? Does Islam recognize human rights and are those rights equivalent to a more universal conception? Does Islam recognize or condone more extreme acts of violence and does it justify violence differently? Etc. Such questions and many more presuppose the existence of an ensemble of rules or principles which, as any other set of rules and principles, purport to regulate social behavior. This ensemble is generically referred to as Islamic Law. However, one set of questions is usually left unanswered: is Islamic Law a legal system? If it is a legal system, what are its specific characteristics? How does it work? Where does it apply? It is this paper`s argument that the relationship between Islamic Law and domestic and international law can only be understood if looked upon as a relationship between distinct legal systems or legal orders.