• 제목/요약/키워드: Commercial Practice

검색결과 329건 처리시간 0.028초

Beak Trimming Methods - Review -

  • Glatz, P.C.
    • Asian-Australasian Journal of Animal Sciences
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    • 제13권11호
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    • pp.1619-1637
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    • 2000
  • A review was undertaken to obtain information on the range of beak-trimming methods available or under development. Beak-trimming of commercial layer replacement pullets is a common yet critical management tool that can affect the performance for the life of the flock. The most obvious advantage of beak-trimming is a reduction in cannibalism although the extent of the reduction in cannibalism depends on the strain, season, and type of housing, flock health and other factors. Beak-trimming also improves feed conversion by reducing food wastage. A further advantage of beak-trimming is a reduction in the chronic stress associated with dominance interactions in the flock. Beak-trimming of birds at 7-10 days is favoured by Industry but research over last 10 years has shown that beak-trimming at day-old causes the least stress on birds and efforts are needed to encourage Industry to adopt the practice of beak-trimming birds at day-old. Proper beak-trimming can result in greatly improved layer performance but improper beak-trimming can ruin an other wise good flock of hens. Re-trimming is practiced in most flocks, although there are some flocks that only need one trimming. Given the continuing welfare scrutiny of using a hot blade to cut the beak, attempts have been made to develop more welfare friendly methods of beak-trimming. Despite the developments in design of hot blade beak-trimmers the process has remained largely unchanged. That is, a red-hot blade cuts and cauterises the beak. The variables in the process are blade temperature, cauterisation time, operator ability, severity of trimming, age of trimming, strain of bird and beak length. This method of beak-trimming is still overwhelmingly favoured in Industry and there appears to be no other alternative procedures that are more effective. Sharp secateurs have been used trim the upper beak of both layers and turkeys. Bleeding from the upper mandible ceases shortly after the operation, and despite the regrowth of the beak a reduction of cannibalism has been reported. Very few differences have been noted between behaviour and production of the hot blade and cold blade cut chickens. This method has not been used on a large scale in Industry. There are anecdotal reports of cannibalism outbreaks in birds with regrown beaks. A robotic beak-trimming machine was developed in France, which permitted simultaneous, automated beak-trimming and vaccination of day-old chicks of up to 4,500 chickens per hour. Use of the machine was not successful because if the chicks were not loaded correctly they could drop off the line, receive excessive beak-trimming or very light trimming. Robotic beak-trimming was not effective if there was a variation in the weight or size of chickens. Capsaicin can cause degeneration of sensory nerves in mammals and decreases the rate of beak regrowth by its action on the sensory nerves. Capsaicin is a cheap, non-toxic substance that can be readily applied at the time of less severe beak-trimming. It suffers the disadvantage of causing an extreme burning sensation in operators who come in contact with the substance during its application to the bird. Methods of applying the substance to minimise the risk to operators of coming in contact with capsaicin need to be explored. A method was reported which cuts the beaks with a laser beam in day-old chickens. No details were provided on the type of laser used, or the severity of beak-trimming, but by 16 weeks the beaks of laser trimmed birds resembled the untrimmed beaks, but without the bill tip. Feather pecking and cannibalism during the laying period were highest among the laser trimmed hens. Currently laser machines are available that are transportable and research to investigate the effectiveness of beak-trimming using ablasive and coagulative lasers used in human medicine should be explored. Liquid nitrogen was used to declaw emu toes but was not effective. There was regrowth of the claws and the time and cost involved in the procedure limit the potential of using this process to beak-trim birds.

제초제(除草劑) 약해발생(藥害發生) 양상(樣相)과 경감대책(輕減對策) (Crop Injury (Growth Inhibition) Induced by Herbicides and Remedy to Reduce It)

  • 김길웅
    • 한국잡초학회지
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    • 제12권3호
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    • pp.261-270
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    • 1992
  • Many herbicides that are applied at the soil before weed emergence inhibit plant growth soon after weed germination occurs. Plant growth has been known as an irreversible increase in size as a result of the processes of cell divison and cell enlargement. Herbicides can influence primary growth in which most new plant tissues emerges from meristmatic region by affecting either or both of these processes. Herbicides which have sites of action during interphase($G_1$, S, $G_2$) of cell cycle and cause a subsequent reduction in the observed frequency of mitotic figures can be classified as an inhibitor of mitotic entry. Those herbicides that affect the mitotic sequence(mitosis) by influencing the development of the spindle apparatus or by influencing new cell plate formation should be classified as causing disruption of the mitotic sequence. Sulfonylureas, imidazolinones, chloroacetamides and some others inhibit plant growth by inhibiting the entry of cell into mitosis. The carbamate herbicides asulam, carbetamide, chlorpropham and propham etc. reported to disrupt the mitotic sequence, especially affecting on spindle function, and the dinitroaniline herbicides trifluralin, nitralin, pendimethalin, dinitramine and oryzalin etc. reported to disrupt the mitotic sequence, particularly causing disappearence of microtubles from treated cells due to inhibition of polymerization process. An inhibition of cell enlargement can be made by membrane demage, metabolic changes within cells, or changes in processes necessary for cell yielding. Several herbicides such as diallate, triallate, alachlor, metolachlor and EPTC etc. reported to inhibit cell enlargement, while 2, 4-D has been known to disrupt cell enlargement. One potential danger inherent in the use of soil acting herbicides is that build-up of residues could occur from year to year. In practice, the sort of build-up that would be disastrous is unikely to occur for substances applied at the correct soil concentration. Crop injury caused by soil applied herbicides can be minimized by (1) following the guidance of safe use of herbicides, particularly correct dose at correct time in right crop, (2) by use of safeners which protect crops against injury without protecting any weed ; interactions between herbicides and safeners(antagonists) at target sites do occur probably from the following mechanisms (1) competition for binding site, (2) circumvention of the target site, and (3) compensation of target site, and another mechanism of safener action can be explained by enhancement of glutathione and glutathione related enzyme activity as shown in the protection of rice from pretilachlor injury by safener fenclorim, (3) development of herbicide resistant crops ; development of herbicide-resistant weed biotypes can be explained by either gene pool theory or selection theory which are two most accepted explanations, and on this basis it is likely to develop herbicide-resistant crops of commercial use. Carry-over problems do occur following repeated use of the same herbicide in an extended period of monocropping, and by errors in initial application which lead to accidental and irregular overdosing, and by climatic influence on rates of loss. These problems are usually related to the marked sensitivity of the particular crops to the specific herbicide residues, e.g. wheat/pronamide, barley/napropamid, sugarbeet/ chlorsulfuron, quinclorac/tomato. Relatively-short-residual product, succeeding culture of insensitive crop to specific herbicide, and greater reliance on postemergence herbicide treatments should be alternatives for farmer practices to prevent these problems.

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한국초록집의 특성 (Some General Characteristics of the Abstracting Journals Published in Korea)

  • 최성진
    • 한국비블리아학회지
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    • 제7권1호
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    • pp.5-22
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    • 1994
  • 1984년에 발행된 本誌 第6輯에 필자는 당시의 한국초록서비스의 技術現況에 대하여 조사한 결과를 발표한 바 있다. 그로부터 10년이 지난 금년에 필자는 다시 類似한 範圍와 內容의 조사를 행하여 한국초록서비스의 變化 또는 발전의 實相을 밝혀 보려고 한다. 금년 조사의 실제적 意圖는 초록서비스의 주요 道具인 이 나라 초록지의 발전과정을 10년이라는 비교적 긴 기간에 걸쳐서 觀察하고 그 持續的 특성이 어떤 것인지를 定義하려는 데 있다. 한 나라 초록지의 일반적 특성을 어느 해에 實行한 한번의 조사결과에 기초하여 定義하기는 어렵다. 韓國抄錄서비스의 기술현황을 조사한 결과 부분은 금년 여름 "한국문헌정보학회지" 발표하였으므로(최성진, 1994) 여기서는 지난 10년 동안에 관찰된 한국초록지의 일반적 특성에 대해서만 制限的으로 살펴보려고 한다. 그러나 本稿의 論議가 대부분 위의 記事와 같은 資料에 根據한 것이므로 그것을 참고하면 이해에 도움이 될 것이다. 硏究開發投資가 해마다 증가하여 최근 한국에는 많은 연구보고문헌 이 생산 축적되고 있지만 그것을 각분야 연구자와 기술자들에게 신속히 알려서 효과적으로 이용하게 해야 할 초록지는 그 種數도 적고 내용 또한 贊弱한 형편이다. 한국초록지의 내용을 충실히 하고 이용자 들에게 硏究速報媒體로서 더 유용하게 하려면 먼저 그 일반적 특성이 어떤 것이며 長點과 短點은 어떤 것인지를 定義할 필요가 있다. 本稿는 그러한 定義를 試圖하려는 것이다. 情報奉仕는 그것을 출현시킨 국가의 전통과 관습에 따라 조금씩 다른 모양으로 발전한다. 결과적으로 각국의 정보봉사나 그 도구인 초록지의 형태에도 多少間에 差異가 나타난다. 本稿는 그러한 觀點에서 世界의 普遍的 抄錄誌 形態에서 벗어나는 韓國抄錄誌의 特性을 밝히는 데 論議를 集中시키려고 한다.

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모의 유통 온도조건에 따른 MA 저장중 무순의 저장성 비교 (Comparison of Storability of Radish Sprouts According to Simulated Distribution Temperature Conditions)

  • 강호민;최인이;김일섭
    • 생물환경조절학회지
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    • 제18권2호
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    • pp.166-170
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    • 2009
  • 국내 싹채소 유통 온도를 조사해본 결과 예냉하여 포장 후 출하할 때까지 일정기간 5도에서 보관되었으며, 수송은 10도 이하의 온도를 유지하였다. 그러나 판매소에서 저장고에 입고될 때까지 수시간 동안 상온에 다시 노출되었고 이후 10도 수준의 판매소의 저장고에 입고되고 있었다. 이러한 유통조건을 모의처리 하였는데 5$^{\circ}C$로 계속 유지된 대조구와 10$^{\circ}C$, 20$^{\circ}C$, 30$^{\circ}C$에서 약 6시간 저장한 후 10$^{\circ}C$에 17일간 저장하여 비교하였다. 25$^{\circ}C$에서 암상태로 5일간 재배한 무를 명상태에서 l일간 녹화 후 수확하여 25 ${\mu}$m ceramic film으로 포장하여 앞서 설명한 5가지 유통조건에서 유통저장하였다. 상하차 처리온도가 높을수록 높은 생체중 감소와 외관상 품질 저하가 발생하였다. 포장내 이산화탄소 농도는 저장경과 l일후 상승하였고, 산소 농도도 저장경과 1일후 급격히 낮아지는 것을 볼 수 있었고, 에틸렌 발생량도 고온 노출에 인해 저장 경과 l일후 빠르게 증가하였다. 이에 반해 노출온도가 낮을수록 외관상 품질등을 비롯한 저장성이 향상되었다.

파스큐라의 미술론 (PASKYULA's Theory of Art)

  • 정주영
    • 미술이론과 현장
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    • 제5호
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    • pp.43-80
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    • 2007
  • PASKYULA was formed in September, 1923 through the union of artists involved in two art groups: Kim Ki-Jin, Kim Bok-Jin, Yeon Hak-Nyeon who had previously participated in the ToWolHoi, and Park Young-Hi, Lee Sang-Hwa, An Seok-Ju, former members of the BaeckJo. After its founding, the PASKYULA artists had been searching for the social function of art to reform the harsh reality of Minjung and the nation with criticism toward society as well as art world. Their art theory for MinJung could grow relatively ease in relation to changing social and political conditions in the early 1920s. In August, 1925, PASKYULA organized the Korea Artista Proletaria Federatio with the YeomGunSa, and laid the groundwork for Proletariat art movement which was regularized in the late 1920s. From PASKYULA up to the early state of KAPF, the theory of art advocated by Kim Bok-Jin and An Seok-Ju could be summarized as "art for MinJung". At that time, widely ranging discourses on MinJung, however, was spawned in art theory, because many intellectuals-including artists and writers-begun to pay more attention to MinJung, who emerged as one of the social forces after the Samil Independent Movement. Sometimes, MinJung was construed as the target of enlightenment from a negative viewpoint. On the other hand, several intellectuals under the influence of individualism asserted that the discussion itself on MinJung exerted an evil influence on art. In contrast of these cases, the PASKYULA artists including Kim Bok-Jin, An Seok-Ju perceived that MinJung had the potential to change society, and regarded them as "a creator of genuine civilization and art". In the PASKYULA artist's writings, the concept of MinJung was often overlapped with the meaning of the Choson nation suffering under colony. Although their concept of MinJung was transformed gradually into the proletariat as they were under the strong influence of socialism, it did not change that they grasped the realities of the whole Choson Peninsula through the proletarian consciousness. In the early state of PASKYULA, the methodology for social function of art was presented in a twofold manner. First of all, Kim Bok-Jin emphasized on the necessity of education to improve MinJung's way of life through art, and it was embodied by the organization of ToWol Art Workshop and public lecture. Also, he championed "the popularization of art", which was one of methods to distribute art to MinJung. According to the PASKYULA artists, art should be not art for art' sake but art for MinJung. That was why they advocated the convergence of art and MinJung's life. Especially Kim Bok-Jin affirmed a link between art and industry because he considered industry the field inextricably linked with MinJung's life. In this context, his idea could be read as the generalization and equalization within the framework of possession. Kim Bok-Jin thought that the social ramifications of capitalism deprived MinJung of their right to enjoy art, and emphasized the artist' social role to return the right to them. That is, the even distribution of art was mainly discussed than the contents of art in the half of 1920s. By 1925, the contents of art itself became an issue in the PASKYULA art theory, and it was based in realism. Kim Bok-Jin and An Seok-Ju insisted that art should be reflection of real life. At that time, realism acquired the representation of MinJung and the nation's realities not realistic style. In fact, the various Western art styles including Futurism, Constructivism, Cubism etc. were exploited in the PASKYULA's visual images. Western art, target of criticism on theory, was selectively adopted in the works which were produced by Kim Bok-Jin and An Seok-Ju. Kim Bok-Jin's MoonYeUnDong cover design was conceived of as the example in which Western art was adopted with it's ideology under the influence of MAVO, while Western art shown in An Seok-Ju's illustrations served as a decorative function in many cases. Especially, An Seok-Ju attempted the various styles of Western art simultaneously, which may be seen as representing that PASKYULA did not have a firm ideology for their style. Also, it can be read as showing his hasty zeal to overcome Western art rapidly. The wish to establish "art for MinJung" as soon as possible was accompanied with the will to jump over the all steps of Western art though it was superficial. This aspiration of PASKYULA was expressed through the mass media, which had the potential for communicating to MinJung. At this point, there was a significant disparity between PASKYULA and another art groups in the first half of 1920s. However, the PASKYULA's method on the basis of the mass media could not but have a certain limitation because of the medium's properties. Nevertheless, PASKYULA' attempts may be considered to be valuable in sense that they expended the boundaries of Korean modern art into the commercial art questioning the matter of the distribution for art.

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옥수수 부산물과 토끼 분변의 이화학적 성분특성 및 퇴비 제조조건 (Composting Method and Physicochemical Characteristics of By-products from Home Garden Plants and Small Herbivore Feces)

  • 김대균;김진영;이원석;김혜형;서명훈;박인태;현준기;유가영
    • 환경영향평가
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    • 제27권6호
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    • pp.695-703
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    • 2018
  • 북한의 텃밭에서는 비료사용이 매우 제한적이므로 남북한 농업분야 협력사업의 하나로 텃밭 부산물을 이용한 퇴비 제조방법의 제안은 실용적 가치가 있다. 본 연구는 북한의 실정을 고려하여 토끼 분변과 옥수수 부산물이 가장 얻기 쉬운 원재료 물질로 판단하고 이를 이용한 퇴비 제조 방법을 제안하고자 하였다. 북한의 시료를 구하기는 불가능한 일이기 때문에 남한의 여러 지역에서 옥수수 부산물 시료를 구하여 이들의 이화학적 성질을 분석하였다. 분석 결과, 주요 비료 성분인 질소의 경우 남한 정도의 공간 규모에서 유의한 차이가 없었으므로 경기도 지역의 옥수수 부산물을 퇴비화 재료로 활용하였다. 토끼 분변도 여러 지역에서 수집 분석하였는데 이를 풀만을 급이한 중국 단동의 분변 시료와 비교하였다. 이 결과 사료를 먹은 토끼 분변의 질소 함량은 풀을 먹인 토끼 분변에 비해 유의하게 낮았다. 북한 상황을 고려할 때 텃밭에서 키우는 토끼는 사료가 아닌 풀을 급이할 확률이 크지만 재료의 가용성으로 인해 경기도 연천에서 토끼의 분변을 확보하여 퇴비화 재료로 활용하였다. 퇴비화 과정은 토끼 분변과 옥수수 부산물의 혼합비를 1:1, 1:2, 1:3 로 각각 처리하여 60일 동안 진행하였다. 그 결과 1:1 혼합비를 통해 제조된 퇴비는 부숙 완료 후 총 질소 함량은 1.98%이었고 유기물/질소 비도 31.7에 달하여 시판되고 있는 상업용 퇴비와 질적으로 차이가 없음을 확인하였다.

한국 초기 문화산업사에서 흥행의 합리화 과정에 대한 연구-1907~1920년대 초까지 흥행 주체를 중심으로- (Rationalization Processes in the Entertainment Business on the Modern Theatrical Field - Concerning the Financiers and the Agents from 1907 to the early 1920s -)

  • 권도희
    • 공연문화연구
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    • 제35호
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    • pp.9-59
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    • 2017
  • 본고는 1907년부터 1920년대 전반기까지 흥행 주체를 중심으로 흥행 시스템의 구성과정 대해 서술한 것이다. 흥행은 황실극장인 협률사 시절부터 시작되었는데 황제의 권위와 국가 제도가 이를 뒷받침을 했고 궁내부가 이를 주도했다. 그러나 황실극장 혁파 이후, 1907년 이후부터 다수의 사설극장이 생겨나면서 민간인이 자본가로 참여했고 또 연극개량론이 등장하면서 집행자의 역량은 강화되기 시작했다. 나아가 1912년 전후로 정부 관료나 사회 지도층 인사 대신 실업가들이 흥행에 참여하면서 흥행의 양상은 다양해졌고 한편으로 흥행주체의 역할은 세분되면서 흥행계는 합리화의 정도를 심화할 수 있었다. 경제자본을 활용했던 자본가는 극장의 건축과 개축 수리 및 흥행에 필요한 자금을 동원하는 과정에서 극장주, 투자자, 사장 등으로 세분되었고, 문화자본을 활용했던 집행자들은 공연의 실천과 유지는 물론이고 흥행물의 다양성을 확장하는 역할을 담당했다. 이들의 존재 양태는 자본가보다 복잡했는데, 극장 내에서는 총무(주무)가, 극장 밖에 서는 기생집단과 신파극집단, 경성(구파/신파)배우조합, 나아가 각종 "${\bigcirc}{\bigcirc}{\bigcirc}$일행" 등이 각각이 놓인 특수한 상황에 따라 서로 다른 방식으로 흥행에 참여했다. 흥행 세부 주체들 간에는, 즉 자본가와 집행자들 또는 집행자들 간에 서로 협력 관계에 놓이기도 하고 갈등 관계를 설정하기도 했는데, 이들 간의 관계 속에서 흥행의 절차는 심화되고 발전되었다. 그러나 1915년 이후에는 갖춰진 시스템의 가능성 만큼 흥행 산업이 성장하지는 못했다. 일제는 조선인의 경제자본과 문화자본의 성장을 제한했고, 사회자본의 구성마저도 방해했기 때문이다. 이 때문에 조선의 흥행계는 흥행산업의 절대적 성장에 비례하여 성장하기는 했지만 잠재적 역량만큼 발전하지는 못했다.

항공기(航空機) 사고조사제도(事故調査制度)에 관한 연구(硏究) (A Study on the System of Aircraft Investigation)

  • 김두환
    • 항공우주정책ㆍ법학회지
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    • 제9권
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    • pp.85-143
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    • 1997
  • The main purpose of the investigation of an accident caused by aircraft is to be prevented the sudden and casual accidents caused by wilful misconduct and fault from pilots, air traffic controllers, hijack, trouble of engine and machinery of aircraft, turbulence during the bad weather, collision between birds and aircraft, near miss flight by aircrafts etc. It is not the purpose of this activity to apportion blame or liability for offender of aircraft accidents. Accidents to aircraft, especially those involving the general public and their property, are a matter of great concern to the aviation community. The system of international regulation exists to improve safety and minimize, as far as possible, the risk of accidents but when they do occur there is a web of systems and procedures to investigate and respond to them. I would like to trace the general line of regulation from an international source in the Chicago Convention of 1944. Article 26 of the Convention lays down the basic principle for the investigation of the aircraft accident. Where there has been an accident to an aircraft of a contracting state which occurs in the territory of another contracting state and which involves death or serious injury or indicates serious technical defect in the aircraft or air navigation facilities, the state in which the accident occurs must institute an inquiry into the circumstances of the accident. That inquiry will be in accordance, in so far as its law permits, with the procedure which may be recommended from time to time by the International Civil Aviation Organization ICAO). There are very general provisions but they state two essential principles: first, in certain circumstances there must be an investigation, and second, who is to be responsible for undertaking that investigation. The latter is an important point to establish otherwise there could be at least two states claiming jurisdiction on the inquiry. The Chicago Convention also provides that the state where the aircraft is registered is to be given the opportunity to appoint observers to be present at the inquiry and the state holding the inquiry must communicate the report and findings in the matter to that other state. It is worth noting that the Chicago Convention (Article 25) also makes provision for assisting aircraft in distress. Each contracting state undertakes to provide such measures of assistance to aircraft in distress in its territory as it may find practicable and to permit (subject to control by its own authorities) the owner of the aircraft or authorities of the state in which the aircraft is registered, to provide such measures of assistance as may be necessitated by circumstances. Significantly, the undertaking can only be given by contracting state but the duty to provide assistance is not limited to aircraft registered in another contracting state, but presumably any aircraft in distress in the territory of the contracting state. Finally, the Convention envisages further regulations (normally to be produced under the auspices of ICAO). In this case the Convention provides that each contracting state, when undertaking a search for missing aircraft, will collaborate in co-ordinated measures which may be recommended from time to time pursuant to the Convention. Since 1944 further international regulations relating to safety and investigation of accidents have been made, both pursuant to Chicago Convention and, in particular, through the vehicle of the ICAO which has, for example, set up an accident and reporting system. By requiring the reporting of certain accidents and incidents it is building up an information service for the benefit of member states. However, Chicago Convention provides that each contracting state undertakes collaborate in securing the highest practicable degree of uniformity in regulations, standards, procedures and organization in relation to aircraft, personnel, airways and auxiliary services in all matters in which such uniformity will facilitate and improve air navigation. To this end, ICAO is to adopt and amend from time to time, as may be necessary, international standards and recommended practices and procedures dealing with, among other things, aircraft in distress and investigation of accidents. Standards and Recommended Practices for Aircraft Accident Injuries were first adopted by the ICAO Council on 11 April 1951 pursuant to Article 37 of the Chicago Convention on International Civil Aviation and were designated as Annex 13 to the Convention. The Standards Recommended Practices were based on Recommendations of the Accident Investigation Division at its first Session in February 1946 which were further developed at the Second Session of the Division in February 1947. The 2nd Edition (1966), 3rd Edition, (1973), 4th Edition (1976), 5th Edition (1979), 6th Edition (1981), 7th Edition (1988), 8th Edition (1992) of the Annex 13 (Aircraft Accident and Incident Investigation) of the Chicago Convention was amended eight times by the ICAO Council since 1966. Annex 13 sets out in detail the international standards and recommended practices to be adopted by contracting states in dealing with a serious accident to an aircraft of a contracting state occurring in the territory of another contracting state, known as the state of occurrence. It provides, principally, that the state in which the aircraft is registered is to be given the opportunity to appoint an accredited representative to be present at the inquiry conducted by the state in which the serious aircraft accident occurs. Article 26 of the Chicago Convention does not indicate what the accredited representative is to do but Annex 13 amplifies his rights and duties. In particular, the accredited representative participates in the inquiry by visiting the scene of the accident, examining the wreckage, questioning witnesses, having full access to all relevant evidence, receiving copies of all pertinent documents and making submissions in respect of the various elements of the inquiry. The main shortcomings of the present system for aircraft accident investigation are that some contracting sates are not applying Annex 13 within its express terms, although they are contracting states. Further, and much more important in practice, there are many countries which apply the letter of Annex 13 in such a way as to sterilise its spirit. This appears to be due to a number of causes often found in combination. Firstly, the requirements of the local law and of the local procedures are interpreted and applied so as preclude a more efficient investigation under Annex 13 in favour of a legalistic and sterile interpretation of its terms. Sometimes this results from a distrust of the motives of persons and bodies wishing to participate or from commercial or related to matters of liability and bodies. These may be political, commercial or related to matters of liability and insurance. Secondly, there is said to be a conscious desire to conduct the investigation in some contracting states in such a way as to absolve from any possibility of blame the authorities or nationals, whether manufacturers, operators or air traffic controllers, of the country in which the inquiry is held. The EEC has also had an input into accidents and investigations. In particular, a directive was issued in December 1980 encouraging the uniformity of standards within the EEC by means of joint co-operation of accident investigation. The sharing of and assisting with technical facilities and information was considered an important means of achieving these goals. It has since been proposed that a European accident investigation committee should be set up by the EEC (Council Directive 80/1266 of 1 December 1980). After I would like to introduce the summary of the legislation examples and system for aircraft accidents investigation of the United States, the United Kingdom, Canada, Germany, The Netherlands, Sweden, Swiss, New Zealand and Japan, and I am going to mention the present system, regulations and aviation act for the aircraft accident investigation in Korea. Furthermore I would like to point out the shortcomings of the present system and regulations and aviation act for the aircraft accident investigation and then I will suggest my personal opinion on the new and dramatic innovation on the system for aircraft accident investigation in Korea. I propose that it is necessary and desirable for us to make a new legislation or to revise the existing aviation act in order to establish the standing and independent Committee of Aircraft Accident Investigation under the Korean Government.

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한국 방공식별구역 운영규칙에 관한 고찰 (A study on Operation Rules of Korean Air Defence Identification Zone)

  • 권종필;이영혁
    • 항공우주정책ㆍ법학회지
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    • 제32권2호
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    • pp.189-217
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    • 2017
  • 1950년 미국을 시작으로 1951년에는 한국의 방공식별구역이 선포되었다. 초기의 방공식별구역은 순전히 방공임무와만 연계되었으나, 해양자원과 해양에 대한 관할권행사에 대해 세계 각국들이 그 영향력을 확대하려는 경향이 나타나면서 변화되었다. 특히 중국이 동중국해 방공식별구역을 2013년 10월에 선포하면서 방공식별구역 내를 비행하는 모든 항공기는 비행계획서를 중국의 항공관제 당국 또는 국방당국에 제출할 것을 강제하였고 제출하지 안으면 무력을 사용하겠다고 공표하였으며, 또한 해양 분쟁이 격화되고 있는 남중국해에도 방공식별구역을 선포할 것을 예고하면서 방공식별구역이 확연히 국가의 관할권행사 권역으로서 영토 및 배타적 경제수역 등과 연계됨을 여실히 보여주고 있다. 이에 대응하여 2013년 12월 15일 확장된 한국 방공식별구역은 중국의 동중국해 방공식별구역, 일본의 외곽 방공식별구역과 중첩되어 있다. 중첩된 구역은 우리나라뿐만 아니라 중국, 일본도 자신들의 대륙붕과 배타적 경제수역이라고 주장하는 수역의 상공이다. 그리고 한국 방공식별구역에서 식별업무를 수행함에 있어서 주변국과의 우발충돌을 방지하기 위해 한 중 일은 양자 간에 군사력 사용에 강제력을 미치는 군사협정을 체결하여 운영하고 있다. 이러한 군사협정과 방공식별이라는 국가 행위가 지속되고 반복되며 상대국의 묵인을 받는 다면 아직까지 방공식별구역이 국제성문법이나 국제관습법에 의하여 인정된 공역이 아니지만 지역관습법으로 형성되고 있다고 보아야 한다. 그리고 방공식별구역 내에서 식별업무를 하는 것은 국가 기관인 군사당국의 행위이므로 잘못된 행위로 인한 관습법화는 다른 국가 기관의 행위인 주변국과의 해양경계 획정에도 부정적 영향을 미치게 되어 국익에 심각한 악영향을 초래할 수 있으므로 해양경계획정 등과 같은 다른 분야 행위도 고려하여 운영 규칙을 지정하고, 주변국과 군사회담에 임하여야 한다. 방공식별구역에서 비행계획서의 제출은 유엔해양법이 정한 공해상 비행의 자유를 충분히 향유할 수 있도록 영공으로 진입하지 않는 경우에는 제출을 강제하지 않도록 군용항공기 운용 등에 관한 법률을 정비하여야 한다. 방공식별구역 진 출시에 합동참모의장의 승인을 받도록 한 군용항공기 운용 등에 관한 훈령도 군인이 아닌 민간인에 적용하기 위해서는 국방부장관의 승인을 받거나 법규명령으로 제정되어야 한다. 또한 방공식별구역의 운용과 관리에 있어서 동북아에서 지역관습법화를 고려하여 상대국에 관리권한을 양도하는 행위는 반드시 배제되어야 한다. 특히 배타적 경제수역의 상공에 방공식별구역이 설정되어 있으므로 안보와 관련된 권한 등을 상대국에 양도하는 군사협정은 부작위에 의한 결과로도 발생하지 않도록 하여야 한다. 한 중 일 러 간에 방공식별구역 운영과 관리에 관한 내용이 포함된 군사협정을 체결하였거나 협상 중에 있어 동북아에서는 지역관습법이 형성되고 있다고 보여 진다.

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