scholarly journals Multilevel Governance of Maritime Border Surveillance in the EU and Accountability

2020 ◽  
Vol 3 (1) ◽  
pp. 60-86
Author(s):  
Åsa Gustafsson

The article strives to examine the accountability of the Swedish Coast Guard in the field of maritime border surveillance. Border management, including border surveillance, lies close to states’ core interests, such as sovereignty and security, and are inherently sensitive to human rights violations. This has affected the developments of the regulatory framework at the EU level in different ways. The question is posed how EU law, and the instruments that are directly applicable in the member states, impact on the accountability of the Swedish Coast Guard in the field of maritime border surveillance. The member state in focus is Sweden and in that sense it deals with maritime border surveillance in the Baltic Sea region, and not the Mediterranean Sea region, which has often been the debated issue due to the migration pressure in that region. However, it is of interest to examine also an actor in a Nordic EU member state, taking into account inter alia the vast fragmentation regarding authorities with responsibilities in border management in the EU. Also the multilevel system of rules as well as of actors – Frontex and the member states’ authorities – makes it relevant to make such an investigation. Whether multi-level regulation promotes or undermines accountability is to some extent dependent on which concept of accountability one holds. When applying a concept of individual accountability, the existence of a range of accountability avenues regarding the Coast Guard’s activities transpires as quite satisfactory. However, if more actors would be involved in the Coast Guard’s maritime border surveillance activities based on the existing multilevel system of actors and rules, this would negatively impact the possibilities to hold the different actors accountable, for instance since different ‘accountability rules’ apply to different actors.

2015 ◽  
Vol 10 (3) ◽  
pp. 209-221
Author(s):  
Ivano Dileo

With the decline of the nation state and the increasing importance of regionalisation, the EU has launched macro-regions, i.e., areas, including territories from several countries, that share common goals and operating under multi-level governance. This paper focuses on the EU territorial cooperation strategy, utilising the concept of "macro--region" and the perspective of the macro-regional approach. Following the first macro-regions (such as the Baltic Sea Region and the Danube Region), the EU recently launched the Adriatic-Ionian Macro-regional Strategy, which was seen as an additional tool for cooperation between local and regional authorities that overlooks the Adriatic Sea. Nevertheless, future developments in the region appear at the present to be quite uncertain, owing to structural industrial decline, rural marginalisation and a lack of infrastructure adequate to support the entire cooperation area. To overcome these constraints, the concept of macro-region must be strengthened by creating alternative ways to engage in cross-border cooperation between areas subject to similar conditions. Matching among regions that belong to different Euro-countries within the framework of a macro-region may be the best way to forge a consistent path towards territorial, economic and social integration. This will help to create a common pole of cooperation characterized by various strategies that can act as accelerators in creating territorial capital. 


2018 ◽  
Vol 10 (4) ◽  
pp. 175
Author(s):  
Tanel Feldman ◽  
Marco Mazzeschi

Rights of residence derived from a durable relationship with an EU citizen, are left to a relatively wide discretion of the Member States. Pursuant to Article 2.2 (b) Directive 2004/38/EC (“Directive”), “the partner with whom the Union citizen has contracted a registered partnership, on the basis of the legislation of a Member State, if the legislation of the host Member State treats registered partnerships as equivalent to marriage and in accordance with the conditions laid down in the relevant legislation of the host Member State” qualifies as family member. Provided that they have a durable relationship (duly attested) with an EU citizen, pursuant to Article 3.2(b), unregistered partners are as well beneficiaries of the Directive. The durable relationship was expressly excluded from the scope of Article 2(2)(b): “Unlike the amended proposal, it does not cover de facto durable relationships” (EU Commission, Document 52003SC1293). Article 3 (2)(a) covers “other family members” (no restrictions as to the degree of relatedness) if material support is provided by the EU citizen or by his partner or where serious health grounds strictly require the personal care of the family member by the Union citizen. Pursuant to Article 3.2, “other family members” and unregistered partners can attest a durable relationship, must be facilitated entry and residence, in accordance to the host Member State’s national legislation. In the light of Preamble 6 Directive, the situation of the persons who are not included in the definition of family members, must be considered “in order to maintain the unity of the family in a broader sense”. The questions discussed in this paper are the following: (i) are Member States genuinely considering the concept of durable relationship in view of maintaining the unity of the family in a broader sense? and (ii) how to overcome legal uncertainty and which criteria, both at EU and at international level, can be taken into account in order to assess whether a durable relationship is genuine and should be granted the rights set forth by the Directive?


2007 ◽  
Vol 12 (19) ◽  
Author(s):  
Collective Editorial team

Transnational cooperation is often essential when dealing with infectious diseases, and one challenge facing European Union Member States is finding ways to collaborate with partners outside the EU. An example of one Member State doing just this is the Koch-Metschnikow-Forum (KMF).


Lexonomica ◽  
2021 ◽  
Vol 13 (1) ◽  
pp. 17-28
Author(s):  
Bettina Nunner-Krautgasser

In this paper, the author focuses on the effect of enforceability, in particular in relation to Austrian law. However, insights into German and European law are also provided. Enforceability is an effect of a judgment which is basically only granted to performance judgments. Declaratory and constitutive decisions (with the exception of the decision on costs) are not enforceable as such. As a result, the order for performance contained in the judgment can be enforced by state coercive measures. Enforceability occurs upon termination of the performance period. Enforceability is neither a consequence of, nor necessarily coincides with, res judicata. The introduction of the Brussels Ia Regulation has fundamentally changed the system of enforcement of foreign decisions. Decisions given in the EU Member State and enforceable in that State are now enforceable in another Member States without the need for a declaration of enforceability.


Author(s):  
Petr David ◽  
Danuše Nerudová

There still exist the differences in provision of VAT, in interpretation of VAT provisions and application of the rules in practice between the EU member states. Application of VAT during the supply of goods with installation to other EU member state, both during the existence of establishment in the state of customer and also without it, is considered to be one from the problematic field. Other discrepancies are created by inclusion of the sub suppliers, who can come from other EU member state or from the same state as customer, to this transaction. Questions of VAT application during the supply of goods with installation to other EU member state were processed by using standard methods of scientific work in the frame of five selected EU countries – Hungary, Poland, Romania, Slovakia and Czech Republic.


2018 ◽  
Vol 20 (2) ◽  
pp. 282-304 ◽  
Author(s):  
Noah Carl ◽  
James Dennison ◽  
Geoffrey Evans

To date, most accounts of the UK’s vote to leave the EU have focussed on explaining variation across individuals and constituencies within the UK. In this article, we attempt to answer a different question, namely ‘Why was it the UK that voted to leave, rather than any other member state?’. We show that the UK has long been one of the most Eurosceptic countries in the EU, which we argue can be partly explained by Britons’ comparatively weak sense of European identity. We also show that existing explanations of the UK’s vote to leave cannot account for Britons’ long-standing Euroscepticism: the UK scores lower than many other member states on measures of inequality/austerity, the ‘losers of globalisation’ and authoritarian values, and some of these measures are not even correlated with Euroscepticism across member states. In addition, we show that the positive association between national identity and Euroscepticism is stronger in the UK than in most other EU countries. Overall, we conclude that Britons’ weak sense of European identity was a key contributor to the Brexit vote.


Author(s):  
Gleeson Simon ◽  
Guynn Randall

This chapter examines how the Bank Recovery and Resolution Directive is implemented in international and cross-border situations, both within the EU and between the EU and third countries. The BRRD requires each member state to recognize in their law the effect of resolution actions taken by other member states. This means that as regards foreign resolution action which purports to transfer assets located in their jurisdiction, or rights or liabilities governed by their law, or write-down or convert liabilities governed by their law or owed to creditors in their jurisdictions, their law must make provision for such transfers or conversions to take effect automatically and cannot be prevented, challenged, or set aside under their law. The chapter covers the scope of the Single Resolution Mechanism, cross-border branching, and the relevant changes to the Credit Institutions (Winding-Up) Directive.


2018 ◽  
Vol 14 (1) ◽  
pp. 131-153
Author(s):  
Zane Rasnača

Social and economic interests of ‘new’ and ‘old’ Member States along centre and periphery axis – Judicial and legislative developments concerning the posting of workers – Continuous deepening of the divide between centre and periphery – Lack of placement of new Member States’ social interests at the EU level – The need to place social interests firmly in the EU (internal market) structure – Developing meaningful common social standards to mitigate the centre/periphery divide


2011 ◽  
Vol 10 (2) ◽  
pp. 160-181
Author(s):  
David Fernández Vítores

When the principle of subsidiarity was introduced into Community law in 1992, it was hailed as a triumph of diversity over the previous uniformity of an excessively centralised European Union. It was generally believed to be an infallible way to preserve the cultural and linguistic heritage of each Member state, as it meant that responsibility for the design and implementation of educational, cultural and linguistic policies lay with the Member States. However, this transfer is not producing the desired results. On the contrary, it is helping to consolidate a monolingual tendency already observed in the EU since the United Kingdom joined the EU in 1973. In this context, the article examines the defensive strategies based on subsidiarity adopted by France and Germany and briefly assesses the outcome of these strategies.


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