961 resultados para Labor Laws and Legislation


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Video games industry has recently bonded California and Finland in a new way and where the employers are recruiting they also need to be aware of the provisions and procedures related to terminations. In general, collective dismissals are on a relatively high level both in Finland and in California. In California, collective redundancies are regulated under the WARN law. The WARN obligates employers with 75 or more employees to give a 60-day notice prior to a mass lay off and some other similar events. Employers with less than 75 employees are free to administer the terminations without the WARN notice period. Generally, the California at-will presumption allows employment relationship to be terminated any day with or without reason and without notice period if conditions of collective agreements or employment contract do not limit this right. Termination cannot anyhow be in violation of the anti-discrimination law. In Finland the termination related provisions are part of the Employment Contracts Act and the Act on Co-operation within Undertakings. Collective redundancies are allowed under financial and production related grounds. Small employers with less than 20 employees follow the termination provisions of the Employment Contracts Act and are obligated to inform the employee to be terminated on the details of the termination itself and also the services of the Employment and Economic Development Office. Employers with 20 or more employees are to initiate co-operation procedure under the Act on Co-operation within Undertakings when reducing personnel. The co- operation negotiations are to inform employees on the employer’s plans and financial situation as well as to involve them in the decision making regarding the terminations. The employer’s duty to inform the employees of the services of Employment and Economic Development Office needs to be fulfilled also in terminations under the co-operation procedure. Discrimination is prohibited in Finland in terminations of employment. As an alternative for terminations, employees can for example be transferred to another position or be temporarily laid off. Employer’s duties related to search of alternatives for layoff are broader in Finland than in California. The recent development of the labor laws in Finland and in California suggests that the labor law is not static in either one of these environments but changes can be expected as the needs of the business life so require.

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This study critically analyzes the historical role and influence of multinational drug cotpOrations and multinational corporations in general; the u.s. government and the Canadian state in negotiating the global recognition ofIntellectual Property Rights (IPR) under GATT/NAFTA. This process began in 1969 when the Liberal government, in response to high prices for brand-name drugs amended the Patent Act to introduce compulsory licensing by reducing monopoly protection from 20 to seven years. Although the financial position ofthe multinational drug industry was not affected, it campaigned vigorously to change the 1969 legislation. In 1987, the Patent Act was amended to extend protection to 10 years as a condition for free trade talks with the u.s. Nonetheless, the drug industry was not satisfied and accused Canada of providing a bad example to other nations. Therefore, it continued to campaign for global recognition ofIPR laws under GATT. Following the conclusion of the GATTI Trade-Related aspects of Intellectual Property Rights agreement (TRIPS) in 1991, the multinational drug industry and the American government, to the surprise of many, were still not satisfied and sought to implement harsher conditions under NAFTA. The Progressive Conservative government readily agreed without any objections or consideration for the social consequences. As a result, Bill C-91 was introduced. It abandoned compulsory licenses and was made retroactive from December 21, 1991. It is the contention of this thesis that the economic survival of multinational corporations on a global scale depends on the role and functions of the modem state. Similarly, the existence of the state depends on the ideological-political and socioeconomic assistance it gives to multinational corporations on a national and international scale. This dialectical relation of the state and multinational corporations is explored in our theoretical and historical analysis of their role in public policy.

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L’Union européenne (UE) se sert principalement d’outils normatifs pour exercer du pouvoir sur la scène internationale, notamment par la promotion de ses propres lois et standards. Le meilleur exemple est l’élargissement de l’UE, processus ayant contribué à stabiliser l'Europe et à transformer les candidats en des démocraties de marché, notamment en promouvant un rapprochement avec les normes européennes en échange d’une perspective d’adhésion à l’UE. La Politique européenne de Voisinage (PEV) utilise les mêmes mécanismes développés lors des élargissements, notamment la promotion de réformes en échange d’incitatifs financiers. Par contre, la PEV n’offre aucune perspective d’adhésion à l’UE aux États qui y participent. Ainsi, plusieurs études ont conclu que cette politique ne pourrait engendrer les réformes escomptées. Bien que la coopération au sein de la PEV ne soit pas aussi fructueuse que lors des élargissements, on remarque que certains pays plus que d’autres ont, malgré l’absence de perspective d’adhésion, fait des changements à leur législation en conformité avec les normes européennes. En comparant la coopération dans le secteur de la Justice et des affaires intérieures en Moldavie et en Ukraine, nous montrons que la différence s’explique par l’importance des facteurs internes des pays concernés, notamment l’existence d’identités nationales contestées et les batailles politiques intérieures portant sur la politique étrangère.

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Les relations de travail et d'emploi sont devenues des enjeux importants en Chine. La Chine a ratifié 25 conventions internationales du travail et a travaillé en étroite collaboration avec l'OIT pour améliorer la sécurité et la santé au travail. Malgré ces efforts, la Chine est souvent critiquée pour des violations du travail. Face à ces problèmes, un système législatif d'administration de travail a été développé au niveau national. Mais l’application de ces règlements demeure problématique.. En particulier, les difficultés rencontrées par les inspecteurs du travail dans l'application de ces lois constituent un élément clé du problème. Notre mémoire s'intéresse essentiellement au rôle de l'inspecteur du travail dans l'administration publique de la sécurité du travail en Chine. Ces fonctionnaires jouent un rôle important et peuvent parfois exercer leur discrétion en tant qu'acteurs de première ligne, faisant d'eux de vrais décideurs politiques. Par conséquent, la compréhension de leur rôle et de leur discrétion dans l'application des normes du travail en Chine est cruciale. Notre mémoire est centré sur une étude de cas qualitative d'un bureau d'inspection du travail dans la région de Beijing. Dans le cadre de notre recherche nous avons examiné le rôle des inspecteurs du travail au moyen d’entretiens semi-structurés, d’une recherche documentaire ainsi qu’à l’occasion d’une brève observation des inspecteurs sur lors de la visite d’un lieu de travail. Les résultats démontrent que la définition du pouvoir discrétionnaire des inspecteurs du travail de première ligne en Chine est un enjeu très complexe. L’étude de cas permet cependant d’élaborer un cadre permettant l’identification des facteurs critiques déterminants pour l'évaluation et la compréhension de la nature du pouvoir discrétionnaire de l'inspecteur du travail en application de la loi.

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A comparative assessment of the successes and failures of the judicial reform efforts of El Salvador and Brazil in the 1980’s produces striking results. The reforms varied greatly in scope and were conducted in very different socio-political and economic backgrounds. While El Salvador’s reforms seemed narrow and ill-planned, on paper it appeared that Brazil’s broad reforms would be a successful model for any country with a fledgling democracy. Brazil’s reforms were an exercise in constitutionalism, implementing genuine separation of powers and receiving legislative and executive support. I was very surprised that these different approaches produced strikingly similar negative effects on the people’s assessment of the judiciary. From this outcome I concluded that while judicial reform of a corrupt or inefficient judiciary is an important step in ensuring the rule of law in society, it can not be the vehicle through which democratic reform is implemented. Quite to the contrary, for successful judicial reform to take place there must be considerable penetration of the law in society through enforcement of unbiased legislation, consistency in the laws and their enforcement, and sufficient time for the reform to have an effect on society.

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This thesis is an attempt to explore the problems faced by Indian Women and to examine the ways in which the human rights of women could be better protected in the light of international movements with special reference to national legislation and judicial decisions.The evolution of human rights from early period to Universal Declaration of Human Rights, 1948 is traced in the first chapter. The second chapter deals with the evolution of human rights in India. The evolution of fundamental rights and directive principles and the role played by the Indian Judiciary in enforcing the human rights enumerated in various international instruments dealing with human rights are also dealt with in this chapter. The rights guaranteed to women under the various international documents have been dealt with in the third chapter.It is noticed that the international documents have had their impact in India leading to creation of machinery for protection of human rights. Organised violations of women's rights such as prostitution, devadasi system, domestic violence, sexual harassment at workplaces, the evil of dowry, female infanticide etc. have been analysed in the light of existing laws and decisional jurisprudence in the fourth chapter. The fifth chapter analyses the decisions and consensus that emerged from the world conferences on women and their impact on the Indian Society and Judiciary. The constitutional provisions and legislative provisions protecting the rights of women have been critically examined in the sixth chapter. Chapter seven deals with various mechanisms evolved to protect the human rights of women. The eighth chapter contains conclusions and suggestions.

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The Honda workers’ strike in 2010 attracted world wide attention. It was one of thousands of labor disputes that happen every year in China, but it was the first major calling for the right of workers to represent themselves in collective bargaining. The question of representation is therefore the main topic of the book. The various contributors to this volume share the view that the Chinese party-state takes the protest against social inequality seriously. It has enacted many laws aimed at channeling dissatisfaction into safe channels. The implementation of these laws, however, lags behind and these laws do not include the right of freedom of association. Without this right, super-exploitation will persist and the system of labor relations will remain prone to eruptive forms of protest. The first part of the book provides an overview of the economic context of Chinese labor relations, the transformation of class-relations, the evolution of labor law, and government policies intended to set a wage floor. Based on extensive field research, the second part looks at the evolution of labor relations at the industry level. In the third part, the focus shifts to the Corporate Social Responsibility agenda in China. The final part looks at the connection between land reform and social inequality.

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The United States of America and the European Union are currently negotiating a Transatlantic Trade and Investment Partnership (TTIP). It is one of the most ambitious free trade and investment initiatives, going much further than eliminating tariffs. TTIP mainly aims at reducing “non-tariff barriers”. While tariffs on goods have been imposed with an eye to foreign competition, most of the non-tariff barriers are the laws and regulations that are the result of social struggles for the protection of consumers and workers. It is therefore certain that TTIP will impact workers. This volume provides a preliminary assessment of the likely consequences for labor by: - providing an overall introduction to the TTIP negotiations; -assessing the reliability of the studies claiming employment gains; - highlighting specific problematic proposals such as the investor-to-state dispute settlement mechanism; - presenting the position of organized labor from both sides of the Atlantic. / Among the contributors are Stefan Beck (Kassel), Lance Compa (Ithaca, New York), Pia Eberhardt (Brussels) and Werner Raza (Vienna).

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This article aims to present an approach to the issue of farm or rural zone workers, including a labour law study of agrarian legal decisions, so as to demonstrate their importance in respect to social, economic and cultural rights in Colombia. The study will serve to illustrate through the history, the applicable law and the jurisprudence, the different ways in which farmers have been treated from the time of the origin until the arrival of modern systems of industrialization. It calls into question the effectiveness of existing laws and the role of the courts, in spite of globalization, to maintain the minimum rights and guarantees of farm workers who are considered to be a vulnerable population. In conclusion, this study seeks to illustrate the current role of the Labor law and the National Health Service in the area of demonstrating of the existence or absence of mechanisms to protect workers in rural areas and the need to create some mechanisms that involve social justice given its prime importance in the Constitution of 1991.

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Information about organochlorine pesticides legislation in Venezuela was recovered, using the search engine Google. Progress and setbacks was analyzed, with information about imports, exports, inventories, storage sites, controls and actions taken for disposal and participation in international conventions. The country appears to have adequate legislation, however, greater consistency of laws and decrees are required. Update the technical rule is necessary and increases the capacity to monitoring, identification and elimination of organochlorine pesticides.

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Colombia suffers from one of the longest civil conflicts in the world, which is believed to have had several consequences on the country’s economic and development performance. This study uses measures of central government deterrence effort as instruments of conflict to estimate the impact of conflict on children’s time allocation to two different types of work: housework and work performed outside the household for poor families living in small municipalities in Colombia. I find that conflict significantly increases the amount of time children allocate to work. Both housework, for girls, and work outside the household, for boys, increase with Guerrilla attacks. However, the later effect is the opposite for Paramilitary attacks.

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The relative stability of aggregate labor's share constitutes one of the great macroeconomic ratios. However, relative stability at the aggregate level masks the unbalanced nature of industry labor's shares – the Kuznets stylized facts underlie those of Kaldor. We present a two-sector – one labor-only and the other using both capital and labor – model of unbalanced economic development with induced innovation that can rationalize these phenomena as well as several other empirical regularities of actual economies. Specifically, the model features (i) one sector ("goods" production) becoming increasingly capital-intensive over time; (ii) an increasing relative price and share in total output of the labor-only sector ("services"); and (iii) diverging sectoral labor's shares despite (iii) an aggregate labor's share that converges from above to a value between 0 and unity. Furthermore, the model (iv) supports either a neoclassical steadystate or long-run endogenous growth, giving it the potential to account for a wide range of real world development experiences.

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The theory of reciprocity is predicated on the assumption that people are willing to reward nice or kind acts and to punish unkind ones. This assumption raises the question as to how to define kindness. In this paper we offer a new definition of kindness that we call “blame-freeness.” Put most simply, blame-freeness states that in judging whether player i has been kind or unkind to player j in a social situation, player j would have to put himself in the strategic position of player i, while retaining his preferences, and ask if he would have acted in a manner that was worse than i did under identical circumstances. If j would have acted in a more unkind manner than i acted, then we say that j does not blame i for his behavior. If, however, j would have been nicer than i was, then we say that “j blames i” for his actions (i’s actions were blameworthy). We consider this notion a natural, intuitive and empirically relevant way to explain the motives of people engaged in reciprocal behavior. After developing the conceptual framework, we then test this concept in a laboratory experiment involving tournaments and find significant support for the theory.

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Aquesta tesi doctoral té quatre objectius fonamentals: 1) analitzar la legislació espanyola i catalana referent a l'escola unitària i cíclica -altrament dita escola rural, escola incompleta o escola petita- des de final del segle XIX fins avui; 2) analitzar la política educativa teòrica i real que s'ha aplicat a aquest tipus d'escola des del final del segle XIX fins avui; 3) analitzar l'evolució del mapa escolar de les comarques gironines -i més concretament l'evolució de l'escola unitària i cíclica- durant el període 1970-1998; i 4) copsar les característiques bàsiques de les escoles unitàries i cícliques de les comarques gironines que impartien docència durant el curs 1997-98. L'aconseguiment d'aquest objectius han estat precedits i condicionats a la vegada per l'emmarcament teòric que hem elaborat i per la metodologia que hem aplicat. Pel que fa als aspectes pròpiament teòrics hem establert a grosso modo dues reflexions bàsiques: a) l'escola unitària i cíclica ha experimentat un procés de transformació notable des del final de la dècada dels 70 fins avui dia, i b) l'escola unitària i cíclica té un gran potencial pedagògic, relacional i humà arran dels "límits" objectius que té. En l'emmarcament teòric afirmem que l'escola "petita" ha evolucionat -sempre en termes generals- d'una manera positiva gràcies a la confluència de diversos factors. D'una banda cal parlar del paper assumit per bona part dels "mestres rurals", els pares i mares, els moviments de renovació pedagògica, el Secretariat d'Escola Rural de Catalunya, els sindicats i alguns partits politics, l'administració educativa i darrerament, el Grup Interuniversitari d'Escola Rural. D'altra banda, no podem oblidar que la millora de l''escola unitària i cíclica també es deu, segons el nostre parer, a l'emergència d'un discurs positivitzador així com a la revalorització social dels pobles "petits" (amb pocs habitants) i especialment dels que tenen una estructura rural. En l'emmarcament teòric també afirmem que l'escola unitària i cíclica compta amb un escenari educatiu privilegiat per impartir una educació més flexible i més oberta. Això es deu, entre altres aspectes, a allò que durant molt de temps s'ha considerat límits estructurals o dèficits: nombre reduït d'alumnes, nombre reduït d'unitats o aules, pocs mestres, espai escolar escàs i a més, molt poc fragmentat, etc. Tots aquests elements, que constitueixen els trets bàsics i més essencials de les escoles unitàries i no tant de les cícliques més grans, propicien allò que B. Bemstein anomena: un text pedagògic integrador, una classificació feble del currículum, un emmarcament dèbil de les relacions socials i una pedagogia invisible. La metodologia que s'ha utilitzat per aconseguir els objectius que hem esmentat es caracteritza per ser plural i per combinar els mètodes quantitatius i els qualitatius. L'objectiu nº1 s'ha aconseguit a través del buidatge i de la interpretació de la normativa referida al nostre objecte d'estudi. L'objectiu nº2 s'ha aconseguit mitjançant l'anàlisi global de la normativa anteriorment comentada i a través de dades estadístiques que provenen de diversos censos escolars. L'objectiu nº3 s'ha acomplert mitjançant el buidatge de les Fulls d'Estadística i dels Fulls d'organització pedagògica (elaborats pel MEC pel Departament d'Ensenyament respectivament). I el darrer objectiu s'ha aconseguit mitjançant l'elaboració d'un qüestionari adreçat a tots els directors i als mestres en plantilla de les escoles unitàries i cícliques. També s'ha elaborat una entrevista semiestructurada que s'ha passat a vuit persones relacionades amb l'escola que aquí ens ocupa. I per últim, també s'ha practicat l'observació participant en una dotzena de centres. Les principals conclusions que hem obtingut -seguint l'orde dels objectius i considerant el que hem exposat en parlar de l'emmarcament teòric són les següents: 1) La política educativa teòrica sobre l'escola unitària i cíclica s'estructura, pel que fa a l'àmbit de l'Estat Espanyol, a l'entorn de set períodes: i) 1838-1910. Des de les instancies governamentals s'accepta aquest tipus d'escola per bé que s'estableixen diferències notables entre les escoles "petites" del món rural i les del món urbà. ii) 1910-1931. S'inicia una política educativa poc favorable perquè s'insta a la graduació de les escoles unitàries i cícliques, malgrat ho facin d'una manera poc ortodoxa. iii) 1931-1939. La política de construccions escolars de la República contempla i fins i tot discrimina d'una manera positiva les escoles incompletes. iv) 1939-1955. EI franquisme de la postguerra tolera, almenys de manera oficial, la presencia i la construcció de noves escoles "petites" per bé que a mesura que s'avança només preveu que es construeixin en el medi rural. v) 1955-1970. S'inicia un procés d'asfíxia que acaba prohibint la construcció d'escoles incompletes. vi) 1971-1982. S'aguditza la política del període anterior. vii) 1982-1995. S'enceta . una política educativa sensible amb l'escola unitària I cíclica. Pel que fa a Catalunya, la política educativa teòrica s'estructura en dos períodes: a) 1981-1987. Es projecta una política més aviat grisa i poc ambiciosa, i b) 1987 fins als nostres dies. Desenvolupament d'una política que, en alguns aspectes, es mostra a favor de l'escola "petita". 2) Malgrat que durant molt temps l'escola unitària cíclica, tant en l'àmbit espanyol com en el català, no hagi tingut una política teòrica favorable ha perdurat fins el dia d'avui. Per fer-nos una idea del que ha representat aquest tipus de centres pensem que són significatives les afirmacions següents: i) L'escola unitària i cíclica és l'única escola pública que existeix a l'Estat espanyol fins al final del segle XIX, ii) L'escola unitària i cíclica augmenta de manera progressivament dades absolutes- fins el 1935, iii) L'escola unitària i cíclica és el tipus de centre més representat -considerant la resta de centres- fins al final de la dècada dels 60. 3) Durant el període 1970-1998 constatem que el mapa escolar de les comarques gironines s'ha transformat notablement arran, tal com succeeix en el conjunt de l'Estat espanyol, de l'expansió progressiva de l'escola graduada o completa. Al curs 1970-71 les comarques gironines tenien 34 escoles graduades (que representaven el 10,9% dels centres públics gironins) i 279 escoles incompletes (149 escoles cícliques 1130 d'unitàries que representaven el 89,1% del total). Al curs 1997-98, en canvi, hem comptabilitzat 111 escoles completes (54,7% dels centres públics) i 92 d'incompletes (72 escoles cícliques i 20 d'unitàries que representen el 45,3%). Malgrat aquesta davallada cal fer pal·lès que avui dia l'escola unitària i cíclica és majoritària (representa el 50% o més dels centres públics) en quatre de les comarques gironines: l'Alt Empordà, el Baix Empordà, la Garrotxa i el Pla de l'Estany. 4) Pel que fa al darrer objectiu, així com els dos aspectes principals que hem plantejat en el marc teòric arribem a les conclusions següents: L'escola unitària i cíclica de les comarques gironines si bé és cert que en termes generals ha millorat notablement -ha millorat la infraestructura, ha incrementat el material didàctic, ha incorporat mestres especialistes, etc.- no ha assolit encara la plena normalització. Avui dia encara trobem escoles que per deixadesa de l'ajuntament no tenen telèfon, l'edifici no es troba en bones condicions, el pati no reuneix les condicions mínimes, etc. D'altra banda, més del 90% d'aquests centres no disposen de mestre d'educació especial. També considerem important remarcar el fet que una part considerable dels centres estudiants no tenen serveis paraescolars de primera necessitat: el 50% no té menjador, el 72,7% no té llar d'infants i el 76,2% no té transport escolar. Per acabar, només cal dir que si bé l'escola incompleta de les comarques gironines imparteix una educació de qualitat i renovadora, no totes les escoles exploten al màxim les potencialitats educatives i relacionals que els atribuïm en l'emmarcament teòric. Conseqüentment no totes apliquen una pedagogia invisible en el sentit Bemstenià del terme. Si bé el 75% dels centres utilitzen, de manera parcial, una modalitat de transmissió difusa perquè utilitzen una pedagogia activa, no podem oblidar que només una minoria -que no arriba al 3%- s'atreveix a prescindir -i només en determinades circumstàncies- dels llibres de text. Les relacions de poder, de jerarquia, i control només són difuses en unes poques escoles ja que l'elaboració de les normes i l'aplicació de les sancions corre a càrrec del mestre en el 75,7% i en el 58% dels centres respectivament. Les regles de seqüència són flexibles en el 68% dels centres perquè adapten el ritme d'aprenentatge a l'especificitat de cada alumne, però molt poques escoles, el 12,4%, són les que alteren amb certa assiduïtat l'ordre del currículum.

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There is a clear relationship between citizenship and labor market. While foreign nationals are equal in dignity and rights in the laws governing the employment of this labor force. Motivated by reasons of state security or political direction, such laws to a greater or lesser degree, create establish a system of worker protection in the face of the foreign national. These rules have a direct impact on economic regulation, as they can affect the supply of skilled labor or not, articulating with the economic order envisaged by the 1988 Constitution. The Constitution adopts several principles in its economic order, so that the issues involving the rules of the nationalization of all work must be considered in a systematic way, one can not choose a pleasure interpreter. The nationalization of the work rules are not unique to Brazil, similar rules exist in several countries of South America and Africa. In Europe they already existed, but lost out on the basis of treaties setting up the European Union, although other mechanisms are used for the purpose of protecting the citizens of the member states, making policies equal treatment legislation symbolic. The nationalization of the work rules governing the relationship between nationality and the labor market and are in a legal category, which has a function to fulfill in the Brazilian legal system. Not all rules nationalization violate the principle of equality, as it is possible, depending on the circumstance indeed adopt a criterion that implies differentiation between nationals and foreigners. The Constitution has a will arising from its normative force, so that the assumptions it (constitution) used to discriminate may also be possible by ordinary legislation, since the situation is actually justifiably constitutional