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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.
461

Breaking and Connecting in the Short Stories of Flannery O'Connor: "The Look of This Fiction is Going to be Wild" (Grace Minus Nature Equals Mystery)

Schwartz, John Benjamin January 1989 (has links)
No description available.
462

The Latter-day Saint Indian Placement Program: An Examination Through an Experiential Lens

Christiansen, Quinn Elise 06 January 2025 (has links) (PDF)
The Indian Placement Program, operated by the LDS Church from around 1947 to 2000, was influenced by the Church's belief in a connection between Native Americans to a Book of Mormon group known as the Lamanites. This group held a special status within the LDS Church because of their believed Israelite heritage as well as a prophecy promising their conversion in the last days. Spencer W. Kimball, motivated by both personal goals and his authority within the LDS Church, expanded on a successful experience of a young Native girl, Helen John, growing it into the broader Indian Placement Program. This program saw thousands of Native students placed with LDS foster families. Today, the Indian Placement Program is often discussed in oversimplified terms, either highly supportive or critical. In my research, I interviewed actual program participants who provided nuanced insights beyond these simplistic narratives. Three main themes emerged: positive and negative experiences with education, the LDS baptism requirement, and relationships within foster families. Additionally, I found that many young non-Native LDS members are unaware of the Placement Program, while some Native-centered boarding schools continue to operate. These findings suggest that the program's impact was mixed, with both positive and negative elements, and that its implications were neither wholly positive nor wholly negative. This study comes forth at a time of heightened discussions on this topic.
463

„Badescene im Raederflus“

Schönfuß-Krause, Renate 01 July 2021 (has links)
Ein Kupferstich von J. C. Klengel und G. W. Hüllmann in dem 1790 herausgegebenen Buch „Briefe über das Radeberger Bad“ geben Auskunft, dass Lotzdorf und Liegau bereits frühzeitig für Badefreuden berühmt waren. und einige historische Hintergründe über den Entdecker Christoph Seydel, den Tannengrund, das Radeberger Bad, das Mohr- und Stahlbad Augustusbad sowie einige der berühmten Gäste dieses Bades, wie z.B. Gerhard von Kügelgen, Wilhelm von Kügelgen, Caspar David Friedrich, Carl Gustav Carus, Prof. Carl August Richter, Prof. Adrian Ludwig Richter, der Schriftsteller Jean Paul, Theodor Körner und viele andere. In Radeberg und Umgebung entstand eine Bäderkultur.
464

台灣金融機構不良資產處理機制之探討

陳宥嫻, Chen,Yu Hsien Unknown Date (has links)
金融機構不良資產的處理方式,一般可區分為,拍賣健全金融機構的不良資產和標售問題金融機構兩方面。前者通常透過法拍、金拍、銀拍或出售予AMC來處置之;後者的處理結果影響無遠弗界,依標售標的不同,又細分為Good Bank、Bad Bank、不動產、持有股份等,通常屬於第一價位秘密競標模型、採取「Good Bank/Bad Bank」分開標售模式、兼具資格標與價格標的特殊重複拍賣模式、擁有底價不一定公告等特性。因此,我們分別透過文獻整理及模型推導,歸納並推論不良資產處理機制設計之原因。結果發現,台灣金融機構不良資產處理機制之設計,一方面是為避免競標勾結的情況,希望藉此來提高拍賣者的收益;另一方面則是為保障債權人及債務人雙方的權宜之計,因為對銀行或中央存保公司而言,儘管減價重複拍賣非最佳策略,但繼續持有不良資產也是毫無價值可言的方式,故折衷採取現階段之問題金融機構標售機制,以儘速處置不良資產。
465

"Presences of the infinite" : J.M. Coetzee and mathematics

Johnston, Peter January 2013 (has links)
This thesis articulates the resonances between J.M. Coetzee's lifelong engagement with mathematics and his practice as a novelist, critic, and poet. Though the critical discourse surrounding Coetzee's literary work continues to flourish, and though the basic details of his background in mathematics are now widely acknowledged, his inheritance from that background has not yet been the subject of a comprehensive and mathematically- literate account. In providing such an account, I propose that these two strands of his intellectual trajectory not only developed in parallel, but together engendered several of the characteristic qualities of his finest work. The structure of the thesis is essentially thematic, but is also broadly chronological. Chapter 1 focuses on Coetzee's poetry, charting the increasing involvement of mathematical concepts and methods in his practice and poetics between 1958 and 1979. Chapter 2 situates his master's thesis alongside archival materials from the early stages of his academic career, and thus traces the development of his philosophical interest in the migration of quantificatory metaphors into other conceptual domains. Concentrating on his doctoral thesis and a series of contemporaneous reviews, essays, and lecture notes, Chapter 3 details the calculated ambivalence with which he therein articulates, adopts, and challenges various statistical methods designed to disclose objective truth. Chapter 4 explores the thematisation of several mathematical concepts in Dusklands and In the Heart of the Country. Chapter Five considers Waiting for the Barbarians and Foe in the context provided by Coetzee's interest in the attempts of Isaac Newton to bridge the gap between natural language and the supposedly transparent language of mathematics. Finally, Chapter 6 locates in Elizabeth Costello and Diary of a Bad Year a cognitive approach to the use of mathematical concepts in ethics, politics, and aesthetics, and, by analogy, a central aspect of the challenge Coetzee's late fiction poses to the contemporary literary landscape.
466

Peut-on vouloir le mal pour le mal dans la pensée de Thomas d’Aquin?

Perugino, Dominic 08 1900 (has links)
Ce mémoire propose une analyse de la théorie de la volonté en relation avec le mal dans la pensée de Thomas d’Aquin. Le mal est une privation d’être et l’être est identique au bien. La volonté est une forme intellectuelle d’appétit, ainsi que la gouvernante des puissances inférieures, mais aussi de la raison qui est à la fois son principe. L’appétit est un mouvement vers ce qui est le bien d’une nature, il est donc difficile d’accepter que la volonté puisse élire son contraire qui est le mal. La thèse de Platon selon laquelle le mal n’est désiré que par ignorance est écartée, puisque le propos de Thomas est d’expliquer le consentement en faveur du mal connu. Or, si le mal peut être voulu, on ne peut le vouloir sans le référer au bien. Ainsi, le libre arbitre, bien qu’ayant Dieu pour principe, est le principe du premier mauvais choix. La compréhension de la problématique passe par la division de ce qui appartient à l’extérieur de la volonté et ensuite à l’intérieur. De soi, un acte extérieur peut être immoral, comme le vol, mais la volonté d’une intention bonne qui choisit cet acte devient mauvaise, bien qu’elle garde le mérite de sa bonne intention. Son choix mauvais est parfois dû à une certaine ignorance, mais, puisque nous n’ignorons pas toujours le mal, il faut attribuer une faiblesse à la volonté, car elle n’accomplit pas pleinement sa nature. Quand elle répète ses actes de faiblesse à l’égard du mal, elle se dispose à accueillir l’habitus de la malice, et alors elle cherche d’elle-même le mal. Aucun de ces principes, cependant, ne peut s’appliquer à l’homme originel ni au diable. Ceux-ci n’auront pour principe de leurs choix que l’orgueil dans le libre exercice de la volonté. / This paper proposes to analyse the theory of will in interaction with evil in Thomas Aquinas’s thought. Evil is a privation of being, and being is identical to good. The will is an intellectual form of appetite, as well as the governor of lower faculties and of reason, which is also its principle. Appetite is a movement towards the good of a nature; it is therefore difficult to accept that will could elect its opposite, which is evil. Plato’s thesis consisting of attributing the will towards bad to ignorance is discarded, because Thomas’s explanation concerns the consent towards evil witch is known. Now, if evil can be wanted, we cannot want it without referring it to good. In that way, free will, though having God for principle, is the principle of the first bad choice. The comprehension of the problem has to go through the division of that which belongs to the will’s exterior and to it’s interior. In itself, an exterior act can be immoral, like stealing, but the good intentioned will that choses this act then becomes evil, keeping nonetheless the merit of its good intention. The bad choice is sometimes attributable to ignorance, but since we do not always ignore evil, we have to accuse a certain weakness in the will for not being able to fulfill its nature. When it repeatedly acts weakly towards evil, it makes itself available for the mischievous habitus, and it then, on its own, searches the evil act. None of these principles, though, can apply to the original man or for the devil. They will not have any other principle for their choice than that of pride in the free exercise of their will.
467

Levantamento epidemiológico de fatores relacionados com a má oclusão em crianças de 3 a 9 anos de idade no Equador / Epidemiological survey of related factors with malocclusion in children from 3 to 9 years of age in Ecuador

Angulo, Nilda Eugenia Navarrete 29 August 2018 (has links)
É muito importante que se reconheça os fatores relacionados com à má oclusão que ocorrem em uma determinada população à fim de que medidas preventivas e tratamentos ortodônticos possam ser conduzidos. O objetivo do presente estudo epidemiológico foi obter dados representativos sobre fatores relacionados com as más oclusões na dentição decídua e mista no Equador. Os responsáveis por 400 crianças, de 3 a 9 anos, em atendimento na Faculdade de Odontologia da Universidade Central do Equador foram questionados, incialmente, quanto aos dados pessoais, histórico familiar e saúde. Em sequência as crianças foram examinadas, clinicamente, extra e intra oralmente. O exame funcional, avaliação de hábitos e nível socioeconômico também foram conduzidos por um único avaliador. Os dados obtidos foram tabulados para se obter tabelas de frequência e porcentagem. Foi aplicado o Teste Qui quadrado ou Teste de Fisher (p<0,05). Um número maior de crianças com má oclusão (77%) foi encontrado do que crianças com oclusão adequada (p=0,00001). Não se pode afirmar que houve correlação significativa entre classe socioeconômica e má oclusão (p=0,12). Houve predomínio do hábito de morder objetos estranhos e onicofagia. 33,33% das crianças com mordida aberta apresentavam respiração bucal, no entanto, entre as crianças que apresentaram outros tipos de oclusão, 32,47% tinham respiração bucal. A sucção digital foi encontrada em 14% das crianças. Conclui-se que existe um número significante de má oclusão; há correlação entre interferências oclusais e a presença de mordida cruzada; a atrição fisiológica desenvolve-se com o avanço da idade; não houve associação significativa entre respiração bucal e mordida aberta e o nível sócio econômico não interfere nas características de oclusão. / It is very important to recognize the factors related to bad occlusion that occur in a certain population so that the measures Preventive and orthodontic treatments can be carried out. The objective of the present epidemiological study was to obtain representative data on factors related to malocclusions in deciduous and mixed dentition in Ecuador. Those responsible for 400 children, from 3 to 9 years old, in care in School of Dentistry of the Central University of Ecuador were respondents, in terms of personal data, family history and Health. In sequence the children were examined, clinically, extra and intra orally. Functional examination, evaluation of habits and socioeconomic status They were conducted by a single researcher. The data They were tabulated to obtain frequency and percentage tables. The application was applied Chi square test or Fisher\'s test (p <0.05). A greater number of Children with malocclusion (77%) were found to be children with correct occlusion (p = 0.00001). It cannot be said that there was significant correlation between socioeconomic class and bad occlusion (p = 0.12). A predominance was observed the habit of biting foreign objects and Onychophagia. 33.33% of children with open bite had mouth breathing, however, among children who presented other types of occlusion, 32.47% had mouth breathing. The digital suction 14% of children were found. It is concluded that there is a significant number of malocclusion; there is correlation between occlusal interferences and the presence of a crossbite; Physiological attrition develops as Age advances; there was no significant association between mouth breathing and open bite and socioeconomic status does not interfere with the characteristics of occlusion.
468

Litigância de má-fé no processo do trabalho e a condenação solidária do advogado

Biscaia, Rosangela Lascosk 10 February 2007 (has links)
Made available in DSpace on 2016-04-26T20:25:01Z (GMT). No. of bitstreams: 1 Rosangela Laskoski Biscaia.pdf: 432230 bytes, checksum: 8c3dd6843bea83a71bfac1a842bb09d2 (MD5) Previous issue date: 2007-02-10 / The bad-faith litigation is without a shadow of a doubt a maleficent behavior that stains the branch of the procedural law, because the part using the proper ways that the law confers to it, litigates in an abusive way bringing damage not only to the adverse part but also to the judiciary structure, which is in the total dependence of the disloyal acts, remaining harm to the whole society and why not to say the credibility of proper justice. The worry of the legislator in restraining the acts of litigation of bad-faith is as older as the proper of Law History. The man worried in finding a way to discipline the human acquaintance, created the law with the goal of providing a harmonious acquaintance to the human beings. However, he immediately felt obliged to create patterns to inhibit that the proper law was a bad-faith instrument of litigation. This fact appears demonstrated in the litigation of bad-faith history, where the concern of foreign legislation is depicted as well as the national doctrine of making difficult disloyal acts that stain the instrumental law. Sometimes, the bad faith litigation is located in a misty position, making it difficult to the interpreter to evidence if it really is a bad-faith litigation act, or if it is out of practice of his rights, such as those assured in our Carta Maior (Big Letter) when it assures us that the law will not exclude the appreciation of the Judiciary injury or threat of right, assuring everybody about the legal defense and the contradictory in the judicial and administrative lawsuit. Therefore, we make an analysis of the moral process and the own contaminated act of bad-faith litigation, adjusting the concepts of law evolution that follows the human being evolution to assure the effectiveness of this study. We analyze the behavior of the parts that appears in the lawsuit, with the objective of searching the major cause of the existence of the disloyal procedure. We portrait the behavior of the bad-faith litigant, trying to clarify all the attitudes that reflects in this undesirable behavior, which must be repelled, preventing the ruin of the patterns that support the State while owner of power-duty of saying the law. The study develops itself giving emphasis to the working lawsuit evidencing the behaviors that reflect the bad-faith litigation and the damages that appear from it. The legislative evolution is also the target of commentaries and it is trying to demonstrate if the laws are really efficient to prevent the performance of bad-faith litigation act. We will analyze the imposed penalties, trying to demonstrate if the existing legislation prevents and it avoids the performance of bad-faith litigant acts. Thus, the study is always carried out, approaching the concern of giving effectiveness to the patterns that forbid such abusive practice in order to preserves the respect to the dignity of the human being and the proper justice / A litigância de má-fé é, sem sombra de dúvida, um comportamento maléfico que macula o ramo do direito processual, pois, a parte, usando dos próprios meios que a lei lhe confere, litiga de forma abusiva, trazendo prejuízos não só a parte adversa, mas também a toda a estrutura judiciária, a qual fica a mercê dos atos desleais, advindo prejuízo para toda a sociedade e por que não dizer a credibilidade da própria justiça. Tão antiga quanto a própria história do direito é a preocupação do legislador em coibir os atos de litigância de má-fé. O homem preocupado em disciplinar a convivência humana, criou o direito com o objetivo de proporcionar aos seres humanos uma convivência harmoniosa. Entretanto, imediatamente se viu obrigado a criar normas para impedir que o próprio direito fosse instrumento de litigância de má-fé. Tal fato resta demonstrado no histórico da litigância de má-fé, onde se retrata a preocupação da legislação estrangeira bem como a doutrina nacional em dificultar os atos desleais que maculam o direito instrumental, constituindo-se num verdadeiro assédio processual, o que impede por muitas vezes que o direito reconhecido pelo Estado juiz não se torne efetivo. A litigância de má-fé, às vezes, situa-se numa posição nebulosa, dificultando ao interprete evidenciar se realmente se trata de um ato de litigância de má-fé, ou se esta a parte a exercer seus direitos tais qual aqueles assegurados em nossa Carta Maior quando nos assegura que a lei não excluirá da apreciação do Poder Judiciário lesão ou ameaça de direito, assegurando a todos a nos processos judiciais e administrativo a ampla defesa e o contraditório. Para tanto faremos uma analise do processo, da moral e do próprio ato eivado de litigância de má-fé, adequando os conceitos a própria evolução do direito que acompanha a evolução humana, pois se assim não fosse não poderíamos falar em efetividade das normas jurídicas.. Analisamos o comportamento das partes que figuram no processo, com o objetivo de buscar a causa maior da existência do procedimento desleal. Retrataremos o comportamento do litigante de má-fé, procurando esclarecer todas as atitudes que reflete nesse comportamento indesejado o qual deve ser repelido, evitando assim a ruína das normas que amparam o Estado enquanto detentor do poder-dever de dizer o direito. O estudo se desenvolve dando ênfase ao processo trabalhista evidenciando os comportamentos que refletem a litigância de má-fé e os prejuízos que dela decorrem. A evolução legislativa também é alvo de comentários, buscando com isso demonstrar se as leis se mostram de tal eficiente para coibirem a litigância de má-fé. Analisaremos as penalidades impostas, procurando demonstrar se a legislação existente previne e impede a atuação dos litigantes de má-fé. Assim, o estudo é realizado, sempre abordando a preocupação de dar efetividade às normas que proíbem tal prática abusiva a fim de que se preserve o respeito à dignidade do ser humano e da própria justiça
469

A litigância de má-fé na justiça do trabalho e a análise da responsabilização do advogado

Maschietto, Leonel 05 October 2006 (has links)
Made available in DSpace on 2016-04-26T20:25:06Z (GMT). No. of bitstreams: 1 DIR - Leonel Maschietto.pdf: 470570 bytes, checksum: c978c827362018888055bd4716ac41a8 (MD5) Previous issue date: 2006-10-05 / The Labor Judiciary Power has suffered much criticism due to the lack of punishment of the bad intentioned litigants, since they contributed to the slowness of the guidelines to the distributions of barrety and baseless procedures delays. The present study objective is to analyze the lawyer s responsibility in the bad intentioned litigation, as well as, the eventual legality of its conviction in proper files of legal documents. Trying to get closer to a possible solution, initially procedural goodfaith issues and its repercussions inside the procedure have been discussed and studied. The study of the origin and historical evolution of the bad intentioned litigation served as a basis for a better understanding of the foreign and Brazilian legislation, as well as, basing the necessity of a legislative improvement concerning the treatment of bad intentioned litigation on the Labor Justice. Finally, a specific chapter was dedicated to study the lawyer s responsibility in the bad intentioned litigation occurrence in the labor procedure, where the lawyer s role and characteristics had been analyzed inside the procedure as part of the purpose of conviction for bad intentioned litigation. The responsible exclusion, as well as, the supportive and subsidiary responsibility modalities had also deserved study and reflection, since neither exclusiveness of bad intentioned litigation nor practice of the malicious acts can be attributed to lawyers. The result reached through the present study, inspires us to make a reform in the working procedural legislation aiming to the judges rigidity increase in the repression against bad intentioned acts. Such procedure, allied to a better preparation and technician and moral improvement of some lawyers could contribute a lot to the reduction of the amount of procedures distributed for the Labor Justice / O Poder Judiciário trabalhista tem sofrido muitas críticas quanto a questão da falta de punição dos litigantes de má-fé, já que esses mesmos litigantes de má-fé têm contribuído para a morosidade das pautas ante as distribuições de lides temerárias e protelações infundadas dos processos. O presente estudo tem por objetivo a análise da responsabilidade do advogado na litigância de má-fé, bem como a eventual legalidade de sua condenação nos próprios autos. Para tentar chegar o mais próximo possível de uma solução, foram abordadas e estudadas inicialmente as questões da boa-fé processual e suas repercussões dentro do processo. O estudo da origem e evolução histórica da litigância de má-fé serviu de embasamento para uma melhor compreensão da legislação estrangeira e brasileira, bem como para fundamentar a necessidade do aprimoramento As excludentes de responsabilização, bem como as modalidades solidária e subsidiária de responsabilização também mereceram um estudo e reflexão, já que ao advogado não se pode atribuir a exclusividade da litigância de má- fé ou a prática dos atos maliciosos. O resultado obtido através do presente estudo, nos leva a aspirar a uma reforma na legislação processual trabalhista objetivando maior rigidez dos juizes na repressão aos atos de má-fé. Tal medida, aliada a um melhor preparo e aperfeiçoamento técnico e moral de alguns advogados poderia contribuir, e muito, para a diminuição da quantidade de processos distribuídos perante a Justiça do Trabalho. legislativo referente o tratamento da litigância de má-fé na Justiça do Trabalho. For fim, dedicou-se um capítulo específico para o estudo da responsabilidade do advogado na ocorrência da litigância de má-fé no processo trabalho, onde foram analisados o papel do advogado dentro do processo e os elementos caracterizadores do advogado como parte para efeitos de condenação por litigância de má-fé
470

O procedimento judicial e o custo do dinheiro para pessoas jurídicas no mercado de crédito bancário no Brasil (1994 - 2004)

Silva, Diarone Lopes da 08 June 2006 (has links)
Made available in DSpace on 2016-04-26T20:48:45Z (GMT). No. of bitstreams: 1 Dissertacao DIARONE LOPES DA SILVA.pdf: 712816 bytes, checksum: 1a308ee4388cb400094fff71d013cea7 (MD5) Previous issue date: 2006-06-08 / This document has the main objective to present the influence of the judicial process in the huge money s costs to the companies in the brazilian credit bank market. The approach of the subject intends to show the main problems faced by banks and companies when they need to use the brazilian judiciary such as: the slowness, the partiality and the complexity of the judicial proceeding. Mainly to the companies, being the weak face in a credit negotiation with the banks, the matters starts since the deal with operation s conditions, facing by adhesion contracts, indecent clauses and interest rates highest the interest rates expected by return in their investments. Besides the presentation of some negative aspects of the judicial proceeding, this document intends to evidence that the improvement of the judiciary functioning will not guarantee of the reduction in the interest tax or reduce the brazilian bank spread taxes, because these taxes are composers by important others variables without connections with judicial efficiency. However, willing to contribute to the discussion about the causes of the huge costs of the bank credit to the companies in Brazil, will remain conspicuous that the importance of the efficient judiciary s act in the bank credit market to removing, or minimizing, the variable risk of bad payers in the composition of the bank spread / A presente dissertação tem como objetivo principal analisar a influência do processo judicial no elevado custo do dinheiro no mercado de crédito bancário para as empresas no Brasil. A abordagem do assunto procura apontar os principais problemas enfrentados por bancos e empresas quando se tornam usuários do judiciário brasileiro, como a morosidade, a parcialidade e a complexidade do procedimento judicial. Notadamente do lado das empresas, por serem a parte mais frágil nas negociações de crédito com os bancos, as dificuldades começam desde a contratação das condições das operações, defrontando-se com contratos de adesão, cláusulas abusivas e taxas de juros muito superiores às taxas juros de retorno esperadas nos seus investimentos. Além da exposição de alguns aspectos negativos do procedimento judicial, este trabalho procura evidenciar que a melhora no funcionamento do judiciário não será garantia de redução das taxas de juros ou do spread bancário no Brasil, pois estes são compostos por outras importantes variáveis, não ligadas à eficiência judicial. Entretanto, objetivando contribuir para o debate sobre as causas do elevado custo do crédito bancário para as empresas no País, restará saliente a importância da atuação eficiente do judiciário com relação ao mercado de crédito bancário para eliminar, ou minimizar, a variável risco de inadimplência da composição do spread bancário

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