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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.
121

La quête identitaire des AICS en intrafamilial : l'influence de l'environnement sur le fait psychique individuel / The identity quest of Authors of Sexual Character's Infringement within familial : the influence of the environment on the individual psychic's acting

Debarbieux, Audrey 15 May 2018 (has links)
Derrière tout acte il y a une sorte de « mise en scène », une « tentative d'exprimer » ce que l'auteur ne parvient à mettre en mots, à métaboliser, d'où le recours au primat de l'agir. Dans ce travail auprès d’Auteurs d’Infraction à Caractère Sexuel en intrafamilial, il est question de saisir, d'appréhender les conditions du passage à l'acte et ce que celles-ci ont pu engendrer au sein du psychisme du sujet, pour favoriser la transgression.À travers diverses notions tirées de la littérature analytique, notamment celles attenantes à la construction psychique, à la clinique du traumatisme ou encore de la transgénérationnalité, est mise en débat la question de l'influence de l’environnement sur le fait psychique individuel.Posant, de ce fait, l'hypothèse que les identifications et répétitions transgénérationnelles d’origines traumatiques peuvent être en jeu dans le passage à l'acte, en particulier chez les AICS en intrafamilial. Ce type de passage à l'acte pourrait-il alors représenter une résolution d'une dynamique familiale vécue comme « défaillante », voire traumatique, pour le sujet ? Dans une approche phénoménologique associée à une posture psychanalytique, sont déclinés sept accompagnements de patients nous permettant de répondre à ces interrogations. L'objectif étant de réaliser une étude clinique basée sur le vécu subjectif de chacun d’entre eux, afin de mettre en lumière ce qui pourrait faire défaut dans leur structuration, leurs investissements et rapports objectaux.Le voyage au travers des cas proposés permet de poser la question du caractère résolutif de ces passage à l’acte vis-à-vis d’une dynamique familiale, dans laquelle s’origine un vécu traumatique ? Par l’infraction sexuelle, perpétrée en intrafamilial, le sujet passe-t-il par le corps et l’objectalisation d’un autre familial pour crier sa souffrance, son « mal à être » ? Le passage à l’acte, chez ces Auteurs d’Infractions à Caractère Sexuel en intra-familial, est il résolutif d’une problématique identitaire traumatique, venant d’une nécessité de trouver un sens, une recherche de signifiance à l’existence même du sujet ? Via l'analyse des mécanismes de défenses, des représentations, ainsi que des positions transférentielles et contre-transférentielles mises en jeu, il s’agit de travailler la remise en sens, pour permettre à ces patients de développer leurs capacités d’élaboration, leur redonner une place, dans le respect de leur subjectivité et celle d’autrui, une place capable de supporter la construction identitaire originelle défaillante, retrouver une identité pour dépasser le traumatique, et ouvrir le chemin d’une reconstruction. / Behind every act there is a sort of "staging", an "attempt to express" what the author cannot put into words nor metabolize, which leads him to act. In this work, amoung Authors of Infringement of Sexual Character (AISC) within familial, the aim is to understand and apprehend the conditions that triggers the act and how they affected the subject's psyche, leading him to give into the transgression.Through notions taken from the analytic's literature, in particular notions linked to the psyche's construction, to traumatic clinic or even the transgenerational transmission, we debate on the question of the influence of the environment on the individual's psyche functionning. Thereby posing hypothesis that identifications and transgenerationals repeats of traumatic origin can contribute in triggering the act, even more for AISC within familial. Could this kind of acting out then represent the consequences of a family's dynamicity experienced as "failing", or even traumatic, by the subject? Using a phenomenologic approach associated with a psychoanalytic positioning, the thorough analysis of seven case-studies could help answer those questions. The objective is to create a clinic study based on the subjective experience of each of them. This is done in hope to bring forward what could lack in their structuring, in their objectals investments and relationships.This trip through the proposed cases allow the question of whether the resolvent nature of these acting out vis-à-vis a family's dynamicity in which a traumatic experience takes its roots? Through the sexual offence, perpetrated within the family, is the subject using the body and the objectisation of another family to shout out his suffering, his "ill-being"? Is the acting out, for Authors of Infringement of Sexual Character (AISC) within familial, a consequence of a traumatic identity crisis, the need to find a sense or the search to the meaning to the subject's own existence? Through the analysis of defense mechanisms, representations, transference and counter-transference positions put in place, the goal is to help rework the senses, allow those patients to develop their elaboration capability, to give them a place, with respect to their subjectivity and that of other, a place capable of sustaining the construction of their originally deficient identity, to rediscover an identity that surpasses the trauma, and open the gates of reconstruction.
122

Le traitement médiatique de la catastrophe / The media coverage of the disaster

Laurent, William 15 December 2011 (has links)
La catastrophe est un événement ponctuel ou sériel, d'origine naturelle ou humaine et qui touche de nombreuses victimes en causant d'importants dégâts. Générateur d'un fort impact émotionnel, elle est un fait d'actualité justifiant un traitement médiatique. Ce traitement a vocation à informer le public. Il va osciller entre recherche de vérité et quête de profit pour les médias. Si la recherche de vérité est louable, elle peut parfois aboutir à la mise en cause de personnes ou d'institutions. Cette mise en cause participe du travail d'information et n'est, dès lors qu’elle est justifiée, pas contestable. En revanche, si cette dernière est abusive, elle entrera dans le champ pénal et aura vocation à être sanctionnée par le biais des infractions de presse. Le fait de rapporter la catastrophe peut également emporter d'autres conséquences judiciaires. Si la préservation du droit à l'information est primordiale, l'exposition d'un événement, particulièrement celui de la catastrophe est parfois abusif. Cet abus est le fruit d'une surenchère dans le sensationnalisme, comportement justifié par une quête de profit. Constitutifs d'infractions ou source de préjudice, ces comportements sont sanctionnés et ouvrent droit à réparation. Au delà, l'exposition de la catastrophe peut parfois, en dehors de tout abus, être source de préjudice qu'il convient d'indemniser. / The disaster is a punctual or serial event, of natural or human origin, which touches many lives by causing extensive damage. Generator of a strong emotional impact, it's a news requiring a media coverage. This coverage is intended to inform the public. It will oscillate between truth-seeking and profit-seeking for the media. If the search for truth is commendable, it can sometimes lead to the questioning of persons or institutions. This questioning is part of the work of information and is, therefore it is justified, indisputable. However, if it is misused, it will enter the criminal field and will have vocation to be sanctioned by the means of the infringements of press. The reporting of the disaster can also create other legal consequences. If preserving the right to information is of primary importance, the exposure of an event, especially the disaster, is sometimes abusive. This abuse is the result of an escalation in sensationalism, behavior justified by a pursuit of profit. Constitutive of infringements or sources of damage, these behaviors are sanctioned and open entitlement to compensation. In addition, the exposure of the disaster can sometimes, without any abuse, be a source of harm that should be compensated.
123

Are Colours Worth Protecting? : An Examination of Abstract Colour Marks’ Scope of Protection

Nilsson, Jennie January 2009 (has links)
In the search for companies to distinguish themselves from the mass, so called non-traditional trade marks have become increasingly popular, and in particular colour marks. It is now clear that abstract colour marks can be registered as trade marks, and the number of registered colour marks has increased considerably in recent years. However, it remains a lot more uncertain, mainly due to lack of case law, what the extent of colour marks’ scope of protection is. Are colours actually worth protecting? The purpose of this thesis is to examine the scope of protection of registered abstract colour marks from an EU perspective. Through this examination it will also be established whether colours are worth protecting. The essential function of trade marks is to indicate the origin of products. Signs that are capable of being represented graphically and capable of distinguishing goods and services from one undertaking from those of other undertakings can be registered as trade marks. Colours can fulfil these criteria in certain circumstances, however, colours can practically never have distinctive character per se. Instead, they must have acquired distinctive character through use. Since it is quite difficult to register colour marks, a colour mark proprietor should be prepared to have the validity of his trade mark challenged if he issues proceedings for infringement. There are a few national cases from EU Member States that have concerned infringement of colour marks, and in all of these the plaintiff was successful in claiming infringement. Through the decisions in these cases, general legal principles and statements made in literature, the scope of protection of colour marks has been examined. Infringement of a colour mark occurs in three different situations: where there is likelihood of confusion, where there is double identity and where there is dilution of a trade mark with a reputation. Some of the most important findings are that confusingly similar colours include adjacent shades, but in order to prove likelihood of confusion, the infringing colour must probably be perceived by the public as an indication of origin and other signs that appear together with the colour must probably be taken into account, which limits the scope of protection to some extent. However, since colour marks must almost always have acquired distinctive character through use, consumers are used to perceiving that colour as a trade mark in relation to those types of goods/services, and are therefore more likely to do so also when the colour is used by the third party. Furthermore, there have to be an individual assessment in each case in order to determine whether surrounding signs exclude a likelihood of confusion, where all factors should be considered, including the distinctiveness of the colour mark and how clear and prominent the other signs are. In situations of double identity, the infringing sign does not have to be used as a trade mark, which is advantageous for colour mark owners. Furthermore, identical colours can possibly include other shades if they are so similar that the difference is barely perceptible in a direct comparison. Colour marks can often qualify as trade marks with a reputation, since the assessment of whether trade marks have a reputation is similar to the assessment of whether trade marks have acquired distinctive character through use. Trade marks with a reputation has an extended protection meaning that if a third party uses a sign that is identical or similar to a trade mark with a reputation, and that use without due cause takes unfair advantage of, or is detrimental to, the distinctive character or repute of the trade mark, then that use constitutes infringement. This applies both in relation to identical, similar and dissimilar products, however, it will probably only apply in relation to identical or similar products when it comes to colour marks, due to the extensive use of colours in the market. The extended protection could be relevant in particular in situations where likelihood of confusion cannot be proven, because the public does not perceive the infringing sign as a trade mark or because of surrounding prominent signs. This examination shows that the scope of protection of colour marks is not great, it has some weaknesses. However, it is definitely not worthless either, which clearly shows in the fact that the plaintiffs were successful in claiming infringement in all of the infringement cases. By registering a colour as a trade mark, a company can to some extent stop others from using the same or similar colour, and it will also most likely have a discouraging effect. However, some carefulness should still be applied in relation to colour marks, since this is still a very new phenomenon and additional case law can take another direction. But considering how the situation looks today, colours are worth protecting as trade marks.
124

論著作權侵權精神損害賠償歸責問題 / Study of responsibility in mental compensation for copyright infringement

張巍 January 2006 (has links)
University of Macau / Faculty of Law
125

Are Colours Worth Protecting? : An Examination of Abstract Colour Marks’ Scope of Protection

Nilsson, Jennie January 2009 (has links)
<p>In the search for companies to distinguish themselves from the mass, so called non-traditional trade marks have become increasingly popular, and in particular colour marks. It is now clear that abstract colour marks can be registered as trade marks, and the number of registered colour marks has increased considerably in recent years. However, it remains a lot more uncertain, mainly due to lack of case law, what the extent of colour marks’ scope of protection is. Are colours actually worth protecting? The purpose of this thesis is to examine the scope of protection of registered abstract colour marks from an EU perspective. Through this examination it will also be established whether colours are worth protecting.</p><p>The essential function of trade marks is to indicate the origin of products. Signs that are capable of being represented graphically and capable of distinguishing goods and services from one undertaking from those of other undertakings can be registered as trade marks. Colours can fulfil these criteria in certain circumstances, however, colours can practically never have distinctive character per se. Instead, they must have acquired distinctive character through use. Since it is quite difficult to register colour marks, a colour mark proprietor should be prepared to have the validity of his trade mark challenged if he issues proceedings for infringement.</p><p>There are a few national cases from EU Member States that have concerned infringement of colour marks, and in all of these the plaintiff was successful in claiming infringement. Through the decisions in these cases, general legal principles and statements made in literature, the scope of protection of colour marks has been examined. Infringement of a colour mark occurs in three different situations: where there is likelihood of confusion, where there is double identity and where there is dilution of a trade mark with a reputation.</p><p>Some of the most important findings are that confusingly similar colours include adjacent shades, but in order to prove likelihood of confusion, the infringing colour must probably be perceived by the public as an indication of origin and other signs that appear together with the colour must probably be taken into account, which limits the scope of protection to some extent. However, since colour marks must almost always have acquired distinctive character through use, consumers are used to perceiving that colour as a trade mark in relation to those types of goods/services, and are therefore more likely to do so also when the colour is used by the third party. Furthermore, there have to be an individual assessment in each case in order to determine whether surrounding signs exclude a likelihood of confusion, where all factors should be considered, including the distinctiveness of the colour mark and how clear and prominent the other signs are.</p><p>In situations of double identity, the infringing sign does not have to be used as a trade mark, which is advantageous for colour mark owners. Furthermore, identical colours can possibly include other shades if they are so similar that the difference is barely perceptible in a direct comparison.</p><p>Colour marks can often qualify as trade marks with a reputation, since the assessment of whether trade marks have a reputation is similar to the assessment of whether trade marks have acquired distinctive character through use. Trade marks with a reputation has an extended protection meaning that if a third party uses a sign that is identical or similar to a trade mark with a reputation, and that use without due cause takes unfair advantage of, or is detrimental to, the distinctive character or repute of the trade mark, then that use constitutes infringement. This applies both in relation to identical, similar and dissimilar products, however, it will probably only apply in relation to identical or similar products when it comes to colour marks, due to the extensive use of colours in the market. The extended protection could be relevant in particular in situations where likelihood of confusion cannot be proven, because the public does not perceive the infringing sign as a trade mark or because of surrounding prominent signs.</p><p>This examination shows that the scope of protection of colour marks is not great, it has some weaknesses. However, it is definitely not worthless either, which clearly shows in the fact that the plaintiffs were successful in claiming infringement in all of the infringement cases. By registering a colour as a trade mark, a company can to some extent stop others from using the same or similar colour, and it will also most likely have a discouraging effect. However, some carefulness should still be applied in relation to colour marks, since this is still a very new phenomenon and additional case law can take another direction. But considering how the situation looks today, colours are worth protecting as trade marks.</p>
126

Lagval för upphovsrättsliga förpliktelser : Om artikel 8 i Rom II-förordningen / Choice of law for copyright obligations : Article 8 of the Rome II-regulation

Jönsson, Tobias January 2010 (has links)
<p>Den här uppsatsen syftar till att utreda vilket lands lag som blir tillämplig vid en internationell tvist gällande utomobligatoriska förpliktelser vid immaterialrättsintrång, särskilt vid upphovsrättsintrång. Tyngdpunkten ligger i de problem som uppstår då någon gör sig skyldig till ett upphovsrättsintrång med relation till flera länder.</p><p>Utgångspunkten är Rom II-förordningen och dess åttonde artikel. I artikeln stadgas det att tillämplig lag för en utomobligatorisk förpliktelse som har sin grund i ett immaterialrättsintrång skall vara lagen i det land där skydd görs gällande.</p><p>Vad innebär då uttrycket ”där skydd görs gällande”? När det gäller registrerade rättigheter, såsom patent och varumärken, innebär artikeln att tillämplig lag ska var lagen i det land där rättigheten är registrerad. Det går dock inte att tillämpa samma princip på oregistrerade rättigheter. När det gäller oregistrerade rättigheter ska istället lagen i det land där intrånget skett vara tillämplig.</p><p>Upphovsrätt är en sådan oregistrerad rättighet som, enligt svensk rätt, uppstår så fort verket är färdigt och har uppnått en viss verkshöjd. Det här synsättet görs även gällande i de flesta andra länder i världen då upphovsrätten i mångt och mycket bygger på Bernkonventionens lydelse från 1886.</p><p>Svårigheten som domstolarna kommer att ställas inför är då någon gör sig skyldig till ett upphovsrättsintrång med relation till flera länder. Eftersom skyddet görs gällande i det land där intrånget skett blir frågan om vilket lands lag som ska vara tillämplig i dessa fall.</p><p>Domstolarna kommer att behöva ta ställning och i den här uppsatsen framställs en del förslag till möjliga lösningar.</p><p>Uppsatsen diskuterar även om reglerna i artikel 8 Rom II-förordningen är de bästa då det gäller upphovsrättsintrång generellt.</p> / <p>This essay aims to investigate which national law that is applicable to an international dispute concerning non-contractual obligations in international property rights (IPR) violations, particularly in copyright infringement. The emphasis lies on the problems that arise when someone is found guilty of copyright infringement with a connection to several countries.</p><p>The starting point is the Rome II-regulation and its eighth article. The article states that the law applicable to a non-contractual obligation arising from an infringement of an intellectual property right shall be the law of the country for which protection is claimed.</p><p>What does then the phrase “for which protection is claimed” mean? In the case of registered rights, such as patents and trademarks, the article implies that the applicable law shall be the law of the country where they are registered. It is not possible however to apply the same principle to unregistered rights. In the case of unregistered rights it is instead the law of the country where the violation occurred that shall be applied.</p><p>Copyright is an unregistered right which, according to Swedish law, appears as soon as the work is finished and has reached a certain level of originality. This approach is also applicable in most other countries of the world where copyright law is largely based on the Berne Convention from 1886.</p><p>The difficulty that courts will face is when someone is claimed guilty of a copyright infringement with a connection to several countries. Given that protection is claimed in the country where the violation occurred, the question will be of which national law that should be applied in these cases.</p><p>The courts will have to take a position and this paper presents some possible solutions. The essay also discusses if the rules of article 8 of the Rome II-regulation are the best applicable rules in the case of copyright infringement in general.</p>
127

Lagval för upphovsrättsliga förpliktelser : Om artikel 8 i Rom II-förordningen / Choice of law for copyright obligations : Article 8 of the Rome II-regulation

Jönsson, Tobias January 2010 (has links)
Den här uppsatsen syftar till att utreda vilket lands lag som blir tillämplig vid en internationell tvist gällande utomobligatoriska förpliktelser vid immaterialrättsintrång, särskilt vid upphovsrättsintrång. Tyngdpunkten ligger i de problem som uppstår då någon gör sig skyldig till ett upphovsrättsintrång med relation till flera länder. Utgångspunkten är Rom II-förordningen och dess åttonde artikel. I artikeln stadgas det att tillämplig lag för en utomobligatorisk förpliktelse som har sin grund i ett immaterialrättsintrång skall vara lagen i det land där skydd görs gällande. Vad innebär då uttrycket ”där skydd görs gällande”? När det gäller registrerade rättigheter, såsom patent och varumärken, innebär artikeln att tillämplig lag ska var lagen i det land där rättigheten är registrerad. Det går dock inte att tillämpa samma princip på oregistrerade rättigheter. När det gäller oregistrerade rättigheter ska istället lagen i det land där intrånget skett vara tillämplig. Upphovsrätt är en sådan oregistrerad rättighet som, enligt svensk rätt, uppstår så fort verket är färdigt och har uppnått en viss verkshöjd. Det här synsättet görs även gällande i de flesta andra länder i världen då upphovsrätten i mångt och mycket bygger på Bernkonventionens lydelse från 1886. Svårigheten som domstolarna kommer att ställas inför är då någon gör sig skyldig till ett upphovsrättsintrång med relation till flera länder. Eftersom skyddet görs gällande i det land där intrånget skett blir frågan om vilket lands lag som ska vara tillämplig i dessa fall. Domstolarna kommer att behöva ta ställning och i den här uppsatsen framställs en del förslag till möjliga lösningar. Uppsatsen diskuterar även om reglerna i artikel 8 Rom II-förordningen är de bästa då det gäller upphovsrättsintrång generellt. / This essay aims to investigate which national law that is applicable to an international dispute concerning non-contractual obligations in international property rights (IPR) violations, particularly in copyright infringement. The emphasis lies on the problems that arise when someone is found guilty of copyright infringement with a connection to several countries. The starting point is the Rome II-regulation and its eighth article. The article states that the law applicable to a non-contractual obligation arising from an infringement of an intellectual property right shall be the law of the country for which protection is claimed. What does then the phrase “for which protection is claimed” mean? In the case of registered rights, such as patents and trademarks, the article implies that the applicable law shall be the law of the country where they are registered. It is not possible however to apply the same principle to unregistered rights. In the case of unregistered rights it is instead the law of the country where the violation occurred that shall be applied. Copyright is an unregistered right which, according to Swedish law, appears as soon as the work is finished and has reached a certain level of originality. This approach is also applicable in most other countries of the world where copyright law is largely based on the Berne Convention from 1886. The difficulty that courts will face is when someone is claimed guilty of a copyright infringement with a connection to several countries. Given that protection is claimed in the country where the violation occurred, the question will be of which national law that should be applied in these cases. The courts will have to take a position and this paper presents some possible solutions. The essay also discusses if the rules of article 8 of the Rome II-regulation are the best applicable rules in the case of copyright infringement in general.
128

Brevets : rédaction et interprétation des revendications, validité et contrefaçon

Bernardin, Steve 08 1900 (has links)
Ce mémoire traite des brevets d'invention. Le premier volet dresse un portrait global de l'institution juridique du brevet, tout en en rappelant sommairement les fondements économique et philosophique. Après une brève présentation des conditions préalables à sa délivrance, nous discutons des composantes matérielles du brevet, soit la description de l’invention et les revendications. Une attention particulière est portée à la rédaction ainsi qu'à l'interprétation des revendications. Nous traitons ainsi de deux types de revendications spécialisées qui se sont développés avec l'usage, respectivement les revendications de type Jepson et Markush, pour ensuite recenser les principes d'interprétation des revendications que les tribunaux ont établis. Le deuxième volet traite de la validité et de la contrefaçon de brevet. Sur la question de la validité, nous abordons les principaux motifs pouvant entraîner l'invalidité du brevet, soit: l’ambiguïté, l'insuffisance de la divulgation, le double brevet, l'absence de nouveauté, l'évidence et l'absence d'utilité. Enfin, sur la question de la contrefaçon, nous examinons les circonstances dans lesquelles les actes commis par les tiers portent atteinte au monopole du titulaire de brevet. Pour ce faire, nous nous attardons à la portée des droits exclusifs qui sont reconnus à ce dernier. Tant en ce qui a trait à la validité qu'à la contrefaçon, nous recourons à des illustrations jurisprudentielles permettant de constater les incidences litigieuses afférentes, d'une part, aux motifs d'invalidité et, d'autre part, aux actes de contrefaçon. / This thesis pertains to patent law. The first part of the study is an overview of patents, where both economic and philosophical justifications for this legal regime are shortly addressed. After reviewing the requirements for the grant of a patent, we turn our attention to the main sections of a patent, namely the description of the invention and the claims. We then proceed to a thorough analysis of both the writing and construction of patent claims. More specifically, Jepson and Markush claims command our attention, having emerged as widespread methods for writing patent claims. Moreover, principles of claim construction, as devised by courts in the context of litigation, are also examined. The second part of this study pertains to patent validity and infringement. Regarding validity, we discuss a number of irregularities that may be cause for the invalidity of a patent, namely: ambiguity, insufficiency of the disclosure, double patenting, anticipation, obviousness and lack of utility. Lastly, with respect to infringement, we consider the circumstances from which it may arise, based on the actions of a third party alleged to be in violation of the patentee’s monopoly. This is carried by way of appraising the extent of said patentee's exclusive rights. With respect to both validity and infringement, we discuss case law pertaining, in a first instance, to validity issues and, in a second instance, to infringement matters.
129

Die kulkuns van die letterdief : 'n ondersoek na plagiaat in die Suid-Afrikaanse gedrukte media, met spesiale verwysing na drie onlangse gevallestudies

Hugo, Carina 04 1900 (has links)
Assignment (MPhil)--University of Stellenbosch, 2006. / ENGLISH ABSTRACT: Since 2003 various incidents of plagiarism in the South African media were reported. The South African copyright law does not define plagiarism, only copyright infringement. The issue of plagiarism is a complex one, due to the conflicting views within professional, intellectual, social, moral and legal contexts. The advent of the Internet era saw the eradication of the boundaries guarding copyright ownership. Also, the Internet offers infinite access to information which makes it tempting for any journalist to “borrow” quotes, facts, stories and articles freely and under the auspices of a post-modernist approach to knowledge and copyright ownership. Most media companies have ethical codes which cover plagiarism, but there is no working document that can empower media managers and journalists to combat the problem effectively. This document should define the boundary between negligence and plagiarism and offer suggestions on how to approach cases of plagiarism. This study investigates different theories on plagiarism, specifically with regard to the cases of Darrel Bristow-Bovey, Cynthia Vongai and Willem Pretorius. It will also study the ethical codes of media companies and will try to formulate a document which can address the problem of plagiarism. / AFRIKAANSE OPSOMMING: Talle voorvalle van plagiaat in die Suid-Afrikaanse drukmedia het sedert 2003 plaasgevind. Die Suid-Afrikaanse wet omskryf nie plagiaat nie, slegs outeursregskending en met die talle teenstrydige opvattings oor plagiaat binne professionele, intellektuele, sosiale, morele en regskringe, word plagiaat moeilik gedefinieer. Met die toeganklikheid van inligting danksy die koms van onder meer die Internet, het die grense van eienaarskap van geskrewe werke begin vervaag. Veral die Internet bied ’n magdom inligting aan. Dit word al hoe makliker vir joernaliste om met gemak aanhalings, feite, stories en artikels te “leen” sonder die nodige erkenning. Die meeste media-instellings beskik oor etiese kodes wat plagiaat dek, maar daar is nie werksdokumente wat bestuurders en joernaliste kan bemagtig om plagiaat te bekamp nie. Die werksdokument of handleiding behoort die grense tussen nalatigheid en plagiaat te definieer, en om voorstelle te bied oor hoe gevalle van plagiaat hanteer kan word nie. Hierdie studie ondersoek verskillende teorieë oor plagiaat, bespreek die plagiaatgevalle van Darrel Bristow-Bovey, Cynthia Vongai en Willem Pretorius, bestudeer die etiese kodes van media-instellings en poog om ’n werksdokument saam te stel wat plagiaat kan bekamp.
130

Conflito, diálogo e permanência: o professor mediador, o adolescente que cometeu ato infracional e a escola / Conflict, dialog and permanence: the teacher-mediator, the teenager who has committed an infringement and the school

Rocha, Maria Fernanda Jorge 26 February 2014 (has links)
Made available in DSpace on 2016-06-02T20:44:15Z (GMT). No. of bitstreams: 1 5868.pdf: 1787857 bytes, checksum: dc1e4f32bfc51c01f50682e1e67d27f6 (MD5) Previous issue date: 2014-02-26 / The role of teacher-mediator has been instituted in the state of São Paulo by the Resolution 19 of the State Education Department in 2010, which has established the School Protection System, which has as its goal to coordinate the planning and execution of measures that support conflict prevention, mediation, and resolution within the school environment. This work has aimed to study the strategies of intervention of the teacher-mediator of the school and community in order to support the school permanence of the teenagers who have committed an infringement, from the perspective of the youth in social vulnerability and of the school as an environment which its access and permanence, with quality, should be a right for all. In order to do so, there has been conducted a profiling of the teacher mediators enrolled to the Education Board of the Municipality of São Carlos SP, through the use of a questionnaire designed for this purpose. Then, with the intent of understanding the strategies and actions of these teachers for supporting the permanence of those teenagers in the school network, there have been conducted in-depth interviews with seven teachers who alleged having had previous working experiences with this kind of adolescent. It has been verified that the main action plan has been summed up to fighting school dropout, which is a specific intervention focus of the teacher-mediators registered in the Education Board of São Carlos. Also, it was learnt that there is little knowledge and articulation with the city s network for children and adolescent care. Such fact has prevented broadening the work of establishing partnerships beyond those focused in health services, mainly represented by the Psychosocial Care Center focused in alcohol and other drugs abuse (CAPS ad), the social protection services, the public safety and the Guardianship Council. In regard of the adolescents in focus, it has been verified that constructive dialogues are the main tool for intervention, along with the teachers effort to make awareness about keeping distance from infringement practices. The weakness of the intervention practices for these teenagers is evidence of the need of deepening the discussions and perspectives for facing this issue, regardless of teenagers who have committed an infringement or who are under socio educative probation being enrolled in the schools that these teachers work at. Therefore, it is necessary to construct a behavior for the teacher- mediators to act in the opposite direction of what has been established by the schools: the adolescent who has committed an infringement as a source of conflict, who must be avoided. / A função de professor mediador foi instituída no estado de São Paulo, pela Resolução &#8470; 19, da Secretaria de Estado da Educação, no ano de 2010, com a implantação do Sistema de Proteção Escolar, que tem como objetivo coordenar o planejamento de execução de medidas de prevenção, mediação e resolução de conflitos no ambiente escolar. Este trabalho teve como propósito conhecer as estratégias de ação do professor mediador escolar e comunitário para a permanência na rede de ensino do adolescente que cometeu ato infracional, sob a ótica da juventude em situação de vulnerabilidade social e da escola como lócus cujo acesso e permanência, com qualidade, devem ser um direito de todos. Para tanto, foi realizada uma caracterização dos professores mediadores pertencentes à Diretoria de Ensino - Região de São Carlos SP, com a aplicação de um questionário elaborado para este fim. Posteriormente, com o objetivo de conhecer as estratégias e ações desse professor para a permanência do adolescente em questão na rede de ensino, foram realizadas entrevistas em profundidade com sete professores que relataram terem tido experiência com esse adolescente em sua prática. Foi verificado que a principal proposta de ação resumiu-se ao combate da evasão escolar, foco de intervenção específico dos professores mediadores da Diretoria de Ensino Região de São Carlos, além de pouco conhecimento e articulação com a rede de atenção à criança e adolescente no município, o que impediu maior amplitude do trabalho, no sentido do estabelecimento de parcerias além daquelas voltadas aos serviços de saúde, representado, sobretudo pelo CAPS ad Centro de Atenção Psicossocial voltado para o cuidado com relação ao uso de álcool e outras drogas, aos serviços de proteção social, à segurança pública e ao Conselho Tutelar. Com relação ao adolescente em tela, verificou-se o diálogo como o principal instrumento de intervenção e a implicação do professor em buscar conscientizá-lo quanto à necessidade de manter-se afastado de práticas infracionais. A fragilidade das práticas de trabalho com esse adolescente evidencia a necessidade de aprofundamento das discussões e posicionamentos diante do tema, independentemente de haver na escola em que o professor atua um adolescente que tenha cometido ato infracional ou que esteja em cumprimento de medida socioeducativa. Diante disso, é necessário pensar uma atuação dos professores mediadores na contra-mão daquilo que a própria escola estabelece: o adolescente que cometeu ato infracional como um causador de conflito, o qual deve ser evitado.

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