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  • About
  • The Global ETD Search service is a free service for researchers to find electronic theses and dissertations. This service is provided by the Networked Digital Library of Theses and Dissertations.
    Our metadata is collected from universities around the world. If you manage a university/consortium/country archive and want to be added, details can be found on the NDLTD website.
191

A study on institutionalisation of contemporary art from Turkey

Ecevit, Emek Can January 2016 (has links)
This doctoral study is concerned with identifying the determinants of the institutionalisation of art (IoA) in general and institutionalisation of contemporary art (IoCA) in particular. It focuses on the influence of the state and the private sector on economics and politics of arts as artworld in Turkey. The proposed relational framework is based on the current controversial problematisation of social theory in terms of various understandings of modernity and post-modernity. Here, modern art is taken to be based on an orthodox (classical) modernity understanding. In contrast, contemporary art (CA) is regarded as either a rejection of modern art from a post-modernity perspective or an intensive criticism of it from inside modernity. Both positions direct their criticisms to the basic assumptions, methodological tools, epistemological sources and ontological basis of the classical understanding of modernity. Within this scope, this study formulates and operationalises the research problem in terms of relational sociology and uses grounded-theory to establish the significant interactive relations that define IoA. The unit of analysis is the interactive relations of individuals as artists. The boundaries of the study are primarily limited to national level. The research questions are, in general, framed with qualitative research techniques and specifically substantiated with data sources primarily obtained from a self-employed semi-structured survey method complemented by observations and an extensive review of the relevant literature as documentary-historical data. The analysis of the data and the interpretations of the findings are undertaken within the scope of relational sociology and using the tools of grounded-theory methodology. The empirical data collected from a sample of artists actively involved as producers of works of arts and/or academicians, advisors and art critics from Turkey. Within this conceptual framework, the roles of the state and the private sector are questioned in terms of the economics and politics of arts, including their cultural couplings. The domain of social relations remaining outside the private sector, specifically the art public and the groups, collectives and initiatives of arts are assessed as the civil domain of arts. Knowledge of the arts and its formal (institutional) and informal relations provide an essential source and play a central role in this study. Within this framework, the art market is considered as an emerging hegemonic construct in the economics and politics of arts. Furthermore, artists and artworks are considered as the primary constituting components of the interactive relations of IoA. The findings of this thesis have implications for increasing the knowledge about and practices of IoA and contribute to the development of a framework of research questions that explains the interactive relations of the IoA in Turkey and offers an insight into a growing body of literature on art and includes recommendations for the directions of future research. The proposed relational framework is based on the current controversial problematisation of social theory in terms of modernity and post-modernity understandings. Here, modern art is considered to be based on orthodox (classical) modernity understanding. In contrast, contemporary art (CA) is regarded as either a rejection of modern art from post-modernity perspective or an intensive criticism of it from inside modernity. Both positions direct their criticisms to the basic assumptions, methodological tools, epistemological sources and ontological basis of classical understanding of modernity. Within this scope, this study formulates and operationalises its research problem in terms of relational sociology and uses grounded-theory to establish the significant interactive relations defining IoA. The unit of analysis is the interactive relations of individuals as artists. The boundaries of the study primarily remained at national level. The research questions are framed in general with qualitative research techniques and substantiated specifically with data sources primarily obtained by self-employed semi-structured survey method in addition to observations and extensive review of the relevant literature as documentary-historical data. The analysis of the data and the interpretations of the findings made within the scope of relational sociology and with the tools of grounded-theory methodology. The empirical data collected from a sample of artists actively involved as producers of works of arts and/or academicians, advisors and critics of arts from Turkey. Within this conceptual framework, the role of the state and the private sector is questioned in terms of economics and politics of art, including their cultural couplings. The domain of social relations remaining outside of the private sector, specifically the art public and the groups, collectives and initiatives of arts are inquired as the civil domain of arts. Knowledge of arts and its formal (institutional) and informal relations provide an unavoidable source and play a central role in this study. Within this framework, art market is considered as an emerging hegemonic construct in the economics and politics of arts. Furthermore, artists and artworks were taken as primary constituting components of the interactive relations of IoA. The findings have implications for knowledge and practices of IoA and contribute in the developing a framework of research questions that explains the interactive relations of the IoA in Turkey and adds an insight to a growing body of literature on art including recommendation for future research directions.
192

Respostas estratégicas ao ambiente institucional e a performance exportadora: o caso dos empreendedores do setor vitivinícola da campanha gaúcha-RS. / Strategic responses to institutional environment and export performance: the case of entrepreneurs of the wine sector of the gaúcha campaign-RS

Borges, Diego Echevengua 20 February 2014 (has links)
Coordenação de Aperfeiçoamento de Pessoal de Nível Superior / Making use of the theoretical framework of institutional theory, in particular, the concepts responses strategies, Isomorphism and institutional entrepreneurship as well as using the three dimensions of experf scale to analyze the export performance of the three wineries objects of study, this study aim to check which strategic responses three exporting wineries of the region Gaucha Campaign-RS front the pressures of the institutional environment to increase their export performances. Characterized as a qualitative research, as a source of primary data semistructured interviews with three wine entrepreneurs Campaign Region were performed. The interviews were guided by a script (protocol) preset. For data analysis, the technique of content analysis proposed by Bardin (1977), in comparison with the theoretical frameworks worked in the study was used. It can be seen that the wineries in the study not only conform the pressures of the institutional environment, but also use strategies that are characterized by resistance and manipulation (Oliver, 1991). For example, according to the surveyed companies due to the high tax their economies of scale deteriorate in the domestic market itself. Considering this, the wineries Dunamis and Miolo in a isomorphic way make use of the strategy and tactics to resist attack, seeking along with associations representing the wine industry transform this disadvantage to gain more sales and, as a result, improve their processes and products. Given this same pressure, it was identified that the winery Cordillera de Santana saw the external market as a safety valve against high taxes. / Fazendo uso do aporte teórico da teoria institucional, em especial, os conceitos respostas estratégias, Isomorfismo e empreendedorismo institucional, assim como utilizando as três dimensões da escala experf para analisar a performance exportadora das três vinícolas objetos de estudo, o presente estudo tem como objetivo central verificar quais respostas estratégicas de vinícolas exportadoras da Região da Campanha Gaúcha-RS lançam frente as pressões do ambiente institucional visando aumentar suas performances exportadoras. Caracterizada como uma pesquisa de cunho qualitativo, como fonte de dados primários foram realizadas entrevistas semiestruturadas com os três empreendedores vitivinícolas da Região da Campanha. As entrevistas foram guiadas por um roteiro (protocolo) pré-estabelecido. Para a análise dos dados, foi utilizada a técnica de análise de conteúdo proposta por Bardin (1977), em confronto com os referenciais teóricos trabalhados no estudo. Pode-se constatar que as vinícolas em estudo não só se conformam as pressões do ambiente institucional, como também lançam mão de estratégias que se caracterizam pela resistência e manipulação (OLIVER, 1991). Por exemplo, frente aos altos impostos que segundo as empresas pesquisadas deterioram suas economias de escala no próprio mercado nacional, as vinícolas Dunamis e Miolo, de maneira isomórfica fazem uso da estratégia resistir e da tática atacar, buscando junto com as associações representativas do setor vitivinícola transformar essa situação desfavorável para obterem mais vendas e , em consequência disso, aprimorarem seus processos e produtos. Diante dessa mesma pressão, identificou-se que a vinícola Cordilheira de Santana vislumbrou o mercado externo como uma válvula de escape perante os altos impostos.
193

Playing for the same team? : the trio Presidency and agenda-management in European Union sport policy

de Wolff, Mads January 2016 (has links)
In 2007 the rotating Presidency of the Council of the European Union (EU) was reformed by the introduction of the so-called trio Presidency . The trio mechanism encourages policy continuity by grouping incumbent Presidencies in teams of three and inviting them to coordinate. This thesis seeks to contribute original knowledge on EU policy-making by mapping how trio practices are established, exploring which factors explain how Member States coordinate, and by assessing how the trio arrangement affects the EU agenda. Empirically, the trio function is examined through its implementation in the policy area of sport, focusing on the three trios to assume office after the coming into force of the Lisbon Treaty in 2009. The analysis is structured around a number of carefully selected dossiers adopted between 2010 and 2013. Guided by a conceptual framework based on agenda-setting and new institutionalism, these decisions are submitted to in depth process-tracing. The analysis draws on qualitative research, primarily official documents and 37 semi-structured interviews. The findings reveal that actors approach the trio with differing preferences and expectations, leading to much variation in how the arrangement is performed. The thesis identifies a number of factors that explain variation. Thus, a fixed agenda supports trios in coordinating priorities and activities ex ante. Moreover, coordination is conditioned by trio composition, as federal and new Member States are more inclined to cooperate. Further, trio practices are shaped by factors such as multiannual planning and focusing events, with the intenseness of trio coordination reflecting whether the agenda includes issues that demand sustained attention. The thesis concludes that the introduction of the trio mechanism has preserved the ability of Member States to use the Council Presidency to prioritise national priorities whilst also encouraging and facilitating EU policy continuity. By extending agenda-management beyond a six month spell, the trio can strengthen the agenda-setting powers of incumbent Member States, particularly on issues that concern establishing urgent responses or developing Council procedures. Moreover, evidence suggests that the arrangement can produce a specific spirit of collegiality, trio solidarity, which sees trio Member States support each other during negotiations, thus affecting EU policy-making beyond agenda-management.
194

The Influence of Stakeholders on the Sustainable Development of the Wind Power Industry in Canada: The Firm’s Perspective

Moularé, Éboua Yves Éric Didier January 2016 (has links)
We propose making an empirical application of the temporal view of stakeholder management theory by applying it in the particular context of the Canadian wind industry. The temporal view builds on insights from the resource-based view (RBV), institutional theory, and stakeholder salience theory. We argue that both early stage competitive advantage and late stage sustained competitive advantage could be dependent on the use of salient stakeholders as a special network of resources. We contribute to the literature in various ways. First we determine an empirical list of five salient stakeholders specific to the wind industry. Second, we show that, at early stages, the moderating effects of firm size and market conditions determines stakeholder support or rejection. Lastly, we show that, at late stages, the sustainability equation must take into account the introduction of new salient stakeholders. Also, we make practical recommendations for industry players and policy makers. We reached theory refinement by adopting an exploratory qualitative methodology based on interviews with seven cases of large and small wind firms operating in different electricity market types and provinces across Canada.
195

The Adoption of Online Education for the Delivery of Graduate Business Programs in Canadian AACSB Accredited Business Schools: Exploring the Influence of Enabling and Constraining Forces on Institutional Change

Pavic, Ivana January 2016 (has links)
The competitiveness of the graduate business education market; concerns over graduate program relevance; and decreased provincial funding are placing destabilizing pressures on the current graduate business program offerings in business schools promoting the possibility of institutional change. Despite most academic institutions embracing online education as an option to respond, Canadian AACSB accredited business schools have not moved in this direction. The purpose of this research study was to explore the reasons for the limited adoption of online education in Canadian AACSB accredited business schools. The theoretical lens framing this research study was Institutional theory. A qualitative multiple case study research design was carried out with four Canadian AACSB accredited business schools participating. The main data collection method was semi-structured interviews with senior administration and faculty. This study revealed that the constraining forces were stronger than the enabling forces towards adoption, ultimately leading to limited adoption. The enabling forces identified were: market expansion opportunities; cost and infrastructure savings; and student demand for more online education. The constraining forces identified were: the lack of face-to-face interaction; and development and delivery cost. An examination of stakeholder influence found faculty resistance, to hold the strongest influence on organizational decision making in these business schools. Faculty resistance was concentrated mainly towards fully online graduate programs with greater acceptance for the hybrid format. The Institutional theory lens helped to understand that institutional change in academic institutions is difficult, due to the isomorphic forces acting as constraining forces to institutional change. This rendered the finding that the lack of legitimacy of this delivery medium was the main reason for the limited adoption of online education. A number of significant contributions to research in the areas of online education and institutional change in academic institutions; practical implications; and suggestions for future research in this area were also provided.
196

Theorizing Ambush Marketing in the Olympic Games

Ellis, Dana L. January 2013 (has links)
This research comprises three interconnected studies that, when considered together, attend to the dissertation’s purpose of presenting an integrated conceptual framework for ambush marketing in the Olympic Games. This has been accomplished in two ways: (1) the use of institutional theory, supported by network theory, as a lens to view and understand evolutionary processes in Olympic sponsorship and ambush marketing and (2) the use of grounded theory to build a conceptual framework of ambush marketing from the findings. Broadly, the model suggests the evolution of ambush marketing is partially impacted by, and an outcome of, institutional forces and considerations. Study I examines the process of institutionalization in the evolution of Olympic sponsorship during its most critical period of growth. It is argued that three key periods of change for sponsorship and two for ambush marketing exist during this time. Furthermore, these periods of change, most specifically concerning anti-ambush marketing practices, suggest the institutionalization of anti-ambush marketing legislation in the Olympic Games. Study II examines how Olympic ambush marketing stakeholder power and transfer of sponsorship and ambush marketing knowledge has influenced institutional processes toward the state of anti-ambush legislation as institutionalized brand protection. Centrality measures suggest the International Olympic Committee and Organizing Committees for the Olympic Games demonstrate the greatest stakeholder influence within the Olympic ambush marketing network. It is further argued the influence resulting from the structure of Olympic ambush marketing networks impacts the institutional processes of objectification and sedimentation. Study III examines the contemporary state of Olympic sponsorship evidenced by institutionalized legislated brand protection. While direct marketing implications of anti-ambush marketing legislation are minimal, it is argued the practice represents a portion of a regime of brand protection and that public relations outcomes of legislated brand protection must be carefully managed as part of a brand management strategy. Similarly, proportionality and managing expectations are arguably important in the understanding and application of such laws. Finally it is suggested that while the Olympic Movement may be viewed as an early adopter of anti-ambush legislation in the mega-event field, the individual character of each Olympic Games will interfere with complete isomorphism.
197

Institutional influences on the adoption and non-adoption of information systems innovations : case evidence from the Taxco Silver Handicraft Sector

Dobson, John Alver January 2014 (has links)
This thesis answers the research question: What role do institutions play in the adoption and non-adoption of Information Systems (IS) innovations? In exploring this question, institutional theory is used to develop an interpretation of behaviour by Micro and Small Enterprises (MSE) related to the adoption and non-adoption of IS innovation within the Taxco Silver Handicraft Sector. The research categorised the emergent data into established Mexican institutions, which allowed for the analysis of institutionalised responses to the introduction of new social structures. There is a need to understand behaviour related to adopting IS innovations through the beliefs of local agents. Interpretivist literature was used to explore how the adoption of IS innovations is influenced by the local context. This research developed a theoretical framework that combines Scott’s (2008) three-pillars of institutions (regulative, normative and cultural-cognitive); with the Seo and Creed (2002) framework for exploring the institutionalisation of IS innovations. This theoretical framework allowed for the exploration of the contestation between institutional entrepreneurs (agents advocating the adoption of new social structures) and those resilient to institutional change. This research makes a number of key contributions to the field of study. The development of a new theoretical framework is designed to assist future researchers in exploring the institutionalisation process. The methodological contribution emerges from the demonstrating the value of ethnographic case studies within handicraft sectors in developing economies. The practical contribution of this research lies in increasing our understanding of how and why new social structures are developed.
198

The Influence of the Sarbanes-Oxley Act on Audit Quality: Evidence from Nonprofit Hospitals Subject to the Single Audit Act

McGowan, Michele M. 29 April 2014 (has links)
This study uses an institutional theory perspective to examine whether significant changes to the audit work and engagement practices required under the Sarbanes-Oxley Act (SOX) lead to improved audit quality in nonprofit hospitals. Unlike their for-profit counterparts, nonprofit organizations have been subject to audits of internal controls over financial reporting and program compliance for decades under Circular A-133 of the Single Audit Act of 1984, as amended. Circular A-133 audits represent the primary accountability tool over the billions of grant dollars awarded annually by the federal government. Despite the enormity of these awards and the substantial informational effect of the audit reports, prior empirical research suggests that the quality of these audits is problematic. Using the archival data of nonprofit hospital Circular A-133 audits and related hand-collected financial data from IRS Form 990s, bivariate and multivariate analyses are conducted on a cross-sectional sample of 875 audits for 141 nonprofit hospitals with audits during both pre-SOX (2001-2004) and post-SOX (2008-2011) periods. Audit quality is inferred from discretionary accruals (Modified Jones model) and auditor-reported internal control deficiencies (reportable conditions and material weaknesses). The results indicate support for improved audit quality from the pre- to the post-SOX period for all measures of audit quality. The results are different for the measures of audit quality used to examine the association between audit firm size and audit quality. Non-Big 4 audit firms experienced a significant improvement in audit quality when discretionary accruals are used as a proxy for audit quality. Conversely, Big 4 audit firms experienced a significant improvement in audit quality when internal control deficiencies are proxies for audit quality. In the post-SOX period audit firms provide approximately the same level of audit quality regardless of firm size when discretionary accruals or material weaknesses are the proxy for audit quality. When reportable conditions are the proxy, non-Big 4 firms have higher audit quality than Big 4 firms post-SOX. Client characteristics, specifically hospital size and the interaction of leverage and risk, are attributable to differences in post-SOX audit quality. Finally, the study fails to support the hypothesis that large audit firms self-select low risk clients.
199

An exploratory study of regional growth strategies of local Ghananian companies

Jonah, Richard Kojo 14 July 2012 (has links)
This paper seeks to provide further insight as to why local Ghanaian firms may not be pursuing regional growth as a strategy, as publicly available data would suggest. The study uses Resource Based Theory and Institutional Theory to identify a range of factors that may be influencing, at a firm level, the decision whether or not to pursue a regional growth strategy. The study draws upon a sample of 65 Top Tier Local Ghanaian Companies. A key finding of this study is that a large number of local companies were providing services or products to the regional market. Evidence suggest that although local firms were at the early stage of internationalization, due to various factors identified in the study, these firms had chosen not to formally commit resources in pursuing regional growth as the traditional ―Stage Theory‖ of Internationalization would suggest. The result of the study highlights certain risk to managers and owners choosing not to actively pursue a regional growth strategy. / Dissertation (MBA)--University of Pretoria, 2012. / Gordon Institute of Business Science (GIBS) / unrestricted
200

Social Enterprises in Supply Chains

Jug, Ales 08 August 2019 (has links)
Fire prevention is a critical component in achieving social welfare and prosperity. The lack of worldwide fire prevention leads to an increasing number of fires, as well as to a greater number of fire-related deaths, injuries, and fire-related property damage. Traditionally, fire prevention has been the responsibility of individual governments, while fire prevention duties are usually carried out by local fire departments. Such an approach is very common and is observed globally. Until now, the above response has been successful. For example, due to fire prevention measures applied in the 1990s, the number of fires caused by open flames (such as candles) was significantly reduced. Since 2014, the number of fires in some Western countries (e.g., the US and the UK) shows an increasing trend. In March 2019,11, people have died in fires across Connecticut (O’Neill 2019). From 2017 to 2018, the number of people who died in fires in Mississippi grew by more than 40 percent (Moore 2019). Among the main reasons for this growth are new combustible materials, reduced fire prevention funds, and more dynamic lifestyles. Lack of fire prevention consequently increases fire risks, and, as a result, health inequalities. According to Whitehead and Dahlgren (2007), health inequalities are health differences that are avoidable, unjust, unfair, and unacceptable. The question arises: do current fire prevention services allow sufficient support for people to be safe from fire, specifically in domestic environments? Can social enterprises play a role and how do they fit into the fire prevention supply chain. The purpose of this research is to gain an understanding of social enterprises and their influence on supply chains, in general, and specifically for fire prevention supply chains. This phenomenon is evaluated through the lenses of social capital theory and institutional theory. Research (Rothstein and Stolle 2008) has shown the effects that social capital has on institutions, or simply how can it be used as a strategic resource (Gulati and Gargiulo 1999). Institutional and Social Capital Theories set the foundation of how social enterprises transform and contribute to sustainable supply chains, plus how they solve social problems, specifically fire safety (Patuelli and Savioli 2016). According to Wallace and Wallace (1997), social capital provides a collective resource that can be mobilized by individuals to enable communities to develop resilience against severe threats to public health, such as social exclusion or even unemployment. By identifying three dimensions of sustainable development: techno-economic, ecological and social (Clift 2003; Hutchins and Sutherland 2008; Yakovleva and Sarkis 2010), there are various social capital diffusion mechanisms for building sustainability within supply chains through social enterprise involvement. Transforming supply chains by building social legitimacy and by altering institutional norms, are examples of providing competitive advantages to supply chains and supply chain partners of social enterprises. This research seeks to understand social enterprises and entrepreneurship capabilities transform institutions to strengthen supply chain sustainability. Ideally, these institutions should provide solutions to the problem of decreased awareness of sustainable fire prevention, as well as available resources for fire prevention. This research focus is primarily on social sustainability and safety through fire prevention. The importance of this study lies in our contributions to help diffuse socially sustainable solutions and practices across supply chains. In this case, similar to other social concerns, the problem of fire prevention is a critical one within supply chains and society. Understanding the role of social enterprise to help diffuse these norms and practices help to understand general supply chain sustainability concerns for competitive and social reasons. Methodologically, a qualitative, exploratory method was applied. To analyze the data collected for this research, we used a Thematic Analysis. Three supply chains with social enterprises as a focal firm were investigated. This research contributes by furthering the theory of sustainable supply chains with the involvement of social enterprise; or hybrid organizations - that have both a social and a strategic financial outlook. The research involves the utilization of Thematic Analysis, and semi-structured interviews of three fire prevention-focused supply chains. This study is the first that investigates fire prevention from the perspective of supply chains and social enterprises. The results will inform other types of sustainability and social enterprises, which include humanitarian, environmental, educational, and poverty-based foci.

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