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Key elements of sectoral recovery and resilience after the Canterbury earthquakes: a system dynamics approachKachali, Hlekiwe January 2013 (has links)
The Canterbury region of New Zealand experienced four earthquakes greater than MW 6.0 between September 2010 and December 2011. This study employs system dynamics as well as hazard, recovery and organisational literature and brings together data collected via surveys, case studies and interviews with organisations affected by the earthquakes. This is to show how systemic interactions and interdependencies within and between industry and geographic sectors affect their recovery post-disaster. The industry sectors in the study are: construction for its role in the rebuild, information and communication technology which is a regional high-growth industry, trucking for logistics, critical infrastructure, fast moving consumer goods (e.g. supermarkets) and hospitality to track recovery through non-discretionary and discretionary spend respectively. Also in the study are three urban centres including the region’s largest Central Business District, which has been inaccessible since the earthquake of 22 February 2011 to the time of writing in February 2013.
This work also highlights how earthquake effects propagated between sectors and how sectors collaborated to mitigate difficulties such as product demand instability. Other interacting factors are identified that influence the recovery trajectories of the different industry sectors. These are resource availability, insurance payments, aid from central government, and timely and quality recovery information.
This work demonstrates that in recovering from disaster it is crucial for organisations to identify what interacting factors could affect their operations. Also of importance are efforts to reduce the organisation’s vulnerability and increase their resilience to future crises and in day-to-day operations.
Lastly, the multi-disciplinary approach to understanding the recovery and resilience of organisations and industry sectors after disaster, leads to a better understanding of effects as well as more effective recovery policy.
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Adopce Cloud computing ve firemním sektoru / Adoption of Cloud computing in the corporate sectorMalík, Tomáš January 2011 (has links)
This work is focused on the newly emerging field of Cloud computing and view of adoption of this technology in various industrial sectors. The first section explains the concept of cloud computing, its characteristics and individual models. The following part is a brief analysis of the size and development of the current market for cloud services. Next section focuses on the creation of industry categories acording to area of their business, together with their description. The actual categories are examined in part four, along with their expenditures on IT and state of Cloud's adoption, in addition with specific advantages and obstacles. Results from previous section are summarized in part five. In conclusion, the hypothesis is verified and the main findings summarized.
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The Influence of Regulatory Oversight on Environmental, Social, and Governance RatingsTorpey, John F. 14 April 2020 (has links)
No description available.
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Diferenças de rendimento entre os setores de serviços e de indústria no Brasil: uma análise de decomposição a partir dos dados da PNAD / Income gap between the service and industry sectors in Brazil: a decomposition analysis based on PNAD dataLacerda, Luciana Pacheco Trindade 18 April 2017 (has links)
Este estudo tem como objetivo analisar o diferencial de rendimentos entre os setores de serviços e de indústria no Brasil, nos anos de 2004, 2009 e 2014. As informações foram obtidas a partir da Pesquisa Nacional por Amostra de Domicílios (PNAD) desses anos. A hipótese central deste estudo é de que existe uma massa de trabalhadores sendo melhor remunerada no setor de serviços vis-à-vis o setor industrial, a qual vai contra a tese de que é na indústria onde estariam as profissões com maior valor agregado. A pesquisa também procura contribuir para a literatura acerca do setor de serviços, considerada escassa devido à heterogeneidade desse setor. Em primeiro momento, procura-se analisar o hiato salarial entre os setores através da decomposição proposta por Oaxaca (1973) e Blinder (1973). Após, utiliza-se o método de regressão RIF (Recentered Influence Function) de Firpo et al. (2007) com o objetivo de se obter estimativas por quantis de renda. Uma análise preliminar da distribuição da massa de salários entre esses dois setores revelou que o setor de serviços se encontra um pouco mais a direita na curva de distribuição, indicando que esse setor possui um número de expressivo de trabalhadores recebendo salários maiores daqueles da indústria. Constatou-se, também, que na decomposição salarial pela média o hiato salarial se mantém favorável aos trabalhadores do setor de serviços nos três anos analisados. No entanto, esse diferencial revelou-se maior em 2004. Apesar disso, a decomposição por quantis indicou que o diferencial de renda entre os setores se mantém favorável ao setor de serviços somente para os 75º e 90º quantis, contudo, as diferenças observadas nesses quantis se revelaram decrescentes na década analisada. O sinal negativo do efeito composição nos quantis que o setor de serviços remunera melhor indicou que os indivíduos empregados nesse setor possuem características mais produtivas relacionadas ao mercado de trabalho comparado ao setor de indústria. Já o sinal do efeito estrutura sinalizou que os retornos das características dos trabalhadores do setor de indústria foram menores que o retorno adquirido pelo outro setor. Nos demais quantis de renda, o setor de indústria foi o responsável por remunerar melhor os trabalhadores. Somente o 25º quantil apresentou crescimento do hiato nesse período. Para ambos os setores, ramos de alta tecnologia remuneram melhor para todos os quantis. / This study analyzes the income gap between the service and industry sectors in Brazil in the years 2004, 2009 and 2014. The information about these years was obtained from the National Survey by Household Sample (PNAD). The central hypothesis of this study is that there is a mass of workers being better paid in the service sector vis-à-vis the industrial sector, which goes against the well known consensus that the industry\'s earnings are greater than the service sector because of added value . The research also seeks to contribute to the literature on the service sector, considered scarce due to the heterogeneity of this sector. At first, the focus was the wage gap between sectors through the decomposition proposed by Oaxaca (1973) and Blinder (1973). Afterwards, it was used the RIF (Recentered Influence Function) regression method of Firpo et al. (2007) in order to obtain the approximate income proportion. A preliminary analysis of the distribution of the mass of wages between these two sectors revealed that the service sector lies on a little more to the right on the distribution curve, indicating that this sector has a significant number of workers receiving higher wages than those in the industry. It was also observed that in the average wage decomposition the wage gap remained favorable to the service sector workers in the three years analyzed. However, this differential was higher in 2004. It was observed in the wage decomposition, where the wage gap is maintained favorable to the workers of the service sector in the three sectors analyzed. In addition, this differential is more pronounced in the most recent year. In those years, the effect of contributing to the increase of the difference, however, the magnitude is the effect of decreasing. Decomposition by quantiles indicated that the income differential between sectors remained favorable to the services sector only for the 75th and 90th quantiles. The gap observed in these quantiles were decreasing in the analyzed decade. The negative sign of this effect in the quantiles that the services sector pay better indicated that the individuals employed in this sector have more productive characteristics related to the labor market compared to the industry sector. The sign of the structure effect signaled that the returns of the characteristics of the workers of the industry sector were smaller than the return earned by the other sector. In the other quantiles of income, the industry sector was the one responsible for better remunerating the workers. Only the 25th quantil indicated a growth of the hiatus in this period. For both sectors, branches of high technology are better for all quantiles.
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Diferenças de rendimento entre os setores de serviços e de indústria no Brasil: uma análise de decomposição a partir dos dados da PNAD / Income gap between the service and industry sectors in Brazil: a decomposition analysis based on PNAD dataLuciana Pacheco Trindade Lacerda 18 April 2017 (has links)
Este estudo tem como objetivo analisar o diferencial de rendimentos entre os setores de serviços e de indústria no Brasil, nos anos de 2004, 2009 e 2014. As informações foram obtidas a partir da Pesquisa Nacional por Amostra de Domicílios (PNAD) desses anos. A hipótese central deste estudo é de que existe uma massa de trabalhadores sendo melhor remunerada no setor de serviços vis-à-vis o setor industrial, a qual vai contra a tese de que é na indústria onde estariam as profissões com maior valor agregado. A pesquisa também procura contribuir para a literatura acerca do setor de serviços, considerada escassa devido à heterogeneidade desse setor. Em primeiro momento, procura-se analisar o hiato salarial entre os setores através da decomposição proposta por Oaxaca (1973) e Blinder (1973). Após, utiliza-se o método de regressão RIF (Recentered Influence Function) de Firpo et al. (2007) com o objetivo de se obter estimativas por quantis de renda. Uma análise preliminar da distribuição da massa de salários entre esses dois setores revelou que o setor de serviços se encontra um pouco mais a direita na curva de distribuição, indicando que esse setor possui um número de expressivo de trabalhadores recebendo salários maiores daqueles da indústria. Constatou-se, também, que na decomposição salarial pela média o hiato salarial se mantém favorável aos trabalhadores do setor de serviços nos três anos analisados. No entanto, esse diferencial revelou-se maior em 2004. Apesar disso, a decomposição por quantis indicou que o diferencial de renda entre os setores se mantém favorável ao setor de serviços somente para os 75º e 90º quantis, contudo, as diferenças observadas nesses quantis se revelaram decrescentes na década analisada. O sinal negativo do efeito composição nos quantis que o setor de serviços remunera melhor indicou que os indivíduos empregados nesse setor possuem características mais produtivas relacionadas ao mercado de trabalho comparado ao setor de indústria. Já o sinal do efeito estrutura sinalizou que os retornos das características dos trabalhadores do setor de indústria foram menores que o retorno adquirido pelo outro setor. Nos demais quantis de renda, o setor de indústria foi o responsável por remunerar melhor os trabalhadores. Somente o 25º quantil apresentou crescimento do hiato nesse período. Para ambos os setores, ramos de alta tecnologia remuneram melhor para todos os quantis. / This study analyzes the income gap between the service and industry sectors in Brazil in the years 2004, 2009 and 2014. The information about these years was obtained from the National Survey by Household Sample (PNAD). The central hypothesis of this study is that there is a mass of workers being better paid in the service sector vis-à-vis the industrial sector, which goes against the well known consensus that the industry\'s earnings are greater than the service sector because of added value . The research also seeks to contribute to the literature on the service sector, considered scarce due to the heterogeneity of this sector. At first, the focus was the wage gap between sectors through the decomposition proposed by Oaxaca (1973) and Blinder (1973). Afterwards, it was used the RIF (Recentered Influence Function) regression method of Firpo et al. (2007) in order to obtain the approximate income proportion. A preliminary analysis of the distribution of the mass of wages between these two sectors revealed that the service sector lies on a little more to the right on the distribution curve, indicating that this sector has a significant number of workers receiving higher wages than those in the industry. It was also observed that in the average wage decomposition the wage gap remained favorable to the service sector workers in the three years analyzed. However, this differential was higher in 2004. It was observed in the wage decomposition, where the wage gap is maintained favorable to the workers of the service sector in the three sectors analyzed. In addition, this differential is more pronounced in the most recent year. In those years, the effect of contributing to the increase of the difference, however, the magnitude is the effect of decreasing. Decomposition by quantiles indicated that the income differential between sectors remained favorable to the services sector only for the 75th and 90th quantiles. The gap observed in these quantiles were decreasing in the analyzed decade. The negative sign of this effect in the quantiles that the services sector pay better indicated that the individuals employed in this sector have more productive characteristics related to the labor market compared to the industry sector. The sign of the structure effect signaled that the returns of the characteristics of the workers of the industry sector were smaller than the return earned by the other sector. In the other quantiles of income, the industry sector was the one responsible for better remunerating the workers. Only the 25th quantil indicated a growth of the hiatus in this period. For both sectors, branches of high technology are better for all quantiles.
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Culture and leadership in KenyaAnaya, Ella Ruth 08 1900 (has links)
This dissertation investigates managerial leadership and its cultural foundations in Kenya.
It discusses the theoretical underpinnings of culturally contingent leadership theories, and
examines Sub-Saharan African leadership through existing literature, cultural metaphors,
and qualitative and quantitative methodologies. The study replicates the Global
Leadership and Organisational Behaviour Effectiveness (GLOBE) methodologies with
267 respondents – managers in the finance and food processing sectors, and the civic
sector (education and health). The literature review focuses on leadership issues
impeding socio-economic development, complexities such as ethnic heterogeneity,
colonial history, customary practices, instability in governance, conflict, corruption, and
poverty. The cultural domain is also examined in terms of ethno-linguistic groups and
major historical and geo-political influences on these groups. Additional aspects of
culture that pose persistent problems to Kenyan leadership are explored: paternalism and
patronage, and the legacy of entitlement and bureaucracy –– negative influences on workrelated
relations, and managerial and political leadership. Findings on organisational
culture and societal culture indicate that Kenyan values and practices are not congruent,
thereby creating a unique profile of Kenyan leader attributes and leadership styles. The
study identifies Bwana Kubwa (Big Boss) managerial leadership as a norm, political
leadership as “a dirty game,” and an “inspirational idealist” as the preferred leader.
Lastly, survey results for Kenya are compared against GLOBE dimensions of culture and
leadership for Sub-Saharan Africa, as well as against West Africa. / Communication Science / D. Litt. et Phil. (Communication Science)
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Quel indicateur pertinent pour la surveillance épidémiologique et la prévention des troubles musculo-squelettiques en lien avec le travail ? : application à la lombalgie / What relevant indicator for epidemiological surveillance and prevention of work-related musculoskeletal disorders? : application to low back painFouquet, Natacha 19 December 2016 (has links)
Cette thèse propose de faire le point sur les indicateurs disponibles pour la surveillance épidémiologique des lombalgies liées au travail, notamment les données de réparation de maladies professionnelles (MP) et les données issues du réseau pilote de surveillance des troubles musculo-squelettiques des Pays de la Loire.La part de hernie discale opérée (utilisée comme traceur de lombalgie) attribuable à l’activité professionnelle était particulièrement élevée pour les ouvriers des deux sexes et les employées femmes. La lombalgie est un phénomène complexe et ne peut être surveillée grâce à un indicateur unique. Les données de MP, malgré leurs limites, donnent des résultats comparables aux autres sources de données et présentent l’avantage de ne nécessiter aucun recueil spécifique. Les données de cohortes, basées sur un questionnaire standardisé, sont nécessaires pour permettre des comparaisons internationales. Enfin, les données chirurgicales issues des bases de données des hôpitaux et cliniques, fournissent l’information la plus fine, si elles sont complétées de données professionnelles. Il s’agit cependant d’un indicateur mixte de morbidité et de soins. Les fortes disparités territoriales qu’il révèle au sein d’une région incitent à la mise en place de programmes de prévention différenciés.En complément de ces trois indicateurs, il serait intéressant d’ajouter un indicateur d’invalidité ou d’incapacité dans le système de surveillance pour mieux cibler les actions de prévention en fonction du risque de désinsertion professionnelle, dimension importante en termes d’impact social pour les individus et de coût pour la société. / This thesis proposes to review the available indicators for the epidemiological surveillance of work-related low back pain, including compensation data of occupational diseases and data from the pilot surveillance system for musculoskeletal disorders in the Pays de la Loire region.The proportion of cases of lumbar disc surgery (used as sentinel event of low back pain) attributable to occupational activity was particularly high among blue-collar workers of both genders and lower-grade female white-collar workers. Low back pain is a complex phenomenon and cannot be monitored using a single indicator. Compensation data, despite their limitations, give results comparable to other data sources and don’t require specific gathering. Cohorts’ data, based on a standardized questionnaire, are necessary for international comparisons. Finally, surgical data from private and public hospitals databases provide the finest information, if they are completed with occupational data. However, this is a mixed indicator of morbidity and care. It shows large local disparities in a region, encouraging the development of differentiated prevention programs.In addition to these three indicators, it would be interesting to add a disability or incapacity indicator in the surveillance system to better target prevention programs according to occupational exclusion which is an important dimension in terms of social impact for people and cost for the society.
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