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This paper seeks to deepen our understanding of financial industry lobbying efforts that result in specific regulatory rules being dropped from the regulatory agenda, or what we call ‘rule omission’. Critically, existing research either ignores rule omission or characterizes it as the pinnacle of lobbying success. We argue that only in carefully mapping out industry preferences and tracking what happens to rules following their omission can we say something about the extent to which finance wins or loses in its effort to shape regulation. Our analysis is based on two in-depth case studies from the European Union: (1) solvency rules in the Institutions for Occupational Retirement Provision Directive (IORPP II), where rule omission does reflect a strong case of industry influence; and (2) short selling rules in the Alternative Investment Fund Managers Directive (AIFMD), a case of rule omission resulting in more stringent rules over industry activities. 相似文献
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ADAM DOLNIK 《冲突和恐怖主义研究》2013,36(1):17-35
The use of suicide bombings by some organizations is often presented as evidence of eroding constraints among terrorists to use chemical, biological, radiological, or nuclear weapons. Besides a possibly more reckless approach to violence resulting from the weakened instinct of self-preservation, it is clear that suicide delivery of such weapons would have great tactical advantages over other forms of delivery. This article explores the often neglected nuances of contemporary suicide terrorism to explain why this practice does not necessarily make a mass-casualty chemical, biological, radiological, or nuclear attack by a terrorist group more likely. 相似文献