scholarly journals Geological and oceanographic data determining the foreshore zone according to the Greek legislation

2006 ◽  
Vol 7 (1) ◽  
pp. 15
Author(s):  
K.G. PEHLIVANOGLOU ◽  
M. RAPPOU ◽  
M. MARTSOUKOU

The available scientific field data of the marine and the coastal enviroment, (wind and wave field data, shallow area bathymetry, coastal area geomorphology and topography, etc.), in addition to deep and shallow wave prediction numerical modelling (by means of wind and bathymetry measurements), calculation of the nearshore wave height and maximum wave run up, were used to support the mapping of the innermost limit of the foreshore zone according to Greek legislation which defi nes that ‘the foreshore is the zone of land wetted by the highest however unexceptional sea wave run up’ and the Supreme Administrative Court standard case law. These methods were applied for two areas, which completely differ as regards the wind and the wave field, the geomorphological and topographical characteristics of the coastal area, suggesting different procedures for the determination of the innermost limit of the foreshore zone. The limits of the foreshore zones for both areas, resulting from the study, are compared to the limits set out by the authorised Administrative Commissions, which were published in the Official Gazette and also were applied by the local authorities for the management of the coastal area.

2007 ◽  
Vol 40 (4) ◽  
pp. 1609
Author(s):  
K. G. Pehlivanoglou ◽  
M. Martsoukou

The available scientific field data of the marine and the coastal enviroment, (the wind and the wave field data, the shallow area bathymetry, the coastal area geomorphology and topography, etc.), joint to deep and shallow wave prediction numerical modelling (by means of the wind and bathymetry measurements), calculation of the near shore wave height and maximum wave run up, were used to support the mapping of the innermost limit of the foreshore zone, according to the Greek legislation which defines that "the foreshore is the zone of land wetted by the highest however unexceptional sea wave run up " and the Supreme Administrative Court standard case law. These methods applied for two areas, which completely differ for the wind and the wave field, the géomorphologie and topographic characteristics of the coastal area, proposing different procedures for the determination of the innermost limit of the foreshore zone. The proposed limits of the foreshore zones for both areas, resulted from the study, are compared to the limits proposed by the authorised Administrative Commissions, which were published in the Official Gazette and also were applied by the local authorities for the coastal area management


APAC 2019 ◽  
2019 ◽  
pp. 945-951
Author(s):  
Kyong Ho Ryu ◽  
Choong Hun Shin ◽  
Weon-Mu Jeong ◽  
Won-Dae Baek
Keyword(s):  

Liquidity ◽  
2017 ◽  
Vol 6 (2) ◽  
pp. 103-109
Author(s):  
Yuri Nanda Larasati ◽  
Jafril Khalil

Regulation of the financial services authority (OJK) No. 31/POJK.05/2016 on Venture had arranged that the financial services agency on the basis of the law of pledge is in coaching and supervision OJK. Yet the existence of laws – invitation to Governing Enterprise pawn shops causing business activities conducted by the above parties are not yet regulated. The condition is feared could cause harm to the consumer society. The purpose of this research is to know the procedures, mechanisms, protection of goods and guarantee the consumer on an informal pledge financing, methods of determination of the cost of maintenance of the goods and the goods of the execution mechanism of the pledge as well as protection for the collateral items are viewed from the side of the consumer by looking at laws-invitations and Sharia. To find out whether the pledge have gotten permission from OJK. This research uses qualitative research methods with the study of library research, field data and simulations. The approach used in this study is the empirical juridical approach. Elaboration upon the results is discussed further in this article.


2011 ◽  
Vol 80 (4) ◽  
pp. 459-484
Author(s):  
Yoshifumi Tanaka

AbstractThe determination of spatial ambit of the coastal State jurisdiction is fundamental for ocean governance and the same applies to the Arctic Ocean. In this regard, a question arises how it is possible to delimit marine spaces where the jurisdiction of two or more coastal States overlaps. Without rules on maritime delimitation in marine spaces where the jurisdiction of coastal States overlaps, the legal uses of these spaces cannot be enjoyed effectively. In this sense, maritime delimitation is of paramount importance in the Arctic Ocean governance. Thus, this study will examine Arctic maritime delimitations by comparing them to the case law concerning maritime delimitation. In so doing, this study seeks to clarify features of Arctic maritime delimitations.


2008 ◽  
Vol 77 (1) ◽  
Author(s):  
Hidekazu Mimura ◽  
Hirokatsu Yumoto ◽  
Satoshi Matsuyama ◽  
Soichiro Handa ◽  
Takashi Kimura ◽  
...  

2018 ◽  
Vol 41 (2) ◽  
Author(s):  
Stephanie Jowett ◽  
Belinda Carpenter ◽  
Gordon Tait

This article examines the role of coroners in making legal determinations of suicide in Australia. Research indicates that the requirement to make findings of intent and capacity in unexpected, violent deaths can be difficult for coroners and recent government inquiries have suggested that the law contributes to the problem. A review of laws and commentary that guide coroners in Australian states and territories reveals not only that coroners are the only persons tasked with making routine legal determinations of suicide, but that such legal guidance lacks clarity. This article concludes that law reform would aid coroners by clarifying definitional issues, removing inconsistency between state jurisdictions and increasing the transparency of case law. Along with requirements for a determination of intent, which is a practical matter previously raised by the Victorian Coronial Council, such changes would go some way to ensuring that Australian suicide statistics are more reliably created.


Author(s):  
Kaori Nagai ◽  
Taro Arikawa ◽  
Kwanchai Pakoksung ◽  
Fumihiko Imamura ◽  
Masashi Watanabe ◽  
...  

On 22 December 2018, a volcanic eruption occurred at Anak Krakatau, Sunda Strait, Indonesia, which induced a tsunami. At the coastal area in the Sunda Strait, the destructive tsunami destroyed many structures and killed more than 400 people approximately 30 to 40 min after the eruption. In this event, it has been reported that many residents start to evacuate after seeing tsunami because alert of tsunami was not occurred. It is difficult to escape from a tsunami after seeing it waves, so early evacuation become important. Previously, many studies which handle Krakatau volcanic eruption induced tsunamis have been conducted. Pakoksung et al. (2019) conducted its simulation, but it was reported that the observed run-up heights and inundation depths were underestimated. Moreover, there were few studies which handle evacuation from non- seismic tsunami. The purpose of the study is to reveal the actual evacuation action from the tsunami induced by the 2018 volcanic eruption.Recorded Presentation from the vICCE (YouTube Link): https://youtu.be/ELOif7G4eNo


Author(s):  
Oleg Aleksandrovich Kravchenko ◽  
Roman Valer'evich Fedorov

Accurate determination of the place of preliminary investigation indicates adherence to the principle of legality in criminal proceedings and the achievement of goals on the protection of rights and lawful interests of the affected parties, as well as on protection of individual from wrongful and unfounded accusations and restrictions of their rights and freedoms. Science addresses the general questions pertaining to determination of the place of preliminary investigation, but does not give due attention to realization of discretionary powers of the higher investigating authority to determination of the place of preliminary investigation. The article reveals the essential conditions for application of such power by the investigating authority, and analyzes case law for compliance with these conditions. The conclusion is made that legislation does not contain clear and specific rules for determination of the place of preliminary investigation, including the territorial jurisdiction of advocating for the election or extension of pre-trial detention. The author describes the flaws in legal regulation associated with the possibility of determination of jurisdiction of a case in administrative proceedings, by means of law enforcement decision prior to the emergence of legal situation (for example, before  submission of a request for the election or extension of pre-trial detention) by lowering the rank of investigating authority, for example to district level. From the practical perspective, elimination of such flaws should facilitate the proper application of the corresponding legal norm, as well as accurate determination of the place of preliminary investigation.


2005 ◽  
Vol 19 (3) ◽  
pp. 595-642
Author(s):  
Claude Masse

The following article deals with the problem of « misuse of office » in the principal-agent relationship under Quebec civil law. Despite the abundance of case law, solutions to the problem are not well defined especially in cases involving personality defects of the agent. The law concerning « misuse of office » is generally to be found in article 1054(7) of the Quebec Civil Code concerning the liability of principals. This controverted article not only deals with the liability of masters for servants, but also with the problem of torts committed by agents (art. 1731 C.C.). It also has an effect on workmen's compensation laws. The main issue in « misuse of office » is the determination of what constitutes a carrying out of duties within the scope of employment. The principal can only be held liable for the tort of an agent if three conditions are met : the tort feasor must have been his agent ; he must have committed a wrongful act ; and this act must have been committed in the scope of his employment. After a general view of the fundamental principles involved, the paper defines « misuse of office » as « all torts committed by an agent in the exercice of his duties, even when not authorized to carry out the duties in the manner which he did, but where the activity is designed to benefit his principal ». The only case where the principal escapes liability is where the agent committed a tort which did not involve his work. The agent in that case no longer acts for the benefit of his principal, but is pursuing his personal interest. The principal is then no longer held liable. Determination of the notion of « benefit » therefore becomes essential. Far from being a simple question of monetary profit, it is extended to mean any activity which can serve the principal's enterprise, whether in the improvement of public relations, or of relations with staff or suppliers. The pecuniary gain becomes but one element amongst many others. It is not even necessary for the benefit to ever materialize. The simple fact that the intention was to benefit the principal is sufficient. The review of the case law leads the author to conclude that the modification of the ways in which the duties are carried out has little effect on the liability of the principal. For instance, the agent can change the time, the place and the manner of performance and still engage the liability of the principal. Quebec courts have gone even further. They have held that an agent can go beyond the usual scope of his duties or take up some that he was not authorized to do, without affecting the liability of the principal. In fact, Quebec courts have developed a broad interpretation of the notion of duty. They consider that the agent is called upon to perform tasks more or less accessory to his main duties and thus extend the principal's liability to all of them. As already stated, the notion of «benefit to the principal» is a determining factor. It is not necessary that the agent's work for the principal be exclusive. The agent that derives a personal benefit and simultaneously intends to benefit the principal, will still be considered to have performed an act in the course of his duties. The paper examines a series of problems involving the personality of the agent. Certain tortious acts can be committed in relations with third parties or co-workers, and are the direct result of a personality defect of the agent. Such is the case of a restaurant worker who physically attacks a client as the result of a dispute or of the agent stealing from a client. The paper points out the great difficulty that Quebec courts have experienced in the legal qualification of this situation. After an in-depth study of the Quebec case law, the paper concludes that the trend is to maintain the liability of the principal in these cases. One criterion appears to be well defined : the principal bears the responsibility, when hiring someone, to assure his clients or the persons with whom he does business, that he will respect their property as well as their moral and physical integrity. The necessary tie between the duties of the agent and the relationship with persons coming in contact with him, will engage the liability of the principal. Every time the agent comes in contact with a person in the carrying out of business, the principal will be held responsible for the damage resulting from personality defects of the agent. In all other cases, the relation will be considered personal to the agent and the principal will be relieved of any liability.


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