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1

Feldman, Jonathan M. (Jonathan Michael). "Protectionism as an industrial policy : the case of the United States automobile industry". Thesis, Massachusetts Institute of Technology, 1986. http://hdl.handle.net/1721.1/73272.

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Thesis (M.C.P.)--Massachusetts Institute of Technology, Dept. of Urban Studies and Planning, 1986.
MICROFICHE COPY AVAILABLE IN ARCHIVES AND ROTCH
Bibliography: leaves 199-217.
by Jonathan Michael Feldman.
M.C.P.
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2

Maclin, Stephen Alexander. "A democratic governance approach to urban economic development policymaking". Diss., Virginia Tech, 1994. http://hdl.handle.net/10919/37427.

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This dissertation contributes to the literature on urban development politics. It takes a normative ideal, democratic urban governance, out of the esoteric realm of academic debate and applies it to a critical case study which concerns the most financially consequential area of urban policy, that of urban economic development. The principal elements of democratic urban governance are described, examined, and reconstructed as a framework for evaluating the policy making potentials in the present case. Beyond its academic contribution, this dissertation provides developmental policy makers with an intellectually sound basis for considering, more candidly and more directly, issues concerning democracy and governance.
Ph. D.
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3

Millward, Alison J. "Affordable downtown housing : innovative U.S. municipal initiatives and a case study of Seattle". Thesis, University of British Columbia, 1990. http://hdl.handle.net/2429/29996.

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The past decade has witnessed both steep reductions in federal housing assistance and an intensification of local housing problems including homelessness. In light of these trends, this study explores alternative means available to municipalities of meeting the housing needs of low-income households. The methods chosen to accomplish this were two-fold: a literature review and a case study. The literature review revealed that in response to the Reagan administration's 1981 cutbacks to housing programs a new low-income housing delivery system, based largely on public-private partnerships, has emerged from the grass roots level in communities across the United States. In the new production system efforts have focused on preservation rather than new construction, and large for-profit developers have been replaced by nonprofit community-based development corporations and local public agencies. With the assurance of federal subsidies gone, local governments and nonprofit developers have sought to increase the effectiveness of current resources, direct more general revenue to housing activities and have raised new resources. Today, financing packages for low-income projects are usually built upon customized and creative financial packages that are difficult to replicate, and as a result, no definitive solutions have yet been found. Despite the hard work and creativity that has gone into developing low-income housing in the U.S. over the past decade local programs have been able to meet only a fraction of the country's housing needs. The case study method was chosen to focus on the City of Seattle, Washington's specific housing initiatives. The City's response has closely followed the national experience. A new delivery system has emerged which depends largely on the efforts of the City's municipal government, through its Department of Community Development, and the community's growing nonprofit sector. As a matter of policy Seattle has chosen to spend most of its low-income housing dollars on preserving the downtown's remaining 7,311 low-income units. The City does not. build housing itself, but instead, acts as a "bank" loaning money generated, for the most part, by off-budget strategies to nonprofit housing developers to rehabilitate existing low-income units to meet housing code standards. Seattle's housing programs have had mixed results. Despite their efforts, due to downtown's expansion, the City has continued to lose low-income units in the downtown to demolition and rent increases, no gain has been made on the City's overall housing need, and while the City has replaced the lost federal subsidies, it has not created significant ongoing revenue streams for future housing development. Results of this study indicate that, only the long term commitment of federal funds to a national housing strategy can stem the growing tide of homelessness across the U.S. and avert, a deepening of the country's housing crisis.
Applied Science, Faculty of
Community and Regional Planning (SCARP), School of
Graduate
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4

Wilkinson, Anne Marguerite. "A Preliminary Analysis of Beneficiary Discharge Status and Post-Hospital Placement Before and After the Implementation of Medicare's Prospective Payment System". PDXScholar, 1989. https://pdxscholar.library.pdx.edu/open_access_etds/1359.

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In recognition of the inherently inflationary nature of retrospective reimbursement, the Reagan Administration enacted legislation that substantially changed Medicare's hospital reimbursement system. The Prospective Payment System (PPS) mandated paying hospitals a fixed payment, set in advance, based on the patient's diagnosis rather than retrospectively paying for all services delivered to a patient. Critics contend that PPS introduces incentives for hospitals to conserve resources during the hospital stay and to shift care to less costly settings, both potentially affecting quality of care to the elderly. The question addressed by this dissertation is whether there were changes in the discharge health status and post-hospital placement of Medicare beneficiaries as a result of the implementation of PPS. Using a quasi-experimental time-series PRE/POST design, data was collected from the medical records of 2,619 Medicare beneficiaries (1,258 in the PRE-PPS period; 1,361 in the POST-PPS period) hospitalized between 1981 and 1986. Two large (300+ beds) and two medium-sized (100-300 beds) hospitals, representative of hospitals in the Portland metropolitan area, served as data collection sites. Medical records were selected from five Diagnosis Related Groups (DRGs): three medical DRGs (stroke, heart failure, and pneumonia) and two surgical DRGs (hip replacement and major joint pinning). Analysis of the data show that overall length of stay declined from 11.3 days in the PRE-PPS period to 8.6 days in the POST-PPS period, a reduction of 2.7 days and significant at the p = $<$.001 level and a significant increase in Dependency between the PRE and POST periods for four of the five DRGs studies (Stroke, Pneumonia, Heart Failure, and Hip Replacement). Finally, an analysis of differences in post-hospital placements shows a significant increase in POST-PPS placements to home alone (p = $<$.05), home health (p =.01), and for hospital transfers (p = $<$.001). Though limited in its generalizability, the data presented in this dissertation support the contention that Medicare patients are leaving the hospital sooner, in more dependent states of health than before PPS, and that greater numbers of potentially high care patients are being discharged to home and to home health.
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5

Potyondy, Patrick Ryan. "Making, Preserving, and Redeveloping Public Housing in the United States". The Ohio State University, 2016. http://rave.ohiolink.edu/etdc/view?acc_num=osu1461324499.

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6

TUMBDE, DEEPALI. "CONCEPTUAL MODEL FOR ECONOMICALLY VIABLE URBAN RIVERFRONT REVITALIZATION IN UNITED STATES". University of Cincinnati / OhioLINK, 2005. http://rave.ohiolink.edu/etdc/view?acc_num=ucin1123542011.

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7

Sultana, Moshahida. "Do migrants transfer tacit knowledge? : the case of highly skilled Bangladeshi immigrants in the United States". Thesis, Massachusetts Institute of Technology, 2005. http://hdl.handle.net/1721.1/33040.

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Abstract (sommario):
Thesis (M.C.P.)--Massachusetts Institute of Technology, Dept. of Urban Studies and Planning, 2005.
Includes bibliographical references (leaves 75-81).
Transfer of knowledge is a complex process. While codified knowledge is easy to transfer, tacit knowledge is not. "Tacit knowledge is difficult to exchange over long distance because it is heavily imbued with meaning arising from the social and institutional context in which it is produced, and this context specific nature makes it spatially sticky" (Gertler 2003). This thesis argues that there is certain tacit knowledge that migrants often transmit over long distances after customizing the knowledge to apply in different institutional settings. This thesis takes the example of Bangladesh, a country having an unfavorable socio- economic and institutional setting for receiving new technology, and explains how, despite the unfavorable conditions, some expatriates do transfer their knowledge to Bangladesh. Based on in-depth interviews with those expatriates creating the most impact in the economy of Bangladesh, the thesis shows that highly skilled Bangladeshi immigrants in the United States transfer tacit knowledge through building partnerships with individuals and organizations in Bangladesh. The thesis also finds that these partnerships are mostly based on trust, often coming from basic commonalities: same language, common "codes" of communication, shared norms, and personal knowledge about each other.
by Moshahida Sultana.
M.C.P.
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8

Gandham, Tanvi. "The Need for Enhanced Physical Infrastructure in the United States". Scholarship @ Claremont, 2018. http://scholarship.claremont.edu/cmc_theses/1761.

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9

Bayerl, Elizabeth. "USAID projects in the former Soviet Union: policy case studies". Thesis, Boston University, 2002. https://hdl.handle.net/2144/32740.

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Thesis (Ed.D.)--Boston University
The dissolution of the Soviet Union and the end of the Cold War are widely recognized as watershed events in the history of world affairs. Decision-makers and scholars in many fields are only beginning to understand the profound shifts and realignments in global political and economic relationships in a post-Cold War world. An important link between the United States and the former Soviet republics is the foreign assistance program in the region, since assistance efforts often serve as an important lens through which to view strategic relationships between nations. This evaluative policy research explores that link through qualitative case studies of three US Agency for International Development (USAID) projects in the region. Each qualitative case study represents a distinct approach to foreign assistance delivery in the region: classical technical assistance (represented by ZdravReform in contracts with Abt Associates), formal site partnership (in cooperative agreements with the American International Health Alliance), and experimental technology (a cooperative agreement with the former Selentec, Inc.). Three policy context chapters (Chapters I, II, and III) introduce the case studies, in which historical trends of the assistance effort and of the domestic foreign policy-making framework in Washington, DC, are highlighted. A final chapter (VII) examines the findings from the study and recommends a refocusing of the foreign assistance effort in the NIS toward more long-term developmental strategies. Theoretical and methodological assumptions in the study are informed by the constructionist approach to policy evaluation described by Guba and Lincoln (1989). This broad approach assumes that different constructions or interpretations exist concerning the nature and goals of projects. Unlike typical project evaluations, this approach does not assume that stakeholders in projects share common perceptions of the expected goals for and outcomes of their projects. Constructionist approaches to qualitative study fall within the interpretative stream of social science explored by theorists and researchers from a number of disciplines (Geertz, 1973; Denzin, 1992; Hammersley, 1989; Bruner, 1990). More specific conceptual assumptions also are explored in Chapter I, drawn from the literature on institutional research . Emphasis is placed in the evaluative analysis on how effectively conflicts that arose among the multiple stakeholders in each project were addressed.
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10

Bird, Annie. "US foreign policy on transitional justice : case studies on Cambodia, Liberia and Colombia". Thesis, London School of Economics and Political Science (University of London), 2012. http://etheses.lse.ac.uk/473/.

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The US has been involved in the majority of transitional justice measures established since the 1990s. This study explores this phenomenon by examining the forces that shape US foreign policy on transitional justice. It first investigates US influence on the evolution of the field, and then traces US involvement in three illustrative cases in order to establish what US involvement entails, why the US gets involved and how the US has impacted individual measures and the field as a whole. The cases include: the Khmer Rouge Tribunal in Cambodia; the trial of Liberian President Charles Taylor and the Liberian Truth and Reconciliation Commission; and the Justice and Peace Process in Colombia. These cases represent different transitional justice measures, transition types and geographic regions – all key dimensions in the field. These measures were also all established in the 2000s, a period which reflects a different historical moment in the field’s evolution. The cases shed light on the actors who play a key role in the field – from presidential administrations to Congress to the State Department and others. The study is based on nearly 200 interviews and archival research undertaken in the US, The Hague, Cambodia, Liberia and Colombia, providing a strong basis on which to draw conclusions about US foreign policy on transitional justice.
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11

Jarvis, David Seiler. "Accountability Models in Policy Design: Understanding the Explanatory Power of the Four Major Accountability Models in Policy Tool Choices". PDXScholar, 2014. https://pdxscholar.library.pdx.edu/open_access_etds/1798.

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In the study of government accountability, there have long been arguments about which model is superior. These arguments, which are largely made by those in the performance and political accountability camps, state that their particular model is the best, and indeed only legitimate approach to ensuring accountable government. At the same time, there is growing research in policy tools but little in how accountability models and policy tools are linked in policy design. This study makes use of the context provided by the critical cases of the Troubled Asset Relief Program (TARP) and the American Recovery and Reinvestment Act (ARRA). With such large sums of money in play at a time of serious economic downturn and mounting federal deficits, government clearly has a responsibility to ensure accountability so that the public can be assured not only that its funds are being spent properly but also more generally, that accountability as well as policy tool choice is in the minds of officials as they formulate, adopt and implement public policy. The intent of this study is to present an argument in two main areas using the critical case studies of TARP and ARRA. First, that no one accountability model fully explains most policy tool choices in TARP or ARRA and that the use of multiple models is superior. Second, that we can link policy tool choices and accountability models in policy design. The standards used to establish what models explain what tool choices are in the models themselves. Each policy is explored individually in a chapter, and the lessons and results of this study are then presented in the final chapter. The data presented in this study indicate that a single-model approach may explain a few, but not most and certainly not all, policy tool choices in TARP and ARRA. Indeed, a multiple model approach proves superior to a single-model approach in all but a few instances. As for the connections between policy tools and accountability models, the data presented in this study show that they were strongly impacted by the policy formulation process itself, specifically the way in which the policy problem was framed and the speed with which it was undertaken.
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12

Earley, Penelope M. "Federal attention to teacher certification and licensure : two policy case studies /". Diss., This resource online, 1994. http://scholar.lib.vt.edu/theses/available/etd-10022007-145344/.

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13

Kessler, Matthew L. "How Transportation Network Companies Could Replace Public Transportation in the United States". Scholar Commons, 2017. http://scholarcommons.usf.edu/etd/7045.

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The quantity of cell phone applications or mobile apps have seen an upsurge at an exponential rate in under a decade. Many have been created for a variety of industries, including transportation. The advent and subsequent commercialized implementation of near-instant transport by a middleman-type of app is now known as a Transportation Network Company or TNC. Examples of the more renowned TNCs are Uber, Lyft and Sidecar. In recent years, TNCs have cultivated a tremendous following, to the degree of taxicab desertion. Moreover, the massive success of TNCs led to expansion of its capacities into public transportation. The TNC’s expeditious popularity has garnered the attention of government and transit agencies. Without fail, TNCs can complement, supplement or compete with transit. However, sparsely has there been any deep discussion about a TNC potentially supplanting transit. The aim of this paper is to show how TNCs could replace public transportation in the United States if subsidized at the same level of transit agencies. Austin, Texas was analyzed as the case study city. A comparison of subsidization between Austin’s transit agency: Cap Metro, the local TNCs, and on a national aggregate level was conducted. The evidence herein clearly shows that TNCs are highly competitive when in revenue service operating at full capacity, potentially replacing public transportation.
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14

Tortola, Pier Domenico. "Federalism, the state and the city : explaining urban policy institutions in the United States and in the European Union". Thesis, University of Oxford, 2012. http://ora.ox.ac.uk/objects/uuid:c7fc59b8-474d-45db-b5ae-e1c95f2e44fc.

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This thesis contributes to the growing EU-US literature by comparing and explaining the evolution of urban policy in these two federal systems. The thesis begins with a puzzle: after introducing two similar and equally short-lived regeneration schemes—Model Cities (MC) (1967) and URBAN (1994)—the US and the EU followed different paths: the former replaced MC with the durable Community Development Block Grant (CDBG) in 1974, while the latter ended urban policy by ‘mainstreaming’ URBAN in its regional policy in 2006. To solve the puzzle I formulate a two-part argument: first, I explain the similarities between MC and URBAN as resulting from three factors: a favourable political context, holistic urban policy ideas, and centre-periphery mistrust. I then explain subsequent trajectories by looking at the interplay of policy and politico-constitutional institutions. While both MC and URBAN were unable to ‘stick’ because of their inherent weaknesses, the result of their demise depended on the existence of a federal ‘city welfare’ state. In the US, the Housing and Urban Development Department (HUD) embodied this state, and channelled Nixon’s attacks on MC into the creation of the structurally stronger CDBG. In the EU, conversely, DG Regio could not provide a comparable anchor for urban policy: when URBAN was attacked by regions and cities, the DG just reverted to its ‘business as usual’ by mainstreaming the programme. I test my argument with a macro-historical comparison of the two cases and four in-depth city studies—Arlington, VA and Baltimore, MD on the US side, and Bristol, UK and Pescara, Italy on the EU side—aimed at analysing micro-level institutional dynamics. In both parts of the study I use a wide range of sources: secondary and grey literature, statistical sources and, especially, archival material and elite interviews. At both levels of analysis the test confirms my argument.
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15

Look, Wesley Allen. "The economics of US greenhouse gas emissions reduction policy : assessing distributional effects across households and the 50 United States using a recursive dynamic computable general equilibrium (CGE) model". Thesis, Massachusetts Institute of Technology, 2013. http://hdl.handle.net/1721.1/79205.

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Abstract (sommario):
Thesis (S.M.)--Massachusetts Institute of Technology, Dept. of Urban Studies and Planning, 2013.
Cataloged from PDF version of thesis.
Includes bibliographical references (p. 60-62).
The political economy of US climate policy has revolved around state- and district- level distributional economics, and to a lesser extent household-level distribution questions. Many politicians and analysts have suggested that state- and district-level climate policy costs (and their distribution) are a function of local carbon intensity and commensurate electricity price sensitivity. However, other studies have suggested that what is most important in determining costs is the means by which revenues from a price on carbon are allocated. This is one of the first studies to analyze these questions simultaneously across all 50 United States, household income classes and a timeframe that reflects most recent policy proposals (2015 - 2050). I use a recursive dynamic computable general equilibrium (CGE) model to estimate the economic effects of a US "cap-and-dividend" policy, by simulating the implementation of the Carbon Limits and Energy for America's Renewal (CLEAR) Act, a bill proposed by Senators Cantwell (D-WA) and Collins (R-ME) in 2009. I find that while carbon intensity and electricity prices are indeed important in determining compliance costs in some states, they are only part of the story. My results suggest that revenue allocation mechanisms and new investment trends related to the switch to low-carbon infrastructure are more influential than incumbent carbon intensity or electricity price impacts in determining the distribution of state-level policy costs. These findings suggest that the current debate in the United States legislature over climate policy, and the constellation of both supporters and dissenters, is based upon an incomplete set of assumptions that must be revisited. Finally, please note that this study does not claim to comprehensively model the CLEAR Act,. nor does it incorporate a number of important data and assumptions, including: the latest data on natural gas resources and prices, the price effects on coal of EPA greenhouse gas and mercury regulations, the most recent trends in renewable energy pricing.
by Wesley Allen Look.
S.M.
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16

Toussaint, Nicole G. "The Metropolitan Dimensions of United States Immigration Policy: A Theoretical and Comparative Analysis". PDXScholar, 2013. https://pdxscholar.library.pdx.edu/open_access_etds/1065.

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Municipal unauthorized immigration policy, as an area of study, is underexplored. The literature is in the early stages of development, and little specific theory to guide research exists. To advance this emerging field, my study addresses two questions. First, what unauthorized immigration policies do local governments pursue, under what circumstances, and for what reasons? Second, what explains city-to-city variation in municipal responsiveness to the policy preferences and interests of residents without legal status? The dissertation also presents a typology of municipal responsiveness to unauthorized immigrants, based on my exploratory research. To explain intercity differences in the policy processes and choices of local government, I explore three possible explanations--Hero's (1998) social diversity thesis, urban regime theory, and political culture and policy entrepreneurship. My study engages these theoretical ideas with the findings of a comparative case study of three mid-size, reemerging gateway cities: Sacramento, California; Denver, Colorado; and Portland, Oregon. I explore whether associations between local factors and municipal unauthorized immigration policy emerge in the recent history of the three case cities. Analysis of data gleaned from document study suggests that political culture, as expressed through entrepreneurial political leaders, has been important in shaping regime development and subsequent policy action on unauthorized immigration, while differences in the ethnoracial structure of cities accounts for variation in policy approach.
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17

Shu, Gary. "Economics and policies for carbon capture and sequestration in the western United States : a marginal cost analysis of potential power plant deployment". Thesis, Massachusetts Institute of Technology, 2010. http://hdl.handle.net/1721.1/62874.

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Abstract (sommario):
Thesis (S.M. in Technology and Policy)--Massachusetts Institute of Technology, Engineering Systems Division; and, (M.C.P.)--Massachusetts Institute of Technology, Dept. of Urban Studies and Planning, 2010.
This electronic version was submitted by the student author. The certified thesis is available in the Institute Archives and Special Collections.
Cataloged from student submitted PDF version of thesis.
Includes bibliographical references (p. 91-94).
Carbon capture and sequestration (CCS) is a technology that can significantly reduce power sector greenhouse gas (GHG) emissions from coal-fired power plants. CCS technology is currently in development and requires higher construction and operating costs than is currently competitive in the private market. A question that policymakers and investors have is whether a CCS plant will operate economically and be able to sell their power output once built. One way of measuring this utilization rate is to calculate capacity factors of possible CCS power plants. To investigate the economics of CCS generation, a marginal cost dispatch model was developed to simulate the power grid in the Western Interconnection. Hypothetical generic advanced coal power plants with CCS were inserted into the power grid and annual capacity factor values were calculated for a variety of scenarios, including a carbon emission pricing policy. I demonstrate that CCS power plants, despite higher marginal costs due to the operating costs of the additional capture equipment, are competitive on a marginal cost basis with other generation on the power grid at modest carbon emissions prices. CCS power plants were able to achieve baseload level capacity factors with $10 to $30 per ton-CO2 prices. However, for investment in CCS power plants to be economically competitive requires that the higher capital costs be recovered over the plant lifetime, which only occurs at much higher carbon prices. To cover the capital costs of first-of-the-kind CCS power plants in the Western Interconnection, carbon emissions prices have been calculated to be much higher, in the range of $130 to $145 per ton-CO2 for most sites in the initial scenario. Two sites require carbon prices of $65 per ton-CO2 or less to cover capital costs. Capacity factors and the impact of carbon prices vary considerably by plant location because of differences in spare transmission capacity and local generation mix.
by Gary Shu.
M.C.P.
S.M.in Technology and Policy
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18

Ulbrich, Bryan Armand 1969. "The implementation of environmental policy on Indian lands: A case study on the Pueblo of Isleta". Thesis, The University of Arizona, 1993. http://hdl.handle.net/10150/291868.

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This paper examines the implementation of environmental policy on Indian land, by conducting a case study of the Pueblo of Isleta. In 1992 the EPA acknowledged the jurisdictional authority of the Pueblo to establish water quality standards for the Rio Grande. The Pueblo has since attempted to implement these standards despite opposition from the city of Albuquerque. The premise of this paper is that tribes, in general, have assumed a greater role in regulating their environments although financial, technical, and statutory impediments continue to thwart complete tribal control. By examining the historical process of inclusion of tribes into the regulatory arena and applying this to the Pueblo of Isleta, this paper presents a concise analysis of one tribes response to the intricacies of environmental regulation.
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19

Nel, Coligny. "United States policy and nuclear non-proliferation: a preliminary comparison of the Bush and Obama administrations' approaches". Thesis, Stellenbosch : University of Stellenbosch, 2010. http://hdl.handle.net/10019.1/4129.

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Thesis (MA (Political Science))--University of Stellenbosch, 2010.
ENGLISH ABSTRACT: The United States of America (USA) has a new president in the White House - a president whose rhetoric appears to distance himself from the policies of the previous administration. This also appears to hold true for his approach with regard to nuclear nonproliferation. The overarching research aim of this study is to explore whether the Obama administration’s policy with regard to nuclear non-proliferation will differ significantly from that of the Bush administration. The broader subject of nuclear non-proliferation will be subdivided into three themes, namely: disarmament, proliferation by non-nuclear states and nuclear terrorism. In order to sketch the international context within which the USA’s policy must be viewed, an overview of the nuclear non-proliferation regime is provided. This will be followed by an exploration of disarmament, proliferation by nonnuclear states (with Iran and North Korea as case studies) and nuclear terrorism. In each case, a comparison between the Bush administration and the Obama administration’s policies will be done. Finally, an analysis will be done of the main similarities and differences between the two administrations’ approaches, with a focus on the use of hard, soft and smart power. The study concludes that the primary difference between the Bush and Obama administration’s approaches is that Bush pursued only one policy option (hard power) at a time, while Obama intends to use many different policy options (smart power) at the same time, with a focus on increasing the use of soft power. This sort of pragmatism may just be what the USA needs right now in order to address the problem of nuclear proliferation.
AFRIKAANSE OPSOMMING: Die Verenigte State van Amerika (VSA) het ‘n nuwe president in die Withuis – ‘n president wie se uitsprake hom van die beleide van die vorige administrasie blyk te distansieer. Dit wil ook voorkom asof dit van toepassing is op sy benadering tot kernwapen versperring. Die oorhoofse navorsingsdoelwit van hierdie studie is om te ondersoek of die Obama administrasie se beleid ten opsigte van kernwapen versperring aansienlik van die van die Bush administrasie gaan verskil. Die breër onderwerp van kernwapen versperring kan in drie temas opgedeel word, naamlik: ontwapening, proliferasie deur nie-kernwapenstate, en kernwapen terrorisme. Ten einde die internasionale konteks te skets waarin die VSA se beleid moet geskied, begin die studie met ‘n oorsig van die kernwapen versperring regime. Dit word gevolg deur ‘n ondersoek van onderskeidelik ontwapening, proliferasie deur nie-kernwapenstate (met Iran en Noord-Korea as gevallestudies) en kernwapen terrorisme. By elkeen van die drie temas word ‘n vergelyking tussen die Bush administrasie en die Obama adminstrasie se beleide getref. Laastens word ‘n analise van die hoof verskille en ooreenkomste tussen die twee administrasies se benaderings onderneem, met die klem op die gebruik van harde, sagte en slim mag. Die bevinding van die studie is dat die hoof verskille tussen die Bush en Obama administrasies se benaderings behels dat Bush slegs een beleidsopsie (harde mag) op ‘n slag nagevolg het, terwyl Obama beoog om terselfdertyd van verskillende beleidsopsies (slim mag) gebruik te maak, met veral ‘n fokus op ‘n toename in die gebruik van sagte mag. Die soort pragmatisme mag dalk net wees wat die VSA tans nodig het om die probleem van kernwapen proliferasie aan te spreek.
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20

Griffith, Kyle C. "The Unmaking of an Embargo: How Policy Entrepreneurs at the Individual, State, and National Levels are Creating New Paths for Policy Change in Modern United States-Cuba Relations". ScholarWorks@UNO, 2016. http://scholarworks.uno.edu/td/2148.

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Abstract (sommario):
Throughout the Cold War antagonisms of the twentieth century, the United States (US) championed greater global economic cooperation and an embrace of free market principles to encourage economic growth. Post World War II, passage of the Bretton Woods Agreement institutionalized this political agenda effectively establishing the rules of global commerce. The result has been increased economic participation and trade liberalization. One of the last remaining vestiges of Cold War hostility and impediments to trade is the US economic embargo of Cuba, in place since 1960. Increasingly seen as a policy failure, the US has taken steps in the past two years to normalize relations with Cuba. At the same time, after extended conflicts in Afghanistan and Iraq, economic recession, and political polarization over the last fifteen years the US finds itself in a position of ambiguity towards additional foreign commitments. American efforts to open Cuba to two-way commerce serve both national security and economic foreign policy agendas. For Cubans, removal of the embargo represents an opportunity for normal relations with the world’s largest economy and access to capital and markets that come with it. The purpose of this study is to test the theory political economy, which attempts to understand society through the intersection of economic, political, and social functions, using US-Cuba diplomacy as a case study (Yin, 2009). Working within a multiple streams framework, the investigator examined how economic policy is changed under politically ambiguous conditions through a series of 20 semi-structured qualitative interviews and content analysis of secondary data sources (Zahariadis, 2014). Specifically, the study explored the behavior of interested individuals from the US and Cuba, so-called policy entrepreneurs, and their influence on the policymaking process during an open policy window. Research results suggest that policy entrepreneurs operate at the individual, state, and national scales of society using a variety of symbols to create and broaden opportunities for policy change. Across all three levels, US and Cuban policy entrepreneur’s behavior is guided by the search for rationality in ambiguous times, but their agency is bounded by the institutionally determined parameters of what is legally and politically acceptable.
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21

li, xuefei. "POSITIONING THE CULTURAL CREATIVE ECONOMY IN INTRA-URBAN VITALITY AND INTER-URBAN COMPETITIVENESS: A COMPARATIVE CASE STUDY OF THE DYNAMIC CULTURAL POLICY DESIGN IN BOSTON AND QINGDAO". The Ohio State University, 2019. http://rave.ohiolink.edu/etdc/view?acc_num=osu157251554573988.

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22

Howard, Amy L. ""More than shelter": Community, identity, and spatial politics in San Francisco public housing, 1938--2000". W&M ScholarWorks, 2005. https://scholarworks.wm.edu/etd/1539623466.

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Abstract (sommario):
During the second half of the twentieth century, scholars and journalists documented the failures of the public housing program in the United States with a range of studies focusing on the Midwest and East. Problems such as displacement, criminal activity, high vacancy rates, racial segregation, and the isolation of tenants informed critiques of federally-subsidized housing for low-income families. These aspects contributed to the national image of "the projects" as high-rise ghettos, populated primarily by African Americans, and located in run-down areas. Public housing with its position at the crossroads of national, state, and local politics and policies as well as tenants' varied experiences, however, defy simple categorization as an unmitigated failure.;This study expands the history of public housing to the West and in doing so complicates the image of where public housing is located, what it looks like, and who lives there. Examining public housing in San Francisco, a multi-racial, multi-ethnic, politically liberal city, reveals the important role regional, local and spatial politics play in project design, location, and population. The three projects examined here, Ping Yuen in Chinatown, North Beach Place in North Beach, and Valencia Gardens in the Mission District, are located in thriving urban areas near public transportation, shops, and hospitals. Nevertheless, tenants over the years experienced a range of difficulties including mismanagement and racial segregation by the San Francisco Housing Authority, rising crime rates, in-fighting, and at Valencia Gardens and North Beach, the scorn of district neighbors. Despite these challenges, many tenants came together to form communities. Coming across racial and ethnic lines, tenants relied on formal and informal networks to make their rental apartments into "homes." Demonstrating part of the hidden history of public housing, tenants at Ping Yuen, North Beach Place, and Valencia Gardens became politicized by living in the projects and challenged the state to improve their living environments. These case studies highlight public housing's contribution to the affordable housing stock and tenants' roles in making the projects livable spaces.
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23

English, Jesse M. "A rationale for revitalization planning in small rural towns: a case study". Thesis, Virginia Polytechnic Institute and State University, 1987. http://hdl.handle.net/10919/94506.

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Abstract (sommario):
Central Business Area Revitalization Planning theory and practice has evolved from a concern with physical revitalization to an emphasis on a comprehensive approach which includes areas such as housing and recreation, which had not in most past cases been viewed as relevant to the undertaking. The current thinking views all aspects of town planning as inter-related and approaches the task in a holistic manner. The methodologies utilized in Planning for Central Business Area Revitalization have evolved as well. Detached consultant planning, which included little or no public involvement and which produced inflexible plans which outlined the way to revitalization, has evolved to a flexible, dynamic approach, which involves those responsible for implementation at all stages of planning; thereby, reflecting their beliefs, attitudes and values and having high probability of implementation. Successful efforts to revitalize the central business areas of rural towns require an informed leader who will function as an educator, and a planning and design process which leads to implementation through its participant centered, incremental, multiple objective approach.
M.L. Arch.
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24

Base, Jessica. "Using International Trade as an Economic Development Tool: A Case Study Analysis and Applied Framework for Cleveland, Ohio". University of Cincinnati / OhioLINK, 2010. http://rave.ohiolink.edu/etdc/view?acc_num=ucin1277123604.

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25

Haines, Kelly. "The Social Bottom Line of Community Development Financial Institutions: What Facilitates or Inhibits the Uptake and Use of Meaningful Social and Community Impact Reporting?" PDXScholar, 2009. https://pdxscholar.library.pdx.edu/open_access_etds/3362.

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Abstract (sommario):
Businesses, governments and communities are increasingly interested in measuring the non-financial impacts of their activities and investments. This assessment often takes the form of measurement models that utilize a Triple Bottom Line (TBL) framework, namely looking at the areas ofthe environment, the economy, and the social simultaneously. Despite its many accounting flaws, more and more organizations adopt this philosophy by applying it literally in the form of impact reports. In this framework, the social dimension is the most challenging to measure. Because of its complexities, this aspect of TBL reporting has often been vague and lack rigor. The research question I am addressing is: what facilitates or inhibits the uptake and use of meaningful social bottom line reporting? From conducting case studies that include document analyses and in-depth open-ended interviews with key decision-makers of organizations in the Community Development Financial Institution industry (CDFI), I examined how and why these organizations effectively measure their social and community impact. Given that there are inherent flaws with the logic of the social dimension of Triple Bottom Line reporting but organizations nevertheless are using it, this study looked in-depth at Community Development Financial Institutions that utilize various measurement methods to assess their particular impact on the social dimension of communities. The struggles, experiences, processes and content of social bottom line reporting by CDFls revealed that their uptake and use is facilitated by being mission driven, having a compatible business model, and by demands from their stakeholders, funders, and regulation requirements. It is hindered by a lack of sufficient capacity, unclear social bottom line definitions, and a lack of embedded ness in their day to day operations.
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26

Waterman, Peter A. (Peter Alan). "Resource Evaluation and Presidential Decision-making: Predicting the Use of Force by U.S. Presidents, 1976 - 1988". Thesis, University of North Texas, 1997. https://digital.library.unt.edu/ark:/67531/metadc278299/.

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Abstract (sommario):
In order to explain presidential decisions to use force, a model is developed that incorporates three distinct decision-making environments. The results indicate the president is responsive not only to domestic and international environments, but also to the resource evaluation environment. The evidence here demonstrates that while these two environments are important the president can't use force arbitrarily; rather, his evaluation of resources available for the use of force can limit his ability to engage the military during crisis situations.
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27

Lane, Shelby. "Recognizing the Flaws of the Emotive Regime: The Benefits of Pragmatic Criminal Justice Policies in the United States". Scholarship @ Claremont, 2016. http://scholarship.claremont.edu/cmc_theses/1313.

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Abstract (sommario):
In recent years, criminal justice reform has become a hot-button issue in public policy realm. Public officials, academics, and activists alike have brought issues like police brutality, mandatory sentencing laws, and illicit drug policy to the forefront of the American political conversation. In an effort to contribute to this ongoing conversation, this thesis will explore three main topics within the criminal justice reform debate in the United States and provide potential solutions that policymakers can implement. The topics include illicit drug policy, mass-incarceration, and policing methods.
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28

Kwong, Caputo Jolina Jade. "Undergraduate Research and Metropolitan Commuter University Student Involvement: Exploring the Narratives of Five Female Undergraduate Students". PDXScholar, 2013. http://pdxscholar.library.pdx.edu/open_access_etds/1006.

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Abstract (sommario):
This study sought to explore the lived experiences of five female, first-generation, low-income students who attend a metropolitan commuter university, and investigate how a structured undergraduate research experience exerts influence on the women's academic and social involvement. A qualitative case study with a narrative and grounded theory analysis was selected as the most appropriate approach for exploring this topic and addressing the guiding research questions. Interview and journal data were collected and analyzed to identify significant themes. The importance of finding an academic home, the significance of interacting with faculty and peers, and the validation of a metropolitan commuter university education through a scholar development process emerged as significant findings. Implications and recommendations on programmatic and institutional levels are included, as well as suggestions for future research.
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Carpenter, Joshua David. "Democracy and the disengaged : a multi-dimensional study of voter mobilization in Alabama". Thesis, University of Oxford, 2016. https://ora.ox.ac.uk/objects/uuid:a2c1f070-db85-465c-b3e5-f55ddbe01438.

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Abstract (sommario):
This thesis investigates if and how poor, mostly minority citizens can be mobilized by a campaign whose principal policy objective would materially enhance their lives by including them in a major public program. The question is put to the test through a multi-dimensional study of voter mobilization in Alabama during the 2014 election for Governor. At stake in the election was whether Alabama would expand Medicaid through the Affordable Care Act in Alabama, an issue emblematic of "submergedness" (Mettler, 2011). In order to understand the extent to which the policy was submerged - measured by knowledge and awareness of the policy, along with its key provisions - I distributed a survey to 868 Alabamians weeks before the election. The survey used the experimental design of conjoint analysis to test which aspects of the policy were most persuasive among the target population. Additionally, I performed a randomized field experiment across the four major metropolitan areas of Alabama, micro-targeting 6,021 registered voters living in the "Coverage Gap," citizens who could gain health insurance if Medicaid were expanded. The campaign yielded negligible effects on voter turnout among subjects in the Coverage Gap, even though the interventions shifted voter knowledge, 'surfacing' the policy. In addition to the survey and field experiments, this research benefits from qualitative insights gathered in 22 semi-structured interviews conducted among poor Alabamians, many of whom were uninsured. From these interviews, it became clear that the political disengagement of the poor is deeply entrenched, prohibitive of policy-based mobilization. Disengagement is driven by a complex mix of barriers to registration and perceptions of political inefficacy based on interpretations of extant policy designs. These results have important implications for our understanding of the limitations of policy-based mobilization, suggesting that more attention must be paid to how current policies shape predispositions for mobilization.
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Mills, Lisa Nicole. "Science and social context, the regulation of recombinant bovine growth hormone (rbGH) in the United States and Canada, 1982-1998". Thesis, National Library of Canada = Bibliothèque nationale du Canada, 1999. http://www.collectionscanada.ca/obj/s4/f2/dsk1/tape10/PQDD_0007/NQ41244.pdf.

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31

Nalin, Emma R. "Building Relationships between a Free Clinic and Its Donors". Thesis, University of North Texas, 2018. https://digital.library.unt.edu/ark:/67531/metadc1404598/.

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Abstract (sommario):
This thesis presents qualitative research conducted in summer 2017 at the Finger Lakes Free Clinic, which provides free medical and holistic care to people without insurance in upstate New York. The primary goal of this research was to strengthen the relationship between a free clinic and its donors by gathering donor concerns and perceptions regarding federal healthcare policy. Data from 32 interviews with donors, staff, board members, and volunteers, along with 100 hours of participant observation revealed that donors to this clinic were concerned about the potential impact of Congressional healthcare reform yet did not consider federal policy a strong influence on their donations. Rather, donors cited dedication to local giving and personal connections with the clinic as their primary motivations. These motivations suggest the value of viewing the clinic-donor relationship as a relationship of reciprocity. From this framework, the research identifies opportunities for the clinic to reciprocate donor generosity while expanding services in response to a growing need. Insights from the research will guide the clinic's response to federal policy changes and support the clinic's vision of becoming a national model for integrative care.
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32

Lambeth, Tara. "Coastal Louisiana: Adaptive Capacity in the Face of Climate Change". ScholarWorks@UNO, 2016. http://scholarworks.uno.edu/td/2228.

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Abstract (sommario):
Extreme weather events can result in natural disasters, and climate change can cause these weather events to occur more often and with more intensity. Because of social and physical vulnerabilities, climate change and extreme weather often affect coastal communities. As climate change continues to be a factor for many coastal communities, and environmental hazards and vulnerability continue to increase, the need for adaptation may become a reality for many communities. However, very few studies have been done on the effect climate change and mitigation measures implemented in response to climate change have on a community’s adaptive capacity. This single instrumental case study will examine the effects of climate change and policy responses to climate change on the Pointe-au-Chien Indian Tribe located in Pointe aux Chenes, Louisiana, in order to discover how climate change affects the adaptive capacity of an indigenous population intricately tied to the surrounding ecosystem. This study will provide information on how the community plans to adapt to climate change, and the urban planning and hazard mitigation methods that can be used to facilitate the process. It also posits how government agencies can empower local communities to participate in mitigation planning, and provide local knowledge in order to make those plans more effective. As climate change continues to affect our coastal environments, it will continue to have an effect on our coastal communities. Understanding the strength and longevity of community adaptation in Pointe aux Chenes will help the community respond to the changes and increasing hazards in the environment. This understanding can be applied to all coastal communities facing similar challenges the world over.
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Montoya, Ján André. "An Analysis of the BizX Commercial Trade Exchange: the Attitudes and Motivations Behind Its Use". PDXScholar, 2018. https://pdxscholar.library.pdx.edu/open_access_etds/4488.

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Abstract (sommario):
The Global Financial Crisis underscored both the complexity and brittleness of the global financial system, especially for small to medium enterprises dependent on the current banking regime for credit. More than ever, we have also begun to see the disentanglement of small businesses from traditional banks at the local and regional level in the form of CDFIs, fintech alternative lending, and now complementary currencies. Through interviews with the management and members of the BizX complementary currency this study asks what the attitudes and motivations are behind its offering and use. In addition, it inquires into the economic and psychological benefits that arise from it. Often referred to as a barter network but more accurately described as a commercial trade exchange, BizX and its member's attitudes and motivations differ significantly from other complementary currencies in its apolitical stance to trade and large national and international membership. Its value proposition, the development of hyper-local economies, is real but its aspirational attempt at creating a robust community similar to its community currency siblings is questionable. Nonetheless, its value as an economic development tool is undeniable and the research concludes its implementation within a larger structure of economic development self-reliance strategies should be given serious consideration for future planning.
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Haukka, Sandra, e s. haukka@qut edu au. "Research training and national innovation systems in Australia, Finland and the United States: a policy and systems study supported by 30 case studies of research students in the fields of geospatial science, wireless communication, biosciences, and materials science and engineering". RMIT University. Education, 2006. http://adt.lib.rmit.edu.au/adt/public/adt-VIT20061109.120913.

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Abstract (sommario):
Reforms to the national research and research training system by the Commonwealth Government of Australia sought to effectively connect research conducted in universities to Australia's national innovation system. Research training has a key role in ensuring an adequate supply of highly skilled people for the national innovation system. During their studies, research students produce and disseminate a massive amount of new knowledge. Prior to this study, there was no research that examined the contribution of research training to Australia's national innovation system despite the existence of policy initiatives aiming to enhance this contribution. Given Australia's below average (but improving) innovation performance compared to other OECD countries, the inclusion of Finland and the United States provided further insights into the key research question. This study examined three obvious ways that research training contributes to the national innovation systems in the three countries: the international mobility and migration of research students and graduates, knowledge production and distribution by research students, and the impact of research training as advanced human capital formation on economic growth. Findings have informed the concept of a research training culture of innovation that aims to enhance the contribution of research training to Australia's national innovation system. Key features include internationally competitive research and research training environments; research training programs that equip students with economically-relevant knowledge and the capabilities required by employers operating in knowledge-based economies; attractive research careers in different sectors; a national commitment to R&D as indicated by high levels of gross and business R&D expenditure; high private and social rates of return from research training; and the horizontal coordination of key organisations that create policy for, and/or invest in research training.
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Larin, Lauren Marie. "Regulating Pavement Dwellers: the Politics of the Visibly Poor in Public Space". PDXScholar, 2017. https://pdxscholar.library.pdx.edu/open_access_etds/3471.

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Abstract (sommario):
Many researchers argue the increasing reliance on sit/lie ordinances to regulate homeless people's use of public space is one in a suite of neoliberal policies that shape the geographies of public space in cities to serve the needs of global capital. However, these policies are developed at the local, not global, level as specific actors make claims in the public sphere that communicatively shape policy formation. Through comparative case study, this research asks, how do different actors, situated in specific local and global contexts, influence the adoption of sit/lie ordinances? I examine two cases of policymaking in Portland and San Francisco. I use discourse analytic strategies and thematic coding of newspapers, archival documents, and key informant interviews to look at policy-making processes as they occur in their political, social, and economic contexts. I focus especially on the role of language in policy-making, policy-making arenas, and actions of grassroots actors, drawing from three interdisciplinary literatures to develop an explanatory theory of policy-making. I find the four interrelated explanatory factors in policy-making were: the actors (neoliberal and right-to-the-city); the tactics they use; the policy talk they use; and the policy arenas. First, political processes provide windows of opportunity and determine arenas for political activities. The different policy arenas (citizen election, committee, council led, litigation, etc.) influence the audience that the actors care about, and thus the policy talk. Additionally, elected officials have a determining effect on which arenas they use, which in turns structures the opportunities for policy talk. Second, the arena influences the depth to which resisters can discuss the issues with the wider public and decision-makers. This may explain why the right-to-the-city frame may not have been used as much as the academic literature might suggest. Resisters find it much harder to use this framing with the general public or elected officials because it takes too much time to explain to those unfamiliar. Instead, they rely more on concepts that may be more familiar like the dependent poor and unequal impact of the law on minority groups. Third, I find local actors have different positions in the global economy, however on the local level their different avenues and strategies of involvement are due to local conditions rather than global ones. The location in the global political economy seems to be less important than local political decision making contexts and the actions of individuals who are locally powerful due to their economic status and political connections. This suggests room for resisters to use local politics to resist these ordinances, without having to take on the entire global economy. Finally, actors use different narratives to influence decision makers and each other, responding and shifting to competing frames over time. The change over time is important, as it shows how policy debates change based on influences from different actors. My findings suggest the framing of the original necessity for the policy can influence the policy trajectory, but actors can and do respond and successfully shift policy talks over time. The dissertation concludes with additional implications for grassroots practice based on these theoretical findings.
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Todd, Maurice L. "Rhetoric or reality : US counterinsurgency policy reconsidered". Thesis, University of St Andrews, 2015. http://hdl.handle.net/10023/6431.

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Abstract (sommario):
This study explores the foundations of US counterinsurgency policy and doctrine in order to better understand the main historical influences on that policy and doctrine and how those influences have informed the current US approach to counterinsurgency. The results of this study indicate the US experience in counterinsurgency during the Greek Civil War and the Huk Rebellion in the Philippines had a significant influence on the development of US counterinsurgency policy and doctrine following World War II through the Kennedy presidency. In addition, despite a major diversion from the lessons of Greece and the Philippines during the Vietnam War, the lessons were re-institutionalized in US counterinsurgency policy and doctrine following the war and continue to have significant influence today, though in a highly sanitized and, therefore, misleading form. As a result, a major disconnect has developed between the “rhetoric and reality” of US counterinsurgency policy. This disconnect has resulted from the fact that many references that provide a more complete and accurate picture of the actual policies and actions taken to successfully defeat the insurgencies have remained out of the reach of non-government researchers and the general public. Accordingly, many subsequent studies of counterinsurgency overlook, or only provide a cursory treatment of, aspects that may have had a critical impact on the success of past US counterinsurgency operations. One such aspect is the role of US direct intervention in the internal affairs of a supported country. Another is the role of covert action operations in support of counterinsurgency operations. As a result, the counterinsurgency policies and doctrines that have been developed over the years are largely based on false assumptions, a flawed understanding of the facts, and a misunderstanding of the contexts concerning the cases because of misleading, or at least seriously incomplete, portrayals of the counterinsurgency operations.
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Maduka, Victor I. "Considerations for employment of Marine helicopters in future conflicts how much risk is acceptable? /". Quantico, VA : Marine Corps Command and Staff College, 2008. http://handle.dtic.mil/100.2/ADA490607.

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Brannon, Brittany Ann. "Faulty Measurements and Shaky Tools: An Exploration into Hazus and the Seismic Vulnerabilities of Portland, OR". PDXScholar, 2013. https://pdxscholar.library.pdx.edu/open_access_etds/1410.

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Abstract (sommario):
Events or forces of nature with catastrophic consequences, or "natural disasters," have increased in both frequency and force due to climate change and increased urbanization in climate-sensitive areas. To create capacity to face these dangers, an entity must first quantify the threat and translate scientific knowledge on nature into comprehensible estimates of cost and loss. These estimates equip those at risk with knowledge to enact policy, formulate mitigation plans, raise awareness, and promote preparedness in light of potential destruction. Hazards-United States, or Hazus, is one such tool created by the federal government to estimate loss from a variety of threats, including earthquakes, hurricanes, and floods. Private and governmental agencies use Hazus to provide information and support to enact mitigation measures, craft plans, and create insurance assessments; hence the results of Hazus can have lasting and irreversible effects once the hazard in question occurs. This thesis addresses this problem and sheds light on the obvious and deterministic failings of Hazus in the context of the probable earthquake in Portland, OR; stripping away the tool's black box and exposing the grim vulnerabilities it fails to account for. The purpose of this thesis is twofold. First, this thesis aims to examine the critical flaws within Hazus and the omitted vulnerabilities particular to the Portland region and likely relevant in other areas of study. Second and more nationally applicable, this thesis intends to examine the influence Hazus outputs can have in the framing of seismic risk by the non-expert public. Combining the problem of inadequate understanding of risk in Portland with the questionable faith in Hazus alludes to a larger, socio-technical situation in need of attention by the academic and hazard mitigation community. This thesis addresses those issues in scope and adds to the growing body of literature on defining risk, hazard mitigation, and the consequences of natural disasters to urban environments.
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Edmundson, Joshua R. "THE ONE EXHIBITION THE ROOTS OF THE LGBT EQUALITY MOVEMENT ONE MAGAZINE & THE FIRST GAY SUPREME COURT CASE IN U.S. HISTORY 1943-1958". CSUSB ScholarWorks, 2016. https://scholarworks.lib.csusb.edu/etd/399.

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Abstract (sommario):
The ONE Exhibition explores an era in American history marked by intense government sponsored anti-gay persecution and the genesis of the LGBT equality movement. The study begins during World War II, continues through the McCarthy era and the founding of the nation’s first gay magazine, and ends in 1958 with the first gay Supreme Court case in U.S. history. Central to the story is ONE The Homosexual Magazine, and its founders, as they embarked on a quest for LGBT equality by establishing the first ongoing nationwide forum for gay people in the U.S., and challenged the government’s right to engage in and encourage hateful and discriminatory practices against the LGBT community. Then, when the magazine was banned by the Post Office, the editors and staff took the federal government to court. As such, ONE, Incorporated v. Olesen became the first Supreme Court case in U.S. history that featured the taboo subject of homosexuality, and secured the 1st Amendment right to freedom of speech for the gay press. Thus, ONE magazine and its founders were an integral part of a small group of activists who established the foundations of the modern LGBT equality movement.
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Bennett, Barbara Jo McKinley. "The care ethic in an urban school". 2008. http://hdl.handle.net/2152/17757.

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Abstract (sommario):
The environment of urban schools can be characterized by high teacher turnover; high student drop out rates; low performance by students on standardized tests; and a shifting demographic in student population. New teachers graduating from teacher education pre-service programs will almost surely teach in urban schools with students from different socio-economic, racial, and ethnic backgrounds than themselves. Students in these urban school environments often do not feel a connection to their teachers or their schools. This study shares oral narratives from teachers, students, a principal, and staff members from a high school for recent immigrants in the South Central United States which defies these odds. The interviews focus on how care is experienced by the teachers and students and sheds light on how teachers and students define the practice of care. Further the study looks at how school leadership and policies can impede and enhance the practice of care in the school setting. Among the several major findings, it was found that teachers and students both have a need, even a longing, for connection. The results provide implications for classroom practice, professional development, school leadership & decision-making practices, school culture, technology use, and overall school performance.
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Uram, Derek Andrew. "Covert action : a useful tool for United States foreign policy?" 2005. http://hdl.handle.net/1828/781.

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42

Park, Jong Chan. "Industrial policies of Japan and the United States case studies of Toyo Kogyo (Mazda) and Chrysler /". 1991. http://catalog.hathitrust.org/api/volumes/oclc/33143410.html.

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43

DeMasi, Emily. "A Comparative Analysis of Corporate Social Responsibility in Commerical Banks: Case Studies from the United States and the United Kingdom". 2011. http://digital.library.duq.edu/u?/etd,154141.

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Abstract (sommario):
This study investigates the effectiveness of public sector roles in facilitating corporate social responsibility (CSR) in commercial banks in the United States and the United Kingdom and the role of national context in CSR activities of commercial banks. It examines CSR as measured by MSCI ESG (environmental, social and governance) Global Socrates ratings across five categories of ESG (environment, employee & supply chain, customers, corporate governance & ethics, and community & society) in six commercial banks. The study compared differences in ESG rankings to categorized CSR-related government bodies, legislation and policies according to four possible public sector roles as outlined by the World Bank: mandating, facilitating. endorsing or partnering for CSR. The principal conclusion is that national context seems to play a role in CSR activities of commercial banks and that certain CSR-related public policy tools appear to be more effective at supporting CSR than others.
McAnulty College and Graduate School of Liberal Arts
Graduate Center for Social and Public Policy
MA
Thesis
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44

Shai, Kgothatso. "The United States of America's foreign policy towards Africa: the case studies of Kenya and Nigeria, 1990-2008". Diss., 2010. http://hdl.handle.net/11602/1013.

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Lentz, Roberta G. ""Linguistic engineering" and the FCC computer inquiries, 1966-1989". 2008. http://hdl.handle.net/2152/18249.

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Abstract (sommario):
This study applies a critical discourse analysis framework to an examination of the constitutive effects of three regulatory proceedings, called “The Computer Inquiries,” on contemporary notions about communications infrastructure policy. The Computer Inquiries are a trio of interrelated U.S. Federal Communications Commission (FCC) dockets focused on problems posed by the convergence of regulated telephony with unregulated computing services. The Inquiry docket texts, which date from the mid-1960s to the late 1980s, are a basis for the liberalization of common carrier1 regulation and are the empirical evidence that the dissertation draws upon to trace the incremental evolution of terms used to define the boundaries between these converging services. Datasets include the 23 documents contained in three case studies: Computer Inquiry I (FCC Docket 16979), Computer Inquiry II (FCC Docket 20828), and Computer Inquiry III (FCC Docket 85-229). The first case study traces the incremental construction of a concept called “hybrid” services as the foundation for an FCC policy of “maximum industry separation” between common carriers and data processing companies. The second case study illustrates how the FCC subsequently re-engineered the hybrid concept into regulatory categories of “basic” and “enhanced” services. This definitional shift justified liberalizing the FCC’s maximum separation policy into a “modified” policy based upon a resale structure. The third case study demonstrates how the FCC further relaxed the resale policy by implementing accounting controls to distinguish between regulated common carriers providing the telecommunications infrastructure (conduit) used by unregulated information services (content) companies. Research reveals the malleable and somewhat arbitrary nature of regulatory distinctions between content and conduit as a basis for the FCC’s shifting jurisdictional authority over common carriers. During the course of the Inquiries, the FCC transitioned from a proactive to a reactive regulator with a discursive strategy involving what the dissertation calls “linguistic engineering.” Finally, the study notes the lack of attention to First Amendment and democracy concerns in all three Inquiry dockets. The dissertation concludes by calling for a Fourth Computer Inquiry to reconsider the legacy of the Computer Inquiries through which the principle of nondiscriminatory carriage of information by telecommunications providers has been eroded.
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46

Arafeh, Sousan. "Policy provisions for public access to television : democratic and educational implications in Canada and the United States". Thesis, 1992. http://hdl.handle.net/2429/1947.

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Abstract (sommario):
This thesis examines broadcast policies and policy documents in Canada and the United States to determine whether and to what degree they make provision for the public's access to television. Government policies and policy documents are examined at the federal and local level, and a case study of two cable systems, one in Vancouver, B.C. the other in Seattle, Washington, supplies empirical data to corroborate how policy provisions for public access to television are interpreted and implemented. A neo-Gramscian concept of ideological hegemony broadly frames this study of the impact of public policy, specifically broadcast policy, on social structure and behaviour. Because a very small portion of the general population have access to television production and programming, they dominate the television discourse. Research that documents television’s pervasive stereotypic and derogatory treatment of women and “racial"/ethnic "minorities" as well as its perceived effect of contributing to the social and economic subordination of these populations in North American society is used as a basis for this study. This thesis argues that broadening the body of people who have access to the television production and programming process might encourage more accurate, positive and/or relevant television images and relations with positive social consequences. On one level, this is a matter of having broadcast policies which ensure such broadened access. Canada and the United States each have policy provisions for the general public's access to television which are based on notions of civic democratic participation in society. Analysis and comparison of these policies results in the conclusion that although both countries provide access to the public through policy, many of these provisions limit access in four areas: access to production, access to distribution, access to input, and access to viewing. Because television access policies limit the public's access increasingly, the broadening of the access base is impeded along with the challenge to the current structure, message and function of television. On this account, traditional agendas and images continue to dominate the airwaves and their educational power. Further study should be undertaken on: 1) the effects of television, 2) the public's use of community television/public access television, 3) the effects of community channels on viewers and whether they are different than the effects of broadcast television and 4) the effects of broadcast policy on the structure and function of television.
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47

Cox, Ronald W. "Business and the state in United States foreign economic policy case studies of Central America from the 1950s to the present /". 1991. http://catalog.hathitrust.org/api/volumes/oclc/34782036.html.

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48

Kellerhals, Kelli A. "The inside story : an analysis of the policies and laws governing the designation and protection of historic interiors". 2012. http://liblink.bsu.edu/uhtbin/catkey/1670053.

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Abstract (sommario):
Historic interiors are an integral component to the historic fabric of our communities, yet the protection of interiors is fodder for debate among preservationists as to whether interiors are afforded equal protection as exteriors. This debate arises because interiors present unique challenges, namely, issues of public access, designation of publicly versus privately owned interiors,and infringement on Fifth Amendment rights. This thesis will examine federal, state, and local government policies, organizations, and laws, and discuss their impact on the protection of historic interiors. Five seminal court cases that examine legal precedents for designating interiors will also be addressed. Finally, case studies provide examples of how two communities have used local preservation laws to preserve and protect significant interiors in their cities. This thesis will show that historic interiors are subject to controls that ensure their preservation and designation.
Historic preservation in the United States -- Legal precedents -- Case analyses.
Department of Architecture
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49

Mathew, Brenda A. "The Link Between Smart Growth in Urban Development and Climate Change". Thesis, 2013. http://hdl.handle.net/1805/3206.

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50

Hoskins, Ty. "United States grand strategy and Taiwan : a case study comparison of major theories". Thesis, 2013. http://hdl.handle.net/1805/3792.

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Indiana University-Purdue University Indianapolis (IUPUI)
Many authors, critics, and policy makers question the presence of a unified grand strategy with which the United States has striven toward in recent years. This is a topic worthy of pursuit since such a strategy is responsible for identifying how this nation intends to accomplish its goals. This thesis defines what, if any, grand strategy the United States is currently pursuing. It observes several prominent theories of grand strategy, from both the realist and liberal perspectives. This analysis is set in context of historical grand strategy decisions since World War II and uses the framework of Taiwan as the case study. The thesis then compares the three theories, Selective Engagement, Offshore Balancing, and the Liberal Milieu and their recommendations to real-world activities of the United States with a focus primarily on military deployments and national objectives. The study reveals that of the three in question, the Liberal Milieu grand strategy is the only one that is supported by ongoing deployments in the East Asia region as well as by the national rhetoric which define our policy objectives.
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