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  • 1
    In: Maastricht Journal of European and Comparative Law, SAGE Publications
    Abstract: In de Legé v. the Netherlands, a decision characterized as a key case, the ECtHR addressed once again the problematic relationship between the right against self-incrimination and the compelled production of real or physical evidence. In its judgment, the Court held that the use of the evidence submitted by the defendant to the authorities does not fall within the scope of the right against self-incrimination when the evidence in question concerns pre-existing documents of whose existence the authorities were already aware. By developing this argument, the European Court has adopted a line of reasoning similar to the ‘foregone conclusion’ doctrine of the United States Supreme Court. This article aims to critically analyse the decision of the ECtHR. It will be argued that the ECtHR does not sufficiently support its reasoning. Moreover, it does not take into account the rationale of the right against self-incrimination, which, as will be stated, can be considered opposed to the ‘foregone conclusion’ doctrine, at least in the European context.
    Type of Medium: Online Resource
    ISSN: 1023-263X , 2399-5548
    RVK:
    Language: English
    Publisher: SAGE Publications
    Publication Date: 2023
    detail.hit.zdb_id: 2375511-8
    SSG: 2
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  • 2
    Online Resource
    Online Resource
    SAGE Publications ; 2019
    In:  New Journal of European Criminal Law Vol. 10, No. 3 ( 2019-09), p. 287-300
    In: New Journal of European Criminal Law, SAGE Publications, Vol. 10, No. 3 ( 2019-09), p. 287-300
    Abstract: Prison is by its nature a deliberately impoverished environment, with few physical, mental and social activities. Various studies have shown negative effects of an impoverished environment on animal as well as human brain functions. A recent study in a Dutch remand prison showed that brain functions connected with self-regulation decline after 3 months of imprisonment. Reduced self-regulation appears to be a risk factor for recidivism. In this article, we examine the legal implications of these neuropsychological findings in a European context. Firstly, we analyse these results in the light of the principle of rehabilitation as interpreted in case law of the European Court of Human Rights. Secondly, we explore how the neuropsychological insights could be relevant in the context of the prohibition of torture, inhuman and degrading treatment (Article 3 of the European Convention on Human Rights (ECHR)). We argue that if the impoverished prison environment hampers rehabilitation, states are positively obliged to take appropriate measures to counter these effects. Ultimately, negative effects on brain functioning by impoverished prison environments could even raise an issue under Article 3 ECHR. Furthermore, we argue that neuropsychological insights have to be taken into account when establishing the threshold according to which the European Court on Human Rights judges prison conditions. We conclude that in the light of these considerations further research on the neuropsychological effects of the prison environment is required.
    Type of Medium: Online Resource
    ISSN: 2032-2844 , 2399-293X
    Language: English
    Publisher: SAGE Publications
    Publication Date: 2019
    detail.hit.zdb_id: 2592839-9
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  • 3
    In: European Journal of Criminology, SAGE Publications, Vol. 20, No. 2 ( 2023-03), p. 528-547
    Abstract: The current study investigates the association between physical child maltreatment and juvenile delinquent behavior in the context of the Situational Action Theory (SAT) (Wikström, 2006, 2017, 2020). Self-control, morality and exposure to criminogenic settings are proposed as possible mechanisms explaining the association between physical child maltreatment and adolescent offending. The hypotheses are tested in a subsample of the third wave of the International Self-Report Delinquency Study (ISRD3), a large international non-clinical study on delinquency and victimization among adolescents. The final sample consists of N = 24,956 adolescents aged 12–16 years from nine West European countries. While controlling for dependence due to nested data and several covariates, the models are tested for overall offending and separately for violent and property offending. Results confirm that physical child maltreatment is associated with the main concepts of SAT (lower self-control; lower morality; and more exposure to criminogenic environments), which in turn are associated with juvenile delinquency. The models show partial mediation for overall offending, property offending and violent offending. The findings provide support for the theoretical prowess of SAT and its main concepts: self-control, morality and exposure to criminogenic settings as mediators in the well-established physical child maltreatment/delinquency link. These findings are consistent with the ‘cycle of violence’ perspective and contribute to the theoretical clarification of the mechanisms involved in the child maltreatment/delinquency link. The findings fail to confirm a ‘crime-specific propensity’. The article concludes with a discussion of implications for prevention.
    Type of Medium: Online Resource
    ISSN: 1477-3708 , 1741-2609
    Language: English
    Publisher: SAGE Publications
    Publication Date: 2023
    detail.hit.zdb_id: 2135314-1
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  • 4
    Online Resource
    Online Resource
    SAGE Publications ; 2012
    In:  Maastricht Journal of European and Comparative Law Vol. 19, No. 4 ( 2012-12), p. 524-548
    In: Maastricht Journal of European and Comparative Law, SAGE Publications, Vol. 19, No. 4 ( 2012-12), p. 524-548
    Abstract: Traditional mediation is conducted in person with all affected parties at a physical ‘table’ with a session is orchestrated by the mediator with the parties and their representatives, often utilizing both joint and caucus sessions. Techniques as subtle as non-verbal cues, and techniques as overt as removing one party from the mediation room can be used. Online dispute resolution (ODR) takes place in ‘cyberspace’, described by the US Supreme Court as the virtual world ‘located in no particular geographic location but available to anyone, anywhere in the world, with access to the Internet’ (Reno v. Aclu, 521 U.S. 844, 849 (1997). ODR differs from traditional mediation in at least three ways relating to the formation and resolution of disputes. It represents a virtual community which deconstructs time, space, and the physical. Because it eliminates and changes boundaries it is important to rethink the traditional paradigms for resolving conflict and create opportunities for design of an interest-based dispute resolution model for the internet. This article discusses the differences between traditional mediation and ODR and with an online mediation conducted like traditional mediation, in which a neutral human third party facilitates discussions between the parties and helps them reach a voluntary settlement.
    Type of Medium: Online Resource
    ISSN: 1023-263X , 2399-5548
    RVK:
    Language: English
    Publisher: SAGE Publications
    Publication Date: 2012
    detail.hit.zdb_id: 2375511-8
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  • 5
    Online Resource
    Online Resource
    SAGE Publications ; 2020
    In:  European Journal of Criminology Vol. 17, No. 5 ( 2020-09), p. 585-602
    In: European Journal of Criminology, SAGE Publications, Vol. 17, No. 5 ( 2020-09), p. 585-602
    Abstract: Existing research on Islamophobic hate crime has examined in detail the verbal, physical and emotional attacks against Muslims. However, the experiences of non-Muslim men who suffer Islamophobic hate crime because they look Muslim remain ‘invisible’ in both official statistics and empirical research. Drawing on data from qualitative interviews with 20 non-Muslim men based in the United Kingdom, we examined their lived experiences of Islamophobic hate crime. Interviews were transcribed and analysed using thematic analysis. A deductive approach to thematic analysis was adopted to analyse participants’ narratives, and six overarching themes were developed: (1) nature of Islamophobic hate crime; (2) triggers of Islamophobic hate crime; (3) impact of Islamophobic hate crime; (4) reporting incidents, responses and barriers to Islamophobic hate; (5) victims’ coping strategies; and (6) recommendations on tackling the problem. Our findings show that participants experienced Islamophobic hate crime because of ‘trigger’ events, namely the Brexit vote, Donald Trump’s presidency and ISIS-inspired terrorist attacks in European countries such as France, Germany, Sweden and the UK. Participants described being verbally and physically attacked, threatened and harassed as well as their property being damaged. The impacts upon victims included physical, emotional, psychological and economic damage. These experiences were also damaging to community cohesion and led to polarization between different communities in the UK.
    Type of Medium: Online Resource
    ISSN: 1477-3708 , 1741-2609
    Language: English
    Publisher: SAGE Publications
    Publication Date: 2020
    detail.hit.zdb_id: 2135314-1
    SSG: 2
    SSG: 2,1
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  • 6
    Online Resource
    Online Resource
    SAGE Publications ; 2019
    In:  European Labour Law Journal Vol. 10, No. 1 ( 2019-03), p. 17-42
    In: European Labour Law Journal, SAGE Publications, Vol. 10, No. 1 ( 2019-03), p. 17-42
    Abstract: The 2003/88/EC Working Time Directive limits maximum weekly working time to 48 hours per week and establishes minimum daily rest periods of 11 hours. Article 22 thereof allows Member States to opt-out of the 48-hours limitation, thus limiting daily working hours to 13, subject to the respect of the general principles of the protection of the health and safety of workers and to employees’ consent. This article attaches great weight to Member States’ obligations to respect the General Principles, which include, inter alia, the protection of workers’ health and safety; workers’ right to reasonable working hours and to dignity; and the notion of adapting work to workers. It refers to empirical research exposing the distinctly negative implications of work lasting more the 12 daily hours on both workers’ health and safety. It suggests that the limitation of working hours should be treated as equivalent to the supplying of employees in industrial plants with protective equipment. It regards employers’ duty to adapt work to workers as having double meaning: first, longitude of hours worked should fit the physical and mental limitations characterising the human body; second, workload should be adapted to employees’ physical and psychological limitations vis-à-vis work hours. The article concludes that it is doubtful whether allowing regular working hours of up to 13 hours complies with the General Principles; proposes to interpret the derogation as limiting regular daily working hours to 12; and to amend the derogation accordingly. It further concludes that the Directive rightly prioritises workers’ health and safety over economic considerations. Indeed, workers are not a means to achieve employers’ goals; rather, they are human beings whose physical and psychological well-being must be respected in the context of working hours and must prevail over commercial interests. Further, commercial interests actually call for the limitation of working hours to up to 12 on a regular basis. The derogation is also subject to workers’ consent and thus reflects their rights to autonomy in the workplace and to free choice of occupation. Hence, employees should be treated as (part) authors of their own work environments and should therefore have the power to shape the length of their overtime. However, their right to autonomy may be hindered by direct or indirect pressures, especially as they have little bargaining powers and alternatives. In order to achieve actual autonomy in the workplace, this article suggests that: employers inform employees as to their freedom to choose whether or not to opt-out and of the risks to health and safety emanating from overtime; consent be written; and that overtime performed beyond 48 weekly hours without free and informed consent be regarded as unconsenting and deserving of reparation.
    Type of Medium: Online Resource
    ISSN: 2031-9525 , 2399-5556
    Language: English
    Publisher: SAGE Publications
    Publication Date: 2019
    detail.hit.zdb_id: 2549567-7
    detail.hit.zdb_id: 2603109-7
    SSG: 2
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  • 7
    Online Resource
    Online Resource
    Springer Science and Business Media LLC ; 2022
    In:  The International Sports Law Journal Vol. 22, No. 1 ( 2022-03), p. 51-61
    In: The International Sports Law Journal, Springer Science and Business Media LLC, Vol. 22, No. 1 ( 2022-03), p. 51-61
    Abstract: Numerous young athletes have suffered from physical and sexual abuse at the hands of their coaches. Despite this, the European Court of Human Rights (ECtHR) has never dealt with a violation of child rights under the European Convention on Human Rights (ECHR) in the case of physical and sexual abuse in sport. In this situation, a question that may arise is how young athletes can argue a violation of their substantive rights under the Convention before the ECtHR in the case of such abuses? In this regard, the right to physical and mental integrity under Articles 10 (2) and 27 (2) of the Swiss Federal Constitution (SFC) as well as the prohibition of an excessive limitation of personal freedom under Article 27 (2) of the Swiss Civil Code (SCC) may play an essential role to build a bridge between the Convention rights and the fundamental human rights under national law in light of the SFT’s precedents within the meaning of substantive public policy under Article 190 (2) (e) of the Swiss Private International Law Act (PILA). Although the International Federations (IFs) have not recognised a legal standing of young athletes suffering from physical and sexual abuse, state parties to the ECHR must implement positive obligations under Article 8 (1) of the ECHR to take necessary measures to protect young athletes against such abuses by non-state actors and may require sports governing bodies within the jurisdiction to comply with Article 8 (1)’s obligations. Accordingly, this article might serve to clarify a duty of sports governing bodies to protect young athletes against such abuses through a lens of the ECHR.
    Type of Medium: Online Resource
    ISSN: 1567-7559 , 2213-5154
    Language: English
    Publisher: Springer Science and Business Media LLC
    Publication Date: 2022
    detail.hit.zdb_id: 2716249-7
    SSG: 2
    SSG: 31
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  • 8
    Online Resource
    Online Resource
    Wiley ; 2019
    In:  Journal of Forensic Sciences Vol. 64, No. 4 ( 2019-07), p. 989-1003
    In: Journal of Forensic Sciences, Wiley, Vol. 64, No. 4 ( 2019-07), p. 989-1003
    Abstract: Progressive changes in the acetabulum have been used in modern skeletal age estimation, but they have not been completely understood. If their age correlations are weakened by the influence of factors like physical activity and obesity, acetabular changes should not be used for age estimation. To investigate their utility for aging, the acetabular variables of Rissech et al. (2006) were analyzed in 409 modern European‐Americans (Bass Collection, Tennessee). Correlation tests assessed potential associations between acetabular data, osteoarthritis scores (collected per Jurmain, 1990), and documented demographic information (age, body mass index [ BMI ], metabolic intensity of physical activities). Acetabular changes had statistically significant, positive correlations with osteoarthritis ( p  〈   0.001 in most joints/regions) and age ( p  〈   0.001), indicating their degenerative nature and relevance for age estimation. Acetabular changes showed no associations with BMI or metabolic values, suggesting resistance to obesity and activity effects. These results suggest that acetabular degeneration is a valid skeletal age‐at‐death indicator.
    Type of Medium: Online Resource
    ISSN: 0022-1198 , 1556-4029
    URL: Issue
    RVK:
    Language: English
    Publisher: Wiley
    Publication Date: 2019
    detail.hit.zdb_id: 2026357-0
    SSG: 2,1
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  • 9
    Online Resource
    Online Resource
    SAGE Publications ; 2018
    In:  New Journal of European Criminal Law Vol. 9, No. 3 ( 2018-09), p. 386-401
    In: New Journal of European Criminal Law, SAGE Publications, Vol. 9, No. 3 ( 2018-09), p. 386-401
    Abstract: With the advent of digital technologies, most people are constantly carrying in their pockets or personal belongings an increasing amount of information stored on mobile electronic devices (like smartphones or smartwatches, just to mention a few). Most of these ‘multifunctional computers that just happen to have telephone capabilities’ can store tens of gigabytes of private information, a circumstance simply unthinkable only a few decades ago. The consequences of this situation heavily affect criminal investigations and appear especially evident in search incident to arrest. Indeed, while in a predigital era, searching a person meant searching of a physical body and potentially, of carried physical items, applying the same rules to smartphones or other equivalent devices changes rather drastically the impact of this investigative technique and confers to law enforcement and/or prosecutors access to an incredible amount of personal data. Search incident to arrest, however, represents only a tip of the iceberg of the revolution brought to criminal justice systems by digital technology, to which most legal frameworks remains utterly unprepared. Against this background, this article compares the state of play on procedural safeguards concerning search of digital devices like smartphones in the United States, after the notorious decision Riley v. California, with the Italian legal system. From this specific circumstance, general considerations will be drawn upon the need of rethinking the foundational basis of fundamental rights and freedoms established by the European Convention on Human Rights and by the Charter of the Fundamental Rights of the European Union in light of the advent of digital technology, trying to delineate some guidelines from which to extrapolate procedural rules able to guarantee an adequate level of safeguard in the digital era.
    Type of Medium: Online Resource
    ISSN: 2032-2844 , 2399-293X
    Language: English
    Publisher: SAGE Publications
    Publication Date: 2018
    detail.hit.zdb_id: 2592839-9
    SSG: 2
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  • 10
    Online Resource
    Online Resource
    SAGE Publications ; 2016
    In:  New Journal of European Criminal Law Vol. 7, No. 1 ( 2016-03), p. 39-58
    In: New Journal of European Criminal Law, SAGE Publications, Vol. 7, No. 1 ( 2016-03), p. 39-58
    Abstract: EU instruments regulating the rights of adult vulnerable victims and vulnerable suspects differ in their conceptualisation of ‘vulnerability’. The Victim Directive mainly focuses on persons who are vulnerable to secondary victimisation due to external factors, while vulnerability in the Recommendation on procedural safeguards for vulnerable persons suspected or accused in criminal proceedings hinges on endogenic factors, such as the suspect's mental or physical condition. The aim of the latter instrument is to remedy the suspect's inability to understand and to effectively participate in criminal proceedings. These different conceptualisations have resulted in different guarantees for vulnerable victims and vulnerable suspects. The Recommendation contains provisions that – once adopted in a victims' rights instrument – could considerably strengthen the current protection of vulnerable victims and vice versa. In order to provide for a more comprehensive protection the EU should embrace both perspectives in its dealings with vulnerable persons, regardless of whether they are victims or suspects.
    Type of Medium: Online Resource
    ISSN: 2032-2844 , 2399-293X
    Language: English
    Publisher: SAGE Publications
    Publication Date: 2016
    detail.hit.zdb_id: 2592839-9
    SSG: 2
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