980 resultados para Carrier Sanctions
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Glyphosate is an herbicide that inhibits the enzyme 5-enolpyruvyl-shikimate-3-phosphate synthase (EPSPs) (EC 2.5.1.19). EPSPs is the sixth enzyme of the shikimate pathway, by which plants synthesize the aromatic amino acids phenylalanine, tyrosine, and tryptophan and many compounds used in secondary metabolism pathways. About fifteen years ago it was hypothesized that it was unlikely weeds would evolve resistance to this herbicide because of the limited degree of glyphosate metabolism observed in plants, the low resistance level attained to EPSPs gene overexpression, and because of the lower fitness in plants with an altered EPSPs enzyme. However, today 20 weed species have been described with glyphosate resistant biotypes that are found in all five continents of the world and exploit several different resistant mechanisms. The survival and adaptation of these glyphosate resistant weeds are related toresistance mechanisms that occur in plants selected through the intense selection pressure from repeated and exclusive use of glyphosate as the only control measure. In this paper the physiological, biochemical, and genetic basis of glyphosate resistance mechanisms in weed species are reviewed and a novel and innovative theory that integrates all the mechanisms of non-target site glyphosate resistance in plants is presented.
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Service provider selection has been said to be a critical factor in the formation of supply chains. Through successful selection companies can attain competitive advantage, cost savings and more flexible operations. Service provider management is the next crucial step in outsourcing process after the selection has been made. Without proper management companies cannot be sure about the level of service they have bought and they may suffer from service provider's opportunistic behavior. In worst case scenario the buyer company may end up in locked-in situation in which it is totally dependent of the service provider. This thesis studies how the case company conducts its carrier selection process along with the criteria related to it. A model for the final selection is also provided. In addition, case company's carrier management procedures are reflected against recommendations from previous researches. The research was conducted as a qualitative case study on the principal company, Neste Oil Retail. A literature review was made on outsourcing, service provider selection and service provider management. On the basis of the literature review, this thesis ended up recommending Analytic hierarchy process as the preferred model for the carrier selection. Furthermore, Agency theory was seen to be a functional framework for carrier management in this study. Empirical part of this thesis was conducted in the case company by interviewing the key persons in the selection process, making observations and going through documentations related to the subject. According to the results from the study, both carrier selection process as well as carrier management were closely in line with suggestions from literature review. Analytic hierarchy process results revealed that the case company considers service quality as the most important criteria with financial situation and price of service following behind with almost identical weights with each other. Equipment and personnel was seen as the least important selection criterion. Regarding carrier management, the study resulted in the conclusion that the company should consider engaging more in carrier development and working towards beneficial and effective relationships. Otherwise, no major changes were recommended for the case company processes.
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In this report, we have reanalyzed genotyping data in a collection of families from South America based on maternal origin. Genotyping analysis was performed at the Craniofacial Anomalies Research Center at the University of Iowa. These genotypes were derived from genomic DNA samples obtained from blood spots from children born with isolated orofacial clefts in 45 hospitals located in eight countries (Argentina, Bolivia, Brazil, Chile, Ecuador, Paraguay, Uruguay, and Venezuela) collaborating with ECLAMC (Latin American Collaborative Studies of Congenital Malformations) between January 1998 and December 1999. Dried blood samples were sent by regular mail to the Laboratory of Congenital Malformations, Federal University of Rio de Janeiro. Previous findings suggested that mitochondrial haplotype D is more commonly found among cleft cases born in South America. We hypothesized that association of certain genes may depend upon the ethnic origin, as defined by population-specific markers. Therefore, we tested if markers in MTHFR (5,10-methylenetetrahydrofolate reductase) and RFC1 (reduced folate carrier 1) were associated with oral clefts, depending on the maternal origin defined by the mitochondrial haplotype. Transmission distortion of alleles in MTHFR C677T and RFC1 G80A polymorphic variants was tested in 200 mother/affected child pairs taking into consideration maternal origin. RFC1 variation was over-transmitted to children born with cleft lip only (P = 0.017) carrying mitochondrial DNA haplotypes other than haplotype D. Our results provide a new indication that variation in RFC1 may contribute to cleft lip only. Future studies should investigate the association between oral clefts and RFC1 based on more discrete phenotypes.
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It is unclear how the principles of meaningful consequences, fair and proportionate accountability, and rehabilitation and reintegration under the Youth Criminal Justice Act (2003) are understood and experienced by youth participating in diversion from youth court. Interviews with 20 youth revealed that, from their understanding, extrajudicial sanctions were viewed as accomplishing the goals of meaningful consequences and fair and proportionate accountability relatively well, but less emphasis was placed on rehabilitation and reintegration. The findings suggest that there may be a need an examination of the spectrum of responses available to youth under the umbrella of Extrajudicial Sanctions and their ability to achieve the key principles of the legislation. Implications for both youth and policy are addressed.
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Tesis (Maestría en Ciencias de la Administración con Especialidad en Producción y Calidad) - U.A.N.L., 2001
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"Thèse présentée à la Faculté des études supérieures en vue de l'obtention du grade de Docteur en Droit (LL.D.) et à la Faculté de Droit et de Sciences Politiques de l'Université de Nantes en vue de l'obtention du grade de Docteur"
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En adoptant le nouveau Code civil du Québec, en 1994, le législateur a codifié une obligation commençant à se développer sérieusement en jurisprudence : l’obligation de bonne foi. Plus que le simple antonyme de la mauvaise foi, cette obligation de bonne foi exige maintenant un comportement spécifique de la part des justiciables. Il faut agir selon les exigences de la bonne foi. Celles-ci sont particulièrement importantes en matière contractuelle, puisqu'en plus des articles généraux du tout début du Code civil, le principe de la bonne foi est réitéré dans le chapitre portant sur les contrats. On y prévoit expressément que la bonne foi doit gouverner les relations contractuelles, et ce, à tous les stades de la vie contractuelle. Notre mémoire s'insère dans cette nouvelle tendance contractuelle. Notre but est d'étudier l'impact de la bonne foi lors de la formation et de l'élaboration du contrat. Cette étude implique de définir et d'analyser les fonctions de l'obligation de bonne foi. En matière de formation et d'élaboration du contrat, une telle analyse ne peut se faire sans une étude détaillée de l'obligation de renseignement, composante essentielle de l'obligation de bonne foi à ce stade de la vie contractuelle. C'est l'étude que nous proposons en première partie de ce mémoire. Cette première partie permettra de constater que l’obligation de bonne foi est une obligation positive de comportement. Les tribunaux utilisent cette obligation pour tenter d'intégrer à la vie contractuelle, une dimension morale comportant des devoirs de loyauté, de collaboration et d'information. Au Québec, la bonne foi est surtout utilisée à des fins interprétative, complétive et limitative du contrat. La deuxième partie de ce mémoire se consacre à l'application des principes dégagés en première partie. Elle permet de constater comment les tribunaux ont, jusqu'à présent, utilisé l’obligation de bonne foi lors de la formation et de l'élaboration du contrat, notamment en la juxtaposant aux vices du consentement. Nous tentons de critiquer cette approche jurisprudentielle et de lui proposer une approche alternative, fondée sur une série de recours spécifiquement et uniquement rattachés à l'obligation de bonne foi. Nous proposerons une série de sanctions spécifiques à l'obligation de bonne foi lors de la formation et de l'élaboration du contrat, le tout en accord avec les fondements de la théorie contractuelle.
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Mémoire numérisé par la Division de la gestion de documents et des archives de l'Université de Montréal
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L’objet de cette étude porte sur la détermination de la sanction à imposer aux policiers ayant été reconnus coupables d’infractions criminelles, sur l’influence de l’article 18.2 de la Charte des droits et libertés de la personne dans cette détermination et sur les méthodes utilisées dans la jurisprudence arbitrale. Deux méthodes de détermination des sanctions s’opposent sur ce sujet, soit la méthode « large et libérale » et la méthode « stricte et littérale ». La méthode de détermination des sanctions « large et libérale » prévoit, entre autres, l’application de l’article 18.2 de la Charte des droits et libertés de la personne. Cette loi est de niveau quasi constitutionnel et prévoit, notamment, l’analyse objective du lien existant entre l’emploi de policier et l’infraction criminelle commise. Quant à la méthode de détermination des sanctions « stricte et littérale », elle résulte de l’application de la Loi sur la police qui est une loi ordinaire prévoyant un régime particulier pour les policiers reconnus coupables d’infractions criminelles. En effet, l’article 119 de la Loi sur la police implique, depuis son remaniement en 2000, la destitution automatique des policiers reconnus coupables d’une infraction criminelle poursuivable uniquement par voie de mise en accusation et la destitution des policiers reconnus coupables d’une infraction criminelle poursuivable soit sur déclaration de culpabilité par procédure sommaire, soit par voie de mise en accusation à moins que le policier ne puisse démontrer que des circonstances particulières ne justifient une mesure différente que la destitution. L’analyse réalisée dans le cadre de cette recherche vise la détermination des sanctions guidant les décisions des arbitres de griefs quant à la situation des policiers accusés et/ou reconnus coupables d’infractions criminelles en cours d’emploi. À cet effet, 25 décisions arbitrales et leurs révisions judiciaires ont été étudiées selon l’analyse de contenu à l’aide d’une grille d’analyse. L’analyse des données obtenues a par la suite été réalisée par l’entremise de l’analyse qualitative.
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Cet article a précédemment été publié par la Revue du Barreau.
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Injectable drug nanocarriers have greatly benefited in their clinical development from the addition of a superficial hydrophilic corona to improve their cargo pharmacokinetics. The most studied and used polymer for this purpose is poly(ethylene glycol), PEG. However, in spite of its wide use for over two decades now, there is no general consensus on the optimum PEG chain coverage-density and size required to escape from the mononuclear phagocyte system and to extend the circulation time. Moreover, cellular uptake and active targeting may have conflicting requirements in terms of surface properties of the nanocarriers which complicates even more the optimization process. These persistent issues can be largely attributed to the lack of straightforward characterization techniques to assess the coverage-density, the conformation or the thickness of a PEG layer grafted or adsorbed on a particulate drug carrier and is certainly one of the main reasons why so few clinical applications involving PEG coated particle-based drug delivery systems are under clinical trial so far. The objective of this review is to provide the reader with a brief description of the most relevant techniques used to assess qualitatively or quantitatively PEG chain coverage-density, conformation and layer thickness on polymeric nanoparticles. Emphasis has been made on polymeric particle (solid core) either made of copolymers containing PEG chains or modified after particle formation. Advantages and limitations of each technique are presented as well as methods to calculate PEG coverage-density and to investigate PEG chains conformation on the NP surface.