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1

Senate, Staff, and Anthony Johnson. "Meeting Minutes, 2021-June-14." Digital Commons @ East Tennessee State University, 2021. https://dc.etsu.edu/staff-senate-minutes/3.

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2

Claesson, John. "Jacka - Juni - 2020." Thesis, Konstfack, Textil, 2020. http://urn.kb.se/resolve?urn=urn:nbn:se:konstfack:diva-7253.

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I ett projekt under våren 2020 utformades en metod för att skapa klädesplagg, och en jacka producerades. Jacka - Juni - 2020 ställer sig frågande till modernitetens värderande och standardiserande efter siffror. Jackan konstrueras med den äldre måttenheten aln som baseras på den individuella kroppen istället för massproduktionens generella mått. Den blickar tillbaka på en dåtid från sin samtid utan att utesluta sin samhörighet med någon utav dem. Jacka - Juni - 2020 är en första standardmodell producerad för hand, för att med enkelhet kunna reproduceras efter andra alnar.
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Center, University of Arizona Water Resources Research. "Arizona Water Resource Vol. 9 No. 6 (May-June 2001)." Water Resources Research Center, College of Agriculture, University of Arizona (Tucson, AZ), 2001. http://hdl.handle.net/10150/316612.

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They call themselves the Settlement Group, an organization made up of water users along the Upper Santa Cruz River in search of solutions to local water concerns. Its goals are ambitious and far-reaching, to settle the water rights of its members and to identify the best management plan for managing those rights.
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Kruis, E. Kubernus-Perscheid K. (Eds ). "AMT - Process- and Aerosol Measurement Technology : Annual Report : July 2001 - June 2002." Gerhard-Mercator-Universitaet Duisburg, 2002. http://www.ub.uni-duisburg.de/ETD-db/theses/available/duett-09062002-102140/.

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This documentation is designed to give the reader insight into the activities of our department. The teaching activities of the department are mainly in the fields of measurement and process technology. In research we are concentrating on the material system aerosol, liquid and / or solid particles suspended in a gas. Of equal interest for us are unwanted aerosols emitted from technical processes and distributed in the atmosphere and wanted product aerosols. The work related to emission and immission of aerosols is mainly concentrating on the implications of the introduction of new EU particulate matter (PMx) Standards. Nanostructured materials and devices can be made using several synthesis technologies. We are concentrating on the synthesis of particles in the gas phase as a very promising route. We develop nanostructured materials with exiting properties, e.g. quantum dots in semiconductors and sensor materials. As the application of aerosols are manifold the research activities of our department have been directed towards various other fields of application. Research priorities at our department are to be found in clean technology, filtration, aerosol measurement technology, physical and chemical characterization of aerosols, synthesis, transport behavior as well as characterization of properties of particles. I would like to acknowledge and convey my gratitude to all those who contributed to the aerosol research work over the last year enabling the successful work of our department.
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Steenkamp, Chantal Lynne. "The restructuring process of the Samancor Manganese Mines (May 2000-June 2001) / C.L. Steenkamp." Thesis, North-West University, 2004. http://hdl.handle.net/10394/214.

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In terms of remaining profitable, being competitive and keeping up with technological advances, change is a familiar occurrence in the global business environment. From a business perspective, changes can take place because of, for example, new products on the market, competition, mergers of companies, different needs of clients and hostile take-overs. In order to survive and remain profitable in this dynamic business environment, companies must be able to adapt. In many cases, adaptation entails the restructuring of the company. Restructuring can coincide with, for example, the flattening of the organisational structure of a company, measures to become more cost effective and the acquisition of a larger share of the market. It is therefore required of any company to have an effective plan in place when change in the internal and external environments necessitates restructuring. Elements of restructuring are: effective planning; communication; management and leadership. At Samancor Manganese Mines (now known as Hotazel Manganese Mines), a restructuring process took place as a result of an international merger between Broken Hill Productions (BHP) and Billiton International (the company is now known as BHP Billiton International). As a sub division of the former Billiton International, Samancor Manganese Mines had to restructure in order to remain profitable and become more cost effective. In terms of these criteria, it is accepted that the restructuring process was successful. The flattening of the organisational structure of the mine, however, led to mass retrenchments that resulted in the low morale of employees. Although the whole process of restructuring was a legitimate and familiar business practice, the basic assumption of this research is that the restructuring strategy should have been communicated differently to employees. If communicated timely and effectively, the restructuring process would have been less painful. In this regard, the research intends to firstly analyse and describe a restructuring process; secondly compare that process with the process that took place at Samancor Manganese Mines; and thirdly make recommendations in regards to how the restructuring process at Samancor Manganese Mines should have been managed, with specific reference to communication from the perspective of employees.<br>Thesis (M. Ontwikkeling en Bestuur)--North-West University, Potchefstroom Campus, 2004.
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Keichel, Susanne, and Gwendolin Kremer. "Susanne Keichel - Garten: 13. Juni bis 12. September 2012." Projektraum Weisser Hirsch - Galerie Grafikladen, 2012. https://slub.qucosa.de/id/qucosa%3A20916.

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Ausstellung kuratiert von Gwendolin Kremer<br>Die Ausstellungsbroschüren des „Projektraum am Weißen Hirsch. Galerie Grafikladen“ dokumentieren die Ausstellungstätigkeit eines nicht institutionellen Ausstellungsraumes in Dresden zwischen 2010 und 2016. Die Galerie widmete sich dem Werk zeitgenössischer junger Künstler, vorwiegend Meisterschüler und Absolventen, die in der Regel einen biografischen Bezug zu Dresden haben. Das Ausstellungskonzept war offen für die verschiedensten künstlerischen Ausdrucksformen – von Malerei über Fotografie bis zu performativen Ansätzen. Jährlich fanden vier bis fünf, von wechselnden Kuratoren entwickelte Ausstellungen statt. Im August 2016 eröffnete die vorerst letzte Ausstellung.<br>© bei den Rechteinhabern, Lizenz: Zugang frei – Rechte vorbehalten. Bitte beachten Sie unsere Hinweise zum Urheberrecht.
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7

Lorenz, Silvia, and Gwendolin Kremer. "Silvia Lorenz - Lunik leaks: 27. April bis 2. Juni 2011." Projektraum Weisser Hirsch - Galerie Grafikladen, 2011. https://slub.qucosa.de/id/qucosa%3A20905.

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Ausstellung kuratiert von Gwendolin Kremer<br>Die Ausstellungsbroschüren des „Projektraum am Weißen Hirsch. Galerie Grafikladen“ dokumentieren die Ausstellungstätigkeit eines nicht institutionellen Ausstellungsraumes in Dresden zwischen 2010 und 2016. Die Galerie widmete sich dem Werk zeitgenössischer junger Künstler, vorwiegend Meisterschüler und Absolventen, die in der Regel einen biografischen Bezug zu Dresden haben. Das Ausstellungskonzept war offen für die verschiedensten künstlerischen Ausdrucksformen – von Malerei über Fotografie bis zu performativen Ansätzen. Jährlich fanden vier bis fünf, von wechselnden Kuratoren entwickelte Ausstellungen statt. Im August 2016 eröffnete die vorerst letzte Ausstellung.<br>© bei den Rechteinhabern, Lizenz: Zugang frei – Rechte vorbehalten. Bitte beachten Sie unsere Hinweise zum Urheberrecht.
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8

Hengst, Karlheinz. "In memoriam Ernst Eichler: (15. Mai 1930 – 29. Juni 2012)." Deutsche Gesellschaft für Namenforschung e.V, 2013. https://ul.qucosa.de/id/qucosa%3A12850.

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Anfang Juli 2012 haben wir auf dem Südfriedhof in Leipzig von Ernst Eichler fur immer Abschied nehmen müssen. Ganz in der Nähe von August Leskien und Wilhelm Streitberg hat er seine letzte Ruhestätte gefunden. Mit Ernst Eichler ist ein Genius der historischen Sprachforschung von uns gegangen. Fur den Wissenschaftsfächer von Akademie und Universität in Leipzig ist das ein grosser und schlimmer Verlust. Der Wissenschaftler Ernst Eichler hat zu seinen Lebzeiten viele Anerkennungen, Würdigungen und Auszeichnungen für sein bewundernswert breites Lebenswerk in der Sprachforschung erfahren. Seine Leistungen und Verdienste sind in Zeitschriften, Festschriften und Sammelbänden in ihrer Vorbildbedeutung dargestellt worden. Sie sind auch in unserer Fachzeitschrift zur Onomastik zuletzt zu seinem 80. Geburtstag in einer von mir gegebenen Würdigung nachlesbar. Es muss daher heute nichts wiederholt werden, was wohl den meisten in guter Erinnerung ist.
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9

Rosner, Anna M. "Report on the Fourth Warsaw Conferencefor Young Jewish Studies Researchers : Held in Warsaw, 14th-16th June 2011." Universität Potsdam, 2012. http://opus.kobv.de/ubp/volltexte/2012/6158/.

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10

Howard, Ian M. "A synoptic climatology of nocturnal rainfall events during May, June and July for northeast Kansas, 1950-2012." Thesis, Kansas State University, 2013. http://hdl.handle.net/2097/16895.

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Master of Arts<br>Department of Geography<br>John Harrington, Jr<br>Nighttime rainfall has long been thought of as an important component to the central Great Plains hydroclimate during the wettest three-month period known as the “late spring -early summer precipitation maximum.” Research has suggested that nocturnal rainfall in the region results from a phenomenon known as the nocturnal Great Plains Low-Level Jet (GPLLJ). The jet, which originates in the Gulf of Mexico, transports moisture into the Great plains during the nighttime hours and often provides fuel for nighttime convection. The climatological characteristics of nighttime rainfall, as well the configuration of the low-level winds and the mechanisms behind its formation during this three-month wet period, however; are not well understood. Using hourly rainfall data from Topeka, KS, the nighttime rainfall characteristics are examined Topeka, KS and other Kansas stations for a 63-year period from 1950-2012 for May-July. Additionally, using the NCEP/NCAR Reanalysis data, the structure and configuration of the southerly wind phenomenon was analyzed based on its horizontal and vertical characteristics for nighttime rainfall events in May, June and July. A subsequent analysis also analyzed the larger synoptic-scale environment in place for six half-month periods from May to July. The results indicate that nighttime rainfall is a major contributor to the overall moisture budget in the Great Plains, contributing close to 50% of the overall rainfall total for the three-month period. The percentage of nighttime rainfall increases from west-east across the state, as well as temporally from May to July. The southerly winds are at their strongest during May events, tends to reach its peak at 850 mb at 6z (0000LST) near south-central Oklahoma, and forms as the result of both synoptic and thermal mechanisms. The synoptic mechanisms in place that generate the a southerly wind component change by month, leading to incredible variation in terms of its characteristics during nighttime rainfall events.
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11

Gäbler, Karen, and Kathleen Schröter. "Karen Gäbler - Figuration: 9. April bis 4. Juni 2014." Projektraum Weisser Hirsch - Galerie Grafikladen, 2014. https://slub.qucosa.de/id/qucosa%3A20921.

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Ausstellung kuratiert von Kathleen Schröter<br>Die Ausstellungsbroschüren des „Projektraum am Weißen Hirsch. Galerie Grafikladen“ dokumentieren die Ausstellungstätigkeit eines nicht institutionellen Ausstellungsraumes in Dresden zwischen 2010 und 2016. Die Galerie widmete sich dem Werk zeitgenössischer junger Künstler, vorwiegend Meisterschüler und Absolventen, die in der Regel einen biografischen Bezug zu Dresden haben. Das Ausstellungskonzept war offen für die verschiedensten künstlerischen Ausdrucksformen – von Malerei über Fotografie bis zu performativen Ansätzen. Jährlich fanden vier bis fünf, von wechselnden Kuratoren entwickelte Ausstellungen statt. Im August 2016 eröffnete die vorerst letzte Ausstellung.<br>© bei den Rechteinhabern, Lizenz: Zugang frei – Rechte vorbehalten. Bitte beachten Sie unsere Hinweise zum Urheberrecht.
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12

Matics, Jens. "Modellierung einer Wärmepumpe als Komponentenmodell; 14. Arbeitstreffen "Simulation solarer Energiesysteme", Juni 2001." Gerhard-Mercator-Universitaet Duisburg, 2003. http://www.ub.uni-duisburg.de/ETD-db/theses/available/duett-04142003-144957/.

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13

Gagné, Barbara. "L'androgynie psychique chez Carl Gustav Jung." Master's thesis, Université Laval, 2001. http://hdl.handle.net/20.500.11794/50910.

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Survol et description de ce que l'on entend par «psyché androgyne» ou «bisexualité psychique», pour répondre à la question suivante: est-ce qu'au bout du processus d'individuation, (définition du processus d'individuation: processus de formation et de particularisation de l'individu; plus spécialement de l'individu psychologique comme être distinct de l'ensemble, de la psychologie collective) présenté par Jung, après l'intégration du principe féminin chez l'homme que l'on appelle «anima» et inversement pour la femme, c'est-à-dire l'intégration du principe masculin qui se nomme «animus », nous en arrivons à une psyché androgyne? Présentation du processus d'individuation chez Jung et l'apport du néo-jungien, James Hillman.
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14

Rathgeber, Theodor, Dominik Steiger, Lilly Sucharipa-Behrmann, Günther Unser, and Johannes Varwick. "Die UN-Politik deutschsprachiger Länder : 11. Potsdamer UNO-Konferenz am 30. Juni 2012." Universität Potsdam, 2013. http://opus.kobv.de/ubp/texte_eingeschraenkt_verlag/2013/6288/.

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Inhalt: Günther Unser: UN-Profile kleiner und mittlerer Staaten am Beispiel der Schweiz, Österreichs und Liechtensteins Johannes Varwick: Deutschland und die UNO: eine abgekühlte Freundschaft? Dominik Steiger: Deutschland im System kollektiver Sicherheit Lilly Sucharipa-Behrmann: „UN Women“ – die United Nations Entity for Gender Equality and the Empowerment of Women: eine erste Bilanz Theodor Rathgeber: Der UN-Menschenrechtsrat: Was kann er leisten, was nicht?
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15

Jiwanlal, Nathan A. "Unexpected Turbulence: An Event Study of President Obama's June 29, 2011 Press Conference and Its Effect on Aircraft Manufacturers." Scholarship @ Claremont, 2012. http://scholarship.claremont.edu/cmc_theses/323.

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On June 29, 2011, President Barack Obama held a press conference regarding the nation's budget deficit. During the conference, President Obama mentioned corporate jet owners six times, criticizing their desire to maintain an accelerated depreciation tax break. The President's comments were met with strong criticism from aircraft manufacturers and members of the aviation community. Based on the underlying assumption that new information is rapidly incorporated into stock prices, the press conference likely had a negative impact on the stock returns of aircraft and aircraft parts manufacturers. This paper uses a financial events study to determine whether or not the press conference significantly hurt the stock prices of aircraft manufacturers.
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Lo, Reuben Bing Quan. "A multidisciplinary engineering geological investigation of cliff collapse at Redcliffs in the 22nd February and 13 June 2011 earthquakes." Thesis, University of Canterbury. Geological Sciences, 2013. http://hdl.handle.net/10092/8733.

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The collapse of Redcliffs’ cliff in the 22 February 2011 and 13 June 2011 earthquakes were the first times ever a major failure incident occurred at Redcliffs in approximately 6000 years. This master’s thesis is a multidisciplinary engineering geological investigation sought to study these particular failure incidents, focusing on collecting the data necessary to explain the cause and effect of the cliff collapsing in the event of two major earthquakes. This study provides quantitative and qualitative data about the geotechnical attributes and engineering geological nature of the sea-cut cliff located at Redcliffs. Results from surveying the geology of Redcliffs show that the exposed lithology of the cliff face is a variably jointed rock body of welded and (relatively intact) unwelded ignimbrite, a predominantly massive unit of brecciated tuff, and a covering of wind-blown loess and soil deposit (commonly found throughout Canterbury) on top of the cliff. Moreover, detailing the external component of the slope profile shows that Redcliffs’ cliff is a 40 – 80 m cliff with two intersecting (NE and SE facing) slope aspects. The (remotely) measured geometry of the cliff face comprises of multiple outstanding gradients, averaging a slope angle of ~67 degrees (post-13 June 2011), where the steepest components are ~80 degrees, whereas the gentle sloping sections are ~44 degrees. The physical structure of Redcliffs’ cliff drastically changed after each collapse, whereby seismically induced alterations to the slope geometry resulted in material deposited on the talus at the base of the cliff. Prior to the first collapse, the variance of the gradient down the slope was minimal, with the SE Face being the most variable with up to three major gradients on one cross section. However, after each major collapse, the variability increased with more parts of the cliff face having more than one major gradient that is steeper or gentler than the remainder of the slope. The estimated volume of material lost as a result of the gradient changes was 28,267 m³ in February and 11,360 m³ in June 2011. In addition, surveys of the cliff top after the failure incidents revealed the development of fissures along the cliff edge. Monitoring 10 fissures over three months indicated that fissured by the cliff edge respond to intense seismicity (generally ≥ Mw 4) by widening. Redcliffs’ cliff collapsed on two separate occasions as a result of an accumulated amount of damage of the rock masses in the cliff (caused by weathering and erosion over time), and two Mw 6.2 trigger earthquakes which shook the Redcliffs and the surrounding area at a Peak Ground Acceleration (PGA) estimated to be around 2 g. The results of the theoretical study suggests that PGA levels felt on-site during both instances of failure are the result of three major factors: source of the quake and the site affected; topographic amplification of the ground movement; the short distance between the source and the cliff for both fault ruptures; the focus of seismic energy in the direction of thrust faulting along a path that intercepts Redcliffs (and the Port Hills). Ultimately, failure on the NE and SE Faces of Redcliffs’ cliff was concluded to be global as every part of the exposed cliff face deposited a significant volume of material on the talus at the base of the cliff, with the exception of one section on the NE Face. The cliff collapses was a concurrent process that is a single (non-monotonic) event that operated as a complex series of (primarily) toppling rock falls, some sliding of blocks, and slumping of the soil mantle on top of the cliff. The first collapse had a mixture of equivalent continua slope movement of the heavily weathered / damaged surface of the cliff face, and discontinuous slope movement of the jointed inner slope (behind the heavily weathered surface); whereas the second collapse resulted in only discontinuous slope movement on account of the freshly exposed cliff face that had damage to the rock masses, in the form of old and (relatively) new discontinuous fractures, induced by earthquakes and aftershocks leading up to the point of failure.
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Milán, Julia, Sarah Blume, and Michael Kittler. "Projekt Heimspiel: Wo Inhaftierung endet und Freiheit beginnt / Übergangseinrichtung für inhaftierte junge Männer: Evaluationsbericht 2012-2016." Verein für soziale Rechtspflege Dresden e.V, 2018. https://slub.qucosa.de/id/qucosa%3A31697.

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Das Projekt HEIMSPIEL ist eine Übergangseinrichtung für Jugendliche, Heranwachsende und junge Erwachsene aus dem Justizvollzug, die im Rahmen eines Langzeitausgangs ihre Entlassung wohnortnah vorbereiten. Die Ergebnisse der ausgewerteten qualitativen und quantitativen Daten aus dem Zeitraum 2012 bis 2016 bilden den Schwerpunkt dieses Berichtes. Sie geben Auskunft, wie gelingendes Übergangsmanagement insbesondere aus dem Jugendstrafvollzug gestaltet werden kann und welche Formen sozialpädagogischer Intervention dabei hilfreich sind.
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Palisch, Lucie. "Und sie lesen doch!" Saechsische Landesbibliothek- Staats- und Universitaetsbibliothek Dresden, 2015. http://nbn-resolving.de/urn:nbn:de:bsz:14-qucosa-173779.

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Lesen ist in unserer heutigen von Informationen und Medien geprägten Gesellschaft nicht nur eine Notwendigkeit. Eine gut entwickelte Lesekompetenz ist auch die Voraussetzung für eine erfolgreiche Schul- und Ausbildungslaufbahn. Diese und ähnliche Aussagen sind das Ergebnis zahlreicher Studien der vergangenen 15 Jahre, die die Schulleistungen von Kindern und Jugendlichen untersucht haben. Vor allem die ernüchternden Ergebnisse der PISAStudie 2000, die die im internationalen Vergleich nur unterdurchschnittliche Fähigkeit der deutschen Teenager, Texten gezielt Informationen zu entnehmen und die Inhalte zu verstehen, aufzeigten, waren Anlass zum Aktionismus. Es wurde heftig diskutiert und man schritt in der Praxis zur Tat. So wurden über die Jahre zahlreiche Projekte zur Leseförderung ins Leben gerufen. Eines dieser Projekte ist die Ferienleseaktion der sächsischen Öffentlichen Bibliotheken „Buchsommer Sachsen“.
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Schweitzer, Mathias. "Bosphorus Hava Yollan Turizsm e Ticaret Anonim Sirketi./.Irland : Urteil vom 30. Juni 2005." Universität Potsdam, 2006. http://opus.kobv.de/ubp/volltexte/2011/5636/.

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20

Mitchell-Smith, Geraldine. "Work on the New Deal for Young People : an ethnographic evaluation of the voluntary sector option in London between August 2001 and June 2002." Thesis, London School of Economics and Political Science (University of London), 2008. http://etheses.lse.ac.uk/2727/.

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This thesis examines the experience of participants in the Voluntary Sector (VS) option of the New Deal for Young People (NDYP) through a survey of London providers and two case studies between August 2001 and June 2002. By 2001, the government had already claimed that the NDYP was a success. However, extensive evaluations identified increasing numbers of its participants churning between the programme, unemployment and the labour market and that 'harder to help' participants were concentrated in the VS. While their complex and multiple barriers were acknowledged, a supply-side perspective focused on welfare dependency and negative attitudes to work. A welfare state, newly reformed and providing increased choice and attention to individual need, was presented as enabling these young people to improve their employability, while work was promoted as their route to social inclusion. An ethnographic approach combined observation at provider organisations with qualitative interviewing of their clients and staff. Clients discussed their personal and work histories, attitudes and aspirations and experiences of the option. Staff gave their perspectives on clients, implementing the contract, relationships with delivery partners and the option's referral, training, placement and jobsearch stages. The thesis contributes to further understanding of the mechanisms of churning in welfare to work. It looks at how participants' sources of support can conflict with participation in welfare to work and the labour market and how past and current disadvantage create barriers to participation. VS staff were limited in their capacity to acknowledge and address these barriers as a consequence of structural pressures and constraints in implementing the VS contract. Moreover, aspects of provider and placement provider provision replicated their clients' negative experiences of both personal and labour market disadvantage, with the effect of reinforcing their barriers to participation.
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Scandiucci, Guilherme. "Um muro para a alma: a cidade de São Paulo e suas pixações à luz da psicologia arquetípica." Universidade de São Paulo, 2014. http://www.teses.usp.br/teses/disponiveis/47/47131/tde-09102014-153431/.

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Esta tese realiza uma aproximação entre os campos individual, tradicionalmente pensado pela psicologia clínica, e coletivo, normalmente objeto da psicologia social. Partindo da psicologia analítica inaugurada por Carl Jung (1875-1961), e principalmente da psicologia arquetípica, vertente pós-junguiana cujo principal autor é James Hillman (1926-2011), chega-se a um ponto em que esta separação não se faz necessária ou produtiva para analisar o material coletado. A ideia de anima mundi (alma do mundo), de inspiração neoplatônica, e os conceitos hillmanianos de patologizar e psicologizar (ou ver através) formam a base de sustentação da presente construção. Ademais, contribuições da sociologia e da antropologia contemporâneas compuseram a estrutura necessária para sua feitura final. O objetivo da tese é analisar problemáticas da vida na cidade contemporânea, especificamente refletidas em certas intervenções urbanas de caráter transgressivo e ilegais, feitas com tinta sobre edificações variadas, conhecidas como grafite (ou graffiti) e pichação (ou pixação), muito comuns na Grande São Paulo. Foram examinadas, sobretudo, as pixações tipicamente paulistas, notórias pelo formato conhecido como tag reto. Concluiu-se que a prática da pixação, além de expressar simbolicamente a violência da vida urbana, agencia laços de amizade e convivência fundamentais para muitos jovens e adolescentes. Tais criações estão ao mesmo tempo intimamente ligadas aos polos de uma intensidade vital, de um lado, e de destruição e morte, de outro; denunciam uma faceta sombria da metrópole, sendo representações do patologizar, movimento in extremis e próprio da alma (psique). Ao marcarem o espaço, sobretudo central e mais nobre da cidade, os grupos de pixadores, quase sempre oriundos dos bairros periféricos e pobres, promovem a possibilidade de um fazer-alma desta psique coletiva. Além disso, movimentos mais recentes dentro do universo da pixação levantaram a hipótese: ao se engajarem em protestos políticos, sem deixar de lado a agressividade e a transgressão próprias da pixação, promovem a passagem do patologizar ao ver através. Deixando mensagens legíveis em locais simbólicos, os pixadores abrem uma possibilidade de diálogo entre a consciência coletiva e a psique inconsciente, trabalhando complexos culturais relevantes de São Paulo, ligados à opressão<br>This thesis makes a rapprochement between the individual and collective fields the former traditionally developed by Clinical Psychology, and the latter by Social Psychology. Leaning on Carl Jungs (1875-1961) Analytical Psychology and on Archetypal Psychology, post- Jungian school whose main author is James Hillman (1926-2011), the material was analyzed without such separation, considered unnecessary and unproductive for the reflections achieved here. The idea of the anima mundi, inspired by the neo-platonic tradition, and Hillmans formulations of pathologizing and psychologizing (or seeing-through) form the basis of this construction. Moreover, contributions from contemporary Sociology and Anthropology compose the necessary bricks to its final workmanship. The object of study of the thesis is life in the contemporary city, specifically reflected on some transgressive and illegal urban interventions made with inks on varied edifications, known as graffiti and pixação, very common in the Great Sao Paulo. Above all, the paulista (from Sao Paulo) pixação, was examined: notorious by its specific calligraphy, called straight tag. It was concluded that the pixação, besides expressing symbolically the violence of urban life, promotes friendship and sociability fundamental for many adolescents and young people. Such creations are at the same time intimately connected to the poles of a vital intensity, on one hand, and destruction and death, on the other hand; they denounce a shadowy side of the metropolis, being representations of the pathologizing, a in extremis movement and particular from the soul (psyche). When the pixação activists (usually poor people from the outskirts) mark the space, mainly the center of the city and its noble areas, promote the possibility of a soul-making of such collective psyche. A hypothesis was also raised: as part of the pixação writers from Sao Paulo were recently involved in political manifests, they opened themselves up to a communication with a broader collectivity (including the metropolis inhabitants that are distant from this universe), without leaving aside aggression and transgression, both proper of the pixação. This would be a passage of the psyche from pathologizing to psychologizing in the present days. When they leave legible messages in symbolical sites of the city, the activists open a possibility of a dialogue between the collective consciousness and the unconscious psyche, working on relevant cultural complexes from Sao Paulo, connected to the oppression
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Place, David S. Grubbs Gregory A. "Empirical evaluation of a model of team collaboration using selected transcripts from September 11, 2001." Monterey, Calif. : Naval Postgraduate School, 2009. http://edocs.nps.edu/npspubs/scholarly/theses/2009/Jun/09Jun%5FPlace.pdf.

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Thesis (M.S. in Systems Technology (Command, Control and Communication (C3)))--Naval Postgraduate School, June 2009.<br>Thesis Advisor(s): Hutchins, Susan G. "June 2009." Description based on title screen as viewed on July 13, 2009. Author(s) subject terms: Team Collaboration, Team Communication, NORAD, NEADS, September 11, 2001, Cognition, Macro-cognition, Model of Team Collaboration. Includes bibliographical references (p. 193-198). Also available in print.
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23

Ritske, Rensma. "Understanding Joseph Campbell." Thesis, University of Edinburgh, 2008. http://hdl.handle.net/1842/3386.

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In this thesis I will be offering an analysis of C.G. Jung’s influence on the theoretical framework of the American comparative mythologist Joseph Campbell. My first main argument will be that Campbell underwent what I am calling a ‘Jungian turn’ around 1968: before this date he was vague and sometimes even dismissive about Jung, while after that date he became suddenly highly positive about Jung’s ideas (particularly about his concept of the archetype). My second main argument will be that this shift in attitude towards Jung occurred because Campbell’s interpretation of Jung changed. Before 1968 Campbell thought of Jung’s concept of the archetype as a ‘closed system’: a completely innate psychological structure that isn’t open to ‘imprinting’ by the environment in any way whatsoever. From 1968 onwards, however, he came to think of the archetype as the equivalent of a so-called ‘open innate-releasing mechanism’, which is the ethologist Konrad Lorenz’s term for a psychological structure that, although it has an innate component as well, is nevertheless open to ‘imprinting’ by the environment. As Campbell’s ideas prior to 1968 had been based on this concept, he realised that his own theoretical framework was compatible with Jung’s to a large extent. My final argument will be that the theoretical position which Campbell arrived at in the final phase of his career (which revolves around the concept of the open innate-releasing mechanism, but which has several other specific characteristics) is the same as the interpretation of Jung put forward by the scholar Anthony Stevens. As Stevens’ work is indisputably Jungian in nature, we might therefore draw the conclusion that it is possible to think of Campbell’s work as ‘Jungian’ in nature as well. However, as there are also some important differences between Campbell and Jung, I am arguing instead that we think of Campbell’s work in the final phase of his career as ‘post-Jungian’: this is the scholar Andrew Samuel’s term for a thinker who may not agree with Jung about every single issue, but whose work is still firmly rooted in his core ideas.
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Loewe, Markus, Ingo Winkelmann, Helmut Volger, Norman Weiß, and Otto Lampe. "Die Vereinten Nationen zehn Jahre nach dem Millenniumsgipfel 2000 – eine Bilanz : 10. Potsdamer UNO-Konferenz am 26. Juni 2010." Universität Potsdam, 2011. http://opus.kobv.de/ubp/volltexte/2011/5346/.

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Inhalt: Markus Loewe: Konzeptionelle Stärken und Schwächen der Millennium : Development Goals (MDGs) Ingo Winkelmann: Die Vereinten Nationen, das Seerecht und die Polarregionen Helmut Volger: Die Reform der Arbeitsmethoden des Sicherheitsrats – eine Bilanz nach zwei Jahrzehnten Norman Weiß: Der UN-Menschenrechtsschutz zehn Jahre nach dem Millenniumsgipfel – neue Strukturen und neue Herausforderungen – auch neue Chancen? Otto Lampe: Deutschland und die Vereinten Nationen – aktuelle Entwicklungen
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25

Bernard, Théo. "Ouvriers et ouvrières en grève dans les crises des années 1930." Electronic Thesis or Diss., université Paris-Saclay, 2024. https://www.biblio.univ-evry.fr/theses/2024/2024UPASK017.pdf.

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Arrêter collectivement de travailler, notamment dans le cadre d'une relation salariale constitue une transgression. Ouvrières et ouvriers en grève n'arrêtent pas simplement de produire, ils arrêtent, dans une certaine mesure, d'obtempérer. L'idée de « bras croisés » originellement synonyme de grève exprime cette idée. Dans les années 1930, cette expression maintenue et précisée par celle de grève sur le tas indique le poids de l'action directe dans les cultures de grève.Cette définition des grèves comme des moments d'expression de refus individuels et collectifs définit une agency ouvrière qui ne se définit pas d'abord du point de vue de l'État ni ne s'ajuste spontanément à une conscience de crise. Au-delà de ces considérations générales, la séquence des années 1930 est constituée par des grèves en masse, des circulations de pratiques très larges, des dynamiques revendicatives d'ensemble et sans doute des cultures de grèves et des choix politiques collectifs. Entre un débrayage syndical et une révolution sociale demeurent des entre-deux grévistes qu'il s'agit de déployer.La thèse étudie d'abord les des pratiques ouvrières des premières années de crises, puis s'intéresse aux nouvelles formes des grèves du début des années 1930 et notamment à la pratique de l'occupation employée par des ouvriers occupés et des chômeurs. Après 1933, les rapports entre mobilisations ouvrières et rassemblement populaire sont directement analysés. Une nouvelle chronologie des grèves en masse de 1936 est proposée dans une réflexion examinant les formes de contrôle ouvrier qui s'exercent. Enfin la thèse se conclut par les dynamiques divergentes de l'après-1936 lorsque la marche à la guerre balaie les libertés ouvrières. Outre des dynamiques liées aux actions directes ouvrières, la thèse est consacrée aux pratiques dans lesquelles se nouent et se dissipent des aspirations communes<br>Stopping work collectively, particularly in the context of a wage relationship, constitutes a transgression. Workers on strike don't simply stop producing; to a certain extent, they stop complying. This idea is expressed in the image of “crossed arms” that was originally synonymous with striking. In the 1930s, this expression was maintained and clarified through sitdown strikes, indicating the weight of direct action in strike cultures.This definition of strikes as moments of expression of individual and collective refusal suggests a workers' agency that neither defines itself primarily from the point of view of the state, nor through spontaneous adjustment to an awareness of crisis. Beyond these general considerations, the sequence of events in the 1930s was marked by mass strikes, widespread circulation of practices, a dynamic of collective demands, and especially cultures of striking and collective political choices. Between a trade-union walkout and a social revolution, there remain strikers that need to be explored.The thesis begins with a study of workers' practices in the first years of the crisis, then turns to the new forms of strikes in the early 1930s, and in particular to the practice of workplace occupations by both employed and unemployed workers. The relationship between workers' mobilizations and left-wing popular rallies after 1933 is directly analyzed. A new chronology of the mass strikes of 1936 is proposed in a reflection that examines the exercise of different forms of worker control. The thesis concludes with the divergent dynamics of the post-1936 period, when workers' freedoms were swept away by the march to war. In addition to the dynamics of workers' direct action, the thesis is devoted to the practices in which common aspirations are forged and dissipated
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Quigley, Ann. "Le devoir de secours équitable et impartial à l'égard des parties non représentées : quel rôle incombe au juge administratif?" Master's thesis, Université Laval, 2020. http://hdl.handle.net/20.500.11794/39097.

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Tableau d'honneur de la Faculté des études supérieures, 2019-2020<br>Ce mémoire vise à cerner les contours du devoir de secours équitable et impartial qui incombe aux juges des tribunaux administratifs exerçant une fonction juridictionnelle, à l’égard des parties non représentées. Pour atteindre les objectifs de notre recherche, nous avons d’abord étudié le phénomène des parties non représentées au sein des tribunaux judiciaires et administratifs en tentant d’évaluer l’ampleur et les causes du phénomène, les conséquences de celui-ci et les besoins particuliers des parties non représentées. À cette fin, nous avons analysé les sources juridiques et les recherches empiriques disponibles sur le sujet. Puis, nous avons tenté de mieux définir la notion de « devoir de secours équitable et impartial » prévue à la Loi sur la justice administrative (LJA) en nous attardant au sens usuel de ces termes et aux paramètres jurisprudentiels. De là, nous avons procédé à une analyse comparative entre le devoir d’assistance qui incombe aux juges des tribunaux judiciaires et le devoir de secours équitable et impartial auquel sont soumis certains juges administratifs avant de nous pencher sur les risques liés à l’exercice de ce devoir. Ceci nous a mené à analyser l’évolution du rôle du juge au plan philosophique et social et, ensuite, à le conceptualiser en réponse au phénomène des parties non représentées. Pour conclure notre mémoire, nous avons élaboré des lignes directrices afin de venir en aide aux juges administratifs dans l’exercice de leur devoir de secours équitable et impartial à l’égard des parties non représentées.<br>This thesis focuses on the duty of administrative judges exercising judicial functions to provide equitable and impartial assistance towards unrepresented litigants. To achieve our research objectives, we first study the phenomenon of unrepresented litigants within judicial and administrative courts by trying to assess the scale and causes of this phenomenon, its consequences and the particular needs of unrepresented litigants. In this respect, we study available legal references and empirical research on the matter. We then try to clarify the concept of "duty to provide equitable and impartial assistance" as set out in the Act respecting administrative justice (AAJ) by focusing on the common meaning of these terms and jurisprudential parameters. We conduct a comparative analysis between judicial court judges’ duty to assist and some administrative judges’ duty to provide equitable and impartial assistance before examining the risks associated with this duty. This leads us to analyze the evolution of the role of judges on philosophical and social levels, and conceptualize it in response to the phenomenon of unrepresented litigants. To conclude this thesis, we issue guidelines to help administrative judges exercise their duty to provide equitable and impartial assistance towards unrepresented litigants.
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Szulc, Michał. "Bericht über die 5. Konferenz „Juden und Judentum inder gegenwärtigen Forschung” („Żydzi i judaizm wewspółczesnych badaniach“), Kraków, 15.-17. Juni 2010." Universität Potsdam, 2011. http://opus.kobv.de/ubp/volltexte/2011/5333/.

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28

Volger, Helmut. "1. Fachkonferenz des Forschungskreises Vereinte Nationen <2000, Potsdam>: Tagungsbericht / 1. Fachkonferenz des Forschungskreises Vereinte Nationen am 30. Juni, 1. Juli 2000." Universität Potsdam, 2000. http://opus.kobv.de/ubp/volltexte/2011/5475/.

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Tagungsbericht: Volger, Helmut: 1. Fachkonferenz des Forschungskreises Vereinte Nationen <2000, Potsdam>: Tagungsbericht / 1. Fachkonferenz des Forschungskreises Vereinte Nationen am 30. Juni, 1. Juli 2000
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Molinaro, Claudia. "Controlli societari e posizioni di garanzia. Un'indagine alla luce del d.lgs. 231/2001." Doctoral thesis, Università degli studi di Padova, 2016. http://hdl.handle.net/11577/3426752.

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The research aims to examine the impact of Legislative Decree 231/2001, which has established a regulation of criminal compliance and liability of corporations, on the responsibility for the omission to prevent crimes of the members of corporate bodies entrusted to adopt and put into effects compliance programs, and to monitor the operation of such programs. The first part of the thesis contains a doctrinal analysis, which intends to define the requirements of omission to act, with particular attention to the “duty to act” as a criterion of equivalence between the commission of a crime and the failure to prevent the commission of a crime. In the light of the results achieved, the second part of the thesis attempt to reconstruct the case law about the powers of the corporate controllers to prevent the commission of crimes within the management of corporations. Eventually the thesis monitors how Legislative Decree 231/2001 has modified the dynamics of corporate controls with the introduction of a system of criminal compliance, that is a set of duties of corporations aimed at the prevention of crimes committed in their interest or benefit by their members. The research also features profiles of comparison with the US system of corporate criminal liability, which has inspired the italian system, and with the German system, since the German legislation, doctrine and jurisprudence have a leading role in the conceptualization of the responsibility for omission to act.<br>La ricerca si propone di comprendere quale impatto abbia avuto l’adozione del d.lgs. 231/2001, introduttivo di una disciplina di criminal compliance e della responsabilità ex crimine degli enti, sulla sfera di responsabilità penale per omesso impedimento dell’altrui reato, in capo ai membri degli organi societari incaricati dell’adozione ed attuazione dei compliance programs e della sorveglianza sul relativo funzionamento. Si cercherà di rispondere al quesito dapprima attraverso una premessa dogmatica, volta a definire i presupposti del reato omissivo improprio, con particolare attenzione all’istituto della posizione di garanzia, quale criterio di equivalenza tra la commissione dell’evento tipico di una fattispecie criminosa e il suo mancato impedimento. Alla luce dei risultati raggiunti, si tenterà di ricostruire la posizione dei membri dei principali organi di controllo rispetto all’impedimento di reati commessi nell’ambito della gestione societaria, sondando gli orientamenti giurisprudenziali in materia. Infine si verificherà in che modo il d.lgs. 231/2001 è intervenuto nella sistematica dei controlli societari, introducendo un sistema di criminal compliance, ovvero di doveri di organizzazione degli enti, volti alla prevenzione di reati commessi nel loro interesse o vantaggio da intranei. L’indagine sarà arricchita da profili di comparazione con l’ordinamento statunitense, per quanto riguarda al sistema di responsabilità da reato degli enti ivi adottato e a cui il legislatore italiano si è espressamente ispirato, e con quello tedesco, il cui “panorama” legislativo, dottrinale e giurisprudenziale ha svolto un ruolo dominante nella ricostruzione della responsabilità commissiva per omissione
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30

Zeiske, Anja. ""Sexualität im angehenden Erwachsenenalter" : die sexuelle Handlungsfähigkeit junger Frauen und Männer." Phd thesis, Universität Potsdam, 2008. http://opus.kobv.de/ubp/volltexte/2011/5234/.

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In dieser Arbeit wurden Zusammenhänge zwischen den sexuellen Erfahrungen junger Frauen und Männer, ihren Persönlichkeitseigenschaften und ihren sexualmoralischen Einstellungen auf der einen Seite und der Einschätzung ihrer sexuellen Handlungsfähigkeit auf der anderen Seite untersucht. Die Grundlage für das Modell der sexuellen Handlungsfähigkeit bildeten die Vorstellungen der Arbeitsgruppe um Matthias Grundmann (Grundmann et al. 2006) sowie von Emirbayer und Mische (1998). Das in dieser Arbeit entwickelte Modell zur sexuellen Handlungsfähigkeit ist ein multidimensionales Konstrukt, das sich aus den Komponenten „sexuelle Kommunikation“, „sexuelle Zufriedenheit“, „sexuelle Reziprozität“ sowie „sexuelle Eigenverantwortung“ zusammensetzt. „Sexuelle Kommunikation“ beinhaltet die Fähigkeit, sexuelle Wünsche zum Ausdruck bringen zu können. „Sexuelle Zufriedenheit“ beschreibt den Grad der Zufriedenheit mit dem eigenen Sexualleben. „Sexuelle Reziprozität“ verweist auf die Fähigkeit, sexuelle Aufmerksamkeiten sowohl Annehmen als auch Geben zu können. „Sexuelle Eigenverantwortung“ betont schließlich die Einschätzung, inwieweit die eigene Sexualität selbst bestimmt gestaltet werden kann. Mit Emirbayer und Mische werden die sexuellen Erfahrungen der Frauen und Männer als Korrelate der Einschätzung der Dimensionen der sexuellen Handlungsfähigkeit betrachtet. Mit Grundmann et al. sind es zudem verschiedene Persönlichkeitseigenschaften sowie sexualmoralische Einstellungen, deren Beschaffenheiten Aussagen über die sexuelle Handlungsfähigkeit erlauben. Um die Thematik der sexuellen Handlungsfähigkeit empirisch zu betrachten, wurden im Jahr 2006 695 junge Potsdamer/innen im Alter von 19 bis 21 Jahren im Rahmen einer standardisierten Erhebung zu ihren sexuellen und Beziehungserfahrungen befragt. Die empirischen Analysen verdeutlichen eine ko-konstruktive Anschauung von der Entwicklung sexueller Handlungsfähigkeit. Diese entsteht nicht im Individuum allein, sondern innerhalb der Interaktions- und Aushandlungsprozesse des Individuums mit den Anderen seiner sozialen und sexuellen Umwelt. Von Bedeutung erweisen dabei sowohl die Erlebnisse der sexuellen Biografie als auch die Persönlichkeitsmerkmale eines jeden Einzelnen. Nur geringfügig erscheinen die erfragten sexualmoralischen Ansichten von Bedeutung.<br>This study examines the connections between young women’s and men’s sexual experiences, their psychometrically meassures, and their moral attitudes according to sexuality on the one hand and the young women’s and men’s evaluation of their sexual agency on the other hand. The model of sexual agency used in this study is based upon the conceptions of Matthias Grundmann and collegues (Grundmann et al. 2006) as well as upon the conceptions of Mustafa Emirbayer and Ann Mische (1998). According to Emirbayer and Mische, in this study young women’s and men’s sexual experiences are conceived as correlates of their self-evalutation of sexual agency. Moreover, according to Grundmann et al., it is suggested that the young adults’ personality traits and their moral attitudes concerning sexulity are able to characterize their state of sexual agency. In this work a multidimensional construct of sexual agency has been developed. The multidimensional construct of sexual agency consists of the four dimensions “sexual communication”, “sexual satisfaction”, “sexual reciprocity”, and “sexual self-responsibility”. “Sexual communication” characterizes the ability to communicate one’s own sexual wishes. “Sexual satisfaction” describes the state of satisfaction with one’s sexual life. “Sexual reciprocity” contains the ability of both taking and giving sexual pleasures. Finally, “sexual self-responsibility” emphasizes the capability of creating one’s sexuality in an self dependened way. Based on a quantitative sample the subject of sexual agency has been examined empirically. In the year 2006 695 young adults, aged 19 to 21 years and living in Potsdam, Germany, have been asked about their sexual experiences and their experiences concerning romantic relationships. Data support a co-constructive view of the development of sexual agency. Thus, the development of sexual agency is not an exclusively individual demand, but a demand of the individuum’s negotiations with it’s social others, with men and women of it’s social and sexual society. Therefore, aspects of the individual’s sexual biography as well as the individual’s personality traits are important for the self-evaluaton of it’s sexual agency. However, data also show that the moral attitudes concerning sexuality are less important for the perception of one’s state of sexual agency.
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PALHARES, MARIO RODRIGO LEITZKE. "ANALYSIS OF THE DETERMINATIVE ONES OF THE FLOWS FOR DEEP OF CHANGEABLE INCOME: A STUDY ON THE INDUSTRY OF DEEP IN BRAZIL BETWEEN JULY OF 1997 AND JUNE OF 2001." PONTIFÍCIA UNIVERSIDADE CATÓLICA DO RIO DE JANEIRO, 2002. http://www.maxwell.vrac.puc-rio.br/Busca_etds.php?strSecao=resultado&nrSeq=2762@1.

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PONTIFÍCIA UNIVERSIDADE CATÓLICA DO RIO DE JANEIRO<br>Esta dissertação de mestrado se propõe a fazer uma investigação sobre as variáveis que influenciaram os fluxos de recursos para fundos de renda variável no Brasil no período compreendido entre julho de 1997 e junho de 2001. Utilizamos um modelo de regressão múltipla para tentar averiguar se as variáveis retorno, risco, rede de distribuição, tamanho dos fundos e o fluxo agregado para a indústria influenciam o comportamento dos fluxos de recursos para nossa amostra composta por mais de 150 fundos de ações das mais diversas instituições.<br>This Master`s Degree dissertation aims to investigate the variables that might influence the flow of resources to equity funds in Brazil between July 1997 and June 2001. We used a General Linear Model (GLM) to verify if variables such as return, risk, distribution network, funds net worth and the aggregate flow of funds to the industry can explain the flow of resources to each of more than 150 equity funds that compose our sample.
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32

Hunt, John V. "A phenomenological study of the dream-ego in Jungian practice." View thesis, 2008. http://handle.uws.edu.au:8081/1959.7/32090.

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Thesis (Ph.D.)--University of Western Sydney, 2008.<br>A thesis submitted to the University of Western Sydney, College of Arts, School of Psychology in fulfilment of the requirements for the degree of Doctor of Philosophy. Includes bibliography.
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Ganser, Johannes Helmut [Verfasser]. "Analyse klinischer und histopathologischer Prognosefaktoren bei Patienten mit hepatisch metastasierten kolorektalen Karzinomen im Zeitraum von Januar 1996 bis Juni 2011 / Johannes Helmut Ganser." Ulm : Universität Ulm, 2016. http://d-nb.info/111163534X/34.

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FONTENELLE, PATRICIA SCHMITT. "INVESTMENT FUNDS INDEXED TO THE US$ IN BRASIL A STUDY OF THEIR BEHAVIOUR IN THE PERIOD FROM JUN/2000 THRU JUL/2001." PONTIFÍCIA UNIVERSIDADE CATÓLICA DO RIO DE JANEIRO, 2001. http://www.maxwell.vrac.puc-rio.br/Busca_etds.php?strSecao=resultado&nrSeq=2258@1.

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Este trabalho analisa os Fundos Referenciados ao Dólar no Brasil no período de julho/2000 a junho/2001. Foram especificamente selecionados os fundos disponíveis ao público de varejo. Dentro do tema tratado, foi discutida a questão do cupom cambial brasileiro e das suas variações nos negócios realizados com os ativos disponíveis no mercado - o cupom - sujo - e o cupom - limpo -. O principal objetivo da pesquisa foi o de identificar diferentes grupamentos na população dos fundos estudada. Para tanto, foram analisados os aspectos variáveis mercadológicas e variáveis financeiras para cada fundo. Dentre as variáveis mercadológicas foram tratadas taxa de administração, requisitos de aplicação mínima inicial, patrimônio líquido, regime de negociação de cotas e tipo de cota.No que diz respeito às variáveis financeiras foram identificados e avaliados o benchmark, as relações de desempenho através do Índice de Sharpe e Retorno Diferencial sobre o Sigma e foram feitas comparações entre os indicadores de retorno e risco das cotas em dólar com o cenário do cupom de mercado no período.<br>The object of this study were the Investment Funds Indexed to the Dollar available to the general investor in the Brazilian market, from July/2000 to June/2001. In order to analyse their behaviour, the study discussed the theoretical background of the return rate curve for dollar related assets in Brazil and how it impacts their negotiations, by producing two different terms - the -clean- rate and the -dirty- rate. The main goal of the research was to find out if the funds could be separated into different clusters. In order to achieve this, two different aspects of the funds were studied - marketing and financial. Their marketing characteristics dealt with fees, minimum investment requirements, relevant day for the NAVPS and NAVPS availability. The financial characteristics were approached by their return and risk, benchmark and performance index analysis - thru the Sharpe Index and the Differential Return over the Sigma. The return and risk obtained for the funds were also compared to the return and risk observed in the domestic curve of the Brazilian risk up to 720 days.
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Meyer, Fanny Lucie Caroline [Verfasser]. "Ulmer Ergebnisse nach Arteria Carotis Thrombendarteriektomie für den Zeitraum von Juni 2012 bis März 2016 mit besonderem Augenmerk auf die Restenoserate / Fanny Lucie Caroline Meyer." Ulm : Universität Ulm, 2019. http://d-nb.info/1179226216/34.

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Luzyte, Rasa. "A thealogy of Mary : the non-Christian myth of Mary, the shadow of Mary and an individual connection to the divine self through Mary." Thesis, University of Stirling, 2013. http://hdl.handle.net/1893/20251.

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My work on the thealogy of Mary conveys a largely subjective way of thinking, it does not claim to present the view of any group, and it does not profess a theoretical agenda for a cult or a religious movement of Mary. The framework of this work is grounded in symbolic (legends, fairy tales and images), psychological (the structure of the psyche according to Carl Gustav Jung: the Self, the conscious, the unconscious, the Shadow) and imaginative (individual interpretations of narratives and images) spheres that are combined with feminist spirituality theories, religious philosophy and literary analysis. In my thesis, I offer a non-Christian myth of Mary which I form out of the folklore narratives about Mary. In my work, Mary is understood as the female divine archetype on the collective level, and as an expression of the Self on the individual level. Following Jung’s theory, the archetypes are forms and not contents, that is, an archetype can be comparable to an empty shell, which we fill with our own experience or with narratives that are meaningful to us. I take the image of Mary out of the Roman Catholic context and give it a new mythological narrative. This means to me a possibility not only to acquire a non-Christian myth of Mary but also to develop an individual relationship with the divine in its female personification. On the collective level, the thealogy of Mary creates a spiritual and psychological sphere in which the female divine has a possibility to outweigh the one-sidedness of the past few thousand years of the male predominance in the religious philosophy in the West.
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Tsoumani, Eirini. "Un juge constitutionnel sous contrainte : la jurisprudence constitutionnelle grecque de la crise de la dette." Electronic Thesis or Diss., Paris, Institut d'études politiques, 2025. http://www.theses.fr/2025IEPP0002.

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Cette étude propose un cadre épistémologique combinant la théorie des contraintes juridiques et la théorie des personnages juridiques pour analyser le raisonnement judiciaire. En prenant pour étude de cas la jurisprudence grecque pendant la crise de la dette souveraine de 2009, elle explore les fluctuations du discours du Conseil d’État hellénique, identifiant les facteurs endogènes au droit qui l’ont influencé. Considérant le droit comme une structure linguistique, l’analyse met en lumière le rôle contraignant de la technique juridique, qu’elle soit argumentative ou comportementale, dans le raisonnement des juges. L’hypothèse centrale est que la constellation des répertoires d’arguments et de personnages juridiques a agi comme une contrainte juridique, façonnant le discours normatif des juges et influençant les décisions du Conseil d’État pendant la crise. En adoptant une approche rétrospective, cette étude montre qu’il est possible de retracer certaines des conditions ayant conduit à ces décisions. Pour tester cette hypothèse, une typologie des arguments et personnages juridiques du répertoire du Conseil d’État grec durant la crise a été élaborée, permettant d’analyser leurs caractéristiques structurelles. Adoptant une perspective poststructuraliste, la recherche met également en évidence comment l’invocation des arguments et les incarnations des personnages juridiques ont contribué à remodeler ce répertoire, générant une contrainte réciproque. L’introduction de nouveaux types argumentatifs et comportementaux montre que le discours normatif des juges, tout en étant contraint par la structure du répertoire, participe à la transformation de la technique juridique et à l’évolution de la conscience juridique grecque et du droit positif<br>This study proposes a framework combining legal constraints theory and the theory oflegal characters in order to analyse judicial reasoning. Using Greek case law during the2009 sovereign debt crisis as a case study, it explores fluctuations in the discourse of theGreek Council of State, identifying the endogenous legal factors that influenced itsdecisions. Considering law as a linguistic structure, the analysis highlights the constrainingrole of legal techniques, whether argumentative or behavioural, in judicial reasoning. Thecentral hypothesis posits that the configuration of argument and legal character repertoiresacted as a legal constraint, shaping judges' normative discourse and influencing thedecisions of the Council of State during the crisis. Adopting a retrospective approach, thestudy demonstrates that it is possible to trace some of the conditions that led to thesedecisions. To test this hypothesis, a typology of the arguments and legal characters in therepertoire of the Greek Council of State during the crisis was developed, allowing for theanalysis of their structural characteristics. Adopting a poststructuralist perspective, theresearch also highlights how the invocation of arguments and the performance of legalcharacters contributed to reshaping this repertoire, generating a reciprocal constraint. The introduction of new argumentative and behavioural types shows that judges' normativediscourse, while constrained by the structure of the repertoire, participates in thetransformation of legal techniques and the evolution of Greek legal consciousness andpositive law
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38

Mahler, Claudia. "New Approaches to Human Security and Human Rights <2002, Berlin>: Tagungsbericht / Arbeitsgespräch im DIMR mit einem Mitglied der Internationalen Kommission für menschliche Sicherheit, Frau Prof. Dr. Sonia Picado, am 6. Juni 2002." Universität Potsdam, 2002. http://opus.kobv.de/ubp/volltexte/2011/5493/.

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Tagungsbericht: Mahler, Claudia: New Approaches to Human Security and Human Rights <2002, Berlin> / Arbeitsgespräch im DIMR mit einem Mitglied der Internationalen Kommission für menschliche Sicherheit, Frau Prof. Dr. Sonia Picado, am 6. Juni 2002
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39

Pröbsting, Michael Verfasser], Daguang [Akademischer Betreuer] [Cai, and Christian [Gutachter] Jung. "Application of CRISPR-Cas9 genome editing systems for improving oilseed rape (Brassica napus) disease resistance against Verticillium longisporum / Michael Pröbsting ; Gutachter: Christian Jung ; Betreuer: Daguang Cai." Kiel : Universitätsbibliothek Kiel, 2020. http://nbn-resolving.de/urn:nbn:de:gbv:8-mods-2020-00084-7.

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40

Linnebach, Laura Ann [Verfasser], and Ludwig [Akademischer Betreuer] Gortner. "Durchführung des Universellen Neugeborenenhörscreenings am Klinikum Saarbrücken : Epidemiologie und Risikofaktoranalyse im Rahmen einer Fall-Kontroll-Studie von Janur 2009 - Juni 2011 / Laura Ann Linnebach. Betreuer: Ludwig Gortner." Saarbrücken : Saarländische Universitäts- und Landesbibliothek, 2016. http://d-nb.info/1081935111/34.

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41

Hunt, John V. "A phenomenological study of the dream-ego in Jungian practice." Thesis, View thesis, 2008. http://handle.uws.edu.au:8081/1959.7/32090.

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This study is textual in its resource rather than empirical, and is applied to the experiential nature of the dream-ego. It is conceptual in its application, and its domain of inquiry is focussed on redescribing and reinterpreting the Jungian literature in order to further inform the understanding of the role of the dream-ego in analytical psychological practice. The major underlying assumption which forms the primary foundation for this study is that ‘mind is the subjective experience of brain’ and this statement serves the purpose of positioning the study as being anchored in biological science but not biological in scope. The statement also implies there is no conflict in the conclusions of neurobiological studies and phenomenological studies and positions these realms as correlates of each other. The subjective experience of brain is the realm in which our lives are lived and in which all our perceptions, ideas and feelings are experienced and so the phenomenological approach of the study is a consequence of that fact. The focus is on the dream-ego itself, using a selection of Jung’s own recorded dreams as vehicles to support, describe and reinterpret concepts from the literature in order to elucidate the dream-ego’s function in psychological health. If the dreaming state were exclusively an innocuous epiphenomenon of neurological processes with no experiential function, then it would be expected that the images generated would be quarantined from consciousness entirely, for reasons of psychic stability and hence then cease to be images, but the commonality and regularity of the dream-ego experience indicates an evolved psychic phenomenon with a definite relationship to the waking-ego. The remarkable images and associations experienced in dreams are expressions of the psyche’s uncompromising experiential authenticity and although these dream experiences may be profoundly complex, the dream-ego is seen to have an underlying naivety whose nature is captured by the title of Charles Rycroft’s (1981) book “The Innocence of Dreams”. When the dream-ego is contrasted to the waking-ego it becomes clear that the major difference is in this ‘innocence’ which is a consequence of the attenuation of rationality and volition for the dream-ego. This weaker rationality and volition prevents the dream-ego from talking or walking its way out of confrontation with unconscious content which manifests before it. The dream-ego experience is based on feelings and emotions which were the original reasons and criteria driving the censorship of the ‘feeling toned complexes’, as Jung describes them. The experience of unconscious material by the vulnerable dream-ego and the subsequent transfer to the waking-ego provides the option for the waking-ego to ‘reconsider’ or to make decisions based on the authentic feelings of the psyche. The fact that mammals exhibit REM sleep, and the strong case for mammals dreaming during that period, complicates the understanding of human dream function. In non dreaming sleep the ego is annihilated but is underwritten by the neural networks which constitute the ego when ‘active����. Since neural networks are known to atrophy with disuse, the sequestered ego is at risk of loss of fidelity on manifestation, and therefore may mismatch the environmental context. The study presents the dreaming state as the periodic partial activation of the ����neural ego���� to prevent atrophy and to maintain ego retrieval fidelity. This concept has applicability also to the animal case, since they must maintain their behavioural fluency and environmental congruence. Once the evolved dreaming state is established in mammals it may be subject to further evolutionary possibilities and subtleties in the human case. A consequence of this study is the presentation of the dream-ego as the partial arousal of the waking-ego, rather than the normal wording of the dream-ego as the half asleep waking-ego, since the dream-ego is seen as the psyche rehearsing its ego. The defining phenomenology of the dream-ego is found in its vulnerability to the feelings and emotions of the psyche, but paradoxically this vulnerability is its strength in its role as the feeling nexus between the unconscious and conscious mind. The waking-ego which may misconstrue its role in the psyche’s scheme of things and become aloof in its mentations believing all problems are intellectual, has the innocence of the dream-ego experience as its lifeline to the psyche’s authenticity. It is the intent of this study to contribute to the understanding of the role of the dream-ego experience in therapeutic practice, and placing the dream-ego as the protagonist of the study, to be attentive to the power of its innocence.
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42

Meza, Quispe Erick Gregorio. "Observations d’occultations stellaires, applications à l’étude de la structure et l’evolution de l’atmosphère de Pluton Pluto’s atmosphere from the 29 June 2015 ground-based stellaroccultation at the time of the New Horizons flyby Pluto's atmosphere from stellar occultations in 2012 and 2013." Thesis, Sorbonne université, 2018. http://www.theses.fr/2018SORUS516.

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Les occultations stellaires au sol sont une méthode très efficace pour sonder l'atmosphère (N2) d'azote de Pluton à quelques kilomètres de la surface (pressure ~10microbar) jusqu’à 380km altitude (~10nbar). Cette atmosphère est fortement couplée aux propriétés de surface de Pluton (distribution des glaces, inertie thermique et température de surface), car l'azote gazeux est en équilibre de pression de vapeur saturante avec la glace d'azote. Cela induit de forts effets saisonniers, dus à la grande obliquité (120 degrés) et à l'excentricité orbitale élevée (0,25) qui amène la planète naine de 30 à 50 ua pendant la moitié de sa période orbitale de 248 ans. Le sujet principal de ma thèse est une vue d'ensemble de vingt occultations d’étoiles au sol par la planète naine Pluton, organisées entre 2002 et 2016 par le groupe d'occultation du LESIA à l’Observatoire de Paris. Mon analyse de onze campagnes d'occultations avec un rapport S/N élevé a été utilisée pour: (1) déduire les changements de pression atmosphérique de Pluton sur des échelles de temps décennales (1988-2016) et créer des contraintes sur les modèles saisonniers actuels de la planète naine, les mettant en perspective avec le survol de la sonde NASA New Horizons en juillet 2015; (2) comparer nos résultats obtenus au sol avec les résultats de New Horizons, en particulier avec les résultats du radio science experiment (REX) au-dessous de 115 km d'altitude; (3) utiliser les géométries reconstruites des occultations et le nouveau catalogue Gaia DR2 pour améliorer les éléments orbitaux de Pluton et créer une nouvelle éphéméride pour la planète naine<br>Ground-based stellar occultations are a very efficient method to probe Pluto's tenuous nitrogen (N2) atmosphere from a few kilometers above the surface (pressure ~10 microbar) up to 380km altitude (~10nbar). This atmosphere is strongly coupled with Pluto's surface properties (distribution of ices, thermal inertia and surface temperature), as the gaseous N2 is in vapor pressure equilibrium with the nitrogen ice. This induces strong seasonal effects, due to the large obliquity (~120 deg) and high orbital eccentricity (0.25) that takes the dwarf planet from 30 to 50 au during half of its 248 year orbital period. The main topic of my thesis is an overview of twenty ground-based stellar occultations by the dwarf planet Pluto, that have been organized between 2002 and 2016 by the LESIA occultation group. My analysis of eleven campaigns of occultations with hight S/N ratio has been used to: (1) derive Pluto's atmospheric pressure changes on decadal time scales (1988-2016), and provide constrains on the current seasonal models of the dwarf planet, putting them in perspective with the NASA New Horizons flyby of July 2015; (2) compare our ground-based derived results with the New Horizons findings, and in particular with the results of the radio science (REX) experiment below the altitude ~115 km; (3) use the reconstructed geometries of the occultations and the newly released Gaia DR2 catalog to improve Pluto's orbital elements and provide an new ephemeris for the dwarf planet
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43

O'Connor, Christopher Joseph. "A review of the developmental vision and work of the City of Cape Town's Community Development Department (February 1997 to December 2000) and its successor the Department of Community Services (January 2001 to June 2003) which was aimed at transforming socially dysfunctional communities such as Manenberg." University of the Western Cape, 2004. http://etd.uwc.ac.za/index.php?module=etd&amp.

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This study considered the work of the Department of Community Development in the City of Cape Town, through the manner in which it implemented its developmental vision, its institutional consequences and the obstacles to its realisation.
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44

Nunes, Izabel Cristina Teixeira. "Eleição para diretor escolar no município de Irecê: uma proposta de regulamentação de forma horizontal." Faculdade de Educação, 2018. http://repositorio.ufba.br/ri/handle/ri/26192.

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Submitted by IZABEL NUNES (izabelteixeira1012@gmail.com) on 2018-06-08T17:52:55Z No. of bitstreams: 1 ELEIÇÃO PARA DIRETOR ESCOLAR NO MUNICÍPIO DE IRECÊ UMA PROPOSTA DE REGULAMENTAÇÃO DE FORMA HORIZONTAL (1).pdf: 1626191 bytes, checksum: 23c033476b44a1d06f3efa0a3405096d (MD5)<br>Approved for entry into archive by Ana Miria Moreira (anamiriamoreira@hotmail.com) on 2018-06-19T14:05:39Z (GMT) No. of bitstreams: 1 ELEIÇÃO PARA DIRETOR ESCOLAR NO MUNICÍPIO DE IRECÊ UMA PROPOSTA DE REGULAMENTAÇÃO DE FORMA HORIZONTAL (1).pdf: 1626191 bytes, checksum: 23c033476b44a1d06f3efa0a3405096d (MD5)<br>Made available in DSpace on 2018-06-19T14:05:39Z (GMT). No. of bitstreams: 1 ELEIÇÃO PARA DIRETOR ESCOLAR NO MUNICÍPIO DE IRECÊ UMA PROPOSTA DE REGULAMENTAÇÃO DE FORMA HORIZONTAL (1).pdf: 1626191 bytes, checksum: 23c033476b44a1d06f3efa0a3405096d (MD5)<br>Este Projeto de Intervenção-PI intitulado de “Eleição para Diretor Escolar no Município de Irecê: uma proposta de regulamentação de forma horizontal” enfatiza a importância da eleição direta como forma de provimento para o cargo de diretor escolar, e como um mecanismo de participação a mais para efetivação da gestão democrática escolar na Rede Municipal de Ensino de Irecê-Bahia. Teve por objetivo compreender de que modo os professores e coordenadores da referida rede, podem participar de forma horizontal na construção de um possível processo de regulamentação da eleição como forma de provimento do cargo de diretor, uma vez que ela já se encontra instituída através das Leis municipais nº. 894/2011, que dispõe sobre o Plano de Carreira, Cargos, Funções Públicas e Remuneração dos Servidores do Magistério; da Lei nº. 895/2011, que regulamenta o Estatuto do Magistério Público do Município e da Lei nº 1017/2015, que estabelece o Plano Municipal de Educação do Município de Irecê. Considerando a possibilidade de regulamentação da eleição como forma de provimento do cargo de diretor na Rede municipal de Irecê, assim reflito: de que modo os professores e coordenadores podem participar de forma horizontal na construção desse processo? Para isso, a metodologia aplicada consistiu em um estudo bibliográfico, pesquisa documental e um estudo de caso que teve como instrumento de coleta de dados, uma oficina metodológica, na qual utilizei-me da estratégia “rodadas de conversa” com 40 participantes (professores e coordenadores da rede municipal), além da aplicação de um formulário com um grupo de 28 docentes da Rede Municipal de Irecê. No tocante ao referencial teórico, esse PI se fundamentou nos postulados defendidos por (Cruz, 2015, Dourado, 1990; 2000; Lück, 2013; 2014; Oliveira, 1996; Oliveira, 2014; Paro, 2003; 2015; 2011; 2007; 2001, Saviani; 2012) e outros autores que versam sobre gestão democrática, eleição e outras formas de provimento do cargo de diretor. Este trabalho defende a eleição como uma contraproposta a indicação/nomeação política, atual modelo de escolha do diretor escolar na Rede de ensino investigada, pois acredita que a eleição é uma das formas mais democráticas de escolha do diretor e a indicação/nomeação uma prática autoritária exercida pelo Poder Público. Nesse viés, proponho a criação de uma Comissão Especial- CE para uma construção horizontal e colaborativa do processo de escolha para diretores via eleição direta, no qual o professorado da Rede atue de forma participativa na regulamentação das leis municipais nº 894/2011, 895/2011 e 1017/2015, pois corre-se o risco de ela ser regulamentada conforme os interesses do Poder Executivo, constituindo uma construção vertical que não atenda aos anseios da comunidade escolar. Para materialização dessas CE, apresento a sugestão de um cronograma com as etapas do processo participativo intituladas: Pré-comissão, Pós-comissão e Finalização. Este PI contribui na discussão da regulamentação das leis municipais nº 894/2011, 895/2011 e 1017/2015 e fomenta uma ação inovadora, no sentido de garantir a participação horizontal dos segmentos dos professores e coordenadores na elaboração de dispositivos normativos que viabilizem a implementação dessas leis, no que se refere a eleição como forma de provimento, viabilizando que a gestão democrática escolar se efetive de fato na Rede Municipal de ensino de Irecê- Bahia.<br>ABSTRACT This PI-Intervention Project titled "Election for School Directors in the Municipality of Irecê: A Proposal for Regulation in a Horizontal Way" emphasizes the importance of direct election as a form of provision for the position of school director, and as a mechanism of participation to more for effective democratic school management in the Municipal Education Network of Irecê-Bahia. Its objective was to understand how the teachers and coordinators of this network can participate horizontally in the construction of a possible process of regulation of the election as a form of filling the position of director, since it is already established through the Laws municipalities no. 894/2011, which provides for the Career Plan, Positions, Public Functions and Remuneration of the Teaching Staff; of Law no. 895/2011, which regulates the Statute of the Public Magisterium of the Municipality and Law 1017/2015, which establishes the Municipal Education Plan of the Municipality of Irecê. Considering the possibility of regulation of the election as a form of filling the position of director in the Municipal Network of Irecê, I reflect: how can teachers and coordinators can participate horizontally in the construction of this process? For this, the applied methodology consisted of a bibliographical study, documentary research and a case study that had as instrument of data collection, a methodological workshop, in which I used the strategy "rounds of conversation" with 40 participants (teachers and coordinators of the municipal network), as well as the application of a form with a group of 28 teachers from the Irecê Municipal Network. With regard to the theoretical reference, this PI was based on the postulates defended by (Cruz, 2015, Dourado, 1990, 2000, Lück, 2013, 2014, Oliveira, 1996, Oliveira, 2014, Paro, 2003, 2015, 2011, 2007; , Saviani, 2012) and other authors that deal with democratic management, election and other forms of appointment of director. This work defends the election as a counterproposal to the political appointment / nomination, current model of choice of the school director in the researched teaching network, because he believes that the election is one of the most democratic forms of choice of the director and nomination / nomination an authoritarian practice exercised by the Public Power. In this bias, I propose the creation of a Special Commission - CE for a horizontal and collaborative construction of the selection process for directors through direct election, in which the Network's faculty acts in a participatory way in the regulation of municipal laws nº 894/2011, 895 / 2011 and 1017/2015, because it runs the risk of being regulated in the interests of the Executive Branch, constituting a vertical construction that does not meet the wishes of the school community. To materialize these CE, I present a suggestion of a timetable with the participatory process stages entitled: Pre-commission, Post-commission and Completion. This IP contributes to the discussion of the regulation of municipal laws nº 894/2011, 895/2011 and 1017/2015 and promotes an innovative action, in order to guarantee the horizontal participation of the segments of the teachers and coordinators in the elaboration of normative devices that allow the implementation of these laws, regarding the election as a form of provision, enabling the democratic school management to take effect in the Municipal Education Network of Irecê-Bahia.
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45

Connolly, Maria Josephine. "The impacts of the Canterbury earthquakes on educational inequalities and achievement in Christchurch secondary schools." Thesis, University of Canterbury. Geography, 2013. http://hdl.handle.net/10092/7903.

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During 2010 and 2011, major earthquakes caused widespread damage and the deaths of 185 people in the city of Christchurch. Damaged school buildings resulted in state intervention which required amendment of the Education Act of 1989, and the development of ‘site sharing agreements’ in undamaged schools to cater for the needs of students whose schools had closed. An effective plan was also developed for student assessment through establishing an earthquake impaired derived grade process. Previous research into traditional explanations of educational inequalities in the United Kingdom, the United States of America, and New Zealand were reviewed through various processes within three educational inputs: the student, the school and the state. Research into the impacts of urban natural disasters on education and education inequalities found literature on post disaster education systems but nothing could be found that included performance data. The impacts of the Canterbury earthquakes on educational inequalities and achievement were analysed over 2009-2012. The baseline year was 2009, the year before the first earthquake, while 2012 is seen as the recovery year as no schools closed due to seismic events and there was no state intervention into the education of the region. National Certificate of Educational Achievement (NCEA) results levels 1-3 from thirty-four secondary schools in the greater Christchurch region were graphed and analysed. Regression analysis indicates; in 2009, educational inequalities existed with a strong positive relationship between a school’s decile rating and NCEA achievement. When schools were grouped into decile rankings (1-10) and their 2010 NCEA levels 1-3 results were compared with the previous year, the percentage of change indicates an overall lower NCEA achievement in 2010 across all deciles, but particularly in lower decile schools. By contrast, when 2011 NCEA results were compared with those of 2009, as a percentage of change, lower decile schools fared better. Non site sharing schools also achieved higher results than site sharing schools. State interventions, had however contributed towards student’s achieving national examinations and entry to university in 2011. When NCEA results for 2012 were compared to 2009 educational inequalities still exist, however in 2012 the positive relationship between decile rating and achievement is marginally weaker than in 2009. Human ethics approval was required to survey one Christchurch secondary school community of students (aged between 12 and 18), teachers and staff, parents and caregivers during October 2011. Participation was voluntary and without incentives, 154 completed questionnaires were received. The Canterbury earthquakes and aftershocks changed the lives of the research participants. This school community was displaced to another school due to the Christchurch earthquake on 22 February 2011. Research results are grouped under four geographical perspectives; spatial impacts, socio-economic impacts, displacement, and health and wellbeing. Further research possibilities include researching the lag effects from the Canterbury earthquakes on school age children.
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46

Djedje, Zako Jean-Marie. "La dualité juridictionnelle en Afrique subsaharienne francophone : analyse d'un modèle importé à partir des exemples burkinabè, gabonais, ivoirien et sénégalais." Electronic Thesis or Diss., Université de Lille (2022-....), 2022. https://pepite-depot.univ-lille.fr/ToutIDP/EDSJPG/2022/2022ULILD004.pdf.

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Les balbutiements des États africains subsahariens francophones autour de l'organisation de leurs justices administratives respectives révèlent la réalité d'un processus d'importation du modèle français mal maitrisé. Si le procès de la dualité juridictionnelle peut ainsi être ouvert sur cet espace, il ne saurait aboutir à sa condamnation systématique. La spécificité de plus en plus poussée du contentieux des collectivités territoriales, de l‟urbanisme, de la question de l‟environnement de même que l'exposition du bien commun en Afrique à cette sorte d‟« invasion » des investisseurs et puissances extérieures ne commandent plus la seule spécialisation de la juridiction administrative. Son indépendance et son autonomie sont désormais indispensables pour saisir pleinement ces enjeux nouveaux ou renouvelés. Il faut néanmoins distinguer ce que le modèle français importé comporte d'incompatibles avec l'encadrement efficace de l'action administrative en Afrique francophone et l'ineffectivité des réformes instituant ce modèle. En clair, les enjeux, le contexte et l'environnement de réception de la dualité juridictionnelle en Afrique francophone doivent être réexaminés, réévalués afin de créer une justice administrative à la fois fidèle à des principes indispensables à son effectivité et proche des contingences sociologiques de son nouveau milieu<br>Between the rejections, the partial implementation and aborted implementation, the reforms regulating the juridic duality illustrate the feeling that they do not function well but as purely symbolic or, somehow, as they indicate a process not grasped well. Accordingly, the transition from monism to juridic duality does not lead to a serious development of the administrative issue qualitatively and quantitatively in the francophone African countries. Presumably, if the process of duality can be accommodated, it would not lead to its systematic condemnation. The increasing uniqueness of the collectivities' territorial issues, the urbanism, the environmental issues as well as the attraction of African wealth leading to a kind of “scramble” of investors and powerful stranger forces do not ask for the only specialization of the administrative jurisdiction. Its independence and autonomy are now necessary in order to fully meet the new and renewed challenges. Nevertheless, we must distinguish the incompatible properties in the French imported model from the efficient coaching of the administrative action in francophone Africa and the incongruences of the reforms regulating this model. Briefly, the scope, the context and the accommodating environment of the juridic duality should be re-examined, reassessed in order to create an administrative law both faithful to the principles useful to its efficiency and reflecting the sociological features of new area
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Drine, Abdelhakim. "Le choix de compétences dans le contrat de travail international." Thesis, Lyon 2, 2011. http://www.theses.fr/2011LYO22013.

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Le choix de compétences dans le contrat de travail international, permet une véritable valorisation du rôle de la volonté des parties dans l'insertion des clauses contractuelles désignant la compétence d'une loi ou d'un juge, étatique ou privé. Des conditions de fond et de forme sont exigées pour l'admissibilité de cette dérogation volontaire à la compétence naturelle des règles applicables. Mais, le déséquilibre qui caractérise la relation de travail, exige un encadrement stricte de ce choix par des mécanismes protecteurs de la partie faible. L'intervention des règles impératives du lieu de l'exécution habituelle du travail permet d'atteindre cet objectif par l'application, soit d'un critère de faveur qui consiste à appliquer la loi la plus favorable pour le salarié, soit à mettre en œuvre un critère de proximité qui permet d'appliquer la loi qui entretient les liens les plus étroits avec la situation litigieuse<br>In international contracts of employment, the parties’ will is significantly enhanced by the choice of competences through the insertion of clauses referring to the competent law or competent judge (private or public). But the eligibility for this voluntary exemption to applicable natural competences requires formal and substantial conditions. Indeed, the disequilibrium that inherently characterizes the employment relationship calls for a strict scrutiny. Assuring the choice made by the weaker thus necessitates protective mechanisms. The intervention of mandatory rules of the place where the employee habitually carries out his work allows the achievement of the aforementioned objective. This is done so by the application of two alternative criteria, in either the law that is the most favourable law to his interests or the law that is most closely connected to the particular situation
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Darney, Keyvin. "Towards next generation risk assessment of chemicals : bayesian meta-analysis of human variability in metabolism and transporters and application for the derivation of pathway-related uncertainty factors Aggregate exposure of the adult French population to pyrethroids, in Toxicology and Applied Pharmacology 351, July 2018 Inter-ethnic differences in CYP3A4 metabolism: A Bayesian meta-analysis for the refinement of uncertainty factors in chemical risk assessment, in Computational Toxicology 12, November 2019 Bayesian meta-analysis of inter-phenotypic differences in human serum paraoxonase-1 activity for chemical risk assessment, in Environment International 138, May 2020 Human variability in influx and efflux transporters in relation to uncertainty factors for chemical risk assessment, in Food and Chemical Toxicology 140, June 2020." Thesis, Brest, 2020. http://www.theses.fr/2020BRES0013.

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Dans le monde moderne, les humains sont exposés à une vaste gamme de produits chimiques tout au long de leur vie. L'évaluation des risques des substances chimiques pour l'homme revêt une importance capitale pour la santé publique et permet de calculer des niveaux sûrs d'exposition aiguë et chronique pour des sous-groupes de la population humaine, notamment les nouveau-nés, les enfants, les personnes âgées et les populations d’origine géographique et de polymorphismes génétiques différents. L'application des données cinétiques liées aux voies métaboliques pour tenir compte de la variabilité humaine dans la quantification du danger a le potentiel de réduire l'incertitude et de mieux caractériser la variabilité par rapport à l'utilisation traditionnelle des facteurs d'incertitude par défaut. Cette thèse vise à : 1) Quantifier la variabilité humaine au moyen d'une méta-analyse Bayésienne pour plusieurs voies métaboliques de phase I, phase II et transporteurs en utilisant des marqueurs pharmacocinétiques d'exposition aiguë et chronique ou des données d'activité enzymatique pour les substrats spécifiques disponible. 2) Estimer les distributions de variabilité liées aux voies métaboliques et les facteurs d’incertitudes liés à ces voies pour leur intégration future dans les modèles physiologiques basés sur la cinétique pour l'évaluation des risques des produits chimiques pour l'Homme<br>In the modern world, humans are exposed to a wide range of chemicals throughout their life. Human risk assessment of chemicals is of considerable public health importance and provides means to derive safe levels of acute and chronic exposure for subgroups of the human population including neonates, children, elderly and populations of different geographical ancestry and genetic polymorphisms. The application of pathway-related kinetic data to address human variability in the quantification of hazard has potential to reduce uncertainty and better characterize variability compared with the use of traditional default uncertainty factors. This thesis aims to 1) quantify human variability by means of Bayesian meta-analysis for a range of phase I, phase II metabolic pathways and transporters using pharmacokinetic markers of acute and chronic exposure or enzyme activity data from available probe substrate, 2) derive pathway-related variability distributions and pathway-related uncertainty factors for their future integration in physiologically based kinetic models for human risk assessment of chemicals
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49

Dhoorah, Marie Sabrina. "L'évolution du droit en matière de sûreté nucléaire après Fukushima et la gouvernance internationale." Thesis, Paris 2, 2014. http://www.theses.fr/2014PA020031/document.

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Le 11 mars 2011, le Japon a subi un séisme suivi d’un tsunami aux conséquences terribles. Dans la centrale de Fukushima Dai-ichi s’est produit un accident nucléaire de niveau 7 (le plus élevé) sur l’échelle internationale, qui a marqué les esprits comme celui de Tchernobyl en 1986. Cet accident a laissé le monde en émoi face à ces nouvelles formes de menaces, d’autant que l’exploitant TEPCO n’a pas su maitriser la situation ni tirer les leçons du passé. Depuis Fukushima, l’échelle des fondamentaux en Europe et dans le monde a donc été bouleversée et la question de la sûreté et de la sécurité des centrales se pose avec une acuité renforcée, qui a nécessité de redéfinir en droit et en pratique certaines normes et principes au niveau national, européen et international en concordance avec ces nouvelles menaces extérieures, vers le plus haut niveau de sûreté. Mais les révisions entreprises nécessitent d’être plus ambitieuses. L’avenir du nucléaire implique dès lors : au niveau européen, une révision plus ambitieuse de la directive sûreté; la mise en place d’une autorité de réglementation indépendante de jure ; la définition d’un droit de la responsabilité civile harmonisé au sein de l’UE en faveur des victimes dans l’hypothèse d’un accident. Au niveau international, la gouvernance s’impose comme étant le vecteur d’une commune culture de sûreté et de sécurité nucléaires ; bien que la diversité des modèles nationaux de gestion et de contrôle de l’industrie nucléaire paraisse rendre a priori difficile l’évolution vers des règles communes. De même au niveau européen, dans ce même esprit, l’écriture d’un texte unique en droit de la réparation des dommages serait nécessaire. La révision de la Convention sûreté nucléaire est également un chantier important pour l’avenir. Dans l’immédiat, l’harmonisation concerne de nombreux domaines dont, pour l’essentiel : la gestion de crise pendant et après un accident nucléaire ; la mise en place des principes de sûreté et de sécurité les plus performants et les plus élevés, de la conception au démantèlement d’une installation ; la maîtrise d’une interaction adaptée entre sûreté et sécurité nucléaires. Il conviendra, par ailleurs, de veiller à l’intégration du public au processus décisionnel dans les domaines du nucléaire, condition nécessaire à l’acceptabilité de cette énergie<br>On March 11, 2011, the Japan suffered an earthquake followed by a tsunami to the terrible consequences. In nuclear power plant Fukushima Dai-ichi happened a nuclear accident of level 7 (highest) on the international scale, which marked the spirits such as rivaled that of Chernobyl in 1986. This accident left the world agog with these new forms of threats, especially since the TEPCO operator did not master the situation or learn the lessons of the past. Since Fukushima, the fundamentals in Europe and worldwide has so upset been turned upside-down and this raises the question of safety and security of power plants with renewed acuity, which necessitated. It is imperative to redefine in law and in practice some standards and principles at the national, European and international level in accordance with these new threats to the highest level of safety. But the legal revisions need to be more ambitious. The future of nuclear power suggest therefore: at the European level: a more ambitious revision of the directive on nuclear safety; the establishment of a regulatory body with effective independence de jure ; the definition of a liability law harmonised throughout the EU and the IAEA for victims in the event of an accident. At the international level: the governance is necessary as a vector of a common safety culture and security culture ; although the diversity of national models of management and control of the nuclear industry appears a priori difficult to move towards common rules. As well as at the European level, the writing of a single text entitled to the repair of damages would be necessary for the same reasons already stated. The revision of the Convention on nuclear safety is also as important crucial for the future. For immediate harmonization concerns many fields, for the most part: during and after a nuclear accident crisis management; the implementation of the principles of safety and security at the most efficient and highest level from the conception to the dismantling of an installation; strengthening interaction adapted between nuclear safety and nuclear security ; but also the integration of the population in the decision-making process in the areas of nuclear is mandatory for the acceptance of nuclear energy
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"Compilation of abstracts, June 2012." 2012. http://hdl.handle.net/10945/30770.

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NPS Class of June 2012.<br>This compilation of abstracts of theses is published in order that those interested in the fields represented may have an opportunity to become acquainted with the nature and substance of the student research that has been undertaken. Copies of theses are available for those wishing more detailed information, by searching Calhoun, the NPS Institutional Archive at http:calhoun.nps.edu
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