Toward a Positive Theory of International Institutions: Regulating International Aviation Markets

1999 ◽  
Vol 53 (1) ◽  
pp. 1-37 ◽  
Author(s):  
John E. Richards

The regulation of postwar international aviation markets suggests that existing approaches to international institutions cannot adequately account for important elements of international institution building. In particular, scholars have neglected how domestic politics shapes the incentives of national governments to create and maintain international institutions and the impact of domestic politics on the scope and functions of international institutions. Drawing on positive theories of regulation and the literature on property rights, I argue that national politicians use international institutions to increase the wealth available for domestic redistribution. In short, national politicians create and maintain international institutions to maximize domestic political support. I present a domestic political model that explains how, when, and why national politicians create international institutions. The model is applied to the creation of institutions governing international aviation markets in the late 1940s and the reformulation of these institutions over the past two decades.

Author(s):  
Charlesworth Hilary

This chapter offers an account of Australia's engagement with the international legal order, through different aspects of the relationship: designing international institutions, litigating in the World Court, and implementing international standards. These are only fragments of the full picture, but they illustrate both Australia's embrace of and distancing from the international legal order. Australia's relationship with the international legal order overall is marked by a deep strand of ambivalence. It has played both the part of a good international citizen as well as that of an international exceptionalist. In some fields, Australia has engaged creatively in international institution-building, even if with a wary eye to protect certain Australian interests. In other areas, particularly human rights, the relationship is distinctly uneasy, with Australia appearing to believe that international standards should regulate others and that it is somehow above scrutiny.


2020 ◽  
Vol 64 (1) ◽  
pp. 220-234
Author(s):  
Lauren Peritz

Abstract When do international institutions promote economic cooperation among countries? The World Trade Organization (WTO) is central to the multilateral trade regime and a benchmark for international dispute resolution. Yet it remains unclear whether it has been effective in restoring trade cooperation. This article uses WTO disputes to examine the impact of domestic politics in the defendant country on compliance with adverse legal rulings. I build a novel data set on compliance. Using the method of synthetic case control, I estimate the effect of adverse rulings on trade flows between disputant countries using product-level time-series trade data. I infer the defendant complied if trade flows increased after the dispute, relative to estimated levels that would have occurred in the absence of the ruling. The results show domestic political divisions—measured by veto players—hinder compliance.


1995 ◽  
Vol 47 (4) ◽  
pp. 575-605 ◽  
Author(s):  
Edward D. Mansfield

Economic sanctions have long occupied the attention of both scholars and policy makers. Despite the widespread use of sanctions, many observers have concluded that the inherent problems associated with imposing sanctions involving multiple senders substantially limit their effectiveness. This article reviews two books that analyze the factors that influence cooperation among senders of multilateral sanctions. These books indicate that international institutions can do much to promote cooperation of this sort. However, this essay argues that the extent to which international institutions facilitate cooperation among senders of sanctions is likely to depend on the domestic politics of members, the type of institution being used for this purpose, the nature of the strategy being pursued, and the distribution of power among members. Although these books make significant contributions to our understanding of the factors that promote cooperation among senders of multilateral sanctions, they examine the factors that promote the effectiveness of sanctions in only a peripheral manner. One potential influence on the effectiveness of sanctions that are organized by an international institution, however, is the likelihood that the institution will be captured by member states or by interest groups within them. Additional research that investigates the conditions under which international institutions are likely to be captured and the implications of institutional capture for their performance may therefore prove useful to scholars of international relations and economic statecraft.


2021 ◽  
pp. 1-28
Author(s):  
Alasdair R. Young

This chapter sets out the International Relations debate about the impact of international institutions on state behavior and the methodological challenges that have hampered it. Drawing on the emerging domestic-politics-of-compliance literature, the chapter specifies causal mechanisms through which the rationalist and constructivist motivations for compliance identified in the International Relations literature—retaliation, reciprocity, reputation, and legitimacy—might translate into policy change. It also establishes some expectations for when policy change is more and less likely to occur, which are tested in the rest of the book. It then introduces the volume’s analytical framework, which is designed to circumvent the shortcomings that have bedeviled the literature. The chapter concludes with an overview of the rest of the volume.


2007 ◽  
Vol 40 (3) ◽  
pp. 301-314 ◽  
Author(s):  
László J. Kulcsár ◽  
Cristina Bradatan

Throughout the past years, substantial discussions have dealt with the factors associated with ethnic conflicts such as institutional designs, group dynamics and the influence of external peacemakers. However, one area remains largely uncovered: this is how the domestic politics of a nation state shape minority issues from the same ethnicity in another country. In this paper we discuss the dynamics of Hungarian politics relative to the Hungarian minority in Romania, and identify factors that resulted in exporting domestic political contention to another country.


2021 ◽  
Vol 9 (4) ◽  
pp. 5-15 ◽  
Author(s):  
Anna Litvinenko

Over the past decades, internet governance has developed in a tug-of-war between the democratic, transnational nature of the web, and attempts by national governments to put cyberspace under control. Recently, the idea of digital sovereignty has started to increasingly gain more supporters among nation states. This article is a case study on the Russian concept of a “sovereign internet.” In 2019, the so-called law on sustainable internet marked a new milestone in the development of RuNet. Drawing on document analysis and expert interviews, I reconstruct Russia’s strategic narrative on internet sovereignty and its evolution over time. I identify the main factors that have shaped the Russian concept of sovereignty, including domestic politics, the economy, international relations, and the historical trajectory of the Russian segment of the internet. The article places the Russian case in a global context and discusses the importance of strategic narratives of digital sovereignty for the future of internet governance.


Author(s):  
Leslie M. Loew

A major application of potentiometric dyes has been the multisite optical recording of electrical activity in excitable systems. After being championed by L.B. Cohen and his colleagues for the past 20 years, the impact of this technology is rapidly being felt and is spreading to an increasing number of neuroscience laboratories. A second class of experiments involves using dyes to image membrane potential distributions in single cells by digital imaging microscopy - a major focus of this lab. These studies usually do not require the temporal resolution of multisite optical recording, being primarily focussed on slow cell biological processes, and therefore can achieve much higher spatial resolution. We have developed 2 methods for quantitative imaging of membrane potential. One method uses dual wavelength imaging of membrane-staining dyes and the other uses quantitative 3D imaging of a fluorescent lipophilic cation; the dyes used in each case were synthesized for this purpose in this laboratory.


GeroPsych ◽  
2011 ◽  
Vol 24 (3) ◽  
pp. 143-154 ◽  
Author(s):  
Elmar Gräßel ◽  
Raffaela Adabbo

The burden of caregivers has been intensively researched for the past 30 years and has resulted in a multitude of individual findings. This review illustrates the significance of the hypothetical construct of perceived burden for the further development and design of the homecare situation. Following explanations regarding the term informal caregiver, we derive the construct burden from its conceptual association with the transactional stress model of Lazarus and Folkman. Once the extent and characteristics of burden have been set forth, we then present the impact of perceived burden as the care situation. The question of predictors of burden will lead into the last section from which implications can be derived for homecare and relief of caregivers.


2004 ◽  
Vol 34 (136) ◽  
pp. 339-356
Author(s):  
Tobias Wölfle ◽  
Oliver Schöller

Under the term “Hilfe zur Arbeit” (aid for work) the federal law of social welfare subsumes all kinds of labour disciplining instruments. First, the paper shows the historical connection of welfare and labour disciplining mechanisms in the context of different periods within capitalist development. In a second step, against the background of historical experiences, we will analyse the trends of “Hilfe zur Arbeit” during the past two decades. It will be shown that by the rise of unemployment, the impact of labour disciplining aspects of “Hilfe zur Arbeit” has increased both on the federal and on the municipal level. For this reason the leverage of the liberal paradigm would take place even in the core of social rights.


TAPPI Journal ◽  
2018 ◽  
Vol 17 (09) ◽  
pp. 519-532 ◽  
Author(s):  
Mark Crisp ◽  
Richard Riehle

Polyaminopolyamide-epichlorohydrin (PAE) resins are the predominant commercial products used to manufacture wet-strengthened paper products for grades requiring wet-strength permanence. Since their development in the late 1950s, the first generation (G1) resins have proven to be one of the most cost-effective technologies available to provide wet strength to paper. Throughout the past three decades, regulatory directives and sustainability initiatives from various organizations have driven the development of cleaner and safer PAE resins and paper products. Early efforts in this area focused on improving worker safety and reducing the impact of PAE resins on the environment. These efforts led to the development of resins containing significantly reduced levels of 1,3-dichloro-2-propanol (1,3-DCP) and 3-monochloropropane-1,2-diol (3-MCPD), potentially carcinogenic byproducts formed during the manufacturing process of PAE resins. As the levels of these byproducts decreased, the environmental, health, and safety (EH&S) profile of PAE resins and paper products improved. Recent initiatives from major retailers are focusing on product ingredient transparency and quality, thus encouraging the development of safer product formulations while maintaining performance. PAE resin research over the past 20 years has been directed toward regulatory requirements to improve consumer safety and minimize exposure to potentially carcinogenic materials found in various paper products. One of the best known regulatory requirements is the recommendations of the German Federal Institute for Risk Assessment (BfR), which defines the levels of 1,3-DCP and 3-MCPD that can be extracted by water from various food contact grades of paper. These criteria led to the development of third generation (G3) products that contain very low levels of 1,3-DCP (typically <10 parts per million in the as-received/delivered resin). This paper outlines the PAE resin chemical contributors to adsorbable organic halogens and 3-MCPD in paper and provides recommendations for the use of each PAE resin product generation (G1, G1.5, G2, G2.5, and G3).


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