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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.
271

”Det är ju inte direkt så att man kan ta ett jobb i kassan på ICA.” : -En sociologisk studie om hur arbetsmarknaden upplevs av akademiskt utbildade personer med funktionsnedsättning

Roxell, Josefine, Strandberg, Olivia January 2018 (has links)
The aim of this study is to examine the description of experiences in the field of employment for people with disabilities who hold academic qualifications. The collection of empirical data has been prepared through semi-structured qualitative interviews conducted with five people working in the same industry with various occupational categories.  The report is based on Pierre Bourdieu's theory of capital, field and habitus. According to the study, the majority of those interviewed said that a well-established professional network can be a decisive factor in the search for work and equally important an academic qualification can open up the door to more opportunities in the labor market. Furthermore, a considerable proportion of the interviewees also outlined that due to their disability they do not have the ability to perform all type of work, such as a physical demanding job and they therefore said that to hold an academic qualification facilitates by the fact that the public sector often is less physically demanding. Moreover, the result outlines that the interviewees habitus is very much characterized by the right to be like "everyone else". Social capital also play a significant part in the decision  making regarding higher academic qualifications. / Denna studie syftar till att skapa en djupare förståelse för hur personer i åldern 30-40 år med funktionsnedsättning och akademisk utbildning beskriver sina erfarenheter av arbetsmarknaden. Den insamlade empirin har framtagits genom semi-strukturerade kvalitativa intervjuer med fem personer som arbetar inom samma bransch inom olika yrkeskategorier. Den teori som studien utgått ifrån har varit Pierre Bourdieus teori om kapital, fält och habitus. Studiens resultat visar att den studerade gruppen beskrivit att ett stort kontaktnät kan vara en avgörande faktor vid arbetssökandet samt att en akademisk utbildning öppnar upp fler möjligheter på arbetsmarknaden. Flertalet av intervjupersonerna har beskrivit att deras funktionsnedsättning medför att de inte har möjlighet att utföra alla typer av arbeten som till exempel ett fysiskt arbete. En akademisk utbildning underlättar då genom att tjänstemannayrken ofta är mindre fysiska. Vidare visade resultatet att intervjupersonerna habitus präglas mycket av rätten att vara som "alla andra". Det sociala kapitalet spelar även en viktig roll för valet av vidareutbildning då studien visat att samtliga intervjupersoner har minst en förälder med en akademisk bakgrund.
272

Vegetação rupestre associada á floresta estacional no sul do Brasil

Rocha, Fernando Souza January 2009 (has links)
Formações rupestres representam centros de diversidade taxonômica e funcional associadas a condições ambientais extremas. São também sítios para colonização por espécies florestais, normalmente associada a mecanismos de facilitação. A distribuição das espécies, determinada por seu nicho e por mecanismos neutros, resulta na variação da composição entre comunidades (diversidade beta). Neste trabalho pretendemos avaliar se a vegetação rupestre apresenta-se, taxonômica e funcionalmente, distinta da matriz florestal regional, analisar possíveis interações positivas entre espécies associadas ao avanço da floresta sobre a vegetação rupestre e determinar como a composição de espécies arbóreas no gradiente floresta-afloramento rochoso é limitada por dinâmicas neutras, de nicho ou ambas ao longo da ontogenia. Estudamos a vegetação sobre afloramentos basálticos no Parque Estadual do Turvo, sul do Brasil. A flora das comunidades rupestres foi estudada a campo durante dois anos. As espécies foram classificadas em formas de vida com base na literatura e observação no campo. Para avaliarmos a ocorrência de facilitação e os padrões de diversidade beta arbórea amostramos comunidades de espécies arbóreas em três ecótonos de floresta/afloramento rochoso. Em cada sítio estabelecemos 60 parcelas de 1.5 x 1.5 m ao longo do gradiente. As parcelas foram descritas pela cobertura de Bromelia balansae Mez e pela composição de espécies, separadas em quatro classes de tamanho, representando as diferentes fases ontogenéticas dos indivíduos. Avaliamos diferenças taxonômicas e funcionais entre a vegetação rupestre e a flora regional através de testes de qui-quadrado e os efeitos dos diferentes fatores através de testes de aleatorização uni e multivariados. Registramos 111 espécies, das quais 43 de ocorrência restrita aos afloramentos, distribuídas em 54 famílias botânicas. O espectro de formas de vida teve grande frequência de caméfitos (29.7%), nanofanerófitos (17.1%) e geófitos (15.3%). Entre as espécies de ocorrência restrita, geófitos (32.6%), caméfitos (25.6%) e nanofanerófitos (20.9%) como foram as mais frequentes. Testes de 2 indicaram diferenças significativas nas frequências de famílias e de formas de vida entre os ambientes. Nossos resultados indicaram uma associação positiva entre a cobertura de bromélias e a riqueza e a abundância de plântulas de espécies arbóreas. Aparentemente, maiores coberturas por B. balansae fornecem proteção contra a herbivoria, indistintamente, e amenização das severas condições ambientais, favorecendo o estabelecimento de espécies pioneiras da floresta. Os testes multivariados indicaram efeito significativo do fator sítio sobre a diversidade beta, em todas as classes de tamanho, e do fator gradiente somente para duas classes de tamanho analisadas. A vegetação rupestre apresentou uma flora distinta, florística e funcionalmente, com uma grande similaridade a outras formações rupestres neotropicais, mas com expressivo número de espécies arbóreas. Plântulas destas espécies, aparentemente, beneficiam-se da presença de B. balansae, o que pode levar à redução gradual da vegetação rupestre neste mosaico floresta/afloramentos. Entender como as comunidades arbóreas têm sua distribuição determinada por limitações de dispersão e de nicho pode levar a uma melhor compreensão dos processos que geram e mantêm a diversidade. / Rocky outcrops are centers of taxonomic and functional diversity with extreme environmental conditions. They also are sites for colonization by forestry species, usually related to facilitation mechanisms. The species distribution set by niche and neutrals mechanisms results in the variation of composition among communities (beta diversity). The goals of this work are evaluate if rocky outcrops are taxonomically and functionally different from the surrounding forest, study the possible positive interactions among species related to the advance of the forest over the rupestrian vegetation and determine how the composition of arboreal species in the interface forest/rocky outcrop is limited by neutral, niche or both dynamics along the ontogeny. We studied the vegetation of basaltic rocky outcrops at the Turvo State Park, south Brazil. The flora from rupestrian communities was analyzed at field during two years. Species were classified into life forms based on literature and field observations. To evaluate the patterns of arboreal beta diversity and the occurrence of facilitation between plants we sampled arboreal species in three forest/rocky outcrop ecotones. In each rocky outcrop we established 60 plots of 1.5 x 1.5 m along the forest-rocky outcrop ecotone. We described each plot in terms of Bromelia balansae Mez cover and the composition of tree species, separated into four size classes, representing different ontogenetic stages of individuals. The taxonomic and functional differences between the rupestrian vegetation and regional flora were analyzed with the chi-square test and the effects of different factors were analyzed with randomization tests uni-and multivariate. We registered 111 species, 43 of which restricted to the rocky outcrops, distributed in 54 botanic families. The life form spectrum showed a high proportion of chamaephytes (29.7%), nanophanerophytes (17.1%) and geophytes (15.3%). The flora restricted to rocky outcrops showed more frequently geophytes (32.6%), chamaephytes (25.6%) and nanophanerophytes (20.9%). Chi-square tests indicated significant differences in frequencies among environments, for both families and life forms. Our results showed that the coverage of bromeliads is positively correlated to the richness and abundance of seedlings of arboreal species. It seems that higher cover by B. balansae gives protection against herbivory indistinctively, and also reduces the effects of severe environmental conditions, allowing the settlement of forest pioneers species. Multivariate tests showed significant effect of the site factor on the beta diversity in all classes of size and significant effect of the gradient factor only on two size classes evaluated. The rupestrian vegetation is distinct floristically and functionally, showing high floristic similarity with other neotropical rupestrian formations, but has high number of arboreal species. Seedlings of arboreal species seem to have benefit from the presence of B. balansae, which can cause a gradual reduction of the rupestrian vegetation in the forest and rocky outcrop mosaic. Understanding how the distribution of arboreal communities is determined by limitations of dispersal and niche can improve the comprehension of the dynamics that generate and maintain diversity.
273

The Impact of the Tax Revolt and School Reform on Oregon Schools during the 1990s

Cookler, Beth 11 August 2014 (has links)
When Oregon voters passed the property tax limitation initiative, Measure 5, and the state legislature enacted school reform under the Oregon Educational Act for the 21st Century during the 1990-91 school year, the trajectory of public schooling in the state changed significantly. After Oregon's tax revolt, the state legislature also enacted legislation that equalized school funding throughout the state. The combination of equalization and the Measure 5 step-down to the $5 per $1000 tax limitation led to a decrease in statewide school funding over the decade. Many wealthy urban districts experienced years of budget cuts, while rural districts received additional funding. Despite differences in school funding, teachers emphasized the importance of student teacher relationships for teaching and learning. This thesis traces the history, passage, and implementation of these pieces of legislation and evaluates the impact of school funding and school reform, two simultaneous but uncoordinated movements, on the school system in the state. Through historical research and oral history interviews with teachers from the large urban district, Portland Public School, and the small rural district, Nyssa School District, this thesis demonstrates that teachers experienced school reform similarly. When school reform implementation relied upon teachers' collaboration to align, develop, and assess curriculum, teachers embraced change. However, when school reform shifted from outcome-based to standards-based, teachers disengaged from the reform process. They rejected reform when standardized testing drove the curriculum, was deemed irrelevant to the lives of their students, utilized inauthentic assessment, did not treat teachers as professionals, and disregarded teachers' knowledge and skills. Teachers viewed their profession as a craft and disagreed with a business model of schools. Taken together, however, school funding and school reform led to a more uniform school system centralized by the state.
274

An evaluation of the use of mediation in environmental dispute resolution under s.268 of the Resource Management Act 1991

Borrie, N. C. January 2002 (has links)
Since the 1970s there has been a growing interest in, and utilisation of, Alternative Dispute Resolution (ADR) techniques to resolve environmental conflicts in western societies. ADR was incorporated into one of New Zealand's main environmental statutes, the Resource Management Act 1991(RMA). Under s.268 of the RMA the Environment Court (the Court) may, if the parties agree, conduct mediation in order to facilitate settlement of resource management disputes. The RMA, which has now been in operation for ten years, gives no guidance as to the way in which mediation is to be conducted. The Court has developed procedures and processes for administering and conducting mediation. This study critically evaluates the practice of Court assisted mediation of environmental disputes under the RMA. A literature review and interviews with stakeholder groups are used in this evaluation. The study shows that mediation generates benefits for the Court and participants. It also identifies limitations with the current mediation procedures and processes. These may impact the effectiveness of participants in mediation, their satisfaction with, and support for, the mediated settlement and with the environmental outcomes. The study recommends a series of guidelines be prepared on the functions and administrative procedures of the Court and on the mediation process promoted by the Court. Further research is also recommended. It is considered that these recommendations, if implemented, will enhance the process for participants, ensure more equitable and consistent environmental outcomes, in terms of present and future generations, and retain public confidence in the mediation process.
275

Study of interactions between processing capacities and language development in children with specific language impairment/ Etude des interactions entre les capacités de traitement et le développement du langage chez des enfants dysphasiques

Leclercq, Anne-Lise 18 February 2011 (has links)
Ce travail est consacré à lévaluation de lhypothèse selon laquelle une limitation des capacités de traitement est à lorigine des troubles langagiers et non langagiers des enfants dysphasiques (ou enfants avec troubles spécifiques du langage, TSL). Les enfants présentant ces troubles montrent des limitations importantes de leurs compétences langagières sans raison apparente (absence de troubles auditifs, intellectuels et affectifs ou de lésions neurologiques). Ces dernières années, la spécificité des troubles langagiers a été remise en cause par de nombreuses études révélant lexistence de difficultés non spécifiquement linguistiques chez les enfants avec TSL, tels que des troubles attentionnels, exécutifs et moteurs. Certains auteurs ont formulé l'hypothèse quune limitation des capacités de traitement est à lorigine des troubles langagiers et non langagiers des enfants avec TSL. Selon cette hypothèse, les troubles langagiers observés chez ces enfants ne sont pas dus à un déficit des représentations linguistiques, mais reflètent une performance limitée par des difficultés à mobiliser lensemble des ressources, linguistiques et/ou non linguistiques, nécessaires à la réalisation de la tâche. Les recherches réalisées ont permis dévaluer si une telle hypothèse permet dexpliquer les performances observées dans deux épreuves linguistiques considérées par plusieurs auteurs comme des marqueurs comportementaux des TSL, les traitements morphosyntaxiques et la répétition de non-mots, en manipulant les processus recrutés ou la quantité de ressources nécessaires lors de la réalisation de la tâche. Nous avons également manipulé la complexité dans une épreuve non linguistique afin détudier si les limitations des capacités de traitement peuvent être considérées comme générales ou si elles savèrent limitées aux traitements linguistiques. Globalement, nos résultats ne sont pas compatibles avec lhypothèse dune limitation des capacités de traitement à lorigine des troubles linguistiques des enfants avec TSL. Ces enfants ne présentent pas de limitation importante de leurs capacités de traitements qui permette dexpliquer leurs troubles langagiers.
276

Slutnurrat för kommunerna? : Räntesnurror ur ett kommunalt perspektiv.

Lavensköld, Rebecca January 2012 (has links)
On the 1st of January 2009, a new regulation regarding interest deduction limitations was enforced. The aim was to prevent tax structure with interest deductions in a community of interest. The changes meant that intra-group share transfers, which generates an intra-group loan structure, can lead to borrower losing their right to deduct interest expenses. Except from the main rule two exceptions were also introduced. These eliminates the limitations, and accept the deductibility despite the above conditions. The exceptions are named ten-percent rule and “ventilen”. It was found that Swedish municipal communities also engaged in such arrangements. As a result of this discovery the Swedish Tax Authority was delegated the task to investigate companies that are in a community of interest with a fully or partially exempted taxpayer in general and its relationship to the tax structure of interest deductions in particular. The application of “ventilen” creates problems regarding the definition of business purpose as well as the relationship between business and organizational purposes. The assessment of organizational purposes is of particular importance for municipal communities of interest where transparency, control and quality assurance are of great importance. Needs of rationalization and organizational changes occurs continually within municipal community groups. Unclarity due to organizational purpose makes these changes, within the municipal communities, problematic. Both municipal communities as well as experts regard the deduction limitations due to municipal community interest unclear. Due to the unclarity a few municipal communities have chosen to switch their internal loans to ones through Kommuninvest. This to avoid the rising risk-taking as any interest deductibility limitations may entail. The Swedish High Administrative Court has in their judgements expressed their support for this kind of loan structure. It is unclear how the law concerning “ventilen” should be applied in regards to municipal communities interest, which also raises questions about “ventilens” compatibility with the principle of legality. The High Swedish Administrative Court has solved the problem, at least for now, by approving an alternative approach, the one including Kommuninvest, which thereby reduces the stress for the Court to come to a conclusion regarding “ventilens” proper functioning and application. / Den 1 januari 2009 trädde en ny lagstiftning i kraft gällande ränteavdragsbegränsningar. Syftet var att förhindra skatteupplägg med ränteavdrag inom en intressegemenskap. Förändringarna innebar att koncerninterna andelsöverlåtelser, som genererar en koncernintern upplåning hänförlig till lånet, kan resultera i att låntagaren förlorar sin avdragsrätt för ränteutgifterna. Till huvudregeln infördes två undantag som undanröjer begräsningen, och godtar avdragsrätt trots ovan förutsättningar. Undantagsreglerna betecknas tioprocentsregeln samt ventilen. Syftet med ränteavdragsbegränsningarna är att förhindra skatteupplägg med ränteavdrag inom intressegemenskaper, och då främst inom privata internationella sådana. Det har dock framkommit att även svenska kommunala intressegemenskaper ägnar sig åt dylika upplägg. Med anledning av denna upptäckt fick SKV i uppdrag att utreda bolag som befinner sig i intressegemenskap med helt eller delvis skattebefriade skattesubjekt i allmänhet samt dess relation till skatteupplägg med ränteavdrag i synnerhet. Tillämpningen av ventilen, i förhållande till kommunala intressegemenskaper, genererar problem gällande såväl definitionen av affärsmässigt samt relationen mellan affärsmässiga och organisatoriska skäl. Bedömning kring organisatoriska skäl blir av stor vikt för kommunala intressegemenskaper där insyn, kontrollutövande och kvalitetssäkring är betydelsefullt. Det uppkommer ständigt behov av effektivisering och förändring för att kunna uppnå en acceptabel nivå av kontroll och inblick i bolagen som kommunen äger och förvaltar.  Då rättsläget enligt kommuner och sakkunniga är oklart har flertalet kommunala intressegemenskaper lagt om sina interna lån via Kommuninvest. Det har gjorts för att undvika det ökade riskatagande som en eventuell förlorad ränteavdragsrätt kan komma att innebära. HFD har i praxis uttryckt sitt stöd för denna typ av omläggning. Gällande rätt bör dock anses vara oklar gällande ventilens tillämpning inom kommunala intressegemenskaper, vilket även väcker frågor kring ventilens kompatibilitet med legalitetsprincipen. HFD kan dock ha ansetts finna en, om än en provisorisk sådan, lösning på problematiken genom att godkänna en omläggning till Kommuninvest som därmed minskar stressen för HFD att komma till en slutsats gällande ventilens korrekta tolkning och tillämpning.
277

La constitutionnalisation du droit du travail et le pouvoir de réglementation de l’employeur en contexte syndiqué : incidence des libertés fondamentales et des droits à l’intégrité, à la dignité et à la vie privée

Dorion, Marie Hélène 05 1900 (has links)
Problématique : Les effets de la constitutionnalisation du droit du travail sur le contrôle arbitral du pouvoir de réglementation de l’employeur. La problématique de notre projet de recherche consiste à évaluer les effets du phénomène de la constitutionnalisation du droit du travail sur le pouvoir de l’employeur d’établir de la réglementation d’entreprise relative au travail, lequel pouvoir est une manifestation concrète de ses droits de direction. Notre projet de recherche, qui se limite au contexte syndiqué, met donc en relation deux grandes dimensions lesquelles sont le pouvoir de réglementation de l’employeur et le phénomène de la constitutionnalisation du droit du travail. Mentionnons que notre projet de recherche s’attarde aux limites, se trouvant tant dans la législation que dans la convention collective, permettant l’encadrement du pouvoir de réglementation de l’employeur. Concernant le phénomène de la constitutionnalisation du droit du travail, notre projet de recherche s’attarde tant à ses fondements qu’à ses effets sur le pouvoir de réglementation de l’employeur, ces derniers effets découlant principalement de la décision Parry Sound, laquelle est à l’effet que tous les droits et obligations prévus dans les lois sont contenus implicitement dans chaque convention collective, quelles que soient les intentions des parties contractantes. Ainsi, notre projet de recherche vise à démontrer empiriquement, en observant la jurisprudence arbitrale, dans quelle mesure le phénomène de la constitutionnalisation du droit du travail, en contexte syndiqué, modifie l’encadrement du pouvoir de réglementation de l’employeur puisque ce dernier doit dorénavant composer avec des normes étatiques fondamentales qu’il n’a ni négociées, ni déterminées. Mentionnons que le concept central de notre recherche se trouve à être le contrôle arbitral du pouvoir de réglementation de l’employeur relativement à la réglementation d’entreprise susceptible de faire intervenir les dispositions 1, 3, 4 et 5 de la Charte des droits et libertés de la personne et qu’il vise la classification dudit contrôle arbitral en deux grandes logiques : la logique I préalablement à la décision Parry Sound et la logique II postérieurement à cette même décision. Ainsi, notre hypothèse dominante est à l’effet qu’en matière de contrôle arbitral du pouvoir de réglementation de l’employeur, deux logiques existent et que dans une logique II, le contrôle arbitral est modifié en ce que les arbitres, situent au sommet de la hiérarchie des aspects à évaluer, la conformité de la réglementation d’entreprise aux dispositions de la Charte susmentionnées. / Issue : The effects of the « constitutionalization » of labor law on the arbitral review of employers’ regulatory power. Our research consists in evaluating the effects of the « constitutionalization » of labor law on employers’ regulatory power to establish corporate regulation related to work. Our research is limited to the unionized workplace and brings together two concepts: employers’ regulatory power which comes from their management rights and the « constitutionalization » of labor law. Our research concerns mainly the boundaries, both statutory and contractual, to employers’ regulatory power, which boundaries offer a legal framework to the application of said power. With regard to the « constitutionalization » of labor law, our research presents both its substance and effects on employers’ regulatory power. These effects are mainly consequences of the Supreme Court’s decision in the Parry Sound case, stating that every collective agreement benefits from an implicit content including all human rights and employment-related legislation. Thus, our research aims to demonstrate, while observing the arbitral jurisprudence, the extent to which the « constitutinalization » of labor law, in unionized workplaces, can modify the boundaries of employers’ regulatory power since they must now compose with fundamental standards that they have neither negotiated nor established. The central concept of our research is the arbitral review of employers’ regulatory power related to corporate regulation, wherein provisions 1, 3, 4 and 5 of the Charte des droits et libertés de la personne are likely to be found applicable. More specifically, our research aims to classify said arbitral review into two different logics: Logic 1 before Parry Sound and Logic 2 after Parry Sound. Therefore, our main hypothesis is that two logics exist when we refer to the arbitral review of employers’ regulatory power and that, when applying Logic II, the arbitral review is modified since the arbitrators tend to prioritize the compliance of the corporate regulation with the above-mentioned provisions of the Charte des droits et libertés de la personne.
278

Facteurs socioenvironnementaux associés à la prévalence des limitations d’activités au Québec

Philibert, Mathieu 02 1900 (has links)
Objectifs : Cette thèse porte sur l’association entre les caractéristiques socioenvironnementales des voisinages (milieux locaux) et la prévalence des limitations d’activités (ou handicap) dans la population québécoise. Elle a trois objectifs principaux : (1) clarifier les enjeux conceptuels et méthodologiques relatifs à l’étude des déterminants socioenvironnementaux des limitations d’activités; (2) décrire les contributions respectives de la composition socioéconomique des voisinages et de facteurs contextuels à la variabilité locale de la prévalence des limitations d’activités; (3) évaluer la présence d’interactions entre la santé fonctionnelle des personnes (incapacité) et des caractéristiques des voisinages en lien avec la prévalence des limitations d’activités. Méthodes : Une analyse de la littérature scientifique a été effectuée en lien avec le premier objectif de la thèse. En lien avec le deuxième objectif, des données pour le Québec du recensement canadien de 2001 (échantillon de 20% de la population) ont été utilisées pour estimer l’association entre la prévalence des limitations d’activités et des caractéristiques des voisinages : classification urbain-rural, composition socioéconomique (défavorisation matérielle et sociale) et facteurs contextuels (qualité des habitations, stabilité résidentielle et utilisation des transports actifs et collectifs). En lien avec le troisième objectif, des données pour la population urbaine du Québec issues de l’Enquête sur la santé dans les collectivités canadiennes (2003, 2005 et 2007/2008) ont permis de tester la présence d’interaction entre la santé fonctionnelle des personnes et des caractéristiques des voisinages (défavorisation matérielle et sociale, qualité des habitations, stabilité résidentielle et densité des services). Pour les analyses associées aux deux derniers objectifs, l’analyse des corrélats de la prévalence des limitations d’activités a été effectuée à l’aide de régressions logistiques multiniveaux. Résultats : Différents éléments conceptuels et opérationnels limitent la possibilité de faire une synthèse des analyses épidémiologiques portant sur les influences socioenvironnementales sur les limitations d’activités. Les résultats des analyses empiriques suggèrent que : (1) la variation géographique de la prévalence des limitations d’activités s’explique en grande partie par la composition socioéconomique des voisinages; (2) des facteurs contextuels sont associés à cette variation géographique; (3) les mesures relatives d’inégalités sous-estiment les disparités contextuelles dans la distribution des nombres absolus de personnes ayant une limitation d’activités; et (4) l’association entre la prévalence des limitations d’activités et la défavorisation sociale pourrait varier selon la santé fonctionnelle des personnes. Conclusions : Différentes caractéristiques socioenvironnementales sont potentiellement associées aux variations géographiques des limitations d’activités au Québec. Le développement d’indicateurs socioenvironnementaux favoriserait une connaissance plus précise de l’influence de ces caractéristiques socioenvironnementales sur les limitations d’activités et des mécanismes par lesquels s’exerce cette influence. L’établissement d’un système national de surveillance des aménagements territoriaux est proposé afin de soutenir la recherche et la prise de décision. Des indicateurs locaux d’accessibilité aux transports, aux espaces publics ainsi qu’aux services de proximité devraient être priorisés. Ces aspects de l’aménagement du territoire sont susceptibles de rejoindre plusieurs enjeux de santé publique et ils ont comme autre avantage d’être inclus dans différentes orientations québécoises ciblant le vieillissement en santé et la réduction des limitations d’activités. / Objectives: This thesis explores the socioenvironmental features of neighbourhoods (local areas) associated with disability prevalence in Québec. It has three main objectives: (1) clarify conceptual and operational issues relevant to the study of socioenvironmental determinants of disability; (2) describe the particular contribution of neighbourhoods’ socioeconomic composition and contextual features to the local variability in disability prevalence; (3) test for interactions between individual-level functional health and neighbourhoods’ characteristics in relation to disability prevalence. Methods: A literature review of the epidemiological literature was undertaken in relation with the first objective. Analyses of correlates of disability prevalence were conducted using multi-level logistic regressions. Per the second objective, data for Québec from the 2001 Canada census (sample of 20% of the population) were used to estimate the associations between disability prevalence and neighbourhoods’ characteristics: urban-rural classification, socioeconomic composition (material and social deprivation) and contextual features (housing quality, residential stability, and collective and active commuting). In relation with the third objective, data for the Québec urban population from the Canadian community heath survey (2003, 2005 and 2007/2008) were used for assessing the presence of interactions between individuals’ functional health and neighbourhoods’ characteristics (material and social deprivation, housing quality, residential stability, and density of services). Results: Various conceptual and operational aspects prevent a straightforward synthesis of epidemiological studies analysing socioenvironmental influences on disability. Results from empirical analyses suggest that (1) geographic variability of disability prevalence is largely attributable to neighbourhood composition; contextual factors are associated to such variability; (3) relative measures of inequality under-estimate the contextual disparities in the distribution of absolute numbers of disabled individuals; and (4) the association between disability prevalence and social deprivation could vary according to individuals’ functional health. Conclusions: Various socioenvironmental characteristics are potentially associated with local variability of disability in Québec. The development of socioenvironmental indicators could contribute to a refined understanding of neighbourhood characteristics’ influence on disability as well as how their influence operates. The creation of a local land-use planning surveillance system is recommended for supporting research and decision-making. Local indicators of access to transportation, to public spaces as well as to proximity services should be prioritised. These features of territorial planning are likely to be associated with many public health issues and they are common to initiatives undertaken in Québec to promote healthy aging and to reduce disability.
279

Setting discretionary fiscal policy within the limits of budgetary institutions: evidence from American state governments

Guo, Hai 30 June 2008 (has links)
Unanticipated economic fluctuations exert pressure on state governments to adjust their discretionary fiscal policies to accommodate the changing fiscal situation. Even though states adjust fiscal policy as the economy fluctuates, the typical cyclical economic factors are not the sole determinant of such adjustments. State governments budgeting systems in the United States operate under a variety of budgetary institutions. The most prominent state government budgetary institutions include balanced budget rules (BBRs), tax and expenditure limits (TELs), and supermajority voting requirements for tax increases. This dissertation examines how these budgetary institutions affect state government choices of fiscal policy under different economic conditions. To better understand the effect of state level TELs, a stringency index of state level TEL is constructed considering the major structural features. The fixed-effect panel regressions are used for the analysis of impact of TEL and BBR and tax changes and the fixed-effect Tobit is adopted to test the impact of TEL and BBR on spending cuts after the budget is adopted. The result suggests that TEL plays a more important role affecting states discretionary fiscal adjustment from the tax side, while BBR plays a more important role affecting states discretionary fiscal adjustment from the expenditure side. Results of this research show that TEL exerts pressure on states that hinder state ability to deal with volatile fiscal situations, especially in the case of periods of budget crises.
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An evaluation of the use of mediation in environmental dispute resolution under s.268 of the Resource Management Act 1991

Borrie, N. C. January 2002 (has links)
Since the 1970s there has been a growing interest in, and utilisation of, Alternative Dispute Resolution (ADR) techniques to resolve environmental conflicts in western societies. ADR was incorporated into one of New Zealand's main environmental statutes, the Resource Management Act 1991(RMA). Under s.268 of the RMA the Environment Court (the Court) may, if the parties agree, conduct mediation in order to facilitate settlement of resource management disputes. The RMA, which has now been in operation for ten years, gives no guidance as to the way in which mediation is to be conducted. The Court has developed procedures and processes for administering and conducting mediation. This study critically evaluates the practice of Court assisted mediation of environmental disputes under the RMA. A literature review and interviews with stakeholder groups are used in this evaluation. The study shows that mediation generates benefits for the Court and participants. It also identifies limitations with the current mediation procedures and processes. These may impact the effectiveness of participants in mediation, their satisfaction with, and support for, the mediated settlement and with the environmental outcomes. The study recommends a series of guidelines be prepared on the functions and administrative procedures of the Court and on the mediation process promoted by the Court. Further research is also recommended. It is considered that these recommendations, if implemented, will enhance the process for participants, ensure more equitable and consistent environmental outcomes, in terms of present and future generations, and retain public confidence in the mediation process.

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