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dc.contributor.authorBraut, Geir Sverre
dc.contributor.authorLindøe, Preben
dc.date.accessioned2011-06-10T11:48:12Z
dc.date.available2011-06-10T11:48:12Z
dc.date.issued2010
dc.identifier.citationBraut, G.S. ; Lindøe, P.H.: Risk regulation in the North Sea : a common law perspective on Norwegian legislation. Safety Science Monitor, 14(2010)1.en_US
dc.identifier.issn1443-8844
dc.identifier.urihttp://hdl.handle.net/11250/184291
dc.description.abstractThe paper include an assessment of the development of the Norwegian regulatory system based on legislative written text, but also compare the impact (efficiency/effectiveness) of the regulatory regime. The theoretical basis is a distinction between the concept of common law as opposed to statutory law. The current legislation related to safety in the petroleum sector in Britain (UK) as well as in Norway (NOR) has traits from both those two legislative concepts; though the British judicial and administrative traditions are relying much more upon the concept of common law than the Norwegian are. The assessment finds traits of the common law principle in the Norwegian legislation as well, partly because of the strong bilateral influence between the UK and Norway in the petroleum sector and possibly due to an increasing use of legal standards in the legislative texts used for safety regulation purposes..en_US
dc.language.isoengen_US
dc.publisherKTH Royal Institute of Technologyen_US
dc.subjectrisk regulationen_US
dc.subjectNorwegian legislationen_US
dc.titleRisk regulation in the North Sea : a common law perspective on Norwegian legislationen_US
dc.typeJournal articleen_US
dc.typePeer revieweden_US
dc.subject.nsiVDP::Social science: 200::Law: 340::Public law: 343en_US
dc.source.volume14
dc.source.journalSafety Science Monitor
dc.source.issue1


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