• 제목/요약/키워드: applicable laws

검색결과 149건 처리시간 0.023초

A Study on the Quantified Point System for Designation of Personal Identity Proofing Service Provider based on Resident Registration Number

  • Kim, JongBae
    • International journal of advanced smart convergence
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    • 제11권4호
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    • pp.20-27
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    • 2022
  • In this paper, we propose to improve the designation examination criteria of agencies that provide personal identity proofing based on the resident registration number (RRN), a 13-digit number uniquely assigned by the government to identify Korean citizens. In online commerce, etc., the personal identity proofing agency (PIPA) is a place where online users can prove their personal identity by presenting an alternative means instead of their RRN. The designation examination criteria for PIPAs established in 2012 is a revision of the relevant current laws, and there is a problem in applying the designation examination for alternative means of RRN as the current examination standard. Therefore, in this paper, we propose a method to make the current examination criteria applicable to the newly designated examination of the personal identity proofing service provider based on the current RRN alternative method. According to the current designation examination criteria, only those who satisfy all the examination criteria are designated as the PIPA. However, in reality, it is not in line with the purpose of regulatory reform to require that all examination criteria be satisfied. In the proposed method, it is proposed to apply the standard score system for designation of PIPAs, to make the law current, to secure legal compliance, and to establish a new examination standard to provide a new alternative means of personal identity proofing service. By applying the proposed method to the PIPA designation examination, various alternative means of RRN can be utilized in the online commerce service market.

¿México: revolución truncada o democracia intempestiva? El problema: equidad-calidad en la educación básica

  • Mendez-Ramirez, Oswaldo
    • 이베로아메리카
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    • 제12권2호
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    • pp.383-428
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    • 2010
  • To make a critical revision on the inherited social problems throughout the time in Mexico, not always turns out to be easy task, especially when the subject is lent to approach it from diverse perspective, one of them, the educative one. To analyze the low quality of the educative supply is complex subject. One of the maximum profits of institutional revolutionary Mexico was the creation of the Public Education Ministry in 1921. In the post-revolutionary and modern period, the seventies were characterized to be applied to the growth the infrastructure and the fortification of the educative system following the policy of "modernization and development". From the eighties, to lift the quality of the education was considered like one of the specific rules in the strategy of the call "educative revolution". In the nineties, through political programs and agreements, structural changes within the educative system were carried out with the intention to lift the quality of the services. In synthesis, the perspective in the educative policy of Mexico during the last thirty years of century xx, or post-revolutionary period, can be understood, from at least five specific conditions: educative profits in cover, modifications in the educational programs and contents, profits in the political agreements between the agents who take part within the educative system, changes and modifications to the laws applicable to the education, and; the search of the fairness through the compensatory programs. This paper tries to give answer to questions such as: The educative system reflects the ideals of the revolution? The present educative system is the product of a truncated revolution or the fruit of an untimely democracy?

FTA하에서의 사적 상사분쟁의 해결 (Settlement of Private Commercial Disputes under the FTA)

  • 김상호
    • 한국중재학회지:중재연구
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    • 제17권1호
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    • pp.3-32
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    • 2007
  • This age is called the age of global trade, and the World Trade Organization is a forerunner in promoting the global free trade through multilateral negotiations as the global level. On the other hand, regional economic cooperation such as North American Free Trade Agreement(NAFTA) is appearing, saying that promotion by WTO takes too much time. As is known to everybody, Europe is on the way of integrating member states through EU not to mention economic cooperation. Even in Asia such tendency is shown through ASEAN, Korea, China and Japan in Northeast Asia share geographical proximity, many common historical experiences, and similar cultural norms and values although they have disparities in stages of development, trade and economic policies, and financial and legal frameworks. Under the situation, efforts have been made between three countries of Korea, China and Japan for the conclusion of investment agreements including FTA. If the conclusion of the FTA between the three countries would be realized, it would promote regional trade and investment, contributing to economic growth in the Northeast Asian region. The writer in this paper reviewed the settlement of private commercial dispute including investment dispute arising from the FTA and investment agreements. The investment dispute is quite different from an ordinary commercial dispute arising from commercial transactions in view of disputing parties, applicable laws and rules, etc. Therefore it is a problem of vital importance that the parties interested in investment under the FTA as well as the relevant investment agreement should understand and cope with the settlement mechanism of investment disputes arising therefrom. The ICSID Convention provides facilities for the conciliation and arbitration of disputes between member countries and investors who qualify as nationals of other member countries. All contracting states of the ICSID Convention are required by the Convention to recognize and enforce the ICSID arbitral awards. The New York Convention(formally called "United Nations Convention on the Recognition and Enforcement of Foreign Arbitral Awards") is also applicable for the enforcement of arbitral awards to be rendered under the FTA. As to applicable rules, the UNCITRAL Arbitration Rules may be required for the settlement of investment disputes under the FTA. This Rules has adopted by the internationally recognized arbitral organizations although it was developed primarily for use in ad hoc arbitration. The promotion of arbitral cooperation may be realized through agreements between arbitral institutions. Especially under the NAPTA system, a central common system was established to resolve jointly private commercial disputes arising from such free trades by the initiative of arbitral organizations among the member countries. It is called Commercial Arbitration and Mediation Center for the Americas(CAMCA), which may be a good example for the settlement promotion of the private commercial disputes between Korea and other relevant countries.

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중량물 물류 실태 분석 및 개선 방안에 관한 연구 (A Study on Status Analysis and Improvement of Heavy Cargo Logistics)

  • 박두선;이청환;최경훈;박계각
    • 한국항만경제학회지
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    • 제33권3호
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    • pp.35-52
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    • 2017
  • 중량물 물류에 대한 관심과 수요는 경제 규모가 확대되고 플랜트 산업이 활성화되는 추세에 따라 점점 더 많아지고 다양해지고 있다. 이러한 화물들이 해상운송 또는 육상운송을 통하여 이동하고 있으나 중량물 물류에 대한 실태 분석 연구 및 체계적인 조사는 전무하거나 미흡한 실정이다. 따라서 본 연구는 기존 연구가 거의 전무한 중량물 물류에 대하여 중량화물의 개념, 법령, 제도 및 운송현황을 심층 분석하고 실증 분석을 통하여 도출된 문제점에 대하여 개선 방안을 제안하고자 한다. 중량물 물류에 영향을 미치는 요인에 대한 회귀 분석 결과로는 통계적으로 유의한 변수는 근무환경이 종속 변수인 경우 운송 빈도와 법/절차/제도인 것으로 나타났다. 이는 운송 빈도가 많지 않고 법/절차/제도가 양호하면 근무 환경이 좋은 것으로 인식하고 있는 것으로 파악되었다. 아울러 상관 분석을 실시한 결과 통계적으로 유의한 변수는 화물의 중량과 화물의 크기, 근무환경과 법/제도/절차이며 높은 상관관계를 나타내고 있다. 이는 화물의 크기가 중량과 비례하고 있는 경향을 나타내고 있으며 법/절차/제도가 양호하면 근무환경이 좋은 것으로 인식하는 있는 것으로 분석되었다. 도출된 문제점에 대한 개선 방안을 정리하면 다음과 같다. 첫째, 중량화물에 대한 개념을 명확히 정립할 필요가 있다. 둘째, 중량화물과 관련한 육 해상운송 관련 법 규정 및 조항이 마련되어야 한다. 셋째, 중량화물 운송 수단에 대한 분류 체계를 개선하여야 한다. 넷째, 운송실적 통계 및 집계기준 제도의 개선이 필요하다. 다섯째, 중량물 물류 관리시스템을 개선하여야 한다.

국제상사중재에서 중재판정부의 권한과 임시적 처분에 관한 연구 (The Powers and Interim Measures of the Arbitral Tribunal in International Commercial Arbitration)

  • 이강빈
    • 한국중재학회지:중재연구
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    • 제18권2호
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    • pp.103-127
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    • 2008
  • This paper is to research the powers and interim measures of the arbitral tribunal in the arbitral proceedings of the international commercial arbitration under arbitration legislation and arbitration rules including the UNCITRAL Model Law and Arbitration Rules. The powers of the arbitral tribunal may be found within the arbitration agreement or any arbitration rules chosen by the parties, or the chosen procedural law. The power of the arbitral tribunal to decide its own jurisdiction is one of the fundamental principles of international commercial arbitration. It is a power which is now found in nearly all modern arbitration and rules of arbitration. Where an arbitral tribunal has been appointed then it will usually have the power to proceed with the arbitration in the event that a party fails to appear. It cannot force a party to attend but it may sanction the failure. While the arbitral tribunal can direct the parties to attend and give evidence the arbitral tribunal has no power to compel a party to give evidence. The arbitral tribunal may continue the arbitration in the absence of the party or its failure to submit evidence and make an award on the evidence before it. Under most of arbitration legislation and arbitration rules, the arbitral tribunal has the power to appoint experts and obtain expert evidence. The power to order a party to disclose documents in its possession is a power given to the arbitral tribunal by many national laws and by most arbitration rules. The arbitral tribunal cannot, however, compel disclosure and in the case where a party refuses to disclosure documents then the sanctions that the arbitral tribunal can impose must be ascertained from the applicable rules or the relevant procedural law. A number of arbitration rules and national laws allow for the arbitral tribunal to correct errors within the award. Most of arbitration legislation and arbitration rules permit the arbitral tribunal to grant orders for interim measure of protection. Article 17(1) of the Revised UNCITRAL Model Law of 2006 states: Unless otherwise agreed by the parties, the arbitral tribunal may, at the request of a party, grant interim measures. Interim measures of protection usually take such forms as (1) conservatory measures intended to prevent irreparable damage and maintain the status quo; (2) conservatory measures intended to preserve evidence or assets. Orders for interim measures by the arbitral tribunal are not self-enforcing. However, the arbitral tribunal must have the powers necessary to make interim measures effective. The Article 17 B of the Revised UNCITRAL Model Law of 2006 provides applications for preliminary orders and conditions for granting preliminary orders. And the Article 17 H provides recognition of enforcement of interim measures. In conclusion, the revised articles with regard to interim measures of the UNCITRAL Model Law of 2006 would contribute significantly to the security of the effectiveness of interim measures in international commercial arbitration. Therefore, Korean Arbitration Law and Arbitration Rules would be desirable to admit such revised articles with regard interim measures.

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토지이용규제 법률정보서비스 시스템의 구현 (Implementation of a Legal Information Service System for Land Usage Regulations)

  • 이범석;문경원;홍성한;김의찬;황병연
    • 한국공간정보시스템학회 논문지
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    • 제8권3호
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    • pp.39-50
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    • 2006
  • 토지와 관련된 정보를 저장 및 관리하는 토지정보 시스템은 사회의 발전과 사용자 요구사항이 증대함에 따라 토지의 소유뿐만 아니라 토지와 관련된 다양한 정보를 기록하고 관리하는 것이 필요하며, 축적된 정보를 이용하여 사용자의 요구에 대해 적절한 결과를 제시해야 한다. 2003년 1월 정부는 국토에 관한 법률인 국토 이용관리법을 국토의 계획 및 이용에 관한 법률로 개정하면서 비도시지역 즉, 준 도시지역, 준 농지지역, 농림지역, 자연환경전지역에 대한 관리수준을 도시지역 관리수준으로 강화하였다. 또한, 개별법으로써 산림법과 산지관리법, 농지법, 건축법, 도시계획법 등의 시행으로 사실상 전 국토는 어떠한 개발행위를 하고자 할 때 엄격한 법률의 통제를 받게 되었으며, 관련되는 법률도 $5{\sim}10$가지나 된다. 이는 특정 토지에 대한 규제의 정도가 서로 다른 다수의 법이 복합적으로 적용되기 때문에, 사용자가 단순히 해당 토지에 대한 규제정보를 알고자 할 경우 어떠한 조항이 적용되는지 인지하기 어려운 문제점이 있다. 본 논문의 목적은 기존의 토지이용규제 법률서비스 시스템에서 사용자에게 보여지는 결과를 알기 쉽고 정확하게 전달할 수 있는 방안을 제시하는 것이다. 사용자 요구내용에 대한 결과를 필요한 부분만 요약하여 전달할 수 있도록 지식기반의 전문가시스템을 적용하여 프로토타입을 설계한다. 구현된 시스템에서 생성한 결과는 기존의 법률서비스에서 보여주던 것보다 더 간결하고 사용자 친화적인 형태로 보여질 수 있다.

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The Comparative Analysis of the Internal Control According to Economic Changes in Korean Companies

  • Park, Cheol-Soo
    • Journal of Information Technology Applications and Management
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    • 제21권3호
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    • pp.119-133
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    • 2014
  • Prior to the 2000s, internal control had not been among the high priority issues in the management's agenda. Since then, however, it has become one of the hottest issues, and has received a significant attention as the means of improving the transparency, sustainability, and competitiveness of a company. The objectives of this paper are to examine if there has been any noticeable changes in the level of internal controls of Korean companies before and after the 2010, and to analyze the underlying drivers and issues thereto. Accounting manipulation and moral hazard were among the factors to cause the Korean financial crisis in 1997 and 2008. Since then, the capital market has had a strong pressure on Korean companies to enhance the transparency of management and accounting while the government has made the laws, requirements, and recommendations to alleviate the moral hazard problems of management and enhance the accounting transparency. Both market and government have driven companies to put more priority on the reliability of financial reporting and the compliance of applicable laws and regulations. Thereby, the market and governmental forces has led companies to enhance the level of internal controls which contribute to the reliability of financial reporting and the compliance The pressure on companies to enhance the level of internal controls may be different across industries. The capital market and government experiencing the severe financial crisis in 1997 and 2008 put even more pressure on financial companies such as banks to upgrade the reliability of financial reporting and the compliance of regulations to the global level than on non-financial companies. A survey is performed on the changes in the level of internal controls of 54 major companies consisting of 10 financial and 44 non-financial companies in Korea. The survey results show that the average level of internal controls of Korean companies has noticeably improved and that the change in the level of control environment factor is higher than that of IT control factor. The analysis on the industry differences shows that financial companies increased the level of control environment factor more than non-financial companies did while non-financial companies upgraded the level of IT control factor more than financial companies did relatively. Among internal control categories, the most improved area since the economic crisis is "Risk Assessment." The global best practices for risk management have been developed primarily in the financial industry and then spread to other industries. The general level of control practices of Korean companies has been improving significantly, but still appears below the global advanced practices.

한국과 중국의 선박충돌법제의 비교법적 연구 (A Comparative Study of Ship Collision Legislation in Korea and China)

  • Jiancuo, Qi
    • 해양환경안전학회지
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    • 제28권4호
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    • pp.577-586
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    • 2022
  • 한·중 무역거래가 날로 증가함에 따라 한·중 양국의 해상운송 규모가 빠르게 확대되고 있다. 하지만 이는 선박충돌문제를 초래하고 있으며, 특히 한·중 양국 선박이 밀집한 황해와 동해 수역에 집중되어 있다. 선박충돌 사고가 해상 교통안전과 해상 환경에 부정적인 영향을 미치는 동시에 선적국, 충돌발생지 등 섭외적 요인으로 인한 복잡한 법적 문제를 야기하고 있다. 한·중 양국의 국내법 규정이 서로 다르기 때문에 양국은 같은 문제에 대해 서로 다른 의견을 보이고 있다. 국제적으로도 일부 관련 선박충돌에 관한 국제조약들이 있으며 이러한 국제조약들은 모두 각국의 이익균형의 결과물이며 궁극적인 목적은 글로벌 선박충돌과 관련한 법률의 통일에 있다. 한중 양국은 선박충돌 방면에서 모두 국제조약을 참조하여 국내법을 국제조약에 접목하였으며 이는 동시에 해사국제법의 통일에도 적극적인 작용을 하였다. 침권책임법의 발전은 선박충돌의 침해에 대한 이론적 뒷받침을 제공하였다. 중국 해사법원이 발표한 보고서에 따르면 과학기술 수준의 제고에 따라 자연환경과 객관적 영향요인이 선박 충돌사고 위험을 크게 낮췄으나 해안에서 상선과 어선이 충돌하는 사고가 자주 발생하므로 이를 중시해야 한다. 국제조약과 중국국내의 입법에서는 선박충돌에 대한 세부적인 법적 규정을 두고 있지만 선박충돌침해이론에 대하여 여전히 이를 보완하고 발전해 나가야 한다. 본 글은 선박충돌 적용에 있어서 중국입법 및 사법사례의적용을 검토하는 동시에 한국의 법률규정을 참조하여 선박충돌문제에 대한 한중 양국의 법률규정에 대하여 비교하고자 한다.

2005년 해양플랜트 지원선박용 정기용선계약서에 관한 소고 - 분쟁해결약관을 중심으로 - (A Study on Time Charter Party For Offshore Service Vessels 2005 - Focusing the Dispute Resolution Clause -)

  • 이창희;김진권
    • 한국항해항만학회지
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    • 제38권1호
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    • pp.81-87
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    • 2014
  • 국제 유가의 상승과 해양에너지 개발에 필요한 기술이 진보됨에 따라 시추선(drillship), 부유식 원유생산저장설비(FPSO) 등과 같은 해양플랜트의 수요가 꾸준히 증가하고 있는 추세이다. 더불어 이러한 해양에너지 개발사업이 원활하게 이행될 수 있도록 작업을 지원해주는 다양한 종류의 해양플랜트 지원선박과 관련된 건조, 매매, 용선 시장 역시 꾸준한 성장세를 유지하고 있다. 하지만, 국내의 경우 해양플랜트 지원선박과 관련된 정기용선계약 체결 건수가 전무하기 때문에 향후 이와 관련된 선박의 매매 또는 용선계약 시 발생할 수 있는 다양한 법적 분쟁과 준거법 적용에 대한 실무적인 연구가 적극적으로 진행될 필요가 있다. 따라서 이 논문은 "SUPPLYTIME 2005"라고 통칭되고 있는 해양플랜트 지원선박용 정기용선계약서식을 중심으로 기존의 정기용선계약과 다른 특징을 개요적으로 검토함과 동시에 당사자 간에 발생할 수 있는 법적 분쟁에 대한 준거법 지정과 중재의 적용에 대한 실무적인 내용과 절차에 대해 살펴보고자 한다.

미국(美國) 계약법(契約法)하에서 소위 "쉬링크랩라이센스" 계약(契約)에 관한 일고찰(一考察) (A Study on the enforceability of Shrink-wrap License under the Contract Law of USA)

  • 허해관
    • 무역상무연구
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    • 제20권
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    • pp.129-150
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    • 2003
  • Software license agreements, to be useful in the mass market, could not be individually negotiated, and had to be standardized and concise. The software license agreement needs to be presented to the licensee-users in a fashion that would allow for mass distribution of software, also for it to enforceable, that would draw the users' attention to the terms and conditions under which the publisher allowed the use of the software. These needs have been accomplished, with or without fail, through so called the "shrink-wrap licenses" Shrink-wrap licenses purpose to transfer computer softwares to their users by defining the terms and conditions of use of the software without implicating the "first sale doctrine" of the Copyright Act. These shrink-wrap licenses have become essential to the software industry. However, in USA, the law applicable to these licenses has been unclear and unsettled. Courts have struggled to develop a coherent framework governing their enforceability. Meanwhile, the National Conference of Commissioners on Uniform State Laws ("NCCUSL") in USA promulgated the Uniform Computer Information Transaction Act ("UCITA") governing contracts for computer information transaction on July 29, 1999. One clear objective of UCITA was to settle the law governing the enforceability of shrink-wrap licenses. In these respects, this paper first introduces the various forms that shrink-wrap licenses take(at Part II. Section 1.), and explains the main advantages of them(at Part II. Section 2.) Here it shows how shrink-wrap licenses value themselves for both software publishers and users, including that shrink-wrap licenses are a valuable contracting tool because they provide vital information and rights to software users and because they permit the contracting flexibility that is essential for today's software products. Next, this paper describes the current legal framework applicable to shrink-wrap licenses in USA(at Part III). Here it shows that in USA the development of case law governing shrink-wrap licenses occurred in two distinct stages. At first stage, judicial hostility toward shrink-wrap licenses marked such that they were not enforced pursuant to Article 2 of the Uniform Commercial Code. At second stage, courts began to recognize the pervasiveness of shrink-wrap licenses, their indispensability to the rapidly expanding information technology industry, and the urgent need to enforce such licenses in order to maintain low prices for consumers of computer hardware or software, resulting in the recognition of shrink-wrap licenses. Finally, in view of the importance of UCITA, this paper examines how it will affect the enforceability of shrink-wrap licenses(at Part IV). The drafters of UCITA, as well as the scholars and practitioners who have criticized it, agree that it validates shrink-wrap licenses, provided certain procedural protections are afforded to purchasers. These procedural protections include the licensee end-user must (i) manifest his assent to the shrink-wrap license, (ii) have an opportunity to review the shrink-wrap license, (iii) have a right to return the product without costs.

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