Offender Profiling...............USA or UK?

Aneeq Mushtaq Offender Profiling...............USA or UK? Offender profiling aims to present a composite description of a perpetrator, based on biographical and behavioural cues that can lead to the apprehension of that perpetrator. Profiling techniques have been used to narrow the focus of an investigation (by specifying the perpetrators location, sex or age) or to provide suggestions for interviewing suspects (McCann, 1992). As a result of collecting data and analysing evidence, the use of such techniques have led to arrests of serious criminals such as John Duffy (UK), who murdered his victims near railways (Canter 1989). This assignment will aim to compare and contrast the FBI's 'Crime Scene Analysis' of offender profiling with that of David Canter's 'Five Factor Model. The strengths and weaknesses of each approach will be highlighted including the main differences between profiling in the USA and UK. Due to the rapid increase of serial murders and rapes in the USA within the 1970's, the FBI invented the first systematic approach of offender profiling. Counteracting the rising numbers of serial murders lead to the development to the Behavioural Sciences Unit (BSU). BSU interviewed 36 convicted sexually orientated murderers and classified them into organised (average / above average intelligence, crime planned) or disorganised (low intelligence, messy crime scene,

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The search of Arnold - Police stop and search powers.

The search of Arnold Introduction A police officer is given the power to stop and search a person under section 1(2) of the Police and Criminal Evidence Act 1984, where it states that a constable may search "any person or vehicle, anything which is in or on a vehicle, for stolen or prohibited articles or any articles to which subsection (8A) below applies". A police officer can also be given the power to randomly search people under s.60 of the Criminal Justice and Public Order Act 1994, without the need for reasonable suspicion. To consider whether the stop and search was lawful, I will begin by determining whether the statutory requirements were fulfilled for a s.1 PACE search, then the alternative means of searching Arnold, and finally questions over the legality of the search in other aspects of the law. S.1 Pace Search The first issue which we must deal with is where the section 11 search takes place. Under section 1 of PACE2, it specifies that a search may take place where the "public has access" or "any other place to which people have ready access at the time", but is not the suspect's garden. In this case it is in The Shires shopping centre in Leicester; this suggests that it complied with s.1(1) and 1(4) of PACE, unless the police officer took him to a part of the shopping centre which was not open to the public. However, this isn't specified in the information

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"There is no statutory definition of intention in English law. Indeed, over the past few decades there has been much controversy over the actual meaning of the concept 'intention'". Explain and evaluate this statement.

This essay will deliberate the extent to which the meaning of the concept of 'intention' in criminal law has proven controversial through analysis of pertinent case law and academic critiques. In particular this essay will explore how the concept of 'intention' has changed in various cases in chronological order and the effect this has had. The essay will then focus on the current criticisms of the concept and proposals for reform will be discussed. A conclusion will be made reasoning the extent of controversy that surrounds the concept of intention in both the past few decades and in the present day. In many conduct crimes whereby the defendant's conduct is required to produce a particular consequence, liability can either be based on his intention or his recklessness as to that consequence. The offences that are based on the proof of, and rely on the definition of 'intention' to find liability are most notably the more serious crimes1, with much of the debate on the meaning of 'intention' being centred around the offence of murder2. Nonetheless, intention is not defined in any statute therefore its meaning must be derived from judicial decisions3, thus one would think that such an elementary term would have been definitively defined a long time ago; however this is not the case as we will see. Lord Steyn suggested obiter, in the House of Lords (HoL) judgement of R v

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Law of Tort Assignment.

Law of Tort Assignment (i) Since the enactment of the Human Rights Act 1998, it seems that some areas of tort law have been affected by the Act to a great extent. One specific element of tort law that has been affected is 'duty of care in negligence.' The tort of negligence may signify 'whereby persons who by carelessness have caused damage to others and may be held liable to pay compensation.' 1 However, it is not always the case when 'careless conduct which causes damage will give rise to an action.' 2 As this essay will focus on the impact of the Human Rights Act on duty of care in negligence, it is necessary to determine 'whether the type of loss suffered by the claimant in the particular way in which it occurred can ever be actionable,' 3 as this may play a great role in the development of the tort of negligence. Before a duty of care is held to exist, the requirement established in Caparo Industries Plc v Dickman [1990] 1 All ER 568 must be satisfied: (a) 'Foreseeability of the damage; (b) A sufficiently 'proximate' relationship between the parties; and (c) Even where (a) and (b) are satisfied it must be 'just and reasonable' to impose such a duty.' 4 The Human Rights Act 1998 gives 'further effect to rights and freedoms guaranteed under the European Convention on Human Rights.' 5 The aim of the Human Rights Act is as stated in section 6 (1), 'courts should

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Illustrating your answer with case law, assess the extent to which the exercise of the Royal Prerogative is controlled by the courts. Should the exercise of the royal prerogative be subject to more stringent control by parliament or the courts?

Illustrating your answer with case law, assess the extent to which the exercise of the Royal Prerogative is controlled by the courts. Should the exercise of the royal prerogative be subject to more stringent control by parliament or the courts? In this essay I will be examining how far the Royal Prerogative is controlled by the courts after it has been exercised by the executive. I will then discuss whether the prerogative should be controlled by the courts or parliament, and how strict this should be. The royal prerogatives are powers and privileges recognized in common law as belonging to the Crown sometimes referred to as residuary discretionary powers. However, most prerogative acts are performed by the government of the day in the name of the crown. As by prerogative the Crown is immune from prosecution Certain prerogatives are only performed by the crown on the prime minister's advice, such as the dissolution of parliament. Some prerogatives such as powers to appoint and award honours are performed by the Crown, who will also conduct the relevant ceremonies, but decisions as to who will be honoured are made on the advice given by the government. Both Dicey and Blackstone tried to give their interpretation of a prerogative. Dicey argued that, 'an act that can be performed lawfully without an Act of Parliament, is done in virtue of this prerogative'. Blackstone's

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