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  • 2020-2024  (66)
  • International and interdisciplinary legal research  (66)
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  • 2020-2024  (66)
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  • 1
    Online Resource
    Online Resource
    SAGE Publications ; 2020
    In:  Child Maltreatment Vol. 25, No. 1 ( 2020-02), p. 61-69
    In: Child Maltreatment, SAGE Publications, Vol. 25, No. 1 ( 2020-02), p. 61-69
    Abstract: This study aimed to evaluate the efficacy of a newly implemented Child Protection Alert System (CPAS) that utilizes triggering diagnoses to identify children who have been confirmed/strongly suspected as maltreated. We retrospectively reviewed electronic health records (EHRs) of 666 patients evaluated by our institution’s child protection team between 2009 and 2014. We examined each EHR for the presence of a pop-up alert, a persistent text-based visual alert, and diagnoses denoting child maltreatment. Diagnostic accuracy of the CPAS for child maltreatment identification was assessed. Of 323 patients for whom child maltreatment was confirmed/strongly suspected, 21.7% (70/323) had a qualifying longitudinal diagnosis listed. The pop-up alert fired in 14% of cases (45/323) with a sensitivity and specificity of 13.9% (95% CI [10.4%, 18.2%]) and 100% (95% CI [98.9%, 100.0%] ), respectively. The text-based visual alert displayed in 44 of 45 cases. The CPAS is a novel simple way to support clinical decision-making to identify and protect children at risk of (re)abuse. This study highlights multiple barriers that must be overcome to effectively design and implement a CPAS to protect at-risk children.
    Type of Medium: Online Resource
    ISSN: 1077-5595 , 1552-6119
    Language: English
    Publisher: SAGE Publications
    Publication Date: 2020
    detail.hit.zdb_id: 2018206-5
    SSG: 2,1
    SSG: 5,3
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  • 2
    Online Resource
    Online Resource
    SAGE Publications ; 2021
    In:  Journal of Research in Crime and Delinquency Vol. 58, No. 6 ( 2021-11), p. 710-754
    In: Journal of Research in Crime and Delinquency, SAGE Publications, Vol. 58, No. 6 ( 2021-11), p. 710-754
    Abstract: (1) Examine associations of foster care exit type (e.g., reunification with birth family, adoption, guardianship/permanent relative placement, or emancipation from care) with risk of entry into state prison; (2) Examine racial disparities in those associations. Method: With data on over 10,000 Wisconsin youth who entered foster care in mid- to late-childhood, we present imprisonment rates in young adulthood by race, sex, and foster care exit type. Proportional hazards models with a robust set of covariates compared prison entry rates among the most common exit types—reunification, aging out, and guardianship/permanent relative placement. Results: Nearly 13 percent of the sample experienced imprisonment in young adulthood. Compared with emancipated youth, hazard of imprisonment was 1.58–1.96 times higher among reunified youth. Differences were largely unexplained by observed individual, family, or foster care characteristics. Imprisonment rates were similar for emancipated youth and youth exiting to guardianship/permanent relative placement. Hazard of imprisonment for reunified Black youth was twice that of reunified white youth, but racial differences in prison entry were statistically non-significant among emancipated youth. Conclusion: Efforts to reduce incarceration risk for all youth in foster care are needed. Reunified youth may benefit from services and supports currently provided primarily to emancipated youth.
    Type of Medium: Online Resource
    ISSN: 0022-4278 , 1552-731X
    RVK:
    Language: English
    Publisher: SAGE Publications
    Publication Date: 2021
    detail.hit.zdb_id: 2011523-4
    SSG: 2
    SSG: 2,1
    SSG: 5,2
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  • 3
    Online Resource
    Online Resource
    Wiley ; 2020
    In:  Ratio Juris Vol. 33, No. 1 ( 2020-03), p. 35-48
    In: Ratio Juris, Wiley, Vol. 33, No. 1 ( 2020-03), p. 35-48
    Abstract: This paper proposes a reading of Kelsen’s basic norm based on Kant’s regulative ideas. I begin by exposing Kant’s conception of the principles of reason. Then I criticize an interpretation of the basic norm along the same lines made by Stanley Paulson. Thirdly I analyze two theses from Hermann Cohen that influenced Kelsen greatly and reinforce my stance on the basic norm. Lastly, I explain how the Kelsenian tenet that the basic norm is the transcendental grounding of the normativity of law can be comprehended based on the role the ideas of reason play in the systematization of knowledge.
    Type of Medium: Online Resource
    ISSN: 0952-1917 , 1467-9337
    URL: Issue
    Language: English
    Publisher: Wiley
    Publication Date: 2020
    detail.hit.zdb_id: 2002252-9
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  • 4
    Online Resource
    Online Resource
    Consortium Erudit ; 2021
    In:  McGill Law Journal Vol. 65, No. 2 ( 2021-02-26), p. 305-340
    In: McGill Law Journal, Consortium Erudit, Vol. 65, No. 2 ( 2021-02-26), p. 305-340
    Abstract: Cet article défie l’opinion traditionnelle dans la doctrine de droit administratif voulant que le mandat et la conception des décideurs administratifs soient principalement le produit de choix de politiques faits par l’exécutif et de délégation législative. Se basant sur des théories de droit public d’interprétation structurelle et se positionnant au sein du champ en croissance qu’est le constitutionnalisme administratif, cet article avance que les éléments non écrits de la constitution peuvent effectuer des demandes concrètes au niveau de la structure institutionnelle et de la conception des tribunaux, de sorte que certains aspects et fonctions de l’état administratif sont constitutionnellement requis. L’argument émerge d’une analyse attentive d’une seule étude de cas, soit celle de la discipline, et particulièrement celle de la révocation, des juges des cours supérieures du Canada. L’analyse révèle que l’article 99(1) de la Loi constitutionnelle de 1867 fournit un compte-rendu incomplet des procédures qui doivent être suivies afin de révoquer un juge de nomination fédérale du banc. Plus spécifiquement, l’étude de cas établit que le principe d’indépendance judiciaire exige que les juges ne soient éligibles à la révocation sous l’article 99(1) qu’après qu’un processus administratif ait été tenu. Ce processus examine l’inconduite allégée et évalue les faits en fonction du standard constitutionnel de bon comportement judiciaire. L’indépendance judiciaire demande en outre que ce processus incarne quelques éléments essentiels – éléments qui sont familiers au droit administratif : l’enquête doit être effectuée par une organisation indépendante des branches politiques du gouvernement; l’organisation doit se conduire de façon à respecter un engagement à l’indépendance judiciaire; l’enquête doit être effectuée en respectant le devoir d’équité; et tant le processus que les déterminations substantives de l’enquête doivent être sujets à révision par les tribunaux. Alors que les théories actuelles du constitutionnalisme administratif ont souvent été concentrées sur le rôle des décideurs administratifs dans l’interprétation et l’implémentation des droits constitutionnels, cet article bâtit sur le travail de Mashaw, Lee, Bremer, et Metzger et Stack pour ouvrir et contribuer à d’importantes conversations structurelles dans ce champ.
    Type of Medium: Online Resource
    ISSN: 1920-6356 , 0024-9041
    RVK:
    Language: English
    Publisher: Consortium Erudit
    Publication Date: 2021
    detail.hit.zdb_id: 2156126-6
    SSG: 2
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  • 5
    Online Resource
    Online Resource
    Oxford University Press (OUP) ; 2023
    In:  The British Journal of Criminology Vol. 63, No. 4 ( 2023-06-11), p. 889-905
    In: The British Journal of Criminology, Oxford University Press (OUP), Vol. 63, No. 4 ( 2023-06-11), p. 889-905
    Abstract: Drug dealing is widespread in all sectors of society but is still studied predominantly in disadvantaged urban areas. We identify three main pathways to drug dealing based on qualitative interviews with middle- and upper-class individuals in Oslo, Norway. First, problems in the family and school and a lack of belonging in affluent neighbourhoods intersected with drug use and eventually led to recruitment into the illegal drug economy. Second, criminal entrepreneurship developed among relatively disadvantaged people who dealt drugs in an affluent low-risk context. Third, dealing emerged from involvement in drug liberalization and medical marihuana countercultures. The first pathway is similar to trajectories in disadvantaged urban areas, while the others reveal the importance of studying drug dealing in the upper layers of society.
    Type of Medium: Online Resource
    ISSN: 0007-0955 , 1464-3529
    RVK:
    Language: English
    Publisher: Oxford University Press (OUP)
    Publication Date: 2023
    detail.hit.zdb_id: 1478955-3
    SSG: 2
    SSG: 2,1
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  • 6
    Online Resource
    Online Resource
    Informa UK Limited ; 2020
    In:  The American Journal of Bioethics Vol. 20, No. 7 ( 2020-07-02), p. 112-114
    In: The American Journal of Bioethics, Informa UK Limited, Vol. 20, No. 7 ( 2020-07-02), p. 112-114
    Type of Medium: Online Resource
    ISSN: 1526-5161 , 1536-0075
    RVK:
    Language: English
    Publisher: Informa UK Limited
    Publication Date: 2020
    detail.hit.zdb_id: 2035206-2
    SSG: 12
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  • 7
    Online Resource
    Online Resource
    Springer Science and Business Media LLC ; 2021
    In:  Forensic Science, Medicine and Pathology Vol. 17, No. 4 ( 2021-12), p. 565-576
    In: Forensic Science, Medicine and Pathology, Springer Science and Business Media LLC, Vol. 17, No. 4 ( 2021-12), p. 565-576
    Abstract: Multispectral photography offers a wide range of applications for forensic investigations. It is commonly used to detect latent evidence and to enhance the visibility of findings. Additionally, three-dimensional (3D) full-body documentation has become much easier and more affordable in recent years. However, the benefits of performing 3D imaging beyond the visible (VIS) spectrum are not well known, and the technique has not been widely used in forensic medical investigations. A multicamera setup was used to employ multispectral photogrammetry between 365 and 960 nm in postmortem investigations. The multicamera setup included four modified digital cameras, ultraviolet (UV) and near-infrared (NIR) light sources and supplemental lens filters. Full-body documentation was performed in conjunction with the use of a medical X-ray computed tomography (CT) scanner to automate the imaging procedure. Textured 3D models based on multispectral datasets from four example cases were reconstructed successfully. The level of detail and overall quality of the 3D reconstructions varied depending on the spectral range of the image data. Generally, the NIR datasets showed enhanced visibility of vein patterns and specific injuries, whereas the UV-induced datasets highlighted foreign substances on the skin. Three-dimensional multispectral full-body imaging enables the detection of latent evidence that is invisible to the naked eye and allows visualization, documentation and analysis of evidence beyond the VIS spectrum.
    Type of Medium: Online Resource
    ISSN: 1547-769X , 1556-2891
    Language: English
    Publisher: Springer Science and Business Media LLC
    Publication Date: 2021
    detail.hit.zdb_id: 2195904-3
    SSG: 2
    SSG: 2,1
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  • 8
    In: Zeitschrift für geistiges Eigentum, Mohr Siebeck, Vol. 12, No. 2 ( 2020), p. 236-
    Type of Medium: Online Resource
    ISSN: 1867-237X
    RVK:
    Language: German
    Publisher: Mohr Siebeck
    Publication Date: 2020
    SSG: 2
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  • 9
    Online Resource
    Online Resource
    University of California Press ; 2022
    In:  Federal Sentencing Reporter Vol. 35, No. 1 ( 2022-10-01), p. 59-72
    In: Federal Sentencing Reporter, University of California Press, Vol. 35, No. 1 ( 2022-10-01), p. 59-72
    Abstract: In response to prison overcrowding concerns in recent years, many U.S. officials have undertaken efforts to reduce sentence lengths for certain crimes. However, it is unclear how these changes affect recidivism rates. Among the research on incarceration and recidivism, the majority of studies compare custodial with noncustodial sentences, while fewer examine the impact of varying incarceration lengths. This article reviews the research on the latter. Overall, the effect of incarceration length on recidivism appears too heterogeneous to draw universal conclusions, and findings are inconsistent across studies due to methodological limitations. For example, many study samples are skewed toward people with shorter sentences while others include confounds that render results invalid. Of the studies reviewed, some suggested that longer sentences provide additional deterrent benefits in the aggregate, though some studies also had null effects. None suggested a strong aggregate-level criminogenic effect. We argue that a conclusion that longer sentences have a substantial criminogenic effect, large enough to offset incapacitative effects, cannot be justified by the existing literature.
    Type of Medium: Online Resource
    ISSN: 1053-9867 , 1533-8363
    Language: English
    Publisher: University of California Press
    Publication Date: 2022
    detail.hit.zdb_id: 2069788-0
    SSG: 2
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  • 10
    Online Resource
    Online Resource
    Wiley ; 2021
    In:  American Business Law Journal Vol. 58, No. 3 ( 2021-09), p. 579-642
    In: American Business Law Journal, Wiley, Vol. 58, No. 3 ( 2021-09), p. 579-642
    Abstract: Imposing legal liability on corporations for their involvement in human rights violations remains problematic. In the United States, civil liability in such circumstances developed in a series of Alien Tort Statute cases. This evolution came to an abrupt end with the cases of Kiobel v. Royal Dutch Petroleum and Jesner v. Arab Bank. As corporate human rights litigation declined in the United States, courts in Europe were presented with their first civil cases, and plaintiffs had some successes. Legal remedies for corporate human rights violations also made it onto the agenda of policy makers at the European Union and national European governments with laws requiring companies to conduct human rights due diligence throughout their operations. Against this background, this article investigates the current state and potential future development of corporate human rights litigation in the United States and Europe. It seeks to answer the following questions: Is the United States losing its prominent place as a preferred forum for human rights litigation against corporate defendants, as recent Supreme Court decisions suggest? What made the U.S. courts attractive in the first place? Is Europe taking over this role, and if so, should the United States be concerned about these developments? Are recent doctrinal and legislative trends in Europe transferable to the U.S. legal system and suitable to fill the gaps left by Kiobel and Jesner? Finally, what do these shifts on both sides of the Atlantic mean for victims of human rights violations and their prospects of effectively pursuing their rights?
    Type of Medium: Online Resource
    ISSN: 0002-7766 , 1744-1714
    URL: Issue
    Language: English
    Publisher: Wiley
    Publication Date: 2021
    detail.hit.zdb_id: 2065786-9
    SSG: 2
    SSG: 3,2
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