697 research outputs found

    HACCP plan fresh fish processing Marituna

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    In the past regulatory authorities for food products had a duty to ensure that foods offered tothe consumer are at least safe to eat. The authorities required a positive approach of using Good Manufacturing Practices (GMP), producing food in a hygienic manner, and by inspection of finished product. It is now realised that inspection of finished product gives a poor control over the safety of foods. Therefore, since 1 January 1993, regulatory authorities in Europe required that companies take a preventative approach to safety based on the principles of Hazard Analysis and Critical Control Points (HACCP). Anyone exporting fish products to Europe or North America will have to implement a programme based on HACCP. If a company cannot demonstrate to the satisfaction of regulating agencies in importing countries that it has an effective programme operating in their processing plant, importers will not be permitted to accept the products. The United Nations food standard group Codex Alimentarius Commission has recommended HACCP's adoption as a system for ensuring the safety of foods (including finfish and shellfish) and the prevention of foodborne diseases

    Sovereignty Reloaded? A Constructivist Perspective on European Research

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    This paper addresses three issues. Beginning with the sovereignty puzzle that emerges from multilevel governance analyses (in terms of the endurance of sovereignty within structures of overlapping authorities), it suggests supplementing the static view of multilevel governance with the dynamic perspective of Europeanization literature as an important step forward for the next generation of EU studies. In addition, it calls for a 'constructivist turn' in order to elaborate the dynamics identified by Europeanization approaches. It is argued that this provides the key to the sovereignty puzzle by analysing the link between interaction and identity. Finally, the constructivist perspective of the mutual constitution of structure and agency is advocated as a fruitful lane for the third wave of EU research as a way to overcome its struggles with unidirectional, causality notions of bottom-up and top-down relationships within multilevel governance structures.sovereignty; multilevel governance; Europeanization

    Can Tenants in Privately Owned Apartments Be Drug Tested?

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    This article is the winner of the Apartments manuscript prize [sponsored by the National Multi Housing Council (NMHC)] presented at the 2001 American Real Estate Society Annual Meeting. Drug use is a serious problem in many apartment complexes where innocent tenants are victimized by violent crime, robberies and burglaries perpetuated by drug dealers and users. Recently the popular press has been reporting that apartment owners are requiring prospective and existing tenants to submit to drug tests. This article addresses the legalities of drug testing tenants under federal law in privately owned apartment. Federal statutes that may offer tenants legal recourse against landlords include the Fair Housing Act Amendments of 1988, the Rehabilitation Act of 1974, Section 504, and the Civil Rights Act of 1866.

    Appraisers and the Fair Housing Law: Accessibility Requirements for the Disabled

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    In 1988 the Fair Housing Act of 1968 was amended to include the "handicapped" as being protected from discrimination in multiunit housing. The three general categories of discriminatory acts are refusal to make or allow reasonable physical modifications to a covered multiunit dwelling, refusal to make reasonable accommodations in rules and practices, and failure to follow certain design and construction standards. The U.S. Department of Housing and Urban Development has issued Fair Housing Accessibility Guidelines, which provide technical guidance on multiunit dwelling design and construction standards. This study examines these guidelines and the impact the Act may have upon value when discriminatory practices are observed.

    Derivatives and the Modern Prudent Investor Rule: Too Risky or Too Necessary?

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    Precision constraints on radiative neutrino decay with CMB spectral distortion

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    We investigate the radiative decay of the cosmic neutrino background, and its impact on the spectrum of the cosmic microwave background (CMB) that is known to be a nearly perfect black body. We derive exact formulae for the decay of a heavier neutrino into a lighter neutrino and a photon, νjνi+γ\nu_j \to \nu_i + \gamma, and of absorption as its inverse, νi+γνj\nu_i + \gamma \to \nu_j, by accounting for the precise form of the neutrino momentum distribution. Our calculations show that if the neutrinos are heavier than O(0.1)\mathcal O(0.1) eV, the exact formulae give results that differ by \sim50%, compared with approximate ones where neutrinos are assumed to be at rest. We also find that spectral distortion due to absorption is more important for heavy neutrino masses (by a factor of \sim10 going from a neutrino mass of 0.01 eV to 0.1 eV). By analyzing the CMB spectral data measured with COBE-FIRAS, we obtain lower limits on the neutrino lifetime of τ124×1021\tau_{12} \gtrsim 4 \times 10^{21} s (95% C.L.) for the smaller mass splitting and τ13τ231019\tau_{13} \sim \tau_{23} \gtrsim 10^{19} s for the larger mass splitting. These represent up to one order of magnitude improvement over previous CMB constraints. With future CMB experiments such as PIXIE, these limits will improve by roughly 4 orders of magnitude. This translates to a projected upper limit on the neutrino magnetic moment (for certain neutrino masses and decay modes) of μν<3×1011μB\mu_\nu < 3 \times 10^{-11}\, \mu_B, where μB\mu_B is the Bohr magneton. Such constraints would make future precision CMB measurements competitive with lab-based constraints on neutrino magnetic moments.Comment: 14 pages, 9 figures. v2: Added a number of references and clarifications. Matches version published in PR

    Heart failure and sudden cardiac death in heritable thoracic aortic disease caused by pathogenic variants in the SMAD3 gene

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    Background: Predominant cardiovascular manifestations in the spectrum of Heritable Thoracic Aortic Disease include by default aortic root aneurysms- and dissections, which may be associated with aortic valve disease. Mitral- and tricuspid valve prolapse are other commonly recognized features. Myocardial disease, characterized by heart failure and/or malignant arrhythmias has been reported in humans and in animal models harboring pathogenic variants in the Fibrillin1 gene. Methods: Description of clinical history of three cases from one family in Ghent (Belgium) and one family in St. Louis (US). Results: We report on three cases from two families presenting end-stage heart failure (in two) and lethal arrhythmias associated with moderate left ventricular dilatation (in one). All three cases harbor a pathogenic variant in the SMAD3 gene, known to cause aneurysm osteoarthritis syndrome, Loeys-Dietz syndrome type 3 or isolated Heritable Thoracic Aortic Disease. Conclusions: These unusual presentations warrant awareness for myocardial disease in patients harboring pathogenic variants in genes causing Heritable Thoracic Aortic Disease and indicate the need for prospective studies in larger cohorts

    The uncertain (re)politicisation of fiscal relations in Europe: a shift in EMU's modes of governance

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    Europe's numerous fiscal crises – 2003 Stability and Growth Pact (SGP) crisis, its subsequent 2005 reforms, and the recent sovereign debt woes – draw attention to a shift in the management of EMU; namely the inclusion of more uncertainty-based governance. Understood as modalities of government, risk, and uncertainty make the production of this fiscal-monetary space intelligible as a recognised form of knowledge and object of government. Whereas the Pact was devised as the anchor for EMU, it has come to symbolise its weakness. This article argues that the result is an antagonistic relationship between the programmatic and operational dimensions of fiscal governance; otherwise seen as a dialectic between the two competing domains of expertise/law and politics. Starting with the 2005 SGP reforms, and exacerbated by the credit crisis, uncertainty has been mobilised to justify alternative forms of managing fiscal conduct linked to new strategies of calculation and issues of responsibility. Bound to variegated notions of ‘fiscal normality’, I contend that the 2005 reforms signal the (re)politicisation of the budgetary framework and the reconfiguration of the politics of limits. Rather than marginalising informal judgment, the government through uncertainty places a greater emphasis on creative entrepreneurialism in fostering compliance in ways risk does not
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