Dissertations / Theses on the topic 'Common Wares'

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1

Zhang, Yaohui. "Common conversion point stacking for P-SV converted waves /." Access abstract and link to full text, 1992. http://0-wwwlib.umi.com.library.utulsa.edu/dissertations/fullcit/9218599.

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2

Hunt, Christopher Douglas Lorne. "Justifying and structuring a principled common law privacy tort." Thesis, University of Cambridge, 2013. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.607899.

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3

Whitmore, Norman Daniel. "An imaging hierarchy for common-angle plane wave seismograms /." Access abstract and link to full text, 1995. http://0-wwwlib.umi.com.library.utulsa.edu/dissertations/fullcit/9605996.

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4

Gadsden, G. D. "The law relating to the common lands of England and Wales." Thesis, Bucks New University, 1986. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.375686.

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5

Timlin, Carrie-Leigh. "The common reader and the modernist Bildungsroman : Virginia Woolf's The Waves." Master's thesis, University of Cape Town, 2016. http://hdl.handle.net/11427/20607.

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In this dissertation I intervene in and challenge already-existing critical studies of Virginia Woolf's The Waves (1931) that focus on ideas of imperialism, empire and subject-making practices in the novel by arguing for a revisionist reading of The Waves as a Bildungsroman. Unlike the Bildungsroman of the eighteenth and nineteenth century, which utilised standard novelistic conventions to explore the relation between form and reality, I contend that The Waves is a thoroughly modernist reinvention of the Bildungsroman form designed to capture a rapidly industrialising and modernising English society. To capture the socio-political unrest in twentieth-century England at this time, Woolf deviates from the convention of a single-protagonist narration, using multiple perspectives to expose the contradictions in processes of self-formation, especially with regard to the relation between the self, nation and national identity. The correspondence between self, nation and national identity is explored through the silent seventh character, Percival, who I argue is characterised as a hero in the medieval romance tradition to expose the romantic and heroic fictional narratives that provided the framework for ideas of empire and imperialism, then at the core of nationhood and national identity in England. Conversely I argue that the character who narrates a third of the novel's narrative, Bernard, provides us with an alternative to empire and imperialism in subject-making practices. I argue that in the final section of The Waves Bernard deviates from the direct-speech narrative of preceding sections of the novel and engages the reader directly. The reader is thus alerted not only to his or her role as a reader, but also to Bernard's overarching role as primary protagonist in the novel. The reader has progressed alongside Bernard through the narrative in keeping with the genre designation of the Bildungsroman which encourages the progression of the reader alongside the progression of the primary protagonist. The reader is further encouraged in his or her progression by an aesthetic education present in the music and poetry that Woolf incorporates not only in the content, but in the very structure of the text. Two of the novel's characters, Louis and Neville, use poetry to locate their subjectivities within larger historical narratives, while Beethoven's String Quartet No. 13 in B♭ major, Opus 130, informs the structure of the text, contributing to the interactive sonic and non-sonic landscape that actively invites the participation of the reader. The reader's participation in the novel is most fully realised when Bernard addresses the reader directly in the final section of The Waves. This interaction explains and thus concretises Woolf's overarching critiques of empire and imperialism in the novel alongside her proposed methods - which directly oppose the ideology of imperialism - for developing a subjectivity formed in relation to the common, and the individual experience of the common as a historically and materially determined phenomenon. The common in this sense is a community of 'common reading subjects', who like Woolf are not formally educated, but develop a subjectivity through reading premised on an equality of intelligence which enables them to engage critically with, order and make sense of the society and politics of their surrounding world. In this way, I show that Woolf challenges the already existing subject-making practices in twentieth-century England by exposing the contradictions - the exclusion of the marginalised, the poor and women - in ideas of Englishness. She proposes an alternative form of subject-making that is as diverse as her reading public and premised on a non-exclusionary acknowledgement of an equality of intelligence that defies class, gender and social boundaries.
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Lindner, Robert. "The population biology of the Common Guillemot, Uria aalge." Thesis, University of Sheffield, 2000. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.322917.

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7

Verrell, Andrew George. "Water, nitrogen, crown rot and common root rot interact to limit wheat production in northern NSW cropping systems." Thesis, The University of Sydney, 2004. https://hdl.handle.net/2123/27955.

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A multi-variate approach was undertaken to identify the major components of the cropping system that interact to affect yield and water use efficiency (WUE) in wheat in northern NSW. The major components identified from an on-farm monitoring program were rainfall, soil plant available water (PAW) and nitrogen (N) at sowing, grass weeds (GW), crown rot (CR) and common root rot (CRR). Combined, these factors accounted for 80% and 60% of the variation in yield and WUE, respectively. Principal components analysis showed that the region has two seasons; summer and winter, and cluster analysis identified six rainfall zones. The three northern zones have summer dominant rainfall patterns, while the three southern zones have uniform patterns. In general, rainfall declines and variability increases moving in a westerly direction. There were 12 major soil types identified and plant available water capacity (PAWC) ranged from 45 mm (red kurosol) to 221 mm (brown vertosol). While PAWC is largely determined by clay content, sub-soil sodicity (based on exchangeable Na percentage = ESP) and salinity also reduced the amount of plant available water (PAW). The impact of ESP on PAWC in the vertosols varied, as the negative effect of high ESP was off-set by electrolyte concentrations and the fact that these soils can ‘self—repair’ by cracking. In the low to medium clay content sub-soils that have no shrink-swell capability, high ESP caused major reductions in PAWC and this effect started at ESP values below 6%. A multiple regression model, set at mean in-crop rainfall of 263 mm, predicted yields (kg/ha) for the maximum, or best observed values, for each variable (holding the other four at their mean value) as: soil N at sowing 3164, PAW at sowing 3124, CR severity 2966, CR severity 2990 and GW at tillering 3120. Yield differences between these predicted values and the mean (2847 kg/ha) were 317, 277, 119, 143 and 273 kg/ha, respectively. Yield gains for each of these components were minimal. While PAW and N at sowing were the main components that drive the system, these model outcomes show that optimising only one component if the others are sub-optimal will not realise a substantial yield gain. Holding PAW at sowing and rainfall at average values, with N not limiting (200 ng/ha), eliminating grass weeds and disease resulted in a predicted yield of 3983 kg/ha which is a gain of 40% over the mean. This equates to a WUE of 12 kg/ha/mm. To maximise yield, growers need to target all of these components within a cropping system. Fallows that retain stubble residue now dominate the cropping system and N use has risen substantially in the last 15 years. The interaction between water, N, CR and CR on wheat yield and water use was examined in a replicated experiment. The incidence of the CR pathogen, Fusarium pseudograminearum (F.ps) increased under drought conditions and the application of N, while the incidence of the CR pathogen, Bipolaris sorokiniana (B.so) increased under non—water limited conditions. F.ps led to a reduction in grain number per head and grain weight, while B.so reduced yields through the reduction of tiller density and grain weight. Yield loss due to the interaction between these disease components in the absence of severe plant water stress is discussed. Zero-tillage cropping system strategies are proposed that target high and low PAWC soils and N fertility. How growers might manage these diseases under these different cropping system regimes is discussed.
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Pieraccini, Margherita. "A legal pluralist analysis of upland commons in England, Wales and Northern Italy." Thesis, University of Newcastle Upon Tyne, 2010. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.512207.

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9

Eymann, Jutta. "Management of urban common brushtail possums (Trichosurus vulpecula)." Doctoral thesis, Australia : Macquarie University, 2007. http://hdl.handle.net/1959.14/6.

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Thesis by publication -- 8 co-authored articles.
Thesis (PhD)--Macquarie University, Division of Environmental and Life Sciences, Department of Biological Sciences.
Includes bibliographical references.
Preface -- Management issues of urban common brushtail possums (Trichosurus vulpecula): a loved or hated neighbour -- Effects of deslorelin implants on reproduction in the common brushtail possum (Trichosurus vulpecula) -- Brushtail possums (Trichosurus vulpecula) in metropolotan Sydney: population biology and response to contraceptive implants -- Strategic survey for Toxoplasma gondii and Neospora caninum in the common brushtail possum (Trichosurus vulpecula) from urban Sydney, Australia -- Leptospirosis serology in the common brushtail possum (Trichosurus vulpecula) from urban Sydney, Australia -- Conclusions.
The common brushtail possum (Trichosurus vulpecula) is indeed a common inhabitant of many Australian citites, and one of the few marsupials that has adapted well to the urban environment. Their close proximity to people provides a great opportunity to experience native wildlife in the backyard, however, their utilization of house roofs, bold behaviour and appetite for garden plants often leads to conflict with householders. Population numbers are sufficiently high to require ongoing management to minimise negative impacts for humans and brushtail possums alike in a socially acceptable manner. The aim of this thesis was to identify current management issues and address the need for improved and novel management strategies. The potential of slow-release implants, containing the GnRH agonist deslorelin, as a contraceptive agent for brushtail possums was tested on a captive population. Males appeared resistant to treatment, but deslorelin was found to inhibit reproduction in female brushtail possums for at least one breeding season, making it a promising tool to control fertility in some wild populations. A further aim was to trial deslorelin implants on a wild urban population, to collect more information about the urban biology of this species and to point out issues which have previously not been addressed. Close proximity and interaction of urban brushtail possums with humans and their domestic animals can increase the risk of disease exposure and transmission and influence the health of wild populations. Serosurveys showed that animals were readily exposed to Leptospira spp. and Toxoplasma gondii. This thesis also provides the first data on brushtail possum dispersal in urban areas, knowledge which is highly relevant to the development of management strategies such as fertility control. The findings from this research broaden our knowledge about urban brushtail possums and should assist wildlife authorities in developing alternative or improved management procedures.
Mode of access: World Wide Web.
xxv, 287 p. ill., maps
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10

Ball, Martyn Norman. "Noise law in England and Wales : a comparative study of the current common law and legislative control of noise pollution." Thesis, Keele University, 2000. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.366447.

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11

Pickett, Karolyne. "Sublethal impacts of risk of predation by the introduced red fox on the common brushtail possum (Trichosurus vulpecula) in New South Wales, Australia." Thesis, National Library of Canada = Bibliothèque nationale du Canada, 1999. http://www.collectionscanada.ca/obj/s4/f2/dsk2/ftp01/MQ45504.pdf.

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12

Alsadig, Khalafala. "EVALUATING THE SUCCESS OF BENEFIT FRAUD AND COMPLIANCE ACT IN AFFECTING WAGES AND OFFERS FOR SEVEN COMMON H1B OCCUPATIONS IN VIRGINIA, 2002-2010." VCU Scholars Compass, 2011. http://scholarscompass.vcu.edu/etd/297.

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This study examined the role of the Benefits Fraud and Compliance Act (BFCA) in affecting H1B hiring policy in the state of Virginia, as it pertained to seven computer science-related occupations. By employing an independent samples t-test approach, it was discovered that there was a statistically significant difference in H1B actual wages, proposed wages, and per-employer offers before and after BFCA.
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Titcombe, Elaine Eve. "Yr ymgyrch yn parhau! (The struggle continues!) : an exploration of the narratives from Wales, emerging from the Greenham Common women's peace camps, 1981-2000." Thesis, University of the West of England, Bristol, 2018. http://eprints.uwe.ac.uk/30686/.

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In 1981, a group of women from Wales formed a protest march against the positioning of 96 nuclear weapons at an RAF base at Greenham Common. This protest subsequently developed into several women-only protest camps situated around the perimeter fence of the base, and as time progressed became increasingly referred to as a feminist campaign. Despite the attempts of the authorities, some of these camps persisted for a considerable time with the final camp being brought to an end by the camp residents in 2000, nineteen years after the arrival of the first women. The purpose of this research project is to contribute to the analysis of this significant event in the history of women’s political movements in Britain, by focusing upon the subjective stories told and political analyses given of the campaign by participants over time. As a consequence, the project will involve the collation and analysis of new oral histories in conjunction with a critical examination of the existing published accounts, written and oral, and archival material. In recognition that that there was a notable contribution to the campaign by participants from Wales the emphasis is placed upon the region in order to examine the complexities of the protest narratives in relation to the wider historiography of the event. Consequently, the overall objective will be to present fresh perspectives of both the Greenham protest and women’s political activity in Wales, by casting new light on the existing knowledge by offering an analysis of previously untold stories.
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Doty, Daniel Jonas. "European Union Foreign Policy Construction During the Yugoslav Wars Using the Multiple Autonomous Actors Decision Unit." Miami University / OhioLINK, 2011. http://rave.ohiolink.edu/etdc/view?acc_num=miami1312758521.

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Brown, Chris. "We are command of gentilmen : service and support among the lesser nobility of Lothian during the Wars of Independence, 1296-1341." Thesis, University of St Andrews, 2006. http://hdl.handle.net/10023/2678.

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This thesis examines the political, social and, in particular, military conditions that influenced the allegiance of the men and women of the political community of Lothian, that is to say those people with personal landholding, legal and military obligations whose services were crucial to the efficient administration of the sheriffdom and whose support was courted by kings and magnates alike. The key issue is the high degree of survival among these minor landed families. The upper strata of Scottish political society underwent considerable changes in the early to middle fourteenth century through the fortunes of war, in particular through the disinheritance of the Comyn family and their allies early in the reign of Robert I. Some families lost their Scottish properties, such as the Balliols and the Comyns. Others grew in stature; notably the Douglases and, in Lothian specifically, the Setons and the Lauders. Most landholders would probably have been content to retain their inheritances, and indeed, virtually all of the Lothian landed families of the late thirteenth century would seem to have managed to do just that. A high rate of success is not necessarily evidence that something is easily achieved; the retention of family properties was a complex business in wartime. In the period 1296-1314 the political community had to discharge their financial, legal and military burdens to the party currently in charge, but without permanently compromising themselves with the opposition, who might, after all, be in a position to exert lordship themselves at some point in the future. The military burdens are central to this thesis. Army service was a very obvious indication of allegiance. Given the nature of the normal practice of war in thirteenth and fourteenth century Europe, it is inevitable that this study examines the nature and incidence of armoured cavalry service in Lothian. The overwhelming majority of that service was performed by minor landholders. Records of their service in garrisons or their forfeiture as rebels provide us with a guide to the rate and incidence of defections from one party to another and therefore some guide to the degree to which a particular party was able to impose their lordship. The thesis explores the various challenges that faced the lesser landholders and more prosperous tenants and burgesses who lived through the Wars of Independence from the campaign of 1296 which ended the reign of King John and imposed the rule of Edward I, until 1341 when Edinburgh castle was recovered by the Scots from the forces of Edward III. It also questions the extent to which Edward III was able to impose his lordship in Lothian, considers the nature of the forces ranged against him and challenges the perception that only the outbreak of the Hundred Years War prevented the operational defeat of the Bruce party. The siege of Edinburgh castle in 1341 marked the end of the last attempt by an English medieval king to provide Lothian with a government. Naturally this would not have been abundantly apparent at the time; however subsequent English invasions, though they might attack Edinburgh, were not designed to bring about the conquest of Lothian. The political environment of Lothian landholders therefore differed substantially in 1296-41 compared to the century either side of the Wars of Independence in that the minor nobility faced difficult decisions which had to be made on assessments of the likely eventual success of the Balliol, Plantagenet and Bruce parties.
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Badescu, Gruia. "Architecture, 'coming to terms with the past' and the 'world in common' : post-war urban reconstruction in Belgrade and Sarajevo." Thesis, University of Cambridge, 2018. https://www.repository.cam.ac.uk/handle/1810/284391.

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This dissertation discusses the rebuilding of cities after war in the context of the changing character of warfare and the increased expectations for societies to deal with difficult pasts. Departing from studies that approach post-war reconstruction focusing on the functional dimension of infrastructural repair and housing relief or on debates about architectural form, this dissertation examines reconstruction through the lens of the process of 'coming to terms with the past'. It explores how understandings of victimhood and responsibility influence the rebuilding of urban space. Conversely, it argues that cities and architecture, through the meanings ascribed to them by various actors, play an important role in dealing with the past. Building on the moral philosophy of Theodor Adorno and Hannah Arendt, it discusses the potential of reconstruction for societies to work through the past, then it engages with frictions highlighted by three situations of rebuilding after different types of war. First, it examines the rebuilding of Belgrade as the capital of socialist Yugoslavia after the aerial bombings typical of the Second World War. Second, it analyses reconstruction debates in the same city after the 1999 NATO bombings, a high-tech operation, framed by NATO as a preventative, humanitarian intervention against a 'perpetrator' state. Third, it discusses rebuilding processes in Sarajevo, where destruction was inflicted between 1992 and 1995 by actors internal to the country, albeit with international ramifications, exemplary of Mary Kaldor's 'new wars'. Based on thirteen months of fieldwork conducted in Belgrade and Sarajevo between 2012 and 2015, it analyses intentions and consequences of reconstruction acts. It suggests the potential and the challenges of a reflective reconstruction, which engages critically with the past, and of a syncretic place-making reconstruction, which focuses on place and its agonistic promise. Its main contribution is to highlight the essential relationship between reconstruction and coming to terms with the past, arguing for an understanding of reconstruction with regards to conflict itself.
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Blimbaum, Jordan Matthew. "Finite element analysis of acoustic wave transverse to longitudinal coupling during transverse combustion instability." Thesis, Georgia Institute of Technology, 2012. http://hdl.handle.net/1853/44757.

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Velocity-coupled combustion instability is a major issue facing lean combustor design in modern gas turbine applications. In this study, we analyze the complex acoustic field excited by a transverse acoustic mode in an annular combustor. This work is motivated by the need to understand the various velocity disturbance mechanisms present in the flame region during a transverse instability event. Recent simulation and experimental studies have shown that much of the flame response during these transverse instabilities may be due to the longitudinal motion induced by the fluctuating pressure field above the nozzles. This transverse to longitudinal coupling has been discussed in previous work, but in this work it is given a robust acoustic treatment via computational methods in order to verify the mechanisms by which these two motions couple. We will provide an in-depth discussion of this coupling mechanism and propose a parameter, Rz, also referred to as the Impedance Ratio, in order to compare the pressure/velocity relationship at the nozzle outlet to quasi one-dimensional theoretical acoustic approximations. A three-dimensional inviscid simulation was developed to simulate transversely propagating acoustic pressure waves, based on an earlier experiment designed to measure these effects. Modifications to this geometry have been made to account for lack of viscosity in the pure acoustic simulation and are discussed. Results from this study show that transverse acoustic pressure excites significant axial motion in and around the nozzle over a large range of frequencies. Furthermore, the development of Rz offers a defined physical parameter through which to reference this important velocity-coupled instability mechanism. Therefore, this study offers an in-depth and quantifiable understanding of the instability mechanism caused by transversely propagating acoustic waves across a combustor inlet, which can be applied to greatly improve annular combustor design in future low-emissions gas turbine engines.
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Nešpor, Dušan. "Studie šíření elektromagnetické vlny v heterogenních strukturách." Master's thesis, Vysoké učení technické v Brně. Fakulta elektrotechniky a komunikačních technologií, 2010. http://www.nusl.cz/ntk/nusl-218636.

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The sight of work is study form high frequency electromagnetic wave in inhomogeneous materials. The main are refractions and reflection on boundary of materials with different properties and form electromagnetic wave in periodic structure. The work contain analytic and numeric solution. The numeric solution was realized in program COMSOL.
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Light, Alison. "Forever England : femininity, literature, and conservatism between the wars /." London ; New York : Routledge, 1991. http://www.loc.gov/catdir/enhancements/fy0648/91000587-d.html.

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Ciotola, Antonella. "Produzione e circolazione della ceramica comune nei Campi Flegrei in età romana : un campione dal Foro di Cuma." Thesis, Paris Sciences et Lettres (ComUE), 2017. http://www.theses.fr/2017PSLEP027.

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Cette étude analyse les céramiques communes romaines provenant de la cité de Cumes (Naples, Campanie) sur un arc temporel très étendu, depuis le IIe siècle av. J.-C. jusqu’à l’abandon du site durant l’Antiquité tardive. Après avoir examiné les données disponibles sur la production et la circulation des céramiques dans cette région de la baie de Naples, on analyse les mobiliers inédits des fouilles dans le forum, conduites par l’Università degli Studi di Napoli « Federico II », dans le cadre du projet Kyme, un programme de recherche et de mise en valeur des vestiges de la ville antique avec la participation de deux universités napolitaines et du Centre Jean Bérard (CNRS). Les données recueillies sur le site par les diverses équipes clarifient le rôle de Cumes comme centre de production céramique. Certaines céramiques communes fabriquées par les potiers de la ville connaissent une très large diffusion et sont parmi les productions les mieux attestées dans tout l’Empire romain: c’est le cas de la céramique dite à engobe rouge pompéien (ceramica a vernice rossa interna, Pompeian Red Ware o Pompejanisch-rote Platte). Les caractéristiques spécifiques du site et de l’assemblage de céramique commune étudié ont encouragé à adopter pour ce travail un système de classification différent de celui utilisé pour les productions communes de la Campanie jusqu'à présent. Chaque type est illustré analytiquement, avec le support d’une large documentation graphique et, dans la plupart des cas, des données fournies par l’étude des lames minces. L’examen des mobiliers provenant des fouilles du forum de Cumes et le réexamen des vases attestés dans la ville et en dehors du site, ont permis la révision des connaissances antérieures sur la production et la chronologie des types, en les confirmant ou en les modifiant. La documentation recueillie permet de dégager le cadre complexe de la production de céramique commune à Cumes. En outre, l’étude des importations a fourni nouveaux éléments sur les échanges commerciaux atteignant le site et la région phlégréenne, très influencés par la présence du port de Puteoli, porte de Rome sur les provinces de l’Afrique e de l’Orient. En examinant les variations du répertoire des formes représentées et les pourcentages des céramiques communes locales par rapport aux autres productions de l’Empire au cours des siècles, il a été possible d’observer des changements dans les flux commerciaux et dans les habitudes des individus. Il s’agit d’élever le regard des objets quotidiens pour atteindre les changements sociaux et économiques intéressant le site et le Champs Phlégréens entre le Haut Empire et l’Antiquité tardive
This study analyzes Roman Coarse Wares from the city of Cumae (Naples, Campania), over an extended period, from the II century B.C. to the abandonment of the site in the late Antiquity. After examining the available data on pottery production and circulation in this area of the bay of Naples, the unpublished assemblages from the forum are analysed. These contexts were found during the excavations carried out by the Università degli Studi di Napoli “Federico II”, in the framework of the Kyme Project, in which two Neapolitan universities and the Centre Jean Bérard (CNRS) are involved to promote the research and the valorisation of the ancient city. New data sets collected by these different teams highlight the role of Cumae in pottery production. Some coarse wares produced in Cumae were widely traded across the entire Roman Empire, in particular the so called Pompeian Red Ware (ceramica a vernice rossa interna, céramique à engobe rouge pompéien or Pompejanisch-rote Platte). The characteristics of the site and of the coarse ware assemblages led to the adoption of a classification system fundamentally different from those used in studies on Coarse Wares made in Campania until now. Every type of pottery is analytically described and illustrated, with profile drawings and, in most cases, with the support of data provided by thin-section study. The examination of Coarse Wares discovered in the excavations of the forum of Cumae and the re-examination of available documentation about Coarse Wares finds from the city and elsewhere, leads to review our previous knowledge about the chronology of each type and production, confirming or modifying them. The collected documentation allows us to reconstruct the framework of Coarse Wares production in Cumae. Furthermore, the study of imported Coarse Wares from the forum of Cumae provided new clues for reconstructing trade evolutions in the city and in the Phlegraean Fields, strongly influenced by the vicinity of the port of Puteoli, gateway of the Roman provinces of Africa and the Eastern Mediterranean. Examining forms evolutions and their percentage of the local and imported production through centuries, we observe changes in trade and in individuals habits and how everyday objects give insights on social and economical changes at Cumae and in the Phlegraean Fields during the Early Roman Empire and the late Antiquity
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Bizimana, Kayinamura Ladislas. "Making a Difference? European Union’s Response to Conflict and Mass Atrocities in the Democratic Republic of Congo (1994-2009)." Thesis, University of Bradford, 2013. http://hdl.handle.net/10454/15703.

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This dissertation scrutinises two related claims that were particularly heightened in 2009 as the European Union (EU) was celebrating the first tenth anniversary of its European Security and Defence Policy (ESDP), the implementing arm of its Common Foreign and Security Policy (CFSP). First, the two policy frameworks allegedly embodied sufficient added value for bettering EU intervention for human protection purposes in third places. Second, the ESDP supposedly enabled the EU to make a difference in its response to two bloody wars that broke out in the Democratic Republic of Congo (DR Congo) successively in 1996 and 1998. This thesis argues that the alleged added value and difference have been overstated at best. While various studies have taken a similar position, they have important shortcomings for at least four reasons: lack of a comprehensive account of the CFSP motives, capacities, and response; exclusive focus on civil and military operations; focus on the post-Second Congo War period; and a lack of conceptual clarity regarding two key terms – ‘conflict resolution’ and ‘peacebuilding’. This thesis goes beyond generalisation and undertakes a forensic examination of the CFSP statements, decisions, and actions precisely through the lens of Conflict Resolution (CR): a specific subject area of study with its own normative, theoretical, and practical advantages and shortcomings; and with a more comprehensive and indeed seminal conceptualisation of peacebuilding. The outcome is a far more nuanced assessment of failure and success of the EU’s peace endeavours in this context than can be obtained through a broad-brush approach to analysis
European Community-funded Sustainable Peacebuilding (SPBUILD) Research Training Network; University of Deusto’s ‘RETOS’ research group on socio-cultural and human rights challenges in a changing world.
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Bizimana, Kayinamura Ladislas. "Making a difference? : European Union's response to conflict and mass atrocities in the Democratic Republic of Congo (1994-2009)." Thesis, University of Bradford, 2013. http://hdl.handle.net/10454/15703.

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This dissertation scrutinises two related claims that were particularly heightened in 2009 as the European Union (EU) was celebrating the first tenth anniversary of its European Security and Defence Policy (ESDP), the implementing arm of its Common Foreign and Security Policy (CFSP). First, the two policy frameworks allegedly embodied sufficient added value for bettering EU intervention for human protection purposes in third places. Second, the ESDP supposedly enabled the EU to make a difference in its response to two bloody wars that broke out in the Democratic Republic of Congo (DR Congo) successively in 1996 and 1998. This thesis argues that the alleged added value and difference have been overstated at best. While various studies have taken a similar position, they have important shortcomings for at least four reasons: lack of a comprehensive account of the CFSP motives, capacities, and response; exclusive focus on civil and military operations; focus on the post-Second Congo War period; and a lack of conceptual clarity regarding two key terms – ‘conflict resolution’ and ‘peacebuilding’. This thesis goes beyond generalisation and undertakes a forensic examination of the CFSP statements, decisions, and actions precisely through the lens of Conflict Resolution (CR): a specific subject area of study with its own normative, theoretical, and practical advantages and shortcomings; and with a more comprehensive and indeed seminal conceptualisation of peacebuilding. The outcome is a far more nuanced assessment of failure and success of the EU’s peace endeavours in this context than can be obtained through a broad-brush approach to analysis.
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Bereznanin, Martin. "Modelování elektromagnetických polí v biologoických tkáních." Master's thesis, Vysoké učení technické v Brně. Fakulta elektrotechniky a komunikačních technologií, 2010. http://www.nusl.cz/ntk/nusl-218772.

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The main objective of this study is to learn about the theory of electromagnetic field and to create a model of propagation of ultra short waves in a biological tissue. Next point of this paper is to determine a specific absorption rate (SAR) using a valid sanitary standard. A particular model solution was realized in a model environment of the program Comsol Multiphysics 3.5. A human head and a cellular phone with an intern antenna were successfully created in this model environment. First of all were entered appropriate parameters which led to a successful representation of the distribution of electric field intensity. A value of specific absorption rate taken by a biological tissue was determined in the next step. This value was compared to the value listed in a valid sanitary standard to prevent its overrun. A development of a temperature in a biological tissue was determined as well, according to a six minutes long interval stated in a valid sanitary standard.
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24

Smith, Eric C. "A Pre-professional Institution: Napoleon’s Marshalate and the Defeat of 1813." Thesis, University of North Texas, 2014. https://digital.library.unt.edu/ark:/67531/metadc699890/.

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Napoleon’s defeat in 1813 generates a number of explanations from historians regarding why he lost this epic campaign which ultimately resulted in France losing control over the German states. Scholars discussing the French marshalate of the Napoleonic era frequently assert that these generals could not win battles without the emperor present. Accustomed to assuming a subordinate role under Bonaparte’s direct supervision, these commanders faltered when deprived of the strong hand of the master. This thesis contributes to this historiographical argument by positing that the pre-professional nature of Napoleon’s marshalate precluded them from adapting to the evolving nature of warfare during the First French Empire. Emerging from non-military backgrounds and deriving their capabilities solely from practical experience, the marshals failed to succeed at endeavors outside of their capacity. An examination of the military administration of the Old Regime, the effects of the French Revolution on the French generalate, and the circumstances under which Bonaparte labored when creating the imperial marshalate demonstrates that issues systemic to the French high command contributed to French defeat in 1813. This thesis also provides evidence that Napoleon understood this problem and attempted to better prepare his marshals for independent command by instructing them in his way of war during the 1813 campaign.
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Crispin, Vivianne. "Information exchange between patients and nurses during routine nursing care in ward settings : a qualitative multiple case study." Thesis, University of Stirling, 2014. http://hdl.handle.net/1893/21158.

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Aim: This study explores what type of information patients and nurses share with, or provide to, each other, and whether or not the information received was relevant and sufficient for their needs. Background: Information exchange, as part of shared decision-making, is advocated in policy and practice throughout the healthcare sector. Much of the literature on information exchange relates to one-to-one consultations with consultants or GPs. To date, no studies have explored information exchange between patients and nurses in ward settings. Nursing literature on patients’ information needs focuses on one-way information provision from nurses to patients, rather than on two-way information exchange between patients and nurses. Methods: Interactions between patients and nurses were observed and audio-recorded using a remotely controlled audio-recording system. Semi-structured individual face-to-face interviews were then conducted to clarify and add to the observation data. A multiple case study design was used for this study: each case comprised one patient, the nurses caring for that patient, and the interactions between them. A pilot study was undertaken to inform the methods for recruitment and data collection for the main study. Results: The pilot study comprised five cases (patients n=5, nurses n=3). Changes to the recruitment strategy for the main study included surgical patients being invited to participate in the same way as medical patients. There were no difficulties with the data collection methods. The main study comprised nineteen cases (patients n=19, nurses n=22). Information exchange seemed unfamiliar to ward-based nurses. The findings show that information exchange may not be a one-off event but a complex series of interactions. Patients did not distinguish between clinical and non-clinical information in the same way as nurses. Primary reasons for patients’ hospital admission were not discussed and nurses did not share information about nursing interventions. The relevance for patients and nurses differed; patients generally wanted information for reducing anxiety and socialization; nurses wanted information for assessment and care planning. In terms of sufficiency, observation sessions highlighted that insufficient information was provided, often due to lost opportunities and paternalistic practice. However, the majority of patients and nurses perceived that they had exchanged sufficient information. Conclusion: This multiple case study provides insights into the type, relevance and sufficiency of information for patients and nurses in ward settings. In ward settings, information exchange as conceptualised by Charles et al. (1997 and 1999) may be difficult to achieve due to the complexity of patient/nurse interactions. Therefore, there are implications for policy makers as policies are not context specific. However, information exchange may be helpful for reducing patients’ anxieties. The concepts of shared decision-making and information exchange are not part of ward-based cultures and philosophies, which suggests implications for patient and nurse education. Research on information exchange between patients and nurses in other ward contexts may contribute to further understanding of information exchange in ward settings.
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26

Giesen, Gaelle. "Dark Matter Indirect Detection with charged cosmic rays." Thesis, Paris 11, 2015. http://www.theses.fr/2015PA112160/document.

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Les preuves pour l'existence de la matière noire (MN), sous forme d'une particule inconnue qui rempli les halos galactiques, sont issues d'observations astrophysiques et cosmologiques: son effet gravitationnel est visible dans les rotations des galaxies, des amas de galaxies et dans la formation des grandes structures de l'univers. Une manifestation non-gravitationnelle de sa présence n'a pas encore été découverte. L'une des techniques les plus prometteuse est la détection indirecte de la MN, consistant à identifier des excès dans les flux de rayons cosmiques pouvant provenir de l'annihilation ou la désintégration de la MN dans le halo de la Voie Lactée. Les efforts expérimentaux actuels se focalisent principalement sur une gamme d'énergie de l'ordre du GeV au TeV, où un signal de WIMP (Weakly Interacting Massive Particles) est attendu. L'analyse des mesures récentes et inédites des rayons cosmiques chargés (antiprotons, électrons et positrons) et leurs émissions secondaires et les améliorations des modèles astrophysiques sont présentées.Les données de PAMELA sur les antiprotons contraignent l'annihilation et la désintégration de la MN de manière similaire (et même légèrement meilleurs) que les contraintes les plus fortes venant des rayons gamma, même dans le cas où les énergies cinétiques inférieures à 10 GeV sont écartées. En choisissant des paramètres astrophysiques différents (modèles de propagation et profils de MN), les contraintes peuvent changer d'un à deux ordres de grandeur. Pour exploiter la totalité de la capacité des antiprotons à contraindre la MN, des effets précédemment négligés sont incorporés et se révèlent être importants dans l'analyse des données inédites de AMS-02 : ajouter les pertes d'énergie, la diffusion dans l'espace des moments et la modulation solaire peut modifier les contraintes, même à de hautes masses. Une mauvaise interprétation des données peut survenir si ces effets ne sont pas pris en compte. Avec les flux de protons et d'hélium exposé par AMS-02, le fond astrophysique et ces incertitudes du ratio antiprotons sur protons sont réévalués et comparés aux données inédites de AMS-02. Aucune indication pour un excès n'est trouvé. Une préférence pour un halo confinant plus large et une dépendance en énergie du coefficient de diffusion plus plate apparaissent. De nouvelles contraintes sur l'annihilation et la désintégration de la MN sont ainsi dérivés.Les émissions secondaires des électrons et des positrons peuvent aussi contraindre l'annihilation et la désintégration de la MN dans le halo galactique : le signal radio dû à la radiation synchrotron des électrons et positrons dans le champs magnétique galactique, les rayons gamma des processus de bremsstrahlung avec le gas galactique et de Compton Inverse avec le champs radiatif interstellaire sont considérés. Différentes configurations de champs magnétique galactique et de modèles de propagation et des cartes de gas et de champs radiatif interstellaire améliorés sont utilisées pour obtenir des outils permettant le calculs des émissions synchrotrons et bremsstrahlung venant de MN de type WIMP. Tous les résultats numériques sont incorporés dans la dernière version du Poor Particle Physicist Coookbook for DM Indirect Detection (PPPC4DMID).Une interprétation d'un possible excès dans les données de rayons gamma de Fermi-LAT au centre galactique comme étant dû à l'annihilation de MN en canaux hadronique et leptonique est analysée. Dans une approche de messagers multiples, le calcul des émissions secondaires est amélioré et se révèle être important pour la détermination du spectre pour le canal leptonique. Ensuite, les limites provenant des antiprotons sur l'annihilation en canal hadronique contraignent sévèrement l'interprétation de cet excès comme étant dû à la MN, dans le cas de paramètres de propagation et de modulation solaire standards. Avec un choix plus conservatif de ces paramètres elles s'assouplissent considérablement
Overwhelming evidence for the existence of Dark Matter (DM), in the form of an unknownparticle filling the galactic halos, originates from many observations in astrophysics and cosmology: its gravitational effects are apparent on galactic rotations, in galaxy clusters and in shaping the large scale structure of the Universe. On the other hand, a non-gravitational manifestation of its presence is yet to be unveiled. One of the most promising techniques is the one of indirect detection, aimed at identifying excesses in cosmic ray fluxes which could possibly be produced by DM annihilations or decays in the Milky Way halo. The current experimental efforts mainly focus in the GeV to TeV energy range, which is also where signals from WIMPs (Weakly Interacting Massive Particles) are expected. Focussing on charged cosmic rays, in particular antiprotons, electrons and positrons, as well as their secondary emissions, an analysis of current and forseen cosmic ray measurements and improvements on astrophysical models are presented. Antiproton data from PAMELA imposes contraints on annihilating and decaying DM which are similar to (or even slightly stronger than) the most stringent bounds from gamma ray experiments, even when kinetic energies below 10 GeV are discarded. However, choosing different sets of astrophysical parameters, in the form of propagation models and halo profiles, allows the contraints to span over one or two orders of magnitude. In order to exploit fully the power of antiprotons to constrain or discover DM, effects which were previously perceived as subleading turn out to be relevant especially for the analysis of the newly released AMS-02 data. In fact, including energy losses, diffusive reaccelleration and solar modulation can somewhat modify the current bounds, even at large DM masses. A wrong interpretation of the data may arise if they are not taken into account. Finally, using the updated proton and helium fluxes just released by the AMS-02 experiment, the astrophysical antiproton to proton ratio and its uncertainties are reevaluated and compared to the preliminarly reported AMS-02 measurements. No unambiguous evidence for a significant excess with respect to expectations is found. Yet, some preference for thicker halos and a flatter energy dependence of the diffusion coefficient starts to emerge. New stringed constraints on DM annihilation and decay are derived. Secondary emissions from electrons and positrons can also be used to constrain DM annihilation or decay in the galactic halo. The radio signal due to synchrotron radiation of electrons and positrons on the galactic magnetic field, gamma rays from bremsstrahlung processes on the galactic gas densities and from Inverse Compton scattering processes on the interstellar radiation field are considered. With several magnetic field configurations, propagation scenarios and improved gas density maps and interstellar radiation field, state-of-art tools allowing the computaion of synchrotron and bremssttrahlung radiation for any WIMP DM model are provided. All numerical results for DM are incorporated in the release of the Poor Particle Physicist Coookbook for DM Indirect Detection (PPPC4DMID). Finally, the possible GeV gamma-ray excess identified in the Fermi-LAT data from the Galactic Center in terms of DM annihilation, either in hadronic or leptonic channels is studied. In order to test this tantalizing interprestation, a multi-messenger approach is used: first, the computation of secondary emisison from DM with respect to previous works confirms it to be relevant for determining the DM spectrum in leptonic channels. Second, limits from antiprotons severely constrain the DM interpretation of the excess in the hadronic channel, for standard assumptions on the Galactic propagation parameters and solar modulation. However, they considerably relax if more conservative choices are adopted
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27

Searle, Deane. "Low Intensity Conflict: Contemporary Approaches and Strategic Thinking." The University of Waikato, 2007. http://hdl.handle.net/10289/2591.

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Low Intensity Conflict (LIC) is a significant feature of the contemporary world and it is a particular challenge to the armed forces of many states which are involved is such conflict, or are likely to become so. This thesis is not concerned with how such difficult conflict situations arise. Rather it is concerned with how, from the point of view of the state, they may be contained and ultimately brought to a satisfactory resolution. The work is thus concerned with the practicalities of ending LIC. More specifically, the purpose of this research is to establish a framework of doctrinal and military principles applicable to the prevention and resolution of LIC. The principles of this thesis are based in numerous historical examples of LIC and six in depth case studies. These distilled principles are analysed in two central chapters, and are then applied in two latter defence force chapters so as to ensure there practicality and resilience. Numerous defence academics and military practitioners have been consulted in the production of this thesis; their contribution has further reinforced the functionality of the principles examined in this research. The research illustrates the criticality of a holistic approach to LIC. The function of this approach is to guarantee the stability of the sovereign state, by unifying civil, police, intelligence and military services. The effectiveness of the military elements must also be ensured, as military force is central to the suppression of LIC. Consequently, the research makes strategic and operational prescriptions, so as to improve the capability of defence forces that are concerned with preventing or resolving LIC.
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28

PILLAI, Vinoshene. "Intravital two photon clcium imaging of glioblastoma mouse models." Doctoral thesis, Scuola Normale Superiore, 2021. http://hdl.handle.net/11384/109211.

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29

ORSI, VALENTINA. "Persistenze e discontinuita' nella tradizione ceramica dell'Alta Mesopotamia tra la fine del Terzo e l'inizio del Secondo millennio a.C.. il contributo degli scavi di Tell Barri e Tell Mozan (Siria)." Doctoral thesis, 2010. http://hdl.handle.net/2158/560486.

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Il periodo tra la fine del III e l'inizio del II millennio a.C. in Alta Mesopotamia rappresenta nella storia e nell'archeologia del Vicino Oriente Antico una 'Media Aetas', un'età oscura tra la fioritura delle culture urbane del Bronzo Antico a metà del III millennio a.C. e lo sviluppo degli stati amorrei del Bronzo Medio, alla fine del XIX sec. a.C. L'identificazione nella sequenza archeologica di Tell Barri, l'antica città di Kahat, dell'orizzonte ceramico coevo alla 'crisi urbana' che precede la diffusione della ceramica dipinta del Khabur, associata ad un nuovo fenomeno di sedentarizzazione, permette di ridefinire la cronologia degli eventi nella regione, e di delineare i processi di interazione tra le diverse realtà sociali alto mesopotamiche in quella fase formativa che sta alla base del successivo sviluppo culturale di II millennio a.C.
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30

Harris, Matthew Gregory. "The efficacy of homoeopathic simillimum in the treatment of common and flat verrucae." Thesis, 2000. http://hdl.handle.net/10321/1906.

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Dissertation submitted in partial compliance with the requirements for the Master's Degree in Technology: Homoeopathy, Technikon Natal, 2000.
The purpose of this placebo-controlled study was to evaluate the efficacy of homoeopathic simillimum treatment of common and flat verrucae, in terms of its clinical manifestations, and the patient's perception to the treatment. It was hypothesized that the patients treated with homoeopathic simillimum would respond favourably in terms of the presenting condition and that their perception of the treatment received would be positive. The study was a clinical trial, in which a placebo group was compared with an experimental group. Convenience sampling was used to gather patients for the trial. Volunteers responded to advertisements that had been placed in various advertising media. Thirty patients were selected from the Greater Durban area. The subjects were of both sexes, all race groups and over ten years of age. The thirty subjects were assessed and if they complied with the criteria for the admissibility of a subject they were accepted into the study. The subjects were divided into two groups, one experimental and the other placebo, according to simple random sampling. The study was conducted under a double-blind protocol that lasted for three months for each patient. The patients were required to complete a Patient Perception Questionnaire during each follow-up consultation in the presence of the researcher. Results were statistically analyzed using the Analysis of Variance test, the Mann-Whitney Utest (inter-group comparison), the Wilcoxon Signed Rank test (intra-group comparison) and the Correlation test.
M
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31

"The design of isolation ward for reducing airborne infection in common clinical settings." Thesis, 2011. http://library.cuhk.edu.hk/record=b6075387.

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According to recommendations from the Facility Guidelines Institute (FGI) of the American Institute of Architects (AIA), World Health Organization (WHO) and Center for Disease Control and Prevention (CDC), a common engineering approach to isolation room design is to maintain the air ventilation rate at a minimum of 12 air changes per hour (ACH) for mixing and dilution, and a negative pressure in the room to direct airflow inwards, instead of leaking outwards.
In collaborations with physicians in the Respiratory Division and the Intensive Care Unit (ICU) at the Chinese University of Hong Kong (CUHK), a series of experiments were carried out to verify the ventilation performance of an All room at the Princess Margaret Hospital (PMH). Experiments investigated the effects of ACH, the control of airflow direction, the air tightness of the automatic swing door and the application of positive pressure ventilation procedures, such as high flow rate oxygen masks, jet nebulizers and NPPV. These were extensively tested in two different isolation rooms of the Prince of Wales Hospital (PWH) and PMH, under common clinical circumstances and environmental conditions.
Many patients with severe respiratory infection require supportive therapy for respiratory failure. Common interventions involve supplemental oxygen to improve tissue oxygenation. In the worst scenario, mechanical ventilation via non-invasive positive pressure ventilation (NPPV) may be required. Since a large amount of aerosols is generated during these interventions, there is a great risk of spreading infectious aerosols from the respiratory tract of the patient to the surrounding environment.
The aerodynamic data in this thesis infonns architects and engineers on how to improve the hospital ward ventilation design so as to avoid aerosol and ventilation leakage. Ultimately, it is hoped that this work may play a role in preventing devastating nosocomial outbreaks in the future.
The design of airborne infection isolation (AII) room has become one of the major research domains following the emergence of the global concern of acute respiratory diseases in this century. These include severe acute respiratory syndrome (SARS) in 2003, H5N1 avian influenza, and pandemic influenza H1N1 in 2009. All of which have claimed thousands of lives. Even with the current stringent design and practice guidelines, nosocomial infection of healthcare workers (HCWs) and inpatients continues to occur. This implies that there might be limitations in current isolation ward designs.
The experiments implemented a high-fidelity human patient simulator (HPS) which could be programmed with different lung breathing conditions and oxygen flow rate settings. The patient exhaled air dispersion distances and airflow patterns were captured in detail with a non-intrusive, laser light sheet, smoke particle scattering technique, designed for this thesis. Thin laser light sheets were generated by a high energy YAG laser with custom cylindrical optics. Smoke concentration in the patient exhaled air and leakage jets was estimated from the intensity of light scattered, which was then expressed as nonnalized particle concentration contours using computer programs developed for this study.
The study quantitatively revealed the distinctive patient exhaled airflow patterns and the extent of bioaerosol, generated directly from the patient source with the application of different oxygen delivery interventions for different patient lung conditions and oxygen flow rates. It was found that contamination was more critical during the administration of oxygen therapies, which is common in clinical circumstances. Source control is therefore the most efficient and effective approach to the reduction and even elimination of patient exhaled bioaerosol contaminants. Thus, when working in an isolation room environment, full preventive measure should be taken and it is essential to consider the location of mechanical vents and the patient exhaled airflow patterns. It has also been shown in experiment that applications of bacterial viral filter could be a solution to the problem.
Chow, Ka Ming.
Advisers: Puay Peng Ho; Jin Yeu Tsou.
Source: Dissertation Abstracts International, Volume: 73-09(E), Section: A.
Thesis (Ph.D.)--Chinese University of Hong Kong, 2011.
Includes bibliographical references (leaves 115-147).
Electronic reproduction. Hong Kong : Chinese University of Hong Kong, [2012] System requirements: Adobe Acrobat Reader. Available via World Wide Web.
Electronic reproduction. Ann Arbor, MI : ProQuest Information and Learning Company, [200-] System requirements: Adobe Acrobat Reader. Available via World Wide Web.
Abstract also in Chinese.
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32

Fitzgerald, Jane Elizabeth. "“Wild Humours of the Common People”: violence and sympathy in The Wars of the Three Kingdoms 1639- 1653." Thesis, 2020. http://hdl.handle.net/1959.13/1414383.

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Research Doctorate - Doctor of Philosophy (PhD)
Throughout the Wars of the Three Kingdoms (1639-1653), acts of interpersonal violence and sympathy were enacted by and against civilians and were given expression in popular print literature as well as more personalised accounts. Consideration of violence during the wars has often focused on whether violence happened in the way sources said that it did. This approach, while valuable, undercuts the significance of textual and pictorial depictions in their own right and as a means of evoking specific emotions and reactions in audiences. It also negates their use in better understanding civilians’ experiences of violence in the wars. This thesis seeks to address this shortfall by focusing on the use and meaning of depictions, rather than their accuracy in representing events, in part through the prism of sympathy.
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Hewitt, Alison. "Reproductive biology of one rare and three common Sydney Melaleuca species : Melaleuca deanei, Melaleuca nodosa, Melaleuca styphelioides and Melaleuca thymifolia." Thesis, 2016. http://hdl.handle.net/1959.7/uws:38007.

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This thesis presents work aimed at determining the reasons behind low reproductive success in Melaleuca deanei F. Muell., a vulnerable species in NSW. A series of comparative studies into the reproductive biology and regeneration niche are reported for M. deanei and three common Melaleuca species from the area: Melaleuca nodosa (Sol. ex Gaertn.) Sm., Melaleuca styphelioides Sm and Melaleuca thymifolia Sm. Measures of population structure were first quantified for each species and for replicate large and small populations of M. deanei; these include plant density, abundance and size class distributions, canopy seed loads and seed viability. The timing, frequency and synchrony of flowering of each species over three seasons were also documented. Smaller populations of M. deanei were found to contain lower quantities of viable seed per square metre, lower proportions of fruiting plants and to flower less frequently in comparison to plants from the larger populations of M. deanei or those of the common congeners. Flowering, when it occurred in M. deanei, was later than the common congeners, from mid-late October through to late November-early December. Increased flowering of M. deanei was documented along road edges and in years following fire. The work also confirmed significantly lower proportions of seedlings in all populations of M. deanei and M. styphelioides. Seedling recruitment in both species is rare and would appear to require specific conditions. These population level studies suggest that rarity in M. deanei is related to low recruitment success, infrequent flowering and low seed loads.
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Wang, Yan-Zhen, and 王妍蓁. "Youth, Conflict and Reading Strength Comment on "The Wednesday Wars" by Gary D. Schmidt." Thesis, 2010. http://ndltd.ncl.edu.tw/handle/09477803363568405941.

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碩士
國立臺東大學
兒童文學研究所
98
Youth, Conflict and Reading Strength Comment on “The Wednesday Wars” by Gary D. Schmidt Yan-Zhen Wang Abstract Gary D. Schmidt is a famous writer of young adult novels; his works The Wednesday Wars and Lizzie Bright and the Buckminster Boy has been translated into Chinese. This thesis focuses on exploring the young adult prototype with the effect upon “Shakespeare” and good and evil of human nature in the turbulent times. The main plot of the story is the growth of the leading character, Holling, the interaction between Mrs. Becker and Holling himself, and their teacher-student relationship. It is the essence of the Shakespeare that puts them together. Shakespeare, like Don Juan, enlightens him in his youth by accident, so that Holling may free himself from the rules of youth and learn how to accept, how to think, how to experience, and how to interpret. As times goes by, the essence of the Shakespeare elaborates the effect of correcting Holling himself. And it guides him to grow up in the sorrowful years of Vietnamese War. The study starts from the introduction of the author to the process of writing The Wednesday Wars with a review of the characteristic of writing. Furthermore, the study contrasts the text of the book with the relevant historic facts, and it is examined by the effect from Shakespeare upon the growth of Holling. Besides, the study expounds the literary characteristic of The Wednesday Wars which is reflected by the respective exploration of the text form of the book, characters, scenario, and symbolism. Moreover, we compare the text of the book with the real life which contains the struggle of growth, peer culture on campus, the interaction between teachers and students, the communication between teachers and parents, and the tug of war between parents and children. Furthermore, we cite the call of human nature in the field of sociology in order to prove that positive thinking and self-adjusting are the ways to find the meaning of life along with the growth. The Wednesday Wars reveals the author’s intention, which is to find one’s own way to understand the world as well as to learn to know oneself. The scenario is funny and vivid. The plot in the story is close to real life. The themes can lead the readers to search themselves when encountering difficult times. It is valuable to the adolescents on the growth in the turbulent times. Key Words: young adult novels, conflict, Shakespeare
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WANG, YAN-ZHEN, and 王妍蓁. "Youth, Conflict and Reading Strength Comment on &auo;;The Wednesday Wars&auo;; by Gary D. Schmidt." Thesis, 2010. http://ndltd.ncl.edu.tw/handle/xz4fw6.

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碩士
國立臺東大學
進修部兒文所碩士班(台北夜間)
98
Gary D. Schmidt is a famous writer of young adult novels; his works The Wednesday Wars and Lizzie Bright and the Buckminster Boy has been translated into Chinese. This thesis focuses on exploring the young adult prototype with the effect upon
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36

Sengupta, Chandni. "Evaluating the role of stress and parasite load in sarcoptic mange incidence in bare-nosed wombats (Vombatus ursinus) in N.S.W., Australia." Thesis, 2019. http://hdl.handle.net/1959.7/uws:53720.

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Populations of bare-nosed wombats (Vombatus ursinus) are under threat across Australia and one of the major causes of their mortality is sarcoptic mange. Reasons for this high susceptibility are being investigated. On conducting a thorough search through literature, it was observed that although the current treatment practice can successfully restrict sarcoptic mange prevalence in small captive bare-nosed wombat populations, the same is not true for large free-ranging populations. Environmental factors such as drought, habitat degradation and anthropogenic interference can act as potential stress factors to exacerbate the effects of sarcoptic mange. During stress, the hypothalamic pituitary adrenal (HPA) axis is stimulated to release stress hormones (glucocorticoids - GC) that can influence immune function. Past research has suggested that chronic stress is associated with immunosuppression which can play a role in disease incidence. Additionally, a high prevalence of secondary endoparasitic infestations have been reported to be associated with sarcoptic mange incidence. To better comprehend the parameters that influence sarcoptic mange incidence in bare-nosed wombats, this study employed non-invasive procedures that enable evaluation of endoparasitic and stress load in these marsupials. Non-invasive faecal sampling is ideal for large nocturnal marsupials like bare-nosed wombats. Validation of species-specific enzyme immunoassay (EIA) is necessary. This thesis aimed to optimise techniques suitable for quantifying faecal cortisol metabolites (FCM) (end products of HPA axis activation) in the voided excreta of bare-nosed wombats. One in-house and one commercial EIA was successfully validated to monitor the adrenocortical activity in these marsupials. Faecal samples collected from free-ranging wombats are usually <12 h old. Faecal hormone metabolites are vulnerable to bacterial activity and hence the knowledge of the decay rate of these metabolites in voided faeces is essential. This study determined the decay rate and baseline level of FCM in captive bare-nosed wombat faecal samples. Faecal samples collected from free-ranging wombats located in five different locations in N.S.W, Australia were analysed to evaluate their endoparasite and stress load simultaneously. My research brought new insights into the current parasitological and stress profiles of bare-nosed wombats as well as the current sarcoptic mange prevalence in these marsupials at the five study sites. This study demonstrated that an increase in FCM level among bare-nosed wombat populations could increase the probability of being infected with sarcoptic mange. The outcome of this study agrees with the corticosteroid-fitness hypothesis, which envisages that an increase in the levels of GC hormones can result in reduced fitness of organisms and hence can result in lower fecundity and higher risk of developing an infection. This can lower chances of future population survival. To the best of my knowledge, this is the first study that incorporates endoparasitic load, chronic stress and sarcoptic mange prevalence in bare-nosed wombat populations in N.S.W, Australia in both empirical and experimental approaches.
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TOMKOVÁ, Jana. "Motivace a odměňování pracovníků ve středně velkém podniku." Master's thesis, 2018. http://www.nusl.cz/ntk/nusl-375952.

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The main aim of this diploma thesis is to analyse the state of remuneration of employees, the way of their motivation and suggest a possible change of the system based on the found results. The aim of the first, theoretical part is the synthesis of professional publications, the output of which will be a literary overview. The comprehensive view of the issue is set and there are analysed the most important theoretical findings relating to the medium-sized business, motivation, motivation theory, motivation and remuneration, remuneration management and its objectives, rewards and work performance, the structure and form of wages, evaluation of work, the most common forms of wages, employee benefits, MS as an instrument for motivation and remuneration. The course of the research is presented in the practical part and it is carried out in the XY health insurance company. At first, this organization is briefly described and then a self-directed research is conducted through a questionnaire survey of counter staff, client centre managers and project managers / shoppers, the current state of employee remuneration and motivation is analysed.Subsequently, an analysis of the effect of the IMS reward compared with the adoption of IMS and motivation for improvement of client center managers and counter-staff is performed. Thus the data obtained from the questionnaire survey with the data provided by the company on IMS remuneration are compared. Finally, the acquired data are evaluated, suggested recommendations for improvement of the situation and a summary of the work is drawn up.
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38

Dutton, Laura A. "Evaluating the criteria for successful elections in post-conflict countries : a case study including Iraq, Sierra Leone, and Bosnia and Herzegovina." Thesis, 2014. http://hdl.handle.net/1805/5281.

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Indiana University-Purdue University Indianapolis (IUPUI)
Previous research on post-conflict elections has found several criteria important in determining if an area is ready to hold elections and whether or not it is likely to succeed. Although rarely ranked in any determination of importance, several concepts are present in most post-conflict election research. Additionally, there is not an agreed set of standard criteria upon which success can be assumed. When researching the post-conflict election literature two questions arise: (1) is there a set of criteria established to determine if an area is ready to conduct post-conflict elections, and (2) do all criteria need to be present in order to ensure successful post-conflict elections? Most research agrees on common criteria but highlights or researches one dominant criterion, to which is then often attributed to the success of an election. This is found in Krishna Kumar’s focus on international assistance (Kumar, 1998), Staffan Lindberg’s attribution of success to repetition of the election process (Lindberg, 2006), Paul Collier’s focus on per capita income (Collier, 2009), and Marie-Soleil Frere’s research on post-conflict elections and the media (Frere, 2011). When reviewing multiple research sources, it is likely several factors at various times and in various elections will be credited with being the single source criterion for success. This kind of past research is well supported and conclusively argued, but still fails to provide a scope of understanding outside of a single event. In other words, it is case specific and not comparatively applicable across cases. Although this thesis does not intend to “McDonaldize” (Ritzer, 2009) the process of democratization, it does propose to define a common set of criteria necessary, even if in varying degrees, to conduct successful elections in post-conflict environments.
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39

Tyler, John. "A Pragmatic Standard of Legal Validity." Thesis, 2012. http://hdl.handle.net/1969.1/ETD-TAMU-2012-05-10885.

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American jurisprudence currently applies two incompatible validity standards to determine which laws are enforceable. The natural law tradition evaluates validity by an uncertain standard of divine law, and its methodology relies on contradictory views of human reason. Legal positivism, on the other hand, relies on a methodology that commits the analytic fallacy, separates law from its application, and produces an incomplete model of law. These incompatible standards have created a schism in American jurisprudence that impairs the delivery of justice. This dissertation therefore formulates a new standard for legal validity. This new standard rejects the uncertainties and inconsistencies inherent in natural law theory. It also rejects the narrow linguistic methodology of legal positivism. In their stead, this dissertation adopts a pragmatic methodology that develops a standard for legal validity based on actual legal experience. This approach focuses on the operations of law and its effects upon ongoing human activities, and it evaluates legal principles by applying the experimental method to the social consequences they produce. Because legal history provides a long record of past experimentation with legal principles, legal history is an essential feature of this method. This new validity standard contains three principles. The principle of reason requires legal systems to respect every subject as a rational creature with a free will. The principle of reason also requires procedural due process to protect against the punishment of the innocent and the tyranny of the majority. Legal systems that respect their subjects' status as rational creatures with free wills permit their subjects to orient their own behavior. The principle of reason therefore requires substantive due process to ensure that laws provide dependable guideposts to individuals in orienting their behavior. The principle of consent recognizes that the legitimacy of law derives from the consent of those subject to its power. Common law custom, the doctrine of stare decisis, and legislation sanctioned by the subjects' legitimate representatives all evidence consent. The principle of autonomy establishes the authority of law. Laws must wield supremacy over political rulers, and political rulers must be subject to the same laws as other citizens. Political rulers may not arbitrarily alter the law to accord to their will. Legal history demonstrates that, in the absence of a validity standard based on these principles, legal systems will not treat their subjects as ends in themselves. They will inevitably treat their subjects as mere means to other ends. Once laws do this, men have no rest from evil.
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