981 resultados para Costs (Law)--Massachusetts


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"This paper analyzes how expenditures of the city of San Francisco were altered in response to changes in municipal labor costs over the period 1945 through 1976. A hybrid of the "demands" and the "organizational" models of budgeting is used to measure the budgetary response to changes in the relative prices of labor inputs. Descriptive and econometric evidence reveals significant adjustments both among and within departments in reaction to changes in relative labor costs. The empirical evidence demonstrates that the city's budgetary process is guided by simple allocative rules modified by price-responsive adjustments."

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The decision of Henry J in Ginn & Anor v Ginn; ex parte Absolute Law Lawyers & Attorneys [2015] QSC 49 provides clarification of the approach to be taken on a default costs assessment under r708 of the Uniform Civil Procedure Rules 1999

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In Lupker v Shine Lawyers Pty Ltd [2015] QSC 278 Bond J considered the implications for a law practice in relation to its entitlement to recovery of its professional fees when the client terminates a no win no fee retainer.

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In Picamore Pty Ltd v Challen [2015] QDC 067 McGill DCJ considered the nature of a review under r742 of the Uniform Civil Procedure Rules 1999 (Qld) (UCPR) in the context of a review of a costs assessment conducted under the Legal Profession Act 2007 (Qld). His Honour increased the amount that had been allowed by the costs assessor for a number of items. The judgment includes observations about what may appropriately be charged for particular items of legal work.

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This Article analyzes the recognition and enforcement of cross-border insolvency judgments from the United States, United Kingdom, and Australia to determine whether the UNCITRAL Model Law’s goal of modified universalism is currently being practiced, and subjects the Model Law to analysis through the lens of international relations theories to elaborate a way forward. We posit that courts could use the express language of the Model Law text to confer recognition and enforcement of foreign insolvency judgments. The adoption of our proposal will reduce costs, maximize recovery for creditors, and ensure predictability for all parties.

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Although paying taxes is a key element of a well-functioning society, there is still limited understanding as to why people actually pay their taxes. Models emphasizing that taxpayers make strategic, financially motivated compliance decisions seemingly assume an overly restrictive view of human nature. Law abidance may be more accurately explained by social norms, a concept that has gained growing importance as research attempts to understand the tax compliance puzzle. This study analyzes the influence of psychic stress generated by the possibility of breaking social norms in the tax compliance context. We measure psychic stress using heart rate variability (HRV), which captures the psychobiological or neural equivalents of psychic stress that may arise from the contemplation of real or imagined actions, producing immediate physiologic discomfort. The results of our laboratory experiments provide empirical evidence of a positive correlation between psychic stress and tax compliance, thus underscoring the importance of moral sentiments for tax compliance. We also identify three distinct types of individuals who differ in their levels of psychic stress, tax morale, and tax compliance.

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In recent years, the US Supreme Court has rather controversially extended the ambit of the Federal Arbitration Act to extend arbitration’s reach into, inter alia¸ consumer matters, with the consequence that consumers are often (and unbeknownst to them) denied remedies which would otherwise be available. Such denied remedies include recourse to class action proceedings, effective denial of punitive damages, access to discovery and the ability to resolve the matter in a convenient forum.

The court’s extension of arbitration’s ambit is controversial. Attempts to overturn this extension have been made in Congress, but to no avail. In contrast to American law, European consumer law looks at pre-dispute agreements to arbitrate directed at consumers with extreme suspicion, and does so on the grounds of fairness. In contrast, some argue that pre-dispute agreements in consumer (and employment) matters are consumer welfare enhancing: they decrease the costs of doing business, which is then passed on to the consumer. This Article examines these latter claims from both an economic and normative perspective.

The economic analysis of these arguments shows that their assumptions do not hold. Rather than being productive of consumer surplus, the use of arbitration is likely to have the opposite effect. The industries from which the recent Supreme Court cases originated not only do not exhibit the industrial structure assumed by the proponents of expanded arbitration, but are also industries which exhibit features that facilitate consumer welfare reducing collusion.

The normative analysis addresses the fairness concerns. It is explicitly based upon John Rawls’ notion of “justice as fairness,” which can provide a lens to evaluate social institutions. This Rawlsian analysis considers the use of extended arbitration in consumer matters in the light of the earlier economic results. It suggests that the asymmetries present in the contractual allocation of rights serve as prima facie evidence that such arbitration–induced exclusions are prima facie unjust/unfair. However, as asymmetry is only a prima facie test, a generalized criticism of the arbitration exclusions (of the sort found in Congress and underlying the European regime) is overbroad.

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This is the latest edition of a book which is the standard introductory text for newcomers to the legal system of Northern Ireland. After explaining how law-making has evolved in Northern Ireland, particularly since the partition of Ireland in 1921, the book devotes separate chapters to the current constitutional position of Northern Ireland, to the making of legislation and case law for that jurisdiction, and to the influence of EU and European Convention law. It examines the principles of public law applying in Northern Ireland and outlines the role of some of the public authorities there. It then moves to chapters on criminal law and criminal procedure, followed by chapters on private law and civil procedure. It ends by examining the legal professions, legal education, the legal aid regimes and legal costs. There are also appendices with sample sources of law. Throughout the book, the focus is on conveying in comprehensible terms the essential features of this small, but historically very controversial, legal jurisdiction.

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In preparation for this talk I have reviewed cases of interest in the High Courts and Courts of Appeal of England and Wales and Northern Ireland from the past two years or so on professional negligence and liability and principally relating to solicitors.

There are six topics of interest: the general duty of care demanded of solicitors in the carrying out of their professional obligations; whether there is a specific duty on a solicitor to warn or advise a client of any implied risk in, say, a commercial transaction; what is the scope of the duty on a solicitor to explain the content of or clauses in a legal document; a recent case of interest applying the White v Jones principle to a disappointed beneficiary seeking to make a claim against a solicitor who negligently prepared a will; the practical, limitation issue of how to pinpoint in a professional negligence claim when the damage was first sustained by the claimant; and finally some case law here and in England and Wales on the (costs) implications for solicitors relating to any failure to adhere to case management protocols or related court directions.

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Good faith plays a central role in most legal systems, yet appears to be an intractable concept. This article proposes to analyse it economically as the absence of opportunism in circumstances which lend themselves to it. One of the objectives underlying the law of contract on an economic view is to curtail opportunism. In spelling out what this means, the paper proposes a three-step test: bad faith is present where a substantial informational or other asymmetry exists between the parties, which one of them turns into an undue advantage, considered against the gains both parties could normally expect to realise through the contract, and where loss to the disadvantaged party is so serious as to provoke recourse to expensive self-protection, which significantly raises transactions costs in the market. The three-step test is then used to analyse a set of recent decisions in international commercial transactions and three concepts derived from good faith: fraud, warranty for latent defects and lesion.

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Présentation à la Annual Law & Economics Conference 2007, Université de Bologne.

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"Mémoire présenté à la Faculté des études supérieures en vue de l'obtention du grade de maîtrise en droit, option recherche"

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L’auteur s’intéresse à la question de savoir si le droit du travail américain est plus favorable à l’investissement direct étranger (IDE) que le droit du travail québécois dans le contexte de l’ALENA. Pour ce faire, il fait une revue de littérature sur les déterminants de la localisation de l’IDE afin de clarifier l’importance du droit du travail national dans les décisions d’investissement des entreprises multinationales. Celle-ci révèle que la localisation de l’IDE est un processus complexe et multidimensionnel impliquant un grand nombre de facteurs, dont certains sont associés à la demande, d’autres aux coûts, d’autres aux caractéristiques des pays-hôtes, et d’autres, enfin, au risque. Le droit du travail national, bien que revêtant une certaine importance, n’est qu’un facteur parmi d’autres. Elle révèle également que l’importance relative des déterminants de la localisation de l’IDE, incluant le droit du travail national, varie elle-même en fonction d’autres facteurs, comme le secteur d’activité de l’entreprise, sa stratégie, sa taille et la motivation de l’IDE. Ensuite, il fait une étude de droit comparé entre le Québec et le Massachusetts afin d’identifier les principales différences qui existent entre les deux régimes de droit du travail. Cette étude a permis d’identifier des différences importantes entre les deux systèmes étudiés. Ainsi, dans l’ensemble, le droit du travail applicable au Massachusetts se fonde davantage sur les principes de la liberté contractuelle et du laisser-faire que le droit du travail québécois, qui est beaucoup plus interventionniste. Enfin, l’auteur analyse les différences observées dans le cadre de l’étude de droit comparé à la lumière des conclusions de sa revue de littérature sur les déterminants de la localisation de l’IDE. Il en vient à la conclusion que bien qu’à de nombreux égards le droits du travail québécois s’avère plus avantageux que le droit du travail applicable au Massachusetts aux fins de la localisation de l’IDE, c’est plutôt ce dernier qui, de façon générale, s’avère le plus avantageux à ce chapitre. En effet, dans l’ensemble, le droit du travail québécois est susceptible d’imposer des coûts de main-d’œuvre supérieurs et de réduire la flexibilité du marché du travail davantage que le droit du travail applicable au Massachusetts. Or, considérant que le droit du travail national n’est qu’un facteur parmi d’autres dans la décision de localisation de l’IDE, le Québec n’est pas sans moyens. En effet, il possède d’autres avantages comparatifs qu’il peut faire valoir auprès des entreprises qui œuvrent dans des secteurs d’activités où ces avantages concurrentiels sont valorisés et susceptibles d’être exploités. De plus, considérant que le droit du travail national a un importance relative qui varie elle-même en fonction d’autres facteurs, le droit du travail québécois n’a pas nécessairement le même effet sur tous les investisseurs. Enfin, considérant que le droit du travail remplit des fonctions sociales autant que des fonctions économiques, c’est un faux débat que de mettre l’accent uniquement sur les conséquences « négatives » du droit du travail national sur l’IDE. En effet, c’est faire complètement abstraction de la question des coûts sociaux que le droit du travail permet de prévenir au sein d’une société.