• Refine Query
  • Source
  • Publication year
  • to
  • Language
  • 68
  • 26
  • 21
  • 13
  • 12
  • 6
  • 2
  • 2
  • 2
  • 2
  • 2
  • 1
  • 1
  • 1
  • 1
  • Tagged with
  • 173
  • 74
  • 22
  • 20
  • 19
  • 19
  • 18
  • 18
  • 16
  • 15
  • 13
  • 12
  • 12
  • 12
  • 11
  • 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.
111

From the innocuous to the evocative : how bill naming manipulates and informs the policy process

Jones, Brian Christopher January 2012 (has links)
This thesis analyses the legal status and the importance of short titles in the legislative processes of the Westminster Parliament, the Scottish Parliament, and the US Congress. Through a large quantitative survey of US short titles that spanned over 30 years and 18 Congresses, it was demonstrated that there has been a paradigm shift in the way the US Congress titles its bills, in which it transitioned from a largely descriptive, technical style to a wider range of styles, among which a more explicitly evocative style became both acceptable and frequently used. Such titles are permeating the legislative process and the US statute book with what I argue is overly political language, and are blurring the lines between proselytizing and what has historically been regarded as a formally descriptive (not political) element of legislative drafting. Conversely, save for a few choice titles, the Westminster Parliament and Scottish Parliament continue to employ mostly descriptive short titles, similar to the previously innocuous style of the US Congress. From a contemporary and historical perspective in all three jurisdictions, the short titles of bills have been viewed as relatively insignificant reference points for those engaged and/or interacting with legislation from a drafting, legislative process or larger legal or political perspective, and have subsequently received little attention in the academic community. By employing a comparative research approach primarily focused on a cross-disciplinary literature review and hypothesis testing through three empirical projects, this thesis draws upon both qualitative and quantitative methods of research to answer the primary research questions. The main empirical method used was a qualitative analysis of semi-structured interviews with lawmakers, staffers, bill drafters, government officials and media members from all three jurisdictions. Although the legal status of short bill titles in each jurisdiction differed, many individuals from each jurisdiction viewed short bill titles as a considerably important part of the lawmaking process. Also, to varying degrees in each jurisdiction, interviewees repeatedly offered the opinion that short titles: may affect a bill’s chances of becoming law; are at times misleading; serve as more than referential points; at times may pressure legislators to vote for a bill; may be used as framing devices; and sometimes employ language that is not justified during the legislative process. These support the proposition that short titles have legislative process and political implications. The interviews support the legislative process analysis of the three jurisdictions that Chapter IV discusses, which is that the Scottish Parliament operates with the strictest regulations in regards to short title accuracy. In addition to being the only jurisdiction studied that openly endorses a ‘proper form’ in which bills must be drafted (which explicitly mentions short titles), many Scottish interviewees stated that such titles were important in the legislative process for different reasons than US and Westminster interviewees, stressing descriptive legal accuracy and taking care in regard to bill scope, among other concerns. The thesis’ quantitative survey portion includes separate surveys and sample populations from the US and Scotland. Though data collection was marred by an error in the US, thus hindering the analysis of such data, the Scottish results suggested that short bill titles may have psychological effects when analysing the favourability of proposals: all four evocative naming types produced higher favourability ratings than bland titles, and some results were statistically significant. However, the naming types were not statistically significant in assessing why the measure was supported or whether participants desired more information on bills. In response to the absence of short bill title standards in the US Congress and Westminster Parliament, and with the aim of describing how the Scottish Parliament standards might be made more thorough, the thesis provides short title recommendations that are suitable for all three jurisdictions. These recommendations largely accentuate proper form for language and processes in order to ensure short title accuracy, and have the potential, if applied consistently, to significantly reduce the chances of overtly political or evocative language entering the country’s legislative processes or statute books. While acknowledging that in all three institutions studied short bill titling may be in many respects a small aspect of the monumental and lengthy policy process, this thesis advances the proposition that it is considerably important to those who interact with and encounter legislation frequently, and that preventing evocative language from entering short bill titles is a benefit for the legislative processes of all three jurisdictions.
112

Improving end to end delivery of land administration business processes through performance measurement and comparison.

Chimhamhiwa, Dorman. January 2010 (has links)
The delivery of land administration (LA) systems particularly in urban areas underpins housing, industry and infrastructure development as well as the smooth operation of land and credit markets. However, fragmentation of LA activities across several autonomous organizations generally impairs end to end business processes flow and delivery. To facilitate improved service of LA systems we suggest the end to end measurement and monitoring of their business processes across organizational boundaries. This study proposes a performance measurement system that can facilitate end to end measurement and comparison of cross organizational business processes (CBPs) in LA. The research, which is structured in 2 parts, is based on a multi site study of LA CBPs in 6 urban municipalities across Namibia, Zimbabwe and South Africa. First, a measurement instrument (scorecard) built on six key CBP performance measurement areas of quality and technological innovation (enablers of results), cost and time (measures of results) and customer satisfaction and society (measures of external success (or impact), is presented. To facilitate measurement across organizational boundaries, the proposed dimensions were embedded onto a multi level structural model that link process activities to sub processes and CBPs. For 5 of the 6 municipalities, a conventional case of subdivision of privately owned land within an established township was used to develop CBP descriptions and process models for each municipality. A comparison of CBP and sub process similarities between municipalities was then done using the similarity scenario degree. Our results showed similarities of over 60% for most CBPs while mixed values were obtained for sub processes. The similarity results were further used as a base for the construction of a business process reference model. The second part of the research tested the applicability of quality and time dimensions. Using the survey examination and approval and deeds examination and approval sub processes, the quality of submitted work was measured using performance indicators of process yield and rejection rates at 2 survey examination and 3 deeds registration sites. Our results showed that 80% and 60% of survey records submitted at both survey examination sites were rejected and returned backwards for corrections due to quality deficits. Based on our results, we conducted a root cause analysis at one of the survey examination sites to identify major contributors to lower process yield. In addition, we suggested numerous technological innovations to improve quality. Using the same sites, we then went on to measure and compare cycle times for cadastral survey examination and approval considering quality. Our results showed that 70% and 52% of survey records with good quality had approval times of 20 days or less for the first and second sites, respectively while only 32% and 18% of records with poor quality (for same sites) were approved within 60 days. Furthermore, shorter cycle times appeared to indicate lower process costs. After the separate analysis of the quality and time measurements, a global performance index that aggregates individual measures into a composite value was presented. Overall, the study has shown the potential of end to end CBP performance measurement in improving delivery and service of land administration in a holistic manner. The results are important for initiatives directed at integration and improvement of land administration operations. / Thesis (Ph.D.)-University of KwaZulu-Natal, Pietermaritzburg, 2010.
113

A system-based approach to land registration analysis and improvements : a case study of the KwaZulu-Natal deeds registration system.

Shange, Muzikayise B. January 2010 (has links)
This study proposes a system-based approach to land registration ana lysis using the case of the KwaZulu-Natal Deeds Registry in Pietermaritzburg. The study seeks to; (i) investigate and analyze the land registration system (as a whol e) in terms of its key processes, data stores and data flows (ii) assess, based on the na ture of the data stores, data flows and processes, the turn around time of the as is (manual) and the to be (computerised) systems, and (iii) recommend improvements based on ident ified gaps and bottlenecks. The study identified two key role players in land regis tration; the Conveyancers (responsible for deed drafting) and Deed Registry (deed examination and approval). The interaction between the two, which has its own challenges , ensures the proper application of complex legislation related to the registration of land. To gain deeper insight into the activities of the land registrati on system, key informant interviews were held and several documents were reviewed to understa nd the data sources and their formats, processes performed, storage and acc essibility of such data as well as the internal and external data flows across Conveyancers , Deeds Registry and other stakeholders. In this regard, the land registration system wa s decomposed into a number of data flow diagrams (DFDs); namely context (system as a whole), top level (system as composed of main subsystems) and lower level (deta iled sub systems) to identify the core data stores, data flows and processes. Based on these diagrams, manual and electronic data stores, proces ses and data flows were identified and turnaround time of the as is (manual) and the to be (computerized) systems was derived and compared. A conventional case of a deed of transfer - from deed of sale to registration of the deed of transfer was used. The res ults showed that significant gains in turn around time, from 70 to 9 days can be realized through comput erisation of certain key data stores, processes and data flows. Recommendat ions for improvement were then generated based on the system diagrams and turn around times. The study thus demonstrates the potential of a holistic approach to la nd registration analysis and improvement. / Thesis (M.Env.Dev.)-University of KwaZulu-Natal, Pietermaritzburg, 2010.
114

Design em movimento: elementos da linguagem gráfica nos créditos de abertura de filmes

Taú, Marcio Rodriguez 23 February 2017 (has links)
Submitted by Patricia Figuti Venturini (pfiguti@anhembi.br) on 2018-10-15T20:32:09Z No. of bitstreams: 1 Marcio Rodriguez Tau.pdf: 5360355 bytes, checksum: bd4040c29dc9856f3b6ab93bdaa4c8fc (MD5) / Approved for entry into archive by Patricia Figuti Venturini (pfiguti@anhembi.br) on 2018-10-17T18:43:38Z (GMT) No. of bitstreams: 1 Marcio Rodriguez Tau.pdf: 5360355 bytes, checksum: bd4040c29dc9856f3b6ab93bdaa4c8fc (MD5) / Approved for entry into archive by Patricia Figuti Venturini (pfiguti@anhembi.br) on 2018-10-17T18:46:43Z (GMT) No. of bitstreams: 1 Marcio Rodriguez Tau.pdf: 5360355 bytes, checksum: bd4040c29dc9856f3b6ab93bdaa4c8fc (MD5) / Made available in DSpace on 2018-10-17T18:46:59Z (GMT). No. of bitstreams: 1 Marcio Rodriguez Tau.pdf: 5360355 bytes, checksum: bd4040c29dc9856f3b6ab93bdaa4c8fc (MD5) Previous issue date: 2017-02-23 / Coordenação de Aperfeiçoamento de Pessoal de Nível Superior - CAPES / This dissertation investigates the use of graphic elements in the cinema, with the purpose of understanding how the design can collaborate to the construction of the audiovisual message and to identify the potentialities that the movement can add to the graphic compositions in open titles film. The project started with the realization that more and more graphic designers have the need to incorporate time and movement into their multiplatform projects, which in turn raises a number of theoretical and practical reflections. Thus, within the delimited theoretical scope, subjects related to moving image, principles of animation, digital graphic design, motion graphics and the graphic design in the cinema and open titles films were approached through authors like Arlindo Machado ( (2005 and 2010), Gilles Deleuze (1985 and 1990), Paul Wells (1998 and 2008), Donis Dondis (2007), Ellen Lupton (2013 and 2015), Matt Woolman (2004), Lev Manovich 2007, 2008 and 2012) and Gemma Soloma and Antonio Boneu (2007), among others. Finally, as a case study, a brief contextualization is presented, followed by the analyzes of the opening credits of the films: “Até que a sorte nos separe 2” (2013, direction: Roberto Santucci) and “Meu passado me condena: o filme”(2013, directed by: Julia Rezende). The proposal to choose these films was to provide a look at the contemporary production of Brazilian audiovisual graphic design, as well as to enable a study on open titles national films - not identified in the literature of the area consulted in this research / Essa dissertação investiga o uso de elementos gráficos no cinema, com o objetivo de entender como o design pode colaborar para a construção da mensagem audiovisual e identificar as potencialidades que o movimento pode acrescentar às composições gráficas em créditos de aberturas de filmes. O projeto partiu da constatação de que cada vez mais os designers gráficos tem a necessidade de incorporar o tempo e o movimento em seus projetos multiplataformas, o que suscita, por sua vez, diversas reflexões de ordem teórica e prática. Assim sendo, dentro do escopo teórico delimitado, foram abordados assuntos referentes à imagem em movimento, princípios da animação, design gráfico digital, motion graphics e o design gráfico no cinema e em créditos de abertura de filmes, por meio de autores como Arlindo Machado (1997, 2005 e 2010), Gilles Deleuze (1985 e 1990), Paul Wells (1998 e 2008), Donis Dondis (2007), Ellen Lupton (2013 e 2015), Matt Woolman (2004), Lev Manovich (2005, 2006, 2007, 2008 e 2012) e Gemma Soloma e Antonio Boneu (2007), entre outros. Por fim, é apresentado, como estudo de caso, uma breve contextualização seguida das análises dos créditos de abertura dos filmes: "Até que a sorte nos separe 2" (2013, direção: Roberto Santucci) e "Meu passado me condena: o filme" (2013, direção: Julia Rezende). A proposta de escolher esses filmes foi a de propiciar um olhar sobre a produção contemporânea do design gráfico audiovisual brasileiro, além de possibilitar um estudo sobre créditos de abertura de filmes nacionais – não identificado na literatura da área consultada nesta pesquisa.
115

La IXe province de Haute-Égypte (Akhmîm) : organisation cultuelle et topographie religieuse. De l'Ancien Empire à l'époque romaine / Cultual organisation and religious topography of the IXth Upper-Egyptian province (Akhmîm). From the Old Kingdom to the roman period.

Claude, Marion 08 December 2017 (has links)
La IXe province de Haute-Égypte a livré, depuis le début des fouilles de G. Maspero en 1884, un abondant mobilier funéraire inscrit (stèles, cercueils, tables d’offrande, statuettes, papyri…). Celui-ci comporte de nombreuses informations sur les toponymes, les cultes et les prêtrises de la région, et notamment ceux de la capitale provinciale Akhmîm, entre l’Ancien Empire et l’époque romaine. Cette documentation privée permet également d’esquisser une prosopographie. À ces textes s’ajoutent ceux issus des temples préservés de la région, mais aussi des sanctuaires d’autres provinces égyptiennes. Enfin, la province et ses cultes sont mentionnés dans diverses autres compositions religieuses ou funéraires. C’est autour de ce large corpus de textes concernant les cultes de la province que s’est constituée la recherche exposée dans cette thèse.Après une présentation archéologique des vestiges de la province et la définition des limites de celle-ci, l’analyse porte d’abord sur les toponymes relatifs aux cultes locaux. Il s’agit, dans la mesure du possible, de les localiser et de comprendre leur intégration dans le système cultuel provincial. Les divinités qui occupent ces sanctuaires font ensuite l’objet d’une étude qui a pour objectif de mettre en valeur la spécificité de leurs cultes dans la province, tandis que l’examen des nombreuses prêtrises qui se rencontrent dans la documentation privée permet de proposer une reconstitution de l’organisation hiérarchique du personnel du temple.La synthèse est enfin l’occasion de rassembler ces études thématiques dans une perspective diachronique : il s’agit de mettre en évidence l’évolution de la topographie religieuse et de l’organisation des cultes de la IXe province de Haute-Égypte à la lumière des sources disponibles, entre l’Ancien Empire et l’époque romaine, et de l’inscrire ainsi dans le cadre plus large du développement des cultes en Égypte. / Since G. Maspero began digging in the area in 1884, the IXth Upper-Egyptian province has yielded an abundance of inscribed funerary material (stelae, coffins, offering tables, figures, papyri…). These documents dating from the Old Kingdom to the Roman Period deliver many informations on the toponyms, the cults and the priestly titles of the province, and especially concerning its capital city, Akhmîm. They also constitute the basis of a prosopographical study of the priests. A complement to these objects may be found in other texts from the remaining temples of the area as well as from sanctuaries of some of the other provinces. Finally, the province and its cults are cited in other religious or funerary compositions. The research presented in this PhD dissertation is built around the study of this wide array of documents.Beginning with an archaeological survey of the province and the delimitation of its extent, the analysis then focuses on the various toponyms relating to the local cults. The goal is, as far as possible, to locate them and understand how they fit into the cultual system of the area. The study then focuses on the deities residing in these sanctuaries in order to highlight the specificities of their cults in the province, whilst the analysis of the numerous priestly titles mentionned in the private documentation aims at determining their role and status in the hierarchy of the temple staff.The final summary allows to gather those thematic studies in a diachronic perspective so as to point out the evolution of the religious topography and the cultual organisation of the cults of the IXth Upper-Egyptian province in light of the available sources between the Old Kingdom and the Roman Period, in order to replace it in the wider context of the cultic development in ancient Egypt.
116

Occupational titles and supposed gender-neutrality : A corpus-based diachronic study on gender-neutral occupational titles in American English

Bovin, Maria January 2016 (has links)
Traditionally, some occupational titles have been explicitly marked for the gender of the group dominating the occupation. For example, in male-dominated occupations, titles often end with -man. However, since the second-wave feminist movement, several of the previously gender-biased titles have been supplemented by new, gender-neutral titles. Previous research has shown a discrepancy between researchers regarding the implications of these new titles. Some argue that the gender-neutral titles are only used for female referents, whereas others claim that gender-neutral titles, especially for male- dominated occupations, tend to still presuppose maleness. In the present paper, a corpus-based study is conducted on a few selected occupational titles. The aim is to investigate whether the gender-neutral alternatives have increased in usage over time, and whether the gender-biased ones have decreased. In addition, the study aims at examining whether the gender-neutral forms tend to be used primarily for women or men. The present study is corpus-based, examining the particular terms in the TIME Magazine Corpus. The results of the study show that there has been an increase of the gender-neutral forms since their introduction to English, and that they are primarily used when there is no explicit gender referencing. Proposed explanations for these results are that it may depend on the type of work involved in the selected occupations, as well as them being male-dominated. Furthermore, the results indicate that the gender- neutral terms are opted for when gender is either unknown or irrelevant for the context.
117

Zur Frage, inwieweit der südafrikanische Sectional Titles Act aus der neu verabschiedeten WEG-Novelle in Deutschland Nutzen ziehen kann

Scholze, Gregor 03 1900 (has links)
Thesis (LLM (Private Law))--University of Stellenbosch, 2010. / ENGLISH ABSTRACT: The most important innovations of the revised German Wohnunungseigentumsgesetz which came into force on 1 July of 2007, concern the possiblity to amend parts of the constitution of the scheme (Gemeinschaftsordnung) by majority instead of unanimous resolution; the extension of the decision-making competence of sectional owners; the easier and more appropriate distinction between maintenance of and luxurious and non-luxurious improvements to the common property; the recognition that the body corporate has legal capacity to act in certain circumstances; the increase in the functions and powers of the professional manager (Verwalter); and the replacement of the procedure for non-contentious matters for the settlement of disputes by the ordinary civil court procedure. These predominantly valuable innovations raise the question in how far South African law could benefit from these amendments, and whether they could be used as a model for solving some of the unsatisfactory aspects of the South African sectional title law. The revised Wohnungseigentumsgesetz now allows apartment owners to amend more provisions of the constitution by majority resolution. The harsh unanimity principle is in many contexts replaced by the majority principle and individual apartment owners are allowed to request an amendment of certain provisions of the constitution for important reasons. The Sectional Titles Act and the model management and conduct rules regulate the relationship between sectional owners in South Africa. Both the developer and the body corporate have the authority to supplement or amend the existing model rules by special rules. However, in comparison with the revised Wohnungseigentumsgesetz the management and conduct rules can only be amended by a unanimous or special resolution for management and conduct rules respectively and an individual owner is not allowed to request an amendment of a model rule on account of the unfair consequences suffered by him or her. An important advantage of the revised Wohnungseigentumsgesetz in comparison with section 32(4) of the Sectional Titles Act is furthermore that no written consent is required from the sectional owner who is adversely affected by an amendment of certain aspects of the participation quota. This requirement causes many problems. First, the circumstances in which an owner can be considered adversely affected have not been judicially determined. Second, the South African requirement is out of step with modern conditions, which witness the number of larger schemes increasing, because it allows one owner to block objectively necessary resolutions of the body corporate. The provision requiring the written consent of the adversely affected owner should therfore be repealed. The same applies to the general requirements for carrying out maintenance of and improvements to the common property. On closer analysis it becomes clear that the management rules contain no criteria to distinguish between maintenance and improvement measures or between luxurious and non-luxurious improvements. In final analysis these distinctions seem to depend on subjective rather than on objective criteria. By contrast the revised Wohnungseigentumsgesetz contains a clear objective distinction between the four categories of improvements to the common property. / GERMAN ABSTRACT: Seit dem 1. Juli 2007 gilt in Deutschland ein novelliertes Wohnungseigentumsgesetz. Die wichtigsten Neuerungen betreffen die Ermöglichung von Änderungen der Gemeinschaftsordnung nicht nur durch einstimmigen Beschluss der Wohnungseigentümer, die Erweiterung der Beschlusskompetenzen der Wohnungseigentümer, die Erleichterung der Durchführung baulicher Maßnahmen, die Gestaltung der Teilrechtsfähigkeit der Eigentümergemeinschaft und die Festlegung der erweiterten Rechte und Pflichten des Verwalters sowie die Überleitung des Verfahrens der freiwilligen Gerichtsbarkeit in die Zivilprozessordnung. Die überwiegende Zahl der grundsätzlich zu begrüßenden Neuregelungen gibt auch für das südafrikanische Recht wertvolle Denkanstöße zu der Frage, ob eine Novellierung des Sectional Titles Act im Sinne der Neuregelungen des WEG eine Möglichkeit wäre, bestehende „Ungereimtheiten“ und Probleme zwischen den Wohnungseigentümern und im Wohnungseigentumskomplex in Südafrika besser lösen zu können. Im neuen novellierten WEG sind mehr als bislang Mehrheitsentscheidungen der Wohnungseigentümer zulässig. Statt des starren Einstimmigkeitsprinzips gilt nun oftmals das Mehrheitsprinzip. Zudem ist es auch dem einzelnen Wohnungseigentümer möglich, eine Änderung einer Vereinbarung zu verlangen, sofern ein Festhalten an einer geltenden Regelung aus schwerwiegenden Gründen unter Berücksichtigung aller Umstände des Einzelfalles, unbillig erscheint. Gesetzliche Regelungen, welche das Gemeinschaftsverhältnis in Südafrika ordnen, sind im Sectional Titles Act selbst und in den management und conduct rules der Annexure 8 und 9 des Sectional Titles Act enthalten. Zudem hat sowohl der developer als auch die Wohnungseigentümergemeinschaft (body corporate) die Befugnis, die Rechte, Pflichten und Nutzungsrechte der Wohnungseigentümer in sogenannten „special rules“ selbst festzulegen. Im Vergleich zu den Regelungen des novellierten WEG ist es für Wohnungseigentümer in Südafrika jedoch schwerer, eine Änderung solcher Regelungen herbeizuführen. Wollen die Wohnungseigentümer von den Regelungen der management oder conduct Rules abweichen, können sie dies bezüglich der management rules nur durch einheitlichen Beschluss (resolution) und hinsichtlich der conduct rules mittels eines Beschlusses mit 75%er Mehrheit (special resolution). Ein individueller Anspruch des einzelnen Wohnungseigentümers auf Änderung, Ergänzung oder Ersetzung der rules bei Unbilligkeit besteht nicht. Ein gewichtiger Vorteil der Neuregelung des § 16 Abs. 3 WEG im Vergleich zu Artikel 32(4) des Sectional Titles Act ist zudem, dass es in Deutschland keiner schriftlichen Zustimmung des von der Entscheidung negativ betroffenen Wohnungseigentümers bedarf. Eine Änderung der participation quota hinsichtlich des Kostenverteilungsschlüssels ist nur möglich, wenn ein von der Entscheidung negativ betroffener Wohnungseigentümer seine schriftliche Zustimmung erteilt. Wann eine solche negative Betroffenheit („adversely affected“) letztlich vorliegt, ist zum einen nicht abschließend geklärt. Zum anderen ist gerade unter der Prämisse immer größerer werdender sectional titles schemes nicht mehr zeitgemäß, einem einzelnen Wohnungseigentümer die Möglichkeit zu geben, objektiv notwendige Entscheidungen der body corporate zu blockieren. Das Erfordernis der Zustimmungsbedürftigkeit eines negativ betroffenen Wohnungseigentümers sollte daher aufgegeben werden. Gleiches gilt für die generelle Zulässigkeit von baulichen Veränderungen. Bei genauerer Analyse des südafrikanischen Rechts wird zudem klar, dass in den Management Rules nicht definiert ist, was unter Verbesserungen, d.h. unter „improvements to the common property“ zu verstehen ist oder wie im Einzelfall zwischen luxuriösen und nicht-luxuriösen Aufwendungen zu unterscheiden ist, da es letztlich von der subjektiven Betrachtungsweise Einzelner abhängt. Das novellierte WEG enthält im Vergleich dazu eine klarere objektive Begriffsabgrenzung der vier Kategorien baulicher Maßnahmen. / AFRIKAANSE OPSOMMING: Die belangrikste veranderings aangebring deur die wysiging van die Duitse Wohnunungseigentumsgesetz wat op 1Julie 2007 in werking getree het, is die volgende: die wysiging van die reëls van die skema (Gemeinschaftsordnung) deur middel van ‘n meerderheidsbesluit in plaas van ‘n eenparige besluit; die uitbreiding van die besluitnemingsbevoegdhede van deeleienaars, die helder en meer gepaste vereistes vir die aanbring van verbeterings aan die gemeenskaplike eiendom, die erkenning van die regsbevoegdheid van die regspersoon in sekere gevalle, die uitbreiding van die bevoegdhede van die professionele bestuurder en die vervanging van die informele geskilbeslegtingsprosedure deur die gewone hofprosedure. Hierdie veranderinge laat die vraag ontstaan in hoeverre die Suid-Afrikaanse reg voordeel kan trek uit hierdie wysigings en in hoeverre die veranderings as model kan dien vir wysiging van onbevredigende aspekte van die Wet op Deeltitels. Die gewysigde Wohnunungseigentumsgesetz laat deeleienaars tans toe om meer bepalings van die model reëls deur meerderheidsbesluit te verander. Die streng eenparigheidsbeginsel word in meerdere verbande deur die meerderheidsbeginsel vervang en deeleienaars word in sekere gevalle selfs toegelaat om aansoek te doen vir die wysiging van sommige bepalings op grond van ‘n geldige rede. Die Wet op Deeltitels en die model bestuurs- en gedragsreëls reguleer die regsverhouding tussen deeleienaars. In teenstelling met die gewysidge Duitse wet kan die die regspersoon die bestuursreëls slegs deur middel van ‘n eenparige besluit en die gedragsreëls deur middel van ‘n spesiale besluit verander en ‘n deeleienaar word nie toegelaat om ‘n verandering van die reëls aan te vra op grond van onregverdige benadeling nie. ‘n Belangrike voordeel van die gewysigde Duitse wet in vergelyking met artikel 32(4) van die Wet op Deeltitels is verder dat die skriftelike toestemming van ‘n deeleienaar wat deur die wysiging van sekere aspekte van die deelnemingkwota benadeel word, nie verkry hoef te word nie. Dit is ‘n groot verbetering. Eerstens is dit moeilik om te bepaal in watter omstandighede ‘n deeleienaar se regte deur die wysiging van die deelnemingskwota benadeel word. Tweedens is die Suid-Afrikaanse bepaling uit pas met moderne ontwikkelings waar ‘n deeleienaar in groot deeltitleontwikkelings toegelaat word om objektief redelike besluite van die regspersoon te blokkeer. Hierdie bepaling van die Wet op Deeltitels moet dus herroep word. Dieselfde geld vir die vereistes met betrekking tot die onderhoud van en verbeterings aan die gemeenskaplike eiendom in die Suid-Afrikaanse wetgewing. Op die keper beskou bevat die bestuursreëls geen geskikte riglyne om tussen die onderhoud van, en luukse en nieluukse verbeterings aan die gemeenskaplike eiendom te onderskei nie. Die onderskeiding berus oënskynlik op subjektiewe eerder as objektiewe oorwegings. Daarenteen bevat die gewysigde Duitse Wet helder, objektiewe kriteria om onderhoud en vier soorte verbeterings aan die gemeenskaplike eiendom te onderskei.
118

Tenure security under the Communal Property Associations Act 28 of 1996 : an analysis of establishment and management procedures with comparative reference to the Sectional Titles Act 95 of 1986

Jacobs, Petrus Jacobus 03 1900 (has links)
Thesis (LLM )-- University of Stellenbosch, 2011. / ENGLISH ABSTRACT: This thesis discusses the efficacy of procedures involving communal participation in the management of land by communal property associations, and how this contributes to the promotion of security of tenure as envisaged by the South African Land Reform programme. The Communal Property Associations Act 28 of 1996 (CPA Act) is aimed at regulating communal living arrangements to create security of tenure for its respective landholders. However, the general opinion of commentators in the land reform sector has continued to be that communal property institutions are ineffective and generally fail. Many assert that problems experienced are symptoms of a wider weakness relating to the institutional design of the juristic person, its regulation and the support it receives. To determine the strength of this assertion, the concept and conditions of security of tenure in South African law, and the obstacles hampering it, are investigated. Security of tenure is especially important as it provides a foundation from which land holders can exercise their rights productively. This is followed by an overview of the existing legal mechanisms for communal living arrangements that are similar to the arrangements catered for in the CPA Act. One of these arrangements, namely the Sectional Titles Act is used to compare mechanisms similar to the establishment and management procedures in the CPA Act. The main conclusion regarding establishment procedures is that many of the provisions of the CPA Act are not being implemented properly. While some institutional problems exist and must be addressed, negotiation with and guidance by the Department of Rural Development and Land Reform are necessary to overcome such problems. An inadequate establishment process will only lead to problems and conflict in the management phase that could hamper security of tenure. Communal property associations are managed by an organisation structure comprising of a juristic person, a committee and the community. The thesis shows that committee members often lack the necessary training to fulfil their duties adequately. The CPA Act also allow communal property associations too much discretion in allocating powers and functions of the committee that can lead to paralysis in decision-making processes. The Department Rural Development and Land Reform has extensive powers to monitor and intervene in matters of the association if problems exist, but in practice such measures are not resorted to. These problems create dysfunction in many communal property associations. While the CPA Act can provide security of tenure for communities, the most significant obstacle is the lack of support from the Department of Rural Development and Land Reform in implementing the provisions of the CPA Act. / AFRIKAANSE OPSOMMING: Hierdie tesis handel oor die doeltreffendheid van die prosedures rondom die deelname van gemeenskappe aan die bestuur van grond in gemeenskaplike eiendomsverenigings, en hoe dit bydra tot die bevordering van die onaantasbaarheid van grondregte, soos beoog deur die Suid-Afrikaanse grondhervormingsprogram. Die Communal Property Associations Act 28 of 1996 (CPA Wet) het ten doel om gemeenskaplike bewoning van grond te reguleer ten einde om sekerheid vir houers van grond in die hand te werk. Die heersende mening van kommentatore in die grondhervormingsektor is nietemin nog steeds dat gemeenskaplike eiendomsinstellings ondoeltreffend is, en oor die algemeen misluk. Verskeie kommentatore doen aan die hand dat die heersende probleme simptome is van onderliggende tekortkominge in die wyse waarop die regspersoon saamgestel word en hoe dit gereguleer en ondersteun word. Ten einde hierdie opvatting te deurgrond, word daar in hierdie tesis gekyk na die omstandighede waaronder onaantasbaarheid van grondregte bewerkstellig kan word in die Suid-Afrikaanse reg, en na die struikelblokke wat bestaan om heirdie doel te bereik. Onaantasbaarheid van grondregte is belangrik, veral omdat dit die basis is waarop houers van grond in staat gestel word om hul regte produktief uit te oefen. Hierna volg ‘n oorsig van die bestaande regsmeganismes vir gemeenskaplike bewoning van grond, wat soortgelyk is aan dié van die CPA Wet. Een sodanige opset is die Deeltitelswet, wat gebruik word om soortgelyke meganismes vir die totstandkoming van en die bestuursprosedures van die CPA Wet te vergelyk. Die gevolgtrekking met betrekking tot totstandkomingsprosedures is dat die bepalings van die CPA Wet nie behoorlik in werking gestel is nie. Benewens die institusionele probleme wat aangespreek moet word, is onderhandeling met en leiding deur die Departement van Landelike Ontwikkeling en Grondhervorming nodig, om bestaande struikelblokke uit die weg te ruim. ‘n Ontoereikende totstandkomingsproses sal slegs lei tot verdere probleme en geskille in die latere bestuur van die skema wanneer die skema bestuur moet word. Dit werk onsekerheid m.b.t. die grondregte in die hand. Die bestuurstruktuur van gemeenskaplike eiendomsverenigings bestaan uit ‘n regspersoon, ‘n komitee en die gemeenskap. Die tesis dui aan dat komiteelede dikwels nie voldoende opgelei is om hul funksies behoorlik te vervul nie. Die CPA Wet maak ook voorsiening vir te veel diskresionêre begoegdhede in die akte van oprigting en die bepalings omtrent die funksies van die komitee, wat die besluitnemingsproses kan lamlê. Die Departement van Plaaslike Ontwikkeling en Grondhervorming het verreikende magte m.b.t monitering en intervensie in die sake van die verenigings, waar probleme bestaan. In die praktyk word hierdie bevoegdhede egter nie aangewend soos beoog nie. Die probleme versoorsaak dat gemeenkskaplike eiendomsverenigings nie na behore funksioneer nie. Die wetsbepalings kan onaantasbaarheid van grondregte vir gemeenskappe in die hand werk, maar die grootste struikelblok is die behoorlike implementering van die wetsbepalings.
119

Village revitalisation/disintegration: an assessment of suburbanisation, land administration and small housedevelopment in the New Territories

Ng, Wai-man., 吳慧敏. January 1996 (has links)
published_or_final_version / Urban Planning / Master / Master of Science in Urban Planning
120

Proměny hodnot předkládaných dětem v nedělních pořadech pro děti a mládež ve vysílání České televize od 80. let 20.století po současnost / Changes of the values presented to children in Sunday's programs for children and youth in the Czech television broadcasting from 80's 20th century to the present

Mannová, Jaroslava January 2015 (has links)
The master's thesis deals with the changes of values presented in the connecting studio entries of Sundays morning's programmes for children and the youth of the broadcasting of the Czechoslovak and Czech Television from the 1980's up to present, i.e. 2015. It refers to the programmes such as Studio Kamarád, Studio Rosa, Jůhele neděle, Hřiště 7 etc. The 30-year long analysed period is divided into the three time periods - 1980s (1980-1989), 1990's (1990-1999) and the 21st century (2000-2015). The results of the research are compared in the last chapter of the master's thesis. Also, the changes of the selected values groups are described (for example nature and environment, healthy lifestyle etc.). The master's thesis also secondarily deals with how the names, anchor-men and performing puppets of the programmes and the design of the studio have changed.

Page generated in 0.0492 seconds