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Patrice Garant Patrick Kenniff Denis Lemieux Denis Carrier 《Canadian public administration. Administration publique du Canada》1977,20(3):444-468
Sommaire. Le contrǒle politique des organismes autonomes à functions régulatrices et quasi-judiciaires est celui qu'exercent le Parlement et le gouvernement sur l'opportunité des mesures qu'adoptent ces organismes et qui doivent ětre appréciées en regard de l'intérět général. L'octroi d'un large pouvoir discrétionnaire en matière d'élaboration et d'application de la politique suivant un processus qualifié par notre droit de quasi-judiciaire soulève des difficultés considerables qui nous obligent à revoir les principes měmes qui régissent les rapports entre ces « tribunaux administratifs » et l'autorité politique parlementaire et gouvernementale. Les techniques de contrǒle utilisées dans la législation relative aux grandes régies fédérales notamment, la cct , le crtc , l’one , sou-lèvent également des difficultés. Ainsi, lorsqu'existe un droit d'appel au gouverneur en conseil ou au ministre, on s'interroge sur la portée de ces recours par rapport aux recours à la Cour fédérale prévus par la Loi sur la Cour fédéraLe ou d'autres lois particulières. De měme lorsque la législation prévoit des moyens de contrǒle à priori, tel le pouvoir d'émettre des directives, on se demande quelles sont les sanctions possibles dans le cas où le tribunal refuse ou néglige d'y donner suite. Ces problèmes sont au coeur des recherches en cours sur certains aspects du développement des principaux tribunaux administratifs ou organismes autonomes à functions régulatrices et quasi-judiciaires. Abstract. Political control of autonomous regulatory and quasi-judicial bodies is the control exercised by Parliament and the government over the actions of these bodies to assess their opportunity in regard to the general interest. The granting of wide discretionary power in the elaboration and application of policies following a procedure qualified in law as quasi-judicial raises considerable difficulties with respect to the very principles which determine the relations between these administrative tribunals and parliamentary and governmental political authority. With respect to the control techniques employed in the legislation relating especially to the major federal commissions such as the ctc , the crtc and the neb , these difficulties are particularly evident. On the one hand, when a right of appeal to the Governor-in-Council or the Minister exists, what is the extent of these remedies in relation to the recourse to the Federal Court granted by the Federal Court Act or other special statutes? When legislation provides for a priori controls such as the power to issue directives, what are the possible sanctions in the event that the tribunal refuses or neglects to follow them? These problems are at the very heart of present research on certain aspects of the development of the major administrative tribunals and autonomous bodies exercising regulatory and quasi-judicial functions. 相似文献
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International criminal courts are often given mandates without the authority or resources to enforce those directives. Given this, how do they achieve their objectives? We argue that in the case of the International Criminal Tribunal for the former Yugoslavia (ICTY), the court strategically developed an accountability network comprised of governmental and nongovernmental actors, using its expertise and position to provide information and a framework of accountability. Simultaneously, it reached out to a range of actors to ensure that governments and international organizations would push Balkan states to cooperate with the ICTY, thereby amplifying the court's power. Utilizing correspondence data, we create a unique dataset that traces the development of this accountability network, demonstrating how this institution engaged networks to pursue its goals. In general, we demonstrate that, although institutions may lack compulsory power, they can engage in strategic behavior using networks to project their productive power. 相似文献
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Dylan Conger Mark C. Long Patrice Iatarola 《Journal of policy analysis and management》2009,28(4):555-576
We use panel data on Florida high school students to examine race, poverty, and gender disparities in advanced course‐taking. While white students are more likely to take advanced courses than black and Hispanic students, these disparities are eliminated when we condition on observable pre–high school characteristics. In fact, black and Hispanic students are more likely than observably similar white students to take advanced courses. Controlling for students' pre–high school characteristics substantially reduces poverty gaps, modestly reduces Asian–white gaps, and makes little dent in female–male gaps. Black and Hispanic students attend high schools that increase their likelihood of taking advanced courses relative to observably similar white students; this advantage is largely driven by minorities disproportionately attending magnet schools. Finally, recent federal and state efforts aimed at increasing access to advanced courses to poor and minority students appear to have succeeded in raising the share of students who take advanced courses from 2003 to 2006. However, secular trends (or spillovers of the policies to non‐poor, non‐minority students) have spurred faster growth for other students, contributing to widening demographic gaps in these years. © 2009 by the Association for Public Policy Analysis and Management. 相似文献
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Robinson N Castella V Saudan C Sottas PE Schweizer C Dimo-Simonin N Mangin P Saugy M 《Forensic science international》2006,163(1-2):148-151
The case of seven urine samples collected for anti-doping purposes during a cycling stage race with moderately elevated testosterone and epitestosterone ratio (T/E) is reported. The very low probability of having all seven urine samples with such similar elevated T/E ratio (from 3.2 to 4.7) was very suspicious. Different pattern classification tools were tested to categorize the most similar steroid profiles, but none of the models enabled a clear classification of the different urine samples. Subsequently, genetic profiling of all urine samples was performed and demonstrated that three of the seven samples were collected from the same cyclist. Finally, the International Federation confirmed DNA profiling results. This suggests that urinary steroid data using several methodologies are not appropriate for identification purposes and to an extent not unique to individuals. 相似文献
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Tolperisone (Mydocalm) is a centrally acting muscle relaxant with few sedative side effects that is used for the treatment of chronic pain conditions. We describe three cases of suicidal tolperisone poisoning in three healthy young subjects in the years 2006, 2008 and 2009. In all cases, macroscopic and microscopic autopsy findings did not reveal the cause of death. Systematic toxicological analysis (STA) including immunological tests, screening for volatile substances and blood, urine and gastric content screening by GC-MS and HPLC-DAD demonstrated the presence of tolperisone in all cases. In addition to tolperisone, only the analgesics paracetamol (acetaminophen), ibuprofen and naproxen could be detected. The blood ethanol concentrations were all lower than 0.10 g/kg. Tolperisone was extracted by liquid-liquid extraction using n-chlorobutane as the extraction solvent. The quantification was performed by GC-NPD analysis of blood, urine and gastric content. Tolperisone concentrations of 7.0 mg/l, 14 mg/l and 19 mg/l were found in the blood of the deceased. In the absence of other autopsy findings, the deaths in these three cases were finally explained as a result of lethal tolperisone ingestion. To the best of our knowledge, these three cases are the first reported cases of suicidal tolperisone poisonings. 相似文献
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Forensic pathologists often refer to the cardioinhibitory reflex cardiac arrest (CiRCA) following short neck trauma as a mechanism of death. We sought via a systematic review of the literature to identify circumstances under which carotid bifurcation stimulation could lead to death. Two independent reviewers selected case studies or reports from Medline, ISI Web of Knowledge, and Embase. Circumstances and contributory factors were extracted for each case. From the available data, authors independently assessed whether CiRCA was highly probable (no alternative explanation possible), probable (alternative explanation possible), or unlikely (alternative explanation highly probable). A narrative approach was used to define circumstances in which CiRCA remained possible. From the 48 published cases evoking CiRCA as a possible cause of death between 1881 and 2009, 28 were most likely to result of other mechanism of death (i.e., cerebral hypoxia due to carotid compression, mechanical asphyxia, myocardial infarction). CiRCA remained possible for 20 cases (including five based on anecdotal evidence only) with only one case with no alternative explanation other than CiRCA. Our findings support the presumption that reflex cardiac arrhythmia due to carotid bifurcation stimulation cannot provoke death alone. Actual state of knowledge suggests CiRCA might be contributory to death in the presence of drug abuse and/or cardiac pathology, often associated with physical and/or mental excitation. 相似文献
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Krompecher T Gilles A Brandt-Casadevall C Mangin P 《Forensic science international》2008,179(2-3):157-162
In criminal proceedings involving illegally manufactured substances, evidence demonstrating the manufacture is required for successful prosecution. In many circumstances the presence of manufacturing equipment and 'recipes' are clear indicators. However establishing chemical links between starting materials and products would be beneficial additional evidence in such circumstances. Isotope analysis is becoming more commonly employed in disputes over authenticity and provenance of materials such as food stuffs or pharmaceuticals [S. Benson, C. Lennard, P. Maynard, C. Roux, Forensic applications of isotope ratio mass spectrometry--a review, Forensic Sci. Int., 157 (2006) 1-22]. We report here the results of an isotope study investigating a link between hexamine used as a starting material and the product explosive RDX, manufactured using the Woolwich process. Isotopic composition of hexamine and RDX was analysed by stable isotope ratio mass spectrometry. Five different hexamine samples were selected from a group of eleven for use in this study. One of the five hexamine samples was used twice, providing data on the reproducibility of the synthesis. Carbon and nitrogen isotope analysis of the hexamine starting material and RDX products reveals a reproducible relationship between reactant and product. 相似文献