The new humanitarian law of armed conflict, 2, Proceedings of the 1976 and 1977 conferences
In: The new humanitarian law of armed conflict 2
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In: The new humanitarian law of armed conflict 2
Analitica dedica gran parte del suo decimo volume (2017) all'indagine della teoria e dell'analisi musicale in quanto prassi influenzata da scelte politiche e pragmatiche, e pienamente inserita in specifici contesti ideologici e sociali. Recentemente, infatti, il dibattito sulle motivazioni e gli scopi della musicologia, considerata come pratica sociale, ha portato a una nuova consapevolezza dei presupposti ideologici e politici dell'analisi musicale [Broman-Engebretsen 2007; Buch-Donin-Feneyrou 2013] e a una storicizzazione delle contrapposizioni introdotte dalla New Musicology nell'ultimo ventennio del Novecento [Agawu 2004; MacCutcheon 2014]. Allo stesso tempo, la progressiva convergenza delle metodologie impiegate nei diversi campi degli studi musicali – dalla musica d'arte alle musiche di tradizione orale, dalla popular music alla musica nel contesto della comunicazione audiovisiva, dall'uso del suono nei nuovi media alle culture non-musicali del suono – ha messo in piena evidenza la stretta relazione tra le pratiche dell'analisi musicale e i loro fondamenti epistemologici, che riflettono, in modo più o meno evidente, precise scelte di politica culturale [van den Toorn 1996; Scherzinger 2001; Schuijer 2008, Campos-Donin 2009; Guilbault 2014; Earle 2015].Analitica dedica gran parte del suo decimo volume (2017) all'indagine della teoria e dell'analisi musicale in quanto prassi influenzata da scelte politiche e pragmatiche, e pienamente inserita in specifici contesti ideologici e sociali. Recentemente, infatti, il dibattito sulle motivazioni e gli scopi della musicologia, considerata come pratica sociale, ha portato a una nuova consapevolezza dei presupposti ideologici e politici dell'analisi musicale [Broman-Engebretsen 2007; Buch-Donin-Feneyrou 2013] e a una storicizzazione delle contrapposizioni introdotte dalla New Musicology nell'ultimo ventennio del Novecento [Agawu 2004; MacCutcheon 2014]. Allo stesso tempo, la progressiva convergenza delle metodologie impiegate nei diversi campi degli studi musicali – dalla musica d'arte alle musiche di tradizione orale, dalla popular music alla musica nel contesto della comunicazione audiovisiva, dall'uso del suono nei nuovi media alle culture non-musicali del suono – ha messo in piena evidenza la stretta relazione tra le pratiche dell'analisi musicale e i loro fondamenti epistemologici, che riflettono, in modo più o meno evidente, precise scelte di politica culturale [van den Toorn 1996; Scherzinger 2001; Schuijer 2008, Campos-Donin 2009; Guilbault 2014; Earle 2015].
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In: Italian Political Science Review: Rivista italiana di scienza politica, Band 32, Heft 3, S. 553-567
ISSN: 0048-8402
Social impact finance has emerged in recent years in response to the crisis of traditional welfare systems and the gradual decrease in public funding to the Third Sector, by offering new financial instruments to convey private capital to social entrepreneurship in order to create positive social impact combined with economic returns (Agrawal and Hockerts, 2019; Daggers and Nicholls, 2016; Hochstadter and Scheck, 2015). The debate on the effective application of these instruments has so far focused on social impact as a measurement for return on invested capital, neglecting the role of motivations driving involved agents (investors and social entrepreneurs). In this work, we investigate the impact of different financial instruments on governance structures and on the motivations of social enterprise stakeholders, both from a theoretical point of view and through pilot experiments that mimic the main features of social impact finance. Our experimental design aims to recreate in the laboratory the relationship between social enterprise, beneficiaries and financiers, including the following characteristics: extremely diversified/personalized goods/services (complexity); quality of the good/service; risk (linked to the effectiveness of the intervention provided) and components related to: information asymmetries, evaluation (impact), parameters of the financial instrument. Starting from this setting, we intend to evaluate the effect on motivations of alternative evaluation methods (input, output, outcome) linked to the financial instrument.
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In: War Department technical manual TME 30-420
Over the last decade, the digitalization of China has been running together with the general growth of the country's economy. The local government has endeavored to provide the country with a modern telecommunication infrastructure and to support the diffusion of mobile technology. Today the number of Chinese net citizens is not far away from reaching 600 million users. However, the censorship system which has always affected the flow of information and content within this country seems not to weaken. Despite the Internet is becoming more and more embedded in people's everyday life, the censorship demonstrates a formidable resilience to adapt to the new platforms made available by this revolutionary tool. A technologic blocking and filtering effort combined with the continuous monitoring and controlling of users' virtual activities makes the best of the so-called 'Great Firewall': a censorship system that would not be possible without the collaboration of the population itself and its willingness to actively practice self-censorship and self-restraint.
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The paper analyzes two recent orders hold by the International Court of Justice in the Armed activities in the territory of the Congo case, concerning the appointment of experts, according to article 50 of the Statute of the Court. The experts will assist the Court in the assessment of the reparation owed to the Democratic Republic of Congo by Uganda for the injuries caused by Uganda as a result of the breach of several international obligations, determined by the Court in the 2005 Judgment. The analysis has the scope to highlight some of the substantial issues relating to the role of Court-appointed experts in the litigations brought before the Court. The need for this investigation is particularly significant, despite the sparing reliance of the power to call experts by the Court. Notwithstanding the great discretion enjoyed, the Court appointed independent experts only in four cases, including the present one. The limited number of precedents rises several questions related both to the function of Court-appointed experts and the Court approach to technical or scientific complexity. Firstly, the article focuses on the function of the experts appointed by the Court in the case, evaluating the terms of reference assigned by the Court. Secondly, the examination attempt to shed light on the approach of the Court in the exercise of its power to use experts. Regard this point, the essay analyses, on the one hand, the relationship between the margin of discretion, enjoyed by the Court in order to use experts, and the relevance of the Jura novit curia principle, in light on the distinction between questions of law and questions of fact. On the other hand, the essay will evaluate the usefulness of the use of experts in the determination of the amount of reparations, in order to underline the methodology employed by the Court in the assessment of damages. Thirdly, the article questioning whether the appointment of independent experts might affect the principles and rules governing the production and the burden of proof in the adjudication before the Court.
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2012/2013 ; Between 1991 and 1995, close to three hundred thousand people were killed in the former Yugoslavia. The international responses to this catastrophe was at best uncertain and at worst appalling. While both the United States and the European Union initially viewed the Balkan wars as a European problem, the Europeans chose not to take a strong stand, restricting themselves to dispatching U.N. "peacekeepers" to a country where there was no peace keep, and withholding from them the means and the authority to stop the fighting. In Bosnia the Europe sought to avoid military involvement, citing every excuse she could think of not to intervene to prevent the genocide of 250.000 Bosnian Muslims, who ultimately died at the hands of their Serbian tormentors. The British and French, too, who had primarily responsibility for dealing with this European problem, had persuaded the United Nations to impose an arms embargo on both sides in the Bosnian war. As often happens, the embargo did little damage to Serbia's military capacities, since their army had inherited the extensive military hardware Yugoslavia had amassed under its former Communist regime. But the embargo did deny the means of self-defense to the poorly equipped majority Muslim population in Bosnia. Unarmed, they could do little to repel the invaders or to protect their villages. Some European leaders were not eager to have a Muslim state in the heart of the Balkans, fearing it might become a base for exporting extremism, a result that their neglect made more, not less, likely. However, from the beginning of Yugoslavia's collapse, Americans divided into two groups, broadly defined: those who thought that Americans should intervene for either moral or strategic reasons, and those who feared that if they did, they would become entangled in a Vietnam-like quagmire. As awareness of ethnic cleansing and genocide spread, the proportion of those who wanted the United States to "do something" increased, but they probably never constituted a majority. Nevertheless, when the situation seemed most hopeless in July 1995 - the United States put its prestige on the line with a rapid and dramatic series of high-risk actions: an all-out diplomatic effort in August, heavy NATO bombing in September, a cease-fire in October, Dayton in November, and, in December, the deployment of twenty thousand American troops to Bosnia. Finally, in late 1995, in the face of growing atrocities and new Bosnian Serb threats, the United States decided to take part in Bosnia, the war was over and the America's role in post-Cold War Europe redefined. There is a lesson here to be learned by Europe that Bosnian Muslims are the best Christians in the world. The policy-makers cannot have a double heart, one for love and other for hate because some European leaders were not eager to have a Muslim state in the heart of Europe. They spoke of a painful but realistic restoration of Christian Europe. Of course Christianity, like any other religion has nothing to do with the barbarities and the greatest collective failure of Europe. The lesson that Western civilization thought it had drawn from the genocide of World War II – "Never again!"- must now be qualified to read: "except when politically inconvenient." ; La tragedia della ex-Jugoslavia e al suo interno quella della Bosnia Erzegovina riguardano pagine straordinariamente sconvolgenti della storia del mondo posto-Ottantanove, addirittura — si può dire — la conseguenza più grave, anche se non diretta, della dissoluzione dell'Unione Sovietica e conseguentemente di quel bipolarismo che aveva "ingessato" tutte le ipotesi o i tentativi di trasformazione degli esiti e delle conseguenze della seconda guerra mondiale. In un'impostazione sostanzialmente di storia politico-sociale, il candidato ricostruisce le vicende che vanno dal 1990 al 1995, ovvero da quella che il candidato chiama "la morte della Jugoslavia" fino all'intervento, decisivo in termini militari, della NATO nel conflitto, che aveva già visto negli anni precedenti emergere la guerra in Slovenia, in Croazia, prima di colpire anche la Bosnia Erzegovina, con la finale Conferenza che porta agli Accordi di Dayton. L'attore centrale di tutta questa vicenda è naturalmente la Serbia di Milosevic, ricordare il quale non fa che aiutarci a veder riapparire i fantasmi di vicende atroci di sterminio di civili, di stupro etnico, di "pulizia etnica", di genocidio. Il candidato fa opportunamente precedere la sua analisi da una cronologia, piuttosto lunga, che consente di scandire con precisione i diversi passaggi di una storia eccezionalmente drammatica. Segue il programma del suo lavoro, con l'indicazione del metodo di ricerca e degli strumenti di cui si è valso. Le cinque parti sostanziali in cui si suddivide il lavoro riguardano la dissoluzione della Jugoslavia, a partire dai falliti tentativi di Tito di salvaguardare l'integrità di quella Federazione, e analizzando attentamente i due "scivolamenti" della guerra in Slovenia dapprima e in Croazia poi. Il candidato analizza la società e la storia della Bosnia Erzegovina, condizione ovviamente preliminare per comprendere gli eventi successivi. Le tre categorie alle quali il candidato riconduce quella vicenda sono il multiculturalismo, la multietnicità e il multiconfessionalismo — tre dimensioni che potrebbero poter essere rispettate e addirittura apprezzate e che invece, in ogni parte del mondo, e più che altrove in Bosnia trovano ostacoli e resistenze violente e sanguinose. Risulta, come il candidato fa notare, adottare l'arma del nazionalismo e delle sue retoriche, impedendo così a ogni pur volenteroso tentativo di portare la democrazia nel proprio paese di trionfare. Il candidato chiarisce, in questo quadro, che la cosiddetta "balcanizzazione" che si fa discendere da quella parte del mondo, non deve essere intesa come un termine negativo ma come la pura e semplice conseguenza dei frequenti interventi esterni che là si sono realizzati. Il candidato dedica non poca attenzione al ruolo degli Stati Uniti nella vicenda, e alle diverse strategie — politiche e militari — adottate: con i devastanti risultati che tuttavia, purtroppo, conosciamo. L'Unione Europea non esce ovviamente meglio dell'alleato d'oltre Atlantico dalla ricostruzione del candidato, che poi giunge anche a ripercorrere le vicende di alcuni importanti uomini politici locali, sopra tutti Izebegovic e Karadzic, l'un contro l'altro schierati. Né sono passate sotto silenzio le vicende di alcune delle pagine più drammatiche: il massacro di Srebrenica, i bombardamenti su Sarajevo e in particolare il secondo bombardamento sul mercato. La risoluzione della crisi giunse, come per incanto, quando la NATO accolse l'invito ONU di intervenire: l'intervento fece tacere le armi, portò agli accordi di Dayton, ma non alla riconciliazione, che dal 1995 ha comunque incominciato il suo lento, ma — sperabilmente — solido cammino. ; XXV Ciclo ; 1982
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The Energy Community is an international organisation which brings together the European Union and its neighbours of South East-Europe and Black Sea Region to create an integrated pan-European energy market. The Treaty establishing the Energy Community was signed in October 2005 in Athens and entered in force in July 2006. Its key objective is to extend the EU internal energy market rules and principles to the Contracting Parties (the non-EU members of the Energy Community) on the basis of a legally binding framework. This Master's Thesis provides an analysis of the implementation of the EU Third Energy Package in the Energy Community, which asked of the Contracting Parties a more stringent effort to open their national energy sectors and stimulate cross-border energy trade. Liberalising energy markets however is not an easy process. When it is hindered by non-transposition or skirted by non-implementation of the Energy Community law, the construction of a pan-European energy market is in turn hampered and delayed. The current, weak and politically biased Dispute Settlement mechanism of the Energy Community, together with the absence of a Court, does not effectively incentivize the Parties to rectify the breaches of the Energy Community acquis (the EU acquis transposed by the Energy Community). This Thesis intends to demonstrate that, in spite of the shortcomings of such a mechanism, the Energy Community Secretariat -the central coordinating body of this organisation- has greatly contributed to strengthen the degree of enforcement of the Energy Community acquis in the Contracting Parties. In particular, it has been playing an important role in implementing liberalisation in energy markets and in furthering cross-border energy trade among them. Chapter I describes the evolution of the Energy Community: conceived as a pre-accession tool for the post-war South-East European countries in the EU, it turned into the main instrument of the EU external energy policy. Indeed, the accession of some European Neighbourhood Policy countries (namely, Moldova, Ukraine, and Georgia) demonstrates that even in the absence of the EU membership prospective there is still a will to share the same internal energy market with the EU. Chapter II provides a legal analysis of the Treaty. In addition to explaining features and scope of the Energy Community's policies, it describes the decision-making process, the institutional framework, and the EU participation in the Energy Community institutions. Chapter III analyses the functioning of the Dispute Settlement system and highlights its weaknesses: it is diplomatic (and not judicial) in nature, sanctions are ineffective, and investors are not adequately protected. Then, the Chapter studies the amendments recently adopted to enhance the Dispute Settlement procedure and also illustrates the Dispute Resolution and Negotiation Centre established in 2016. Chapter IV, firstly, goes into further detail about the Secretariat's powers within the Dispute Settlement system, and then it shows the how the Secretariat wisely deploys its room for manoeuvring in order to ensure the correct application of the Energy Community law by the Parties of Treaty. The Chapter aims to prove that the Secretariat has been actively working for the enforcement of the Energy Community acquis, and primarily for the identification of those obstacles which impede the full liberalisation and regional integration of the Contracting Parties' energy markets. Finally, the Thesis concludes with a case study which results emblematic in showing the pivotal role of the Secretariat in implementing liberalization in the Energy Community market. Case ECS-2/17 deals with the Opening Letter sent to Ukraine in August 2017, where the Secretariat took the preliminary view that certain aspects of Ukraine's Public Service Obligations Regulations were non-compliant with the Energy Community acquis and prevented the opening up of the national natural gas market.
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This work aims at shedding some light on public and private roles in biopharmaceutical innovation. After reviewing the pillars of neoclassical and evolutionary theories of technical change, we analyse current innovation policy devices; among them, we focus on the patent system. As suggested by historical and empirical literature, the effectiveness of patents in spurring innovation is all but uncontroversial. Real-world technical change, in fact, results from the interaction of heterogeneous actors belonging to complex "innovation systems". In this context, typical of the biopharmaceutical industry, the role of the government is likely to be decisive and invisible at the same time, hidden by a tight network of licensing and technological transfer agreements. In order to unveil the public hand, we propose a patent analysis aimed at identifying the value and the characteristics of public and private biopharmaceutical innovation. The analysis is conducted over two datasets: the first one collects patents from the USPTO Cross-Related Art References 514.810-935 granted between 1976 and 2006; the second one was built by Sampat and Lichtenberg (2011) and includes all patents associated to New Molecular Entities (NMEs) approved by the Food and Drug Administration (FDA) from 1988 to 2005. We find that public and academic patents result in greater knowledge externalities as measured by forward patent citations. Furthermore, public and academic patents are on average more original and more general than their private counterparts. However, these results hold only for the first dataset, suggesting that a better-rounded vision of biopharmaceutical innovation dynamics may be achieved only through a microscopic approach, investigating the characteristics of public and private R&D over different therapeutic areas and at different levels of the innovation chain.
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This thesis investigates presumptive effects of the political participation on the economic growth through social capital accumulation. In the second section, by using an endogenous growth model, we examine the issue with a comparison of two economic systems; decentralized and centralized economy in the latter of which the representative household internalizes all externalities in social, productive and private sector, in contrast to the decentralized economy. In the third section, we approach the same point by adopting an efficient bargaining model in which we assume that average level of the political participation is a contributor to the labour union's bargaining strength. Upon this approach, we develop a comparative analysis by solving the representative household optimization problem in two different scenarios, with and without efficient wage hypothesis. We demonstrate that there exists an effect of the political participation resulting in a positive stationary growth rate in all models. Moreover, we found the average level of political participation to be correlated with the bargained wage rate and the bargained employment rate under the ef- ficient wage hypothesis.
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In: Labour & industry: a journal of the social and economic relations of work, Band 15, Heft 1, S. 65-79
ISSN: 2325-5676
Nel corso degli ultimi decenni si è assistito a un radicale cambiamento nella formazione e nel ruolo sociale dello psichiatra, che da "pensatore" si è trasformato in "operatore". Un grande numero di fattori, scientifici, medici, formativi, culturali, sanitari, organizzativi, politici, legali, ha contribuito a questo cambiamento. Nella realtà professionale questi fattori possono essere simboleggiati come "voci" interne dello psichiatra, che automaticamente ne limitano o inibiscono l'attitudine al pensiero autonomo, decaduta a vantaggio della necessità di operare praticamente in un ruolo professionale vissuto con sempre minore consapevolezza e profondità culturale. L'impoverimento del senso di identità scientifica e culturale dello psichiatra, a cui si chiede sempre meno di "pensare", corrisponde a un cambiamento delle attese da parte della società, che gli chiede essenzialmente di "operare". In un'ottica di metafora scientifica, il "crollo" dell'attitudine mentale dominata da questi fattori potrebbe ridare forza allo spessore culturale e al ruolo sociale dello psichiatra. ; SUMMARY. Over the last few decades there has been a radical change in the education and social role of the psychiatrist, who from "thinker" has transformed into "operator". A large number of scientific, medical, educational, cultural, health, organizational, political and legal factors have contributed to this change. In the professional reality these factors can be symbolized as internal "voices" of the psychiatrists, who automatically limit or inhibit their aptitude for autonomous thinking, lapsed to the advantage of the need to operate practically in a professional role lived with ever less awareness and cultural depth. The impoverishment of the psychiatrist's sense of scientific and cultural identity who is being asked less and less to "think", corresponds to a change in expectations on the part of society, which essentially asks him to "operate". From a scientific metaphor perspective, the "breakdown" of the mental attitude dominated by these factors could restore strength to psychiatrist's cultural depth and social role.
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As biodegradable film, edible films and coatings can be a good answer to environmental pollution requirement. However, due to its hydrophilic nature they cannot fully replace the polymer film, but they can partially satisfy the legislation requirements. By acting as mass transfer barriers, edible film and coating can control moisture, oxygen, carbon dioxide, lipid, flavour and aroma transfer either between food components or to/from the atmosphere surrounding the food. In fact, respect to biodegradable packaging, they can be applied on the food and consumed with it. This can reduce the requirements of the synthetic polymer. Thus, the amount of synthetic packaging is reduced, recyclability is increased, and the need of synthetic laminates is diminished. Biopolymers are quite abundant in nature and have previously been regarded as surplus or waste. In order to improve film or coating properties biopolymers must be combined in new and creative ways. For this reason it is interesting to investigate different matrices, parameters and factors that may influence the properties of the films in order to optimize the performance of edible films and coatings and to understand the relationships between structure and properties. The production of edible film by combining various polysaccharides, proteins and lipid is considered beneficial because there is the advantage of the properties of each compound and the synergy between them. The attributes that each component contributes to overall film properties are different too. The aim of this work was to investigate the effect of compounds on structure and functional properties of hydrocolloids based films. The results will help to develop a coating system with specific properties, such as solubility, barrier and mechanical properties, to control physiological, microbiological and physicochemical changes in food products, with an improvement of the food quality and an increasing of their shelf-life. To reach this objective the research was articulated in three study cases. I STUY CASE Effect of rosemary oil on functional properties of hydroxyl propyl methyl cellulose films. Edible films based on hydroxyl propyl methylcellulose (HPMC) obtained with different concentrations of rosemary oil (0.0, 0.4, 0.7, 1.0, 2.0) were prepared. In order to study the impact of the incorporation of rosemary oil into the HPMC matrix, microscopy analysis mechanical properties, and water vapour permeability (WVP) were evaluated. Results showed the structure of HPMC film was affect by rosemary oil concentration. Probably, most oil had migrated toward the evaporation surface. This phenomena was most evident to maximum oil concentration for 2%HPMC film for low viscosity of HPMC solution. For dynamical mechanical analysis, it must be highlighted that for these films an higher variability of the data was measured respect to film at 2% of HPMC, thus from a statistically point of view not significant differences can be highlighted among samples at different oil concentration. WVP of HPMC films increased as increased HPMC concentration for increased of hydrophilic groups. Rosemary oil improve water barrier properties only to 0.4% concentration oil of 6% HPMC films. II STUDY CASE: Structure and properties of Hydroxy propyl methyl cellulose-sodium caseinate film cross-linked by Transglutaminase The objective of the present work was to study the structure and the functional properties of Hydroxypropil methyl cellulose (HPMC)-sodium caseinate (SC) edible films cross linked with TGase. SDS-PAGE, scanning electronic microscopy and dynamical mechanical analysis were performed to investigate the structure of the films. Film performance were studied by means of solubility test, thickness, mechanical properties and water vapour permeability. Results show that structure and functional properties of HPMC/CS films were affected by the film composition. In particular, the number of cross-links within the blend edible films is function of HPMC/SC ratio and increased by increasing the protein concentration, but only for HPMC concentration less than 50%. The cross linked structure in presence of protein can enhance blend film solubility but only at specific ratio HPMC/SC, maybe due to immiscibility lacunas. Mechanical properties confirmed the positive role of polysaccharides on the film stiffness, but the negative effect on film extensibility. In contrast, the different ratio of HPMC/CS film did not affect the permeability to water vapour of the films, showing that it is the hydrophilic nature of the polymer that play the major role in determine the barrier properties of the films. III STUDY CASE Food application of sodium caseinate cross linked with trasglutaminase edible film: oil absorption reduction on French fried potatoes The objective of the present work was to assess the oil barrier properties of Sodium caseinate film coated on potato surface. Sodium caseinate coating at two concentration were prepared and applied on the potato surface by immersion for 5 minute. The product was dried to allow the film formation on the food surface. Coated and uncoated potato were fried for 3 minute in oil at 190°C and then the absorbed oil was determined by extraction with n-hexane. Preliminary results showed that the sodium caseinate film to concentration tested did not reduce oil absorption during frying process. Because oil absorption depends by several factor including formulation coating and the homogeneity of the coated surface, we hypothesized that was need to optimized coating formulation.
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