47 research outputs found
Values and objectives of the EU in light of Opinion 1/17: ‘Trade for all’, above all
In Opinion 1/17 the Court of Justice of the European Union (CJEU) ruled that the new Investment
Court System (ICS) in the Canada–EU Comprehensive Economic and Trade Agreement (CETA) is
compatible with the EU constitutional framework. This article examines the CJEU’s analysis of the
ICS in its Opinion through the prism of EU values and objectives. Given the judicial nature of the ICS,
the article unfolds around the concept of the rule of law. The scope and the content of this core EU
value are considered under both EU law and the European Convention on Human Rights (ECHR). In particular, the ICS is analysed in light of the two core rule-of-law requirements: equal treatment and the independence of courts, enshrined in Articles 20 and 47 of the Charter of Fundamental Rights (CFR). Importantly, in Opinion 1/17 the CJEU for the first time applied Article 47 CFR to a court outside the EU judicial system. While the CJEU ruled that the ICS complies with the CFR rule-of-law criteria,this article argues that it nevertheless falls short of the rule-of-law standards required for judicial bodies under EU law. The article demonstrates that the CJEU prioritises free and fair trade as the CETA’s core
objective, rather than the rule of law, and endorses the ICS as the conditio sine qua non of guaranteeing
such trade. The Court’s findings have wider consequences for the rule of law in international law as the
EU continues to pursue the establishment of a Multilateral Investment Court (MIC)
La armonización de legislaciones, mercado interior y medio ambiente: los retos del pacto verde
Although it was not mentioned in the 1957 Treaty of Rome, environmental concerns have, through the various treaty reforms, gradually been able to establish themselves as one of the greatest values enshrined in the treaties. Henceforth, environmental protection is not only a core objective of the Union, it has also been placed on equal footing with economic growth and the internal market. The choice of legal basis of EU measures aiming at protecting the environment represents a critical juncture in relations between institutions, as well as the relations between the Member States and the EU. It is not the case that every single provision even remotely relating to environmental issues has been passed under the only chapter of the Treaty dedicated to environmental policy. As the EU harmonisation measures aim at avoiding distortions of competition between undertakings, a significant number of product-oriented directives and regulations which have a direct impact on the internal market, and in particular those which lay down product standards, have been adopted on the base of Article 114 TFEU, a provision empowering the EU institutions to enact all measures affecting the establishment and the functioning of the internal market.
It is thus the aim of this article to assess in line with the new regulatory developments stemming from the Green Deal whether the environment benefits from a greater level of protection thanks to the recourse to the genuine environmental basis (Article 192 TFEU), or thanks to the internal market legal basis (Article 114 TFEU).Este trabajo expone cómo las nuevas propuestas normativas previstas por la Comisión Europea en el marco del Green Deal para alcanzar la neutralidad climática en 2050 se adoptarán sobre la base jurÃdica medioambiental genuina (artÃculo 192 del TFUE), o gracias a la base jurÃdica del mercado interior (artÃculo 114 del TFUE)
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The visibility of environmental rights in the EU legal order: eurolegalism in action?
The current article responds to a key puzzle and a question. First, why, given the potential for ‘rights talk’ that has been seen in other countries and other policy areas, have environmental rights in the EU legal order been relatively invisible until recently? And second, with Daniel Kelemen’s influential work on Eurolegalism arguing that the EU has become much more reliant on US-style adversarial legalism, including a shift towards rights-based litigation, do EU environmental rights fit the picture Kelemen has painted, or are they an exception? The article explores the visibility of EU environmental rights at EU level and then seeks to explain the possible reasons for visibility/invisibility
Further investigation of confirmed urinary tract infection (UTI) in children under five years: a systematic review.
Background: Further investigation of confirmed UTI in children aims to prevent renal scarring and future complications. Methods: We conducted a systematic review to determine the most effective approach to the further investigation of confirmed urinary tract infection (UTI) in children under five years of age. Results: 73 studies were included. Many studies had methodological limitations or were poorly reported. Effectiveness of further investigations: One study found that routine imaging did not lead to a reduction in recurrent UTIs or renal scarring. Diagnostic accuracy: The studies do not support the use of less invasive tests such as ultrasound as an alternative to renal scintigraphy, either to rule out infection of the upper urinary tract (LR- = 0.57, 95%CI: 0.47, 0.68) and thus to exclude patients from further investigation or to detect renal scarring (LR+ = 3.5, 95% CI: 2.5, 4.8). None of the tests investigated can accurately predict the development of renal scarring. The available evidence supports the consideration of contrast-enhanced ultrasound techniques for detecting vesico-ureteric reflux (VUR), as an alternative to micturating cystourethrography (MCUG) (LR+ = 14.1, 95% CI: 9.5, 20.8; LR- = 0.20, 95%CI: 0.13, 0.29); these techniques have the advantage of not requiring exposure to ionising radiation. Conclusion: There is no evidence to support the clinical effectiveness of routine investigation of children with confirmed UTI. Primary research on the effectiveness, in terms of improved patient outcome, of testing at all stages in the investigation of confirmed urinary tract infection is urgently required
How does study quality affect the results of a diagnostic meta-analysis?
Background: The use of systematic literature review to inform evidence based practice in diagnostics is rapidly expanding. Although the primary diagnostic literature is extensive, studies are often of low methodological quality or poorly reported. There has been no rigorously evaluated, evidence based tool to assess the methodological quality of diagnostic studies. The primary objective of this study was to determine the extent to which variations in the quality of primary studies impact the results of a diagnostic meta-analysis and whether this differs with diagnostic test type. A secondary objective was to contribute to the evaluation of QUADAS, an evidence-based tool for the assessment of quality in diagnostic accuracy studies. Methods: This study was conducted as part of large systematic review of tests used in the diagnosis and further investigation of urinary tract infection (UTI) in children. All studies included in this review were assessed using QUADAS, an evidence-based tool for the assessment of quality in systematic reviews of diagnostic accuracy studies. The impact of individual components of QUADAS on a summary measure of diagnostic accuracy was investigated using regression analysis. The review divided the diagnosis and further investigation of UTI into the following three clinical stages: diagnosis of UTI, localisation of infection, and further investigation of the UTI. Each stage used different types of diagnostic test, which were considered to involve different quality concerns. Results: Many of the studies included in our review were poorly reported. The proportion of QUADAS items fulfilled was similar for studies in different sections of the review. However, as might be expected, the individual items fulfilled differed between the three clinical stages. Regression analysis found that different items showed a strong association with test performance for the different tests evaluated. These differences were observed both within and between the three clinical stages assessed by the review. The results of regression analyses were also affected by whether or not a weighting (by sample size) was applied. Our analysis was severely limited by the completeness of reporting and the differences between the index tests evaluated and the reference standards used to confirm diagnoses in the primary studies. Few tests were evaluated by sufficient studies to allow meaningful use of meta-analytic pooling and investigation of heterogeneity. This meant that further analysis to investigate heterogeneity could only be undertaken using a subset of studies, and that the findings are open to various interpretations. Conclusion: Further work is needed to investigate the influence of methodological quality on the results of diagnostic meta-analyses. Large data sets of well-reported primary studies are needed to address this question. Without significant improvements in the completeness of reporting of primary studies, progress in this area will be limited
Cost Recovery for Water Services and the Polluter Pays Principle
This paper considers the general rationale for cost recovery pricing in respect
of water services and examines the specific provision that is made for this,
and related obligations, in Article 9 of the European Community Water
Framework Directive. Despite guidance drawn from the Common
Implementation Strategy, uncertainties remain, particularly with regard to the
need to recover environmental and resource costs and how account should
be taken of the polluter pays principle. Given the intractable character of
these difficulties, it is suggested that the some of the practical outcomes and
environmental benefits of implementation are speculative