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Books > Law > Laws of other jurisdictions & general law
Immigration Law in South Africa outlines the existing law
applicable to foreigners as reflected in the Immigration Act, the
Citizenship Act, the Domicile Act and the Extradition Act as at 31
July 2017. The book also draws attention to the policy shifts by
the South African government in the White Paper on International
Migration, the Border Management Act, and the Discussion Paper on
the repositioning of the Department of Home Affairs within the
security cluster. Immigration Law in South Africa comprises three
parts. Part One contextualises migration at an international level
and within South Africa. This part discusses the concept of
migration in the context of South Africa and on the international
stage and how the human rights perspective has developed the notion
of migration in South Africa. Part Two examines South African
immigration law specifically - whom the state allows to enter and
leave, who is considered undesirable or prohibited, permanent
residence, and the various types of short-term visas that are
offered to foreigners. Part Three considers the penalties that
South Africa can impose on foreigners who violate the immigration
laws of South Africa: the deportation, detention and extradition
laws relating to immigrants in South Africa are examined.
This theoretically ambitious work combines analytical,
institutional and critical approaches in order to provide an
in-depth, panoramic and contextual account of European Union
citizenship law and policy. Offering a refreshing perspective on
the origins, evolution and trajectory of EU citizenship law, Dora
Kostakopoulou explores recent developments, controversies and
challenges, including Brexit, and fills a lacuna in the existing
literature. Through an interdisciplinary approach, this insightful
book combines legal studies with normative political theory,
political science, sociology and critical migration studies in
order to arm readers with the tools required to appreciate and
understand the constructive potential and transformative effects of
this fascinating and unique institution. Provocative and
forward-thinking, it provides glimpses of an alternative future for
EU citizenship. Students and scholars working in European law and
policy, citizenship, migration and internal market law will find
this book to be an engaging and timely read. Its more practical
elements will also appeal to government officials, lobbyists and
practitioners involved in law and policy-making, as well as to
individuals working on transnational processes and globalisation.
Elgar Advanced Introductions are stimulating and thoughtful
introductions to major fields in the social sciences, business, and
law, expertly written by the world's leading scholars. Designed to
be accessible yet rigorous, they offer concise and lucid surveys of
the substantive and policy issues associated with discrete subject
areas. This succinct Advanced Introduction delivers insights into
the pressing technological, political, and legal challenges of
cybersecurity. Exploring cybersecurity threats on both a national
and global scale, it provides guidance on how countries use
domestic and international law to counter crime, terrorism,
espionage, and armed conflict in cyberspace. Key features: Centres
cybersecurity law within the internet as a technology, cyberspace
as a political and governance space, and transformations in
international relations over the past twenty years Tracks how the
development of policies on responding to different cyber threats,
improving cyber defences, and increasing cyber deterrence affects
the use and effectiveness of cybersecurity law Analyses whether the
ongoing evolution of cyber threats changes, or should change, how
countries apply domestic and international law to counter
cybersecurity challenges concerning crime, terrorism, espionage,
and armed conflict This Advanced Introduction is an invaluable
resource for researchers and students of law, public policy, and
international relations focusing on how digital technologies, the
internet, and cyberspace affect world affairs. It also serves as an
accessible entry point for government, corporate, and NGO staff
concerned with cybersecurity law.
This book investigates the law's approach to suicide in England and
Wales. It explores the seismic shift in perceptions of the law's
role in respect of suicide from imprisonment as a punishment for
attempting suicide, to courts hearing arguments about whether there
is not only a right to suicide but also a right to assistance in
suicide. This development stands alongside a global recognition of
suicide prevention as a public health priority. In this book, the
dual priorities of respect for autonomy and the protection of human
life are recognised as equally important and the legal issues
surrounding suicide in a range of different contemporary contexts,
including suicide in prison and juvenile suicide, are considered.
The book also investigates what the relationship between mental
health and suicide means for its legal regulation, and evaluates
the enduring legal offence of assisted suicide, particularly in the
context of the terminally ill. It is argued that a more refined
approach to the topic of voluntary death should be recognised in
the law; one that distinguishes more clearly between autonomous
decision-making about the end of life, and incapacitated
self-caused risks to life that require effective preventative
interventions.
In a short time, Blockchain has gained a spectacular success. Since
its inception, it has been on the headlines and evolved to be one
of those trending technologies that would make a huge impact on the
fast-paced digital world. It has been a game-changing technology
with it's increased efficiency and different kinds of security
features. This book will focus specifically on blockchain for
digital governance. It will provide information on the impact and
challenges of adopting Blockchain in Digital Governance and will
consolidate the current open issues and future research trends of
Blockchain which will have a societal impact. It not only
introduces and explores blockchain technology in Digital Governance
but will demonstrate applications of blockchain in Digital
Governance as well. This book addresses the impact and future
trends of Blockchain especially for Digital Governance, therefore
this book has spectrum of audience which includes under-graduate
and post-graduate students, researchers, academicians, industry
professionals, scientists working in research laboratories, and
more. Hence, the book will be recommended as an instant research
reference in college/university libraries. Apart for these
audiences mentioned above, the book will be informative for general
readers, economists, decision makers in the Government Sectors, and
all interested individuals.
Expertly combining negotiation theory and practice, Negotiation and
Dispute Resolution for Lawyers demonstrates how lawyers can deliver
enhanced levels of service to their clients. Comprehensive and
engaging, the book is a lawyer's guide to resolving conflict,
negotiating deals, preserving important client relationships, and
ultimately becoming truly effective problem solvers. Key features:
Accessible explanation of key concepts relating to negotiation, as
well as less familiar ideas such as planned early dispute
resolution and guided mediation Introduction to the strategies,
tactics and core skills required for effective negotiation and
conflict resolution, including how to overcome cultural and
technological barriers Learning and unlearning processes
facilitated by relevant examples, figures, and practical tools such
as checklists With its broad scope and emphasis on practical
application, this richly detailed book is an essential resource for
lawyers in private practice and in-house corporate counsel. Lawyers
in training will benefit from its nuanced approach to negotiation
within a legal context, helping to broaden their repertoire of
advisory, advocacy, counselling, and process design skills.
This book assesses the role of the doctrine of insurable interest
within modern insurance law by examining its rationales and
suggesting how shortcomings could be fixed. Over the centuries,
English law on insurable interest - a combination of statutes and
case law - has become complex and unclear. Other jurisdictions have
relaxed, or even abolished, the requirement for an insurable
interest. Yet, the UK insurance industry has overwhelmingly
supported the retention of the doctrine of insurable interest. This
book explores whether the traditional justifications for the
doctrine - the policy against wagering, the prevention of moral
hazard and the doctrine's relationship with the indemnity principle
- still stand up to scrutiny and argues that, far from being
obsolete, they have acquired new significance in the global
financial markets and following the liberalisation of gambling. It
is also argued that the doctrine of insurable interest is an
integral part of a system of insurance contract law rules and
market practice. Rather than rejecting the doctrine, the book
recommends a recalibration of insurable interest to afford better
pre-contractual transparency to a proposer as to the suitability of
the policy to his or her interest in the subject-matter to be
insured. Providing a powerful defence for the retention of
insurable interest, this book will appeal to both academics and
practitioners working in the field of insurance law.
This book provides the first comprehensive analysis of the
international law regime of jurisdictional immunities in employment
matters. Three main arguments lie at its heart. Firstly, this study
challenges the widely held belief that international immunity law
requires staff disputes to be subject to blanket or quasi-absolute
immunity from jurisdiction. Secondly, it argues that it is possible
to identify well-defined standards of limited immunity to be
applied in the context of employment litigation against foreign
states, international organizations and diplomatic and consular
agents. Thirdly, it maintains that the interaction between the
applicable immunity rules and international human rights law gives
rise to a legal regime that can provide adequate protection to the
rights of employees. A much-needed study into an under-researched
field of international and employment law.
Elgar Advanced Introductions are stimulating and thoughtful
introductions to major fields in the social sciences, business and
law, expertly written by the world's leading scholars. Designed to
be accessible yet rigorous, they offer concise and lucid surveys of
the substantive and policy issues associated with discrete subject
areas. Written by leading scholar Paul Todd, this Advanced
Introduction draws on the author's decades of experience
researching and teaching maritime law, offering a clear and concise
introduction to the core areas of the field. In addition to
providing a primer on the substance, it explains the worldwide
applications of English law, and surveys the sources of law and how
to locate them. It also highlights some of the difficulties in
interpreting the law and pinpoints which individuals have been
instrumental in doing so, and in making and developing the law. Key
features include: broad but concise coverage of international
sales, carriage of goods by sea, marine insurance and admiralty law
the provision of references and citations for further study
exploration of the recent and likely future developments for the
field. The Advanced Introduction to Maritime Law will be a key
resource for students and non-specialist scholars of commercial
law, transport law and maritime law, while also appealing to
professionals with an interest in expanding their knowledge of the
topic.
The environmental challenges of the twenty-first century have
raised profound questions regarding the suitability of
environmental law to manage the many complex issues at hand. This
insightful book considers how the law has adapted to address these
challenges and considers the ways in which it might be used to cope
with environmental risks and uncertainties, whilst also promoting
resilience and greater equality. The book uses a multi-disciplinary
approach to address the compatibility of law with the notions of
risk and resilience, it scrutinises how capable these approaches
are to effect equitable solutions to environmental risks, and it
raises important questions about multi-level and participatory
governance. Key chapters examine a variety of global experiments in
countries such as China and countries in Latin America, to generate
further governance of the environment, improve the available legal
tools and give a voice to more diverse groups. Students and
scholars across a variety of fields such as environmental studies,
socio-legal studies, law, and risk regulation will find this an
stimulating read. Senior policy-makers in central and local
government, regulators and risk managers will also find this book
imperative in their efforts to manage the dilemmas of environmental
control. Contributors include: F.H. Barnes, D. Curran, C. Holley,
B.M. Hutter, C. Ituarte-Lima, T. Johnson, J. McDonald, L. Patton,
O.W. Pedersen, D. Satterthwaite, E. Sofronova, H. Wang
This forward-thinking book examines numerous features in the
European Union (EU) legal system that serve to reduce legal
uncertainty in the preliminary reference procedure and the rulings
of the Court of Justice. Drawing on theories from legal realist
Karl Llewellyn, legal steadying factors such as legal doctrine and
interpretative techniques are reviewed alongside the primary focus
of this book, extra-legal steadying factors. As well as focusing on
the contribution made by judges' legal backgrounds, John Cotter
also investigates the role of the balance between institutional and
personal independence and accountability. He further applies Karl
Llewellyn's approach and re-models it into a European setting,
identifying the EU legal system features that assist in promoting
decisional steadiness in the preliminary reference procedure.
Exploring also the significance of procedural rules and practices
at the Court of Justice in steadying outcomes, this book will be an
excellent resource for scholars of the EU legal system. Its
analysis of the role of factors that steady the rulings of the
Court of Justice of the European Union will also make this a useful
read for legal theorists interested in examining the factors that
influence judicial decision-making.
For academics, regulators and policymakers alike, it is crucial to
measure financial sector competition by means of reliable,
well-established methods. However, this is easier said than done.
This comprehensive Handbook provides a collection of
state-of-the-art chapters to address this issue. Using the latest
empirical results from around the world, expert contributors offer
a thorough assessment of the quality and reliability of the
prevalent measures of competition in banking and finance. The
Handbook consists of four parts, the first of which discusses the
characteristics of various measures of financial sector
competition. The second part includes several empirical studies on
the level of, and trends in, competition across countries. The
third part deals with the spillovers of market power to other
sectors and the economy as a whole. Finally, the fourth part
considers competition in banking submarkets and subsectors. This
Handbook is an essential resource for students and researchers
interested in competition, regulation, banking and finance.
Politicians, policymakers and regulators will also benefit from the
thorough explanation of the need for anti-trust regulation and
identification of the most reliable competition measures.
Contributors include: A.N. Berger, J.A. Bikker, W. Bolt, J. Bos,
Y.L. Chan, P. Coccorese, M.D. Delis, J. Fernandez de Guevara, Z.
Fungacova, R. Gropp, I. Hasan, J.P. Hughes, D. Humphrey, L.F.
Klapper, S. Kleimeier, C. Kok, S. Kokas, J.W. Kolari, M. Lamers, L.
Liu, J. Maudos, L.J. Mester, C.-G. Moon, N. Mylonidis, S. Ongena,
B. Overvest, V. Purice, R.J. Rosen, H. Sander, S. Shaffer, L.
Spierdijk, D. Titotto, R. Turk-Ariss, G.F. Udell, L. Weill, J.
Yuan, M. Zaouras
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