scholarly journals Pilot Source Study 2015: A Comparison of Performance at Part 121 Regional Airlines Between Pilots Hired Before the U.S. Congress Passed Public Law 111-216 and Pilots Hired After the Law’s Effective Date

Author(s):  
MaryJo O. Smith ◽  
Guy M Smith ◽  
Elizabeth Bjerke ◽  
Cody Christensen ◽  
Thomas Q Carney ◽  
...  
2006 ◽  
Vol 24 (1) ◽  
pp. 193-199 ◽  
Author(s):  
William J. Novak

James Henretta's “Charles Evans Hughes and the Strange Death of Liberal America” takes up one of the most interesting and important interpretive questions in the history of American political economy. What explains the dramatic transformation in liberal ideology and governance between 1877 and 1937 that carried the United States from laissez-faire constitutionalism to New Deal statism, from classical liberalism to democratic social-welfarism? That question has preoccupied legions of historians, political-economists, and legal scholars (as well as politicians and ideologues) at least since Hughes himself opened the October 1935 Term of the U.S. Supreme Court in a brand new building and amid a rising chorus of constitutional criticism. Henretta, wisely in my opinion, looks to law, particularly public law, for new insights into that great transformation. But, of course, the challenge in using legal history to answer such a question is the enormous increase in the actual policy output of courts, legislatures, and administrative agencies in this period. Trying to synthesize the complex changes in “law-in-action” in the fiercely contested forums of turn-of-the-century America sometimes seems the historical-sociological equivalent of attempting to empty the sea with a slotted spoon. Like any good social scientist, Henretta responds to the impossibility of surveying the whole by taking a sample. Through a case-study of the ideas, political reforms, and legal opinions of Charles Evans Hughes, particularly as governor of New York and associate and chief justice of the U.S. Supreme Court, Henretta offers us in microcosm the story of the revolution (or rather several revolutions) in modern American governance.


2020 ◽  
Vol 18 (4) ◽  
pp. 1090-1108
Author(s):  
Ruth Rubio-Marín

Abstract On February 2, 2016, Prof. Ruth Rubio-Marín, Chair of Constitutional and Comparative Public Law at the European University Institute (EUI), interviewed the U.S. Supreme Court Associate Justice Ruth Bader Ginsburg. The interview took place in the framework of the European University Institute’s annual Ursula Hirschmann Lecture, a space dedicated to stimulate research and thinking which links ideas about Europe and the study of gender. Justice Ruth Bader Ginsburg engaged in a conversation that tackled her whole persona, without making rigid divides between the professional and the personal. Deep legal analysis, personal anecdotes, and invaluable advice for future researchers and lawyers intertwine in the interview, which sheds light on important dimensions of equality law.


Author(s):  
P. M.A. Baker

The use and deployment of information and communication technologies (ICTs) in the public and private sectors has opened an array of options, best practices and implementation approaches for workplace (or workspace) operation. The increasingly widespread adoption of these ICTs, while often an efficient means of delivering services, encouraging communication, and facilitating transactions, still excludes sizeable portions of the population (Baker & Fairchild, 2005; Baker & Ward, 2005). Much of the focus of discussions on ICT adoption has assumed that patchy use of ICTs relates principally to socioeconomic variables. A consequence of these kinds of analyses is the omission, in formulating policies that seek to incorporate ICTs into the workplace, of a key group of people with functional limitations that go beyond relatively remediable conditions (e.g., economic, educational, location)—people with disabilities. Some 15 years after the 1990 implementation of the U.S. Americans with Disabilities Act (ADA), the employment rate of U.S. persons with disabilities is only about 30% (Weathers, 2005). This represents significant and underutilized resource and societal costs for unemployed persons with disabilities ranging from $78 billion to $200 billion annually (U.S. Census Bureau, 2000; Worksupports.com, 2000). A similar situation exists in Europe. Dupré and Karjalainen (2003) report that, according to the preliminary results of the “ad hoc module on employment of disabled people of the Spring 2002 round of the Labor Force Survey”, “78% of the severely disabled aged 16-64 are outside of the labor force as compared to 27% for those without” long-standing health problems or disabilities (p. 1). While policymakers generally recognize that the availability of ICTs allow telework to be a realistic work option and a reasonable workplace accommodation for people with disabilities, focused, comprehensive programs targeted at advancing these applications of ICTs for people with disabilities have yet to be developed. Aside from a few token programs such as the interagency website on teleworking, telework.gov, and a handful of laws “encouraging” telework, requiring reporting to the U.S. Congress or establishing telework coordinators (e.g., Public Law 108-447, § 622 (2004), Public Law 108-199, § 627 (2004) and Public Law 106-346, § 359 (2000)), little real attention seems paid to this work modality. A possible downside to the e-clusive “virtual workspace” is the potential for the inadvertent marginalization and stigmatization of people with disabilities from the employment community. While using ICTs facilitates may increase accessibility to employment and function as reasonable accommodations for people with disabilities, they may also act to decrease (or at least alter) the kinds of social networks that disabled people have within their occupations. This is an important consideration given that limitation of workplace contact (either in terms of degree or attenuation), can increase the likelihood that people with disabilities will occupy positions of inferior power (they will be more dependent) within the work environment. Such a restriction of power affects the ability to affect positive changes in the workplace. Moreover, as noted by Schur, Shields, Kruse, and Schriner (2002), voting “has been found to be strongly and positively related to … employment and union membership which can represent recruitment and mobilization networks” (p. 169). Thus, the failure to integrate people with disabilities into the workplace can also have a significant impact on their ability to exercise political power and influence. It is within this context that this article identifies some of the principal workplace accessibility issues faced by people with disabilities and discusses the use of teleworking as a reasonable workplace accommodation for people with disabilities.


1995 ◽  
Vol 10 (4) ◽  
pp. 699-717 ◽  
Author(s):  
Rajiv D. Banker ◽  
Somnath Das ◽  
Chin S. Ou

This paper presents empirical evidence that previously disclosed financial ratio information is useful in explaining differential market reactions for a cross-section of firms facing subsequent common industry-level changes. We focus our attention on the Airline Deregulation Act of 1978 (Public Law 95-504), which was aimed at complete deregulation of the U.S. airline industry after 40 years of federal regulation. Our empirical results indicate that market reaction to the deregulatory changes is positively associated with operating performance and asset utilization. This suggests that an airline firm's operating efficiency as measured by these ratios is a key determinant of how investors expect it to perform in a deregulated competitive environment.


1989 ◽  
Vol 56 (1) ◽  
pp. 10-13 ◽  
Author(s):  
David Greenburg

The U.S. Department of Education's Tenth Annual Report to Congress on the Implementation of the Education of the Handicapped Act contains improvements, but most infirmities of previous reports on progress toward meeting the goals of Public Law 94–142. Major criticisms include (a) continued overdependence on reporting numbers of students without descriptions of evolutions in service delivery, and (b) a lack of information about service delivery which includes the perspective of practitioners in local school districts where the service delivery occurs. The report further prompts even more questions about the Office of Special Education Programs (OSEP) monitoring findings and reinforces the need for improved communication between local practitioners and those who form national public education policy.


1982 ◽  
Vol 76 (8) ◽  
pp. 322-324
Author(s):  
Barbara D. McGarry

This review of the U.S. Supreme Court's first interpretation of Public Law 94-142 details the national economic environment in which the decision took place, provides a history of the Rowley case in the courts, and considers the financial implications of the Supreme Court's ruling.


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