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1

Tyler, Meagan, Lisa Carson, and Benjamin Reynolds. "Are fire services ‘extremely gendered’ organizations? Examining the Country Fire Authority (CFA) in Australia." Gender, Work & Organization 26, no. 9 (July 29, 2019): 1304–23. http://dx.doi.org/10.1111/gwao.12393.

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Jones, S. D., M. F. Garvey, and G. J. Hunter. "Where's the fire? Quantifying uncertainty in a wildfire threat model." International Journal of Wildland Fire 13, no. 1 (2004): 17. http://dx.doi.org/10.1071/wf02050.

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Models of wildfire threat are often used in the management of fire-prone areas for purposes such as planning fire education campaigns and the deployment of fire prevention and suppression resources. While the use of spatial or geographic data is common to all wildfire threat models, the key question arises: Is the accuracy of the spatial data used in wildfire threat models sufficient for the intended decision-making purpose? To help answer this question, a quantitative uncertainty assessment technique was applied to a wildfire threat model used by the Country Fire Authority in Victoria, Australia. The technique simulates known or estimated spatial data error by modifying data values to represent the range of all probable errors present in the input dataset. The wildfire threat model is then run multiple times using these modified ‘error’ layers in order to simulate and observe the effect these errors have on the model outputs. For the model concerned, the results suggest that errors in digital elevation surfaces have only minimal impact upon the outputs, resulting in relatively stable wildfire management decisions. On the other hand inaccuracies in land cover maps (with implied differences in fuel load estimations) result in larger changes in the model outputs, whereas changes in fire weather data can result in highly unstable outputs. Knowledge of these effects can facilitate better wildfire management since any improvements that are to be made to the model’s accuracy can be focussed directly upon the problem datasets.
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Ręcławowicz, Stanisław, and Janusz Adam Wrzesiński. "Krajowy system ratowniczo-gaśniczy w systemie bezpieczeństwa wewnętrznego państwa." Przegląd Prawa i Administracji 106 (December 13, 2016): 331–43. http://dx.doi.org/10.19195/0137-1134.106.28.

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NATIONAL FIREFIGHTING AND RESCUE SYSTEM NFRS IN THE STATE INTERNAL SECURITY SYSTEMNational Firefighting and Rescue System was formed on 1 January 1995 under the Act of 24August 1991. The Act, which initiated achange in our state internal security system, changing its paramilitary character into civilian. Despite the laws of abygone era of communism the creation of the State Fire Service as aseparate formation within the Ministry of Internal Affairs allowed „the exclusion” of organizational units of the fire brigade of the Civil Defence so-called „rescue units group”.This formation was obliged to create the National Rescue and Fire Fighting, possessing the power switch to the system of other units of fire protection services, inspections, internships, institutions and entities that voluntarily on the basis of acivil contract agreed to cooperate in rescue operations.This system gives permission to the Chief Commander in the State Fire Service, Provincial and District Heads to determine respectively in the country, province or district the tasks, coordinate operation and manage it in extreme situation.The Provincial Governor and the District Head carry out their tasks with the appropriate provincial and district crisis management team, operating under the Act of 26 April 2007. Crisis Management Dz.U. Journal of Laws No. 89, item. 590, as amended. Amendment 2.The Village Head has the authority supervised by the mayor or city president, who coordinates the operation of the National Firefighting and Rescue System within the municipality to the extent determined by the Provincial Governor. In other words, the system enables the interaction of organizational units of government, local government, private entities and public benefit organizations. The relevant Governors play ameaningful role in this system. They perform tasks and powers of the State Fire Service with the help of provincial commanders of the State Fire Service in the province.
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Setyo Palupi, Listyati. "Towards sustainable cities and communities: Is psychological preparedness include in the disaster risk reduction policy framework in Indonesia." E3S Web of Conferences 340 (2022): 03009. http://dx.doi.org/10.1051/e3sconf/202234003009.

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Indonesia geographical location that surrounded by Australia plate, Pacific plate, and Eurasia plate has made the country exposed to disasters. Natural hazard that often happen in Indonesia are flood, volcanic eruption, earthquake, landslide, land fire, cyclone, extreme wave. The impact of disaster was devastating economically, socially and psychologically for affected community as well for the whole nation. Indonesia National Disaster Management Authority (NDMA) has noted that average losses caused by disaster is 30 trillion rupiah per year. Studies found that preparing individual to face disaster could help to reduce the impact of the disaster. However, the effort is still not enough and yet Indonesia is still suffering a great loss due to disasters. The disaster preparedness program that was available was mostly focused in technically prepare people and neglect the importance of psychologically prepare people to face disaster. The purpose of the study is to analyse current disaster risk reduction policy framework in Indonesia, examine whether the current policy framework has address and includes psychological preparedness for disaster and propose a solution for designing appropriate policy to reduce psychological impact of disaster.
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Setiawan, Tedy, Fatkhan, and Ramadhani Yasyfi Cysela. "Landslide Monitoring using Inclinometer with Micro Electromechanical System (MEMS)." IOP Conference Series: Earth and Environmental Science 873, no. 1 (October 1, 2021): 012024. http://dx.doi.org/10.1088/1755-1315/873/1/012024.

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Abstract Being located on the Pacific Ring of Fire and a tectonically active country, Indonesia has to cope with the constant risk of volcanic eruptions, earthquakes, floods and landslides. Landslides and other mass movements are serious geo-environmental hazards in Indonesia. Following report from the Indonesia National Disaster Management Authority (BNPB), landslides are among high disaster death toll throughout the archipelago. It claimed 248 lives last year alone. The number of landslides in Indonesia increase steadily to 376 in 2014 from 291 in 2012. Hence, landslide monitoring system is required to determine style of landslide movement, for risk and even emergency risk management assessments and to assist with the design of mitigation works. A landslide instrumentation program including an inclinometer is designed for landslide monitoring. The inclinometer, or tilt sensor, is an instrument used for measuring slope, tilt, or inclination. In this paper we use Micro Electromechanical System (MEMS) as a sensor to measure changes in an angle. Then information is transferred to a central server soon after real-time accelerations are monitored. A data logger also used as a data recording. With low-cost MEMS accelerometers, the results show this instrument is able to provide reliable ground-motion data in network-scale deployments.
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6

Forsyth, Anthony. "Industrial legislation in Australia in 2016." Journal of Industrial Relations 59, no. 3 (May 22, 2017): 323–39. http://dx.doi.org/10.1177/0022185617693876.

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After three years of trying, the Coalition Government finally succeeded in obtaining passage of several key workplace reform statutes in 2016. This followed the outcome of the federal election held on 2 July, delivering the Government a differently composed Senate and a new opportunity to secure support for its legislative program. This review article explains key aspects of the industrial legislation passed by federal Parliament in 2016, including statutes abolishing the specialist road transport industry tribunal, re-establishing the Howard-era regulator for the construction industry, and setting up a new agency to enforce enhanced governance and accountability standards for registered unions and employer organisations. Legislative amendments aimed at resolving the long-running bargaining dispute in Victoria’s Country Fire Authority are also considered, along with the Government’s muted response to the 2015 Productivity Commission review of the workplace relations framework. The article then examines developments at state level, including a major rewrite of Queensland’s industrial legislation, structural changes in New South Wales, and proposed changes to long service leave and the labour hire sector in Victoria. It concludes by noting the irony that just as the federal Government has tasted some success after a long legislative ‘dry spell’, its labour law reform agenda appears limited and piecemeal.
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Rashid, Muhammad. "Health Impacts on Pregnant Females during Disasters in Pakistan." International Journal of Frontier Sciences 1, no. 2 (July 1, 2017): 51–57. http://dx.doi.org/10.37978/tijfs.v1i2.26.

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Introduction: Pakistan is vulnerable to many hazards due to its geography and climate condition, like floods, earthquakes, droughts and landslides. Some manmade hazards also provoking us like, road traffic accidents, fire, structural collapse, radiological and chemical spills etc. Pakistan have faced many of these which affects us badly at every perspective of life for example health, communication, water and sanitation and infrastructure.This study focused on health problems experienced by pregnant females during any type of disasters. Females faced so many problems because of very sensitive issues like unavailability of health facilities, lack of food, and unavailability of clean water, accommodation and transportation.Methodology: This is the descriptive cross-sectional study. The objective of the study was to identify health problems faced by the pregnant females during disasters. Annual disaster report of National Disaster Management Authority Pakistan and Pakistan Red Crescent Society is employed to identify these problems.Discussion: Unexpected environmental events cause natural disasters which affect entire communities and are likely to endanger life and property. In addition to causing casualties and economic losses, exposure to natural disasters can precipitate transient and more enduring somatic and psychological symptoms that relate to posttraumatic stress disorder and depression.Conclusion: Pakistan is exposed to different hazards due to its geography and climate situation. Catastrophic incidents, both natural and manmade, bring about heavy loss of human lives and livelihoods, damage to property and infrastructure. Such episodes can also aggravate natural processes, such like sudden tectonic movements, which promote earthquakes and tsunamis, resulting in frequent cyclones, continuous dry conditions cause prolonged droughts, severe storms, unexpected heavy rains, excessive snowfalls, floods, landslides, and avalanches, etc. The country is also vulnerable to manmade disasters, for example industrial hazards, bomb blasts, building fires, armed conflicts and nuclear and radiological events.
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Fielding, Victoria. "Measuring news media frame building during an Australian industrial dispute." Australian Journalism Review 44, no. 1 (June 1, 2022): 61–82. http://dx.doi.org/10.1386/ajr_00088_1.

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News media play a crucial role in supporting liberal democracy by holding the powerful to account and facilitating a diverse, balanced and equal marketplace of ideas. In this marketplace of ideas, groups and interests like unions and employers compete for attention and to have their ideas legitimated by journalists. Although framing theory is used extensively to understand how news media represents different issues, due to its theoretical ambiguity and the methodological challenge of determining how and why frames are built by journalists, it is difficult to quantify how effectively news media delivers equity between competing perspectives. Entman, Matthes and Pellicano’s diachronic process model of political framing helps to overcome these challenges by providing a theoretical model, which is used in this article to investigate a case study of Australian media representation of competing industrial dispute narratives. The article identifies and compares two of the model’s framing junctures: industrial spokespeople’s narratives during the contemporary Australian case of the Victorian Country Fire Authority (CFA) in dispute with firefighter members of the Victorian United Firefighters Union; and their alignment with news media reports about the CFA dispute. The findings reveal inequity between the representation of workers and their union as compared to the employer, and thus present a case of imbalanced or biased frame building in the marketplace of ideas. These findings are applied to discussions of conscious and unconscious bias to theorize why this inequity occurred.
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9

Shane, Daniel M. "Westley Tire Fire, Stanislaus County, California." International Oil Spill Conference Proceedings 2001, no. 1 (March 1, 2001): 379–83. http://dx.doi.org/10.7901/2169-3358-2001-1-379.

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ABSTRACT This is a case study of U.S. Environmental Protection Agency (EPA) emergency response actions taken at one of the largest tire fires in California. The site was an illegal scrap tire dump known as the Filbin Tire Pile. There was an estimated 7 million tires in the pile. The site was located in a canyon in the rolling hills above the San Joaquin Valley near the Town of Westley, California. This tire fire was considered a major environmental disaster where large populations were affected and there was a potential for severe environmental damage. Responders with past experience recognized that the tire fire would be a unique multi-category event containing the elements of a major fire: hazardous materials release and oil spill discharge combined into one event. Shortly after the fire ignited the tires began to pyrolyze, producing a steady stream of oil that discharged to an unnamed drainage in the hills above the valley. The oil in the drainage flashed sending great plumes of thick black smoke into the valley. The oil and tire fires quickly overwhelmed the resources of the local fire departments. The EPA On-Scene Coordinator (OSC) immediately responded using federal authority to respond to and, if necessary, remove a discharge of oil or a hazardous substance under the Clean Water Act (33 U.S.C. 1321(c)) as amended by the Oil Pollution Control Act of 1990 (OPA 90). Some of the most difficult problems that were encountered included making decisions on fire suppression tactics; conducting safe operations in extremely hot and unstable fire conditions; maneuvering heavy equipment on steep slopes, and deep and spongy tire piles; controlling massive volumes of oil and water runoff; coordinating with local and state governmental agencies; forming a fully integrated and effective Incident Command System led by a Unified Command (ICS/UC); and recycling of pyrolytic oil under current California hazardous waste regulations.
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Завгородний, Алексей Николаевич. "Ways to improve the provision of a rescue military formation with an educational and material base (on the example of the Don rescue center of the EMERCOM of Russia)." Management of Education, no. 4(44) (September 15, 2021): 74–82. http://dx.doi.org/10.25726/x3097-7171-4485-c.

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Оперативная работа подразделений Оперативно-спасательной службы гражданской защиты (далее – ОРС ГЗ) по ликвидации чрезвычайных ситуаций осуществляется в обстановке, которая постоянно меняется: в задымленном и токсическом среде, в условиях высоких температур, угрозы взрывов и обрушений, на высотах и в подвалах, при ликвидации стихийных бедствий и катастроф. Это обусловливает определенную специфику в деятельности пожарного-спасателя, совмещенную с систематической работой в непривычной среде и непрерывным нервно-психологическим напряжением. Поэтому одной из важнейших задач обучения и воспитания является формирование у пожарных-спасателей и руководителей подразделений ОРС ГЗ высоких волевых и профессионально-оперативных психологических качеств. Развитие этих качеств осуществляется на занятиях по пожарно-строевой и спасательной подготовке на пожарно-тактических занятиях и учениях, на тренировках в теплодымокамерах, но наиболее эффективными считаются занятия, которые проводятся на огневой полосе психологической подготовки. Данные занятия проводятся во время проведения первичной профессиональной подготовки и при проведении повышения квалификации, в структуре служебной подготовки. Порядок подготовки и повышение квалификации работников службы гражданской защиты, определяется центральным органом исполнительной власти, который обеспечивает формирование и реализует государственную политику в сфере гражданской защиты, по согласованию с федеральным органом исполнительной власти, который обеспечивает формирование и реализует государственную политику в сфере образования и науки. Но в настоящее время, в нашей стране отсутствует нормативно-правовая база, которая определяет порядок устройства огневых полос психологической подготовки и организации проведения занятий на них. The operational work of the units of the Operational Rescue Service of Civil Protection (hereinafter referred to as the ORS GZ) to eliminate emergency situations is carried out in an environment that is constantly changing: in a smoky and toxic environment, at high temperatures, the threat of explosions and collapses, at heights and in basements, during the elimination of natural disasters and catastrophes. This determines a certain specificity in the activity of a firefighter-rescuer, combined with systematic work in an unusual environment and continuous neuropsychological stress. Therefore, one of the most important tasks of training and education is the formation of high-willed and professional-operational psychological qualities in firefighters and rescuers and heads of departments of the ORS GZ. The development of these qualities is carried out in classes on fire-drill and rescue training, in fire-tactical classes and exercises, in training in heat-and-smoke chambers, but the most effective classes are those that are held on the firing line of psychological training. These classes are held during primary vocational training and during advanced training, in the structure of service training. The procedure for training and advanced training of employees of the civil protection service is determined by the central executive authority, which ensures the formation and implementation of state policy in the field of civil protection, in coordination with the federal executive authority, which ensures the formation and implementation of state policy in the field of education and science. But at present, there is no regulatory framework in our country that determines the procedure for setting up firing ranges for psychological training and organizing classes on them.
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Karpiuk, dr hab Mirosław. "Position of County Government in the Security Space." Internal Security 11, no. 1 (October 18, 2019): 147–58. http://dx.doi.org/10.5604/01.3001.0013.5349.

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Security is a very important human need, which is addressed at all levels of local governance both by the central and local government bodies. As regards local government, the scope of tasks involving the provision of security on the local and regional levels has been adjusted to the capabilities (including financial) of individual local government units. Basic tasks are carried out at the municipal district level, supra-municipal tasks — at the county level, and regional tasks — at the provincial level, except that in the province there is a dualism of administration, meaning that administrative authority is shared between a central government-appointed governor, called the provincial governor, and an elected assembly called the regional council. In the case of the county, security-related tasks, as well as the competences relevant to this area, must be clearly defined in the act. At this level of public administration there is no presumption of competence for the benefit of the county authority. The county council performs the public tasks of a supra-municipal character set out by statute rather than the tasks not reserved for other entities. In order to ensure public order and safety of citizens, as well as fire and flood protection, the legislator authorises the county council to use technical means to record what is happening (CCTV cameras) in the area of public space, with the consent of the area manager or an entity holding a legal title to this area, or on the property and in civil structures constituting the property of the county or organisational units of the county, as well as in the area around such premises and structures, if it is necessary to ensure public order and the safety of citizens or provide fire and flood protection.
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Viljoen, Stella. "Authorship and auteurism in Another Country." Tydskrif vir Letterkunde 41, no. 2 (April 20, 2018): 47–54. http://dx.doi.org/10.4314/tvl.v41i2.29673.

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In 1873 Benjamin Disraeli could bemoan, "[a]n author who speaks about his own books is almost as bad as a mother who talks about her own children." Today, however, authorship is a consumable that demands endless promoting in order to be profitable. The ironic predicament of the author within contemporary (technocratic) culture is his frequent invisibility. Another Country is an apposite vehicle for raising the quandary of contemporary authorship since it is first, a music video and thus a promotional tool itself and second, an authorial collaboration between musical artists Mango Groove and "fine artist" William Kentridge.
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Yashlavskii, A. "Extremist Group “Boko Haram” in Nigeria: a Danger of Local or Global Level?" World Economy and International Relations, no. 1 (2015): 17–27. http://dx.doi.org/10.20542/0131-2227-2015-1-17-27.

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Among issues of the US-Africa summit in August 2014 the problem of religious extremism in Africa was most important. In that context Nigerian Islamist group Boko Haram plays a significant role. Kidnapping by Boko Haram militants of about 200 schoolgirls in April 2014 added oil to the fire. This action increased the fears of international community about possible linkage between Boko Haram and foreign Al Qaeda-like terrorist organizations. Initially, the group emerged as a local movement of devout Muslims in Northern Nigeria. But eventually it became a very radical militant Salafi-Jihadist group with ambitious goal to build an Islamic state in Nigeria. As is well-known, Nigerian population is divided not only into relatively rich South and poor North, but also into Christian and Muslim communities. As a result of sectarian clashes in Nigeria, thousands people lost their lives. The sectarian violence in this country is connected in part with the Islamist revolt of 1999 (“Sharia conflict”), after adoption of Sharia law in several Northern Nigerian states. Ethnic-religious violence in Nigeria is connected in particular with the British colonial heritage, but also with current serious social-economic problems (including the unemployment, corruption, cruelty of security services, unbalanced national economy etc.). From some point of view Nigeria may be considered even as a “failed state” because its federal government cannot control the whole territory of the country. While some southern regions are under control of the Movement for the Emancipation of the Niger Delta militants, some areas in northern states are controlled by Islamists of Boko Haram and other radical groups. It's possible to say that Boko Haram has created its own “state within the state”. Boko Haram's ideology is anti-Western and anti-secular. It supports the revival of “pure” Islamic traditional values. Denying any inter-communion with the Western world, above all, the group claims against corrupted – from its point of view – Nigerian authorities and Muslim establishment (local version of the Islamist "Close Enemy"). An issue of the Boko Haram's engagement to global Jihadist movement is rather unclear. On one hand, ideologically, the group is very close to other Islamist groups (e.g. Al Qaeda and its branches in Maghreb, Somalia and Arabic Peninsula). But on the other hand, Boko Haram prefers to act against domestic (Nigerian) targets with very rare exclusions (for instance, an explosion of UN building in the capital-city Abuja). It must be clear that some attempts to find links between Boko Haram and Al Qaeda's network reflect the interest of Nigeria's authority to win international support for its struggle against local Islamist radicals. But it is impossible to ignore the information about logistical and operational links between Nigerian militants and such terrorist organizations as “Al Qaeda in Islamic Maghreb” or Somalian “Al Shaabab” (not to speak of common ideological agenda). It is necessary to point out that factional splits inside of Boko Haram (e.g. the emergence of the militant group “Ansaru”) make the picture more complex. Actually, the Boko Haram constitutes a danger primarily for Nigeria and potentially for neighboring countries. But considering the current evolution of the group, there is a great danger of further radicalization and internationalization of its activities both at local and regional (and maybe global) levels.
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Buysse, Beverly A. "PORT PARTNERSHIPS IN TAMPA BAY1." International Oil Spill Conference Proceedings 2001, no. 2 (March 1, 2001): 1163–66. http://dx.doi.org/10.7901/2169-3358-2001-2-1163.

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ABSTRACT In August 1993, Tampa Bay, Florida was the scene of a devastating collision between a freighter and two barges. All three vessels came together in a moment of panic that left Tampa Bay looking like a war zone of burning and sinking wrecks. Parts of Tampa Bay were strewn with heavy fuel oil after the August 10 accident between the 345-foot Philippine-flagged freighter Balsa 37, which had been headed out of Tampa Bay, and two tug/barge units, Seafarer/Ocean 255 and Fred Bouchard B. No 155. This collision resulted in an explosion that burned out of control until the Tampa Fire Department extinguished it later that evening. Since the time of this collision, there have been major improvements made in firefighting response capabilities in the Tampa Bay area. The multi-level response community has been exercised extensively, including an exercise involving the evacuation of a cruise ship. Another exercise noted improvements to the response resources and capabilities in a field training exercise where the U.S. Coast Guard Marine Safety Office (MSO) Tampa, Tampa Fire Department, Tampa Port Authority, and Hvide Marine Towing deployed equipment to the scene of a simulated shipboard fire. The Tampa Port Authority supplied a 210-foot roll on-roll off (ro-ro) barge with a 78-foot beam capable of loading 73,230 pounds (32.1 long tons). The barge provided easy mobilization for the Tampa Fire Department to load four engine companies, a foam trailer, one Emergency Medical Service (EMS) vehicle, and all had sufficient room to work. Hvide Marine Towing provided a tug to deploy the ro-ro barge in a stern tow. This exercise demonstrated the joint cooperation and partnership between federal, state, city, and private industry to work together and improve the marine firefighting response posture in Tampa Bay. With every level of government under budget constraints, it is important to look for multi-purpose equipment and resources that will get the job done. Tampa Port Authority's ro-ro barge has presented itself as a unique firefighting resource that can be used as a platform to carry the fire engines from the city or county. The barge can reach any part of the port quickly and can handle a vessel or waterfront situation, thus improving the marine firefighting response posture in the port.
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Wasilah, Wasilah, Suhendro Y. Irianto, and Dona Yuliawati. "Watermarking Using LSB Shifting to Document Protection." INTERNATIONAL JOURNAL OF COMPUTERS & TECHNOLOGY 15, no. 12 (October 21, 2016): 7322–28. http://dx.doi.org/10.24297/ijct.v15i12.3968.

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The original signature or document. The application demonstrates that it can be used to protect a document or signature from fraud by an authorize person. Criminal can be considered as Harmful act or omission against the public which the State wishes to prevent and which, upon con eviction, is punishable by fine, imprisonment, and/or death. No conduct constitutes a crime unless it is declared criminal in the laws of the country. Some crimes (such as theft or criminal damage) may also be civil wrongs (torts) for which the victim(s) may claim damages in compensation. Criminals may be happened in every sector and in daily life. Criminal acts may be in the form of copy right fraud and signature forgery. In this work we try to solve or prevent those criminals. By using watermarking technique, the work proposed to introduce new technique to protect document originality quickly and accurately. Watermarking was carried out by inserting an image or text into signature image in order to protect. The work shows that file size produced by integrating the two same files but on different file stored and also produce different file size. Moreover Testing shows that steganography of image file with JPEG format and file image hidden with JPEG format which produced other small size of file from file steganography storage such as BMP and PNG formats.
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Jang, Saewoom, Juchul Jung, and Gyoungjun Ha. "Exploring Fire Station Location Analysis Methodology Through Fire Service Analysis: Focusing on the Golden Time Data." Journal of the Korean Society of Hazard Mitigation 22, no. 5 (October 31, 2022): 133–42. http://dx.doi.org/10.9798/kosham.2022.22.5.133.

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Recently, fire services have attracted considerable attention owing to issues such as the occurrence of large-scale fire accidents and the national position of firefighters. The location and establishment of fire stations is under the authority of the cities and counties (Si-Gun) governor, and local governments should provide new indicators for the provision of adequate fire service. This study was conducted to develop a methodology for enabling local governments to provide adequate fire services in the future. The number of “missed golden times” was used as the main indicator, and areas with weak fire services were identified through hotspot analysis. The city and county (Si-Gun) regions of Gyeongsangnam-do province are diversely scaled. Therefore, we analyzed three pertinent aspects: missed golden times’ “missed golden times per 1,000 people,” and “missed golden times per square kilometer.” The analysis yields hotspots for missed golden times and missed golden times per square kilometer in cities toward the east of Gyeongsangnam-do province and the hotspots for missed golden times per 1,000 people in counties of western Gyeongsangnam-do province. These indicators and methodologies, if applied, can serve as one of the major criteria for selecting the location for a new local governmental fire station in the future.
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Mahammed, Mohammed Abdela. "ANALYSIS OF COVID-19 LOCKDOWN POLICY IMPACT BY THE GOVERNMENT OF THE COUNTRY ON THE ECONOMIC SECTOR AND SIGNING OF WORKING RELATIONSHIPS (LAYOFFS)." International Journal of Law Reconstruction 4, no. 1 (May 1, 2020): 44. http://dx.doi.org/10.26532/ijlr.v4i1.10942.

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The lockdown authority based on the laws in each country regarding Health Quarantine is the absolute authority of the Government. As stated, "health quarantine is carried out to prevent and ward off the entry or entry of diseases and / or community health risk factors that have the potential to cause public health emergencies." Therefore if there is a regional government that feels the region has an emergency situation and wants to do a lockdown, of course this is unconstitutional and there needs to be a consul from the regional head with the central government before making any related policies. Considering the emergency situation, the spread of the corona virus which has now infected many people (starting from December 2019 to June 2020) can be categorized as an infectious disease that can trigger public health emergencies, so that the implementation of national quarantine can actually be done especially with authority which is clearly stated in the legislation. But so far the central government has not issued a lockdown policy, even though the number of infections has increased. This is influenced by economic considerations during the lockdown. Economic decline, business failure to the number of layoffs by companies are the main considerations. Likewise, the risk of many workers will be fired (laid off) because the company or office is not operating. Not to mention the government must be able to meet the basic needs of the population during lockdown or national quarantine activities when enacted. The question also arises, whether the government is able to meet the primary needs of its citizens when the lockdown occurs.
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Reddy, Kunta N., and Surenahalli G. Vasantharaju. "Comparison of Regulatory Requirements for Filing Drug Master File (DMF) in Emerging Markets - China, Brazil & South Korea." Applied Clinical Research, Clinical Trials and Regulatory Affairs 7, no. 1 (March 3, 2020): 71–81. http://dx.doi.org/10.2174/2213476x06666190916122404.

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Background: A DMF consists of confidential information, usually related to Chemistry, Manufacturing and Control (CMC) of the drug substance. DMF is prepared and submitted by the pharmaceutical manufacturer solely to the regulatory authority of the respected country where he wants to market. Objective: Compare the regulations of the emerging markets with that of a regulated market and to highlight the stringent requirements imposed by emerging authorities. The similarities and differences of the requirements for filing a DMF in emerging markets are compared against the regulated market. Methods: The method carried out for every single study follows some patterns and certain pathways in order to reach its target. Method begins with scope and objective of regulatory perspective of DMF filing requirements for USA, China, Brazil and Korea. The information was collected from Regulatory authorities, Legislations, Guidelines and Experts opinion. Results: Regulatory requirements for filing a DMF for API registration vary from country to country. Even though a standard ICH-CTD format is available and most widely followed, there are some specific requirements recommended by drug authorities which are mandatory to be provided while filing to that particular country. Conclusion: Based on the current study it is clear that emerging markets possess more stringent requirements for API approval as compared to the regulatory market but the dispute is that the emerging markets do not have harmonized guidelines and are not transparent enough.
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Mertens, Elly, Chiara Colizzi, and José L. Peñalvo. "Ultra-processed food consumption in adults across Europe." European Journal of Nutrition 61, no. 3 (December 3, 2021): 1521–39. http://dx.doi.org/10.1007/s00394-021-02733-7.

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Abstract Purpose The purpose of this study is to describe ultra-processed food and drinks (UPFDs) consumption, and associations with intake of total sugar and dietary fibre, and high BMI in adults across Europe. Methods Using food consumption data collected by food records or 24-h dietary recalls available from the European Food Safety Authority (EFSA) Comprehensive European Food Consumption Database, the foods consumed were classified by the level of processing using the NOVA classification. Diet quality was assessed by data linkage to the Dutch food composition tables (NEVO) and years lived with disability for high BMI from the Global Burden of Disease Study 2019. Bivariate groupings were carried out to explore associations of UPFDs consumption with population intake of sugar and dietary fibre, and BMI burden, visualised by scatterplots. Results The energy share from UPFDs varied markedly across the 22 European countries included, ranging from 14 to 44%, being the lowest in Italy and Romania, while the highest in the UK and Sweden. An overall modest decrease (2–15%) in UPFDs consumption is observed over time, except for Finland, Spain and the UK reporting increases (3–9%). Fine bakery wares and soft drinks were most frequently ranked as the main contributor. Countries with a higher sugar intake reported also a higher energy share from UPFDs, as most clearly observed for UPF (r = 0.57, p value = 0.032 for men; and r = 0.53, p value = 0.061 for women). No associations with fibre intake or high BMI were observed. Conclusion Population-level UPFDs consumption substantially varied across Europe, although main contributors are similar. UPFDs consumption was not observed to be associated with country-level burden of high BMI, despite being related to a higher total sugar intake.
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Barger, Alexandra C., William S. Pearson, Christofer Rodriguez, David Crumly, Georgia Mueller-Luckey, and Wiley D. Jenkins. "Sexually transmitted infections in the Delta Regional Authority: significant disparities in the 252 counties of the eight-state Delta Region Authority." Sexually Transmitted Infections 94, no. 8 (August 27, 2018): 611–15. http://dx.doi.org/10.1136/sextrans-2018-053556.

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ObjectiveChlamydia, gonorrhoea and syphilis (primary and secondary) are at high levels in the USA. Disparities by race, gender and sexual orientation have been characterised, but while there are indications that rural poor populations may also be at distinct risk this has been subjected to little study by comparison. The federally designated Delta Regional Authority, similar in structure to the Appalachian Regional Commission, oversees 252 counties within eight Mississippi Delta states experiencing chronic economic and health disparities. Our objective was to identify differences in infection risk between Delta Region (DR)/non-DR counties and examine how they might vary by rurality, population density, primary care access and education attainment.MethodsReported chlamydia/gonorrhoea/syphilis data were obtained from the Centers for Disease Control and Prevention AtlasPlus, county demographic data from the Area Health Resource File and rurality classifications from the Department of Agriculture. Data were subjected to analysis by t-test, χ2 and linear regression to assess geographical disparities in incidence and their association with measures of rurality, population and primary care density, and education.ResultsOverall rates for each infection were significantly higher in DR versus non-DR counties (577.8 vs 330.1/100 000 for chlamydia; 142.8 vs 61.8 for gonorrhoea; 3.6 vs 1.7 for syphilis; all P<0.001) and for nearly every infection for every individual state. DR rates for each infection were near-universally significantly increased for every level of rurality (nine levels) and population density (quintiles). Regression found that primary care and population density and HS graduation rates were significantly associated with each, though model predictive abilities were poor.ConclusionsThe nearly 10 million people living in the DR face significant disparities in the incidence of chlamydia, gonorrhoea and syphilis—in many instances a near-doubling of risk. Our findings suggest that resource-constrained areas, as measured by rurality, should be considered a priority for future intervention efforts.
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Stukalova, Anna A., and Natalya A. Balutkina. "Organisation and Maintenance of Library Authority Files in Russia and Abroad." Bibliotekovedenie [Russian Journal of Library Science] 70, no. 5 (December 1, 2021): 485–96. http://dx.doi.org/10.25281/0869-608x-2021-70-5-485-496.

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The article provides review of foreign and domestic publications on the problems of creation, development and use of authority files (AF) of names of persons, names of organizations, geographical names and other objects both at the international, national and regional levels. The paper presents analysis of the foreign experience of AF maintenance. The authors note that, due to the availability of universal collections and qualified specialists, AF formation abroad is usually carried out by national libraries. A substantive analysis of foreign publications has shown that national AFs (NAF) are characterized by data variability and diversity of approaches. The authors studied the experience of successful combination of NAF created according to different methods within the framework of the international corporate project — Virtual International Authority File (VIAF). The article notes that most of the Russian libraries do not use AF, since AF, created in republican and regional scientific libraries, as a rule, are not publicly available. At the same time, creation by a separate library of its own AF leads to high labour and material costs, and the formation of a large number of AF leads to the variability of the AFs created for the same objects. The authors conclude that for efficient use of AFs within the country, it is necessary to apply unified methods and rules for creation of authority records. Another way out is the application of the Semantic Web technology, which allows linking AFs created according to different methods. It is necessary to make maximum use of existing dictionaries or create dictionaries based on the World Wide Web Consortium (W3C), Resource Description Framework (RDF), RDF Schema (RDFS) and Web Ontology Language (OWL) standards.
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Henry, David, and Philip Bentley. "Calculating the Cartel Fine: A Question of Jurisdiction or a Question of Economic Importance?" World Competition 39, Issue 3 (September 1, 2016): 431–50. http://dx.doi.org/10.54648/woco2016038.

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The Court of Justice’s endorsement in InnoLux Corp v. Commission of the concept ‘direct European Economic Area (EEA) sales through transformed products’ for EU competition law fining purposes is not wholly uncontroversial. Infelicitous consequences arising from the application of this novel concept potentially include: (i) the imposition of excessive and disproportionate penalties, and (ii) the same sales being penalized by a competition authority in a country in which internal sales were made in addition to being penalized by the European Commission. The authors therefore advocate that the EU rules determining which acts can be taken into account for the purposes of determining a fine should be strictly coterminous with the rules on jurisdiction and that third-country competition authorities be encouraged to adopt a similar approach. It is believed that greater legal certainty can be achieved by having symmetry between the rules on jurisdiction and the rules on the sales to be taken into account for the purposes of determining fines. This solution does not exclude an application of the ‘qualified effects’ doctrine to downstream sales by related parties, provided there is adequate evidence to establish the existence of the ‘qualified effects’ in the first place. The rigours of that doctrine are necessary to ensure that the objective of ensuring effective deterrence does not become an autonomous and unruly principle of policy.
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Lord, Justin, Akbar Ghiasi, Ganisher Davlyatov, and Robert Weech-Maldonado. "The Impact of Leadership Styles on Quality and Financial Performance in High Medicaid Nursing Homes." Innovation in Aging 4, Supplement_1 (December 1, 2020): 679. http://dx.doi.org/10.1093/geroni/igaa057.2363.

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Abstract This study examined the association between leadership styles (autocrat, consultative autocrat, consensus manager, and shareholder manager) and resident quality and financial performance in under-resourced nursing homes. Survey data from 391 Directors of Nursing were merged with secondary data from LTCFocus, Area Health Resource File, Medicare Cost Reports, and Nursing Home Compare. Two multivariate regressions were used to model the relationship between leadership styles and the dependent variables: nursing home star ratings (1-5) and operating margin. The independent variables were composite scores for leadership styles, while control variables included organizational and county-level factors. Results show that compared to autocratic leadership, the consultative autocrat (solicits feedback but has total authority) was associated with lower quality (p &lt; 0.05), while the consensus manager (delegates authority to the group) was associated with lower profit margin (p &lt; 0.05). Under-resourced facilities need to recognize trade-offs of different decision making styles for performance.
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Kamau, Beatrice Nyambura, and Fred Pingua Sanare . "Impact of Leadership Philosophies on Community Policing Deployment in Narok County, Kenya." Journal of Leadership and Governance 1, no. 1 (September 28, 2022): 44–59. http://dx.doi.org/10.58425/jlg.v1i1.34.

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Purpose: The study's major goal was to evaluate the leadership styles and application of community policing in Kenya's Narok County. Methodology: This study used a cross-sectional survey research design, with a target population of 2169 managers and leaders of community policing in Narok County. We used stratified and straightforward random sampling techniques. In order to match the rank and file of the police, the populace was stratified. The responses from each strata were collected using simple random sampling. The intended population of 2169 people provided 139 respondents for the sample size. Quantitative primary data was gathered using questionnaires, both closed and open ended, while qualitative data was gathered utilizing FGD and interview schedules. Both descriptive and inferential statistics were used in the data analysis. Results: The study discovered a favorable association between community policing implementation and transformational leadership, but a negative relationship between transactional leadership, laissez-faire leadership, and community policing implementation. Conclusion: The strategy's execution has been difficult from the beginning, and as a result, it hasn't been successfully implemented. Recommendation: The report advised Kenya's national community policing authority to take into account holding conferences, seminars, and trainings that would empower the top law enforcement officials in Narok County and foster transformational leadership.
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Hrinenko, I., and Yu Hrinenko. "THE INFLUENCE OF BEPS INITIATIVES ON FORENSIC EXPERTISE CONCERNING THE ISSUE OF TRANSFER PRICING." Criminalistics and Forensics, no. 65 (May 18, 2020): 575–84. http://dx.doi.org/10.33994/kndise.2020.65.57.

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Ukraine has joined the BEPS (Base Erosion and Profit Shifting) action plan to combat tax evasion and increase tax transparency around the world. In other words, the state must respond appropriately to ensure the taxation of profits in the country where the taxpayer is engaged in economic activities. Such actions will reduce the transfer of capital to jurisdictions with low levels of taxation, which in turn will help to increase the revenues of the state budget. With regard to the implementation of the provisions of the BEPS Action Plan, Law No. 465-IX introduced the concept of taxation of profits of controlled foreign companies at the level of the controlling entity; introduced a three-tier documentation structure for international groups of companies, which includes transfer pricing documentation (local file), global documentation (master file) and country-by-country reporting; implements provisions 8 to 10 of the BEPS plan to control the distribution of functions, risks and intangible assets within a group of companies, improve the rules for commodity transactions by eliminating the restriction on the use of stock quotes of certain exchanges and allowing the use of quotations for such commodities; the procedure for carrying out the mutual agreement procedure has been determined, which provides for the mechanism of submitting the application for the consideration of the case under the mutual agreement procedure, the requirements for such application, the procedure for the action of the competent authority, etc .; introduced the concept of taxation of dividends equal to dividends, which provides for adjustments to the methodology and procedures envisaged to control transfer pricing when conducting transactions with non-residents.
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Akhwaba, James. "Leadership skills, stakeholder management and execution of fibre-optic infrastructure: intervening influence of government policy." Organization, Technology and Management in Construction: an International Journal 13, no. 1 (January 1, 2021): 2426–37. http://dx.doi.org/10.2478/otmcj-2020-0014.

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Abstract Communication technology has drastically evolved in the last 10 years across the globe. With increased demand for data and voice traffic, fibre-optic network is preferred to transmit high-speed broadband. Nonetheless, fibre-optic infrastructure involves huge construction challenges and continues to fail because of ineffective leadership, stakeholder management and government policies. The main purpose of this study was to investigate how government policy intervenes on the joint influence of leadership skills and stakeholder management on execution of fibre-optic infrastructure in Nairobi County, Kenya. This study adopted the pragmatism paradigm approach, with a cross-sectional survey design. Census was used to select 187 respondents from a target population of 187 functional staff in fibre-optic infrastructure departments. A questionnaire was used to collect quantitative data while an interview guide was used to collect qualitative data. Statistical analysis techniques were used to analyse the data. It was demonstrated that government policy has a significant intervening influence on the joint influence of leadership skills and stakeholder management on execution of fibre-optic infrastructure. Therefore, governments should come up with policies to guide and regulate execution of fibre-optic infrastructure, review building code to allow for fibre-optic services in new buildings, develop right of way conduits and establish a centrally coordinated authority to facilitate time-bound issuance of permits and related services. It was suggested that similar studies should be carried out in other countries and target vendors and contractors engaged in supply of equipment and construction of fibre-optic infrastructure.
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Sasmito, Hasto. "Implementation Of Decisions And Obstacles Administrative Court - Implementation Obstacles." Jurnal Daulat Hukum 1, no. 2 (June 15, 2018): 391. http://dx.doi.org/10.30659/jdh.v1i2.3279.

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Indonesia is a country of law. The rule of law means in our country is the law that has significance especially in all aspects of community life. Everything implementation carried out by the state through its government should be appropriate and according to the channels that have been determined in advance by law. Judicial Administration is a special court, which was given the authority to resolve disputes that arise in the field of administration and personnel or disputes that occur between administration officials with a person or body of civil law as a result of the issuance or issuance of a decision. Act no. 5 of 1986 on State Administration aims to provide a container or a space for people and civil legal entity to file a lawsuit to the Administrative Court (PTUN) for the issuance of an administrative decision (KTUN), then his rights to feel disturbed or harmed but in practice administrative court ruling will not necessarily be implemented because of constraints exist that impede the implementation of the decision of the Administrative Court. Thus the presence of the administrative court as an institution that is expected to be a means of enforcement and legal protection in the field of administration can not be carried out effectively and still needed revision of the law.Keywords: State Administrative Court (PTUN).
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Vernanda, Doniar Andre, and Tony Mirwanto. "Optimizing The Role of Immigration Civil Servant Investigator in Treating Criminal Actions of People Smuggling." Journal of Law and Border Protection 2, no. 1 (May 29, 2020): 35–45. http://dx.doi.org/10.52617/jlbp.v2i1.189.

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Immigration law enforcement is carried out by civil servant investigators (PPNS) of Immigration by the mandate of Law No. 6 of 2011 on immigration. Immigration civil servant investigators have the authority to carry out the investigation process to hand over case files for subsequent prosecution in court by the public prosecutor. The results and discussion of this research are: (i) People smuggling is a crime where people illegally enter humans without legal and valid immigration travel documents aimed at personal or group gain by entering a country without going through an examination. immigration at the immigration checkpoint (TPI). Criminal sanctions related to human smuggling are regulated in article 120 of the Immigration Law with a maximum threat of 15 years and a fine of Rp. 1,500,000,000.00. (ii) According to the Immigration Law, pro Justitia law enforcement in immigration crimes is carried out by immigration civil servant investigators who have the duties and functions of carrying out investigations & investigations, coordinating with the National Police and other law enforcement agencies as well as carrying out other matters which are ordered by immigration Law
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Hulaimi, Hulaimi, Lewiaro Laia, and Khairul Azwar Anas. "CRIMINATION OF CRIMINAL ACTS OF KHAMAR AND DRUGS IN ISLAMIC CRIMINAL LAW COMPARED TO INDONESIAN POSITIVE CRIMINAL LAW." PENA LAW: International Journal of Law 1, no. 1 (May 21, 2022): 11–20. http://dx.doi.org/10.56107/penalaw.v1i1.7.

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Narcotics and dangerous drugs may be as old as humans. Increasingly, drug users are increasingly widespread in various parts of the world, including Indonesia. The types of drugs are getting more and more sophisticated. In this latest century, it seems that no country is free from the problem of drugs. The term drugs in the context of Islamic law, is not mentioned directly in the Qur'an or in the Sunnah. In the Koran only mentions the term khamr. The purpose of this study is to analyze the comparison of punishment for perpetrators of the crime of alcohol and drugs in Islamic criminal law compared to positive Indonesian criminal law with normative legal research methods. The criminal difference for the perpetrators of the crime of khamr in Islamic criminal law compared to positive Indonesian criminal law is that in Islamic law, the punishment imposed is only in the form of caning, while in positive Indonesian criminal law, the sentence imposed can be in the form of imprisonment or a related fine. with liquor which is classified as a "crime" and imprisonment or a fine related to liquor which is classified as an "offence". Sanctions for perpetrators of drug abuse in the perspective of Islamic criminal law, have similarities with the legal sanctions for criminal acts of drug abuse in the perspective of the criminal law of the Republic of Indonesia, namely both are the authority of the government/judges to determine the punishment.
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Widiyanto, Anugerah, Seizo Kato, and Naoki Maruyama. "Optimizing Selection of Appropriate Power Generation Systems in Indonesia By Using Distance Based Approach Method." Journal of Energy Resources Technology 126, no. 1 (March 1, 2004): 63–71. http://dx.doi.org/10.1115/1.1649740.

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A deterministic quantitative model has been developed to compare the technical, economical and environmental feature of various electric power generating plants. The model, which is based on matrix operations, is used in evaluating the various aspects of energy sources available for electricity generation systems in a developing country. Several energy sources which could be considered for production of electricity to meet current and future electricity demands have been chosen. These will include fossil fuel fired, nuclear, and natural-renewable energy power plants. And, a set of criteria for optimized selection includes five area of concerns: energy economy, energy security, environmental protection, socio-economic development and technological aspects for the electric power generations. The model developed in this study is applied to the Indonesian’s electric power sector development. Most of the data required are obtained from various sources related to power industry in Indonesia, such as the electricity generating authority of Indonesia (Perusahaan Listrik Negara, PLN), Government of Indonesia, World Bank, Asian Development Bank, United Nations, and other sources, both in published and public domains. The result of this study will be a ranking of energy sources for Indonesia power generation systems based on the Euclidean composite distance of each alternative to the designated optimal source of energy.
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Lord, Justin, Ganisher Davlyatov, Akbar Ghiasi, and Robert Weech-Maldonado. "COVID-19 Death in High-Medicaid Nursing Homes: The Role of Employment Empowerment." Innovation in Aging 5, Supplement_1 (December 1, 2021): 520–21. http://dx.doi.org/10.1093/geroni/igab046.2009.

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Abstract This study examines the association between COVID-19 death and employee empowerment in under-resourced nursing homes (70% or higher Medicaid census). Employee empowerment captures elements of participative decision making, autonomy, responsibility, open communication, decentralization, and decision-making flexibility within an organization. Survey data from 391 Directors of Nursing (response rate of 37%) from 2017-2018, were merged with secondary data from CMS Nursing Home COVID-19 Public File, LTCFocus, Area Health Resource File, and Nursing Home Compare. A Poisson regression was used to examine reported COVID-19 death and employee empowerment. The independent variable employee empowerment was the mean score of summated Likert scale questions. Control variables included organizational (size, location, ownership, chain affiliation, quality, payer mix, acuity, occupancy, and race/ethnicity, staffing mix), and county factors (Medicare Advantage penetration, per capita income, poverty, unemployment, education, 65+ population, and competition). Employee empowerment was associated with a lower number of COVID-19 cases (p &lt; 0.05). Rural, not-for-profit, and payer-mix were also significantly associated with a lower number of COVID-19 deaths. Employee empowerment captures the decentralization of authority and an employee’s ability to make decisions without approval. In light of this crisis, empowerment may have helped under-resourced nursing homes be more agile and faster in their response. High-Medicaid nursing homes may need to consider different decision-making practices when faced with a crisis, such as, COVID-19.
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Zeveleva, G. "Healthcare Reform in the United States: Difficult Road." World Economy and International Relations, no. 4 (2015): 81–89. http://dx.doi.org/10.20542/0131-2227-2015-4-81-89.

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The article focuses on a healthcare reform, one of the pillars of Barack Obama’s presidency. The author argues that the reform was driven by social considerations, and the goal was to make the American healthcare system more just by implementing universal mandatory health insurance. The author analyses how implementation of Obama’s reform has turned into an arduous process, and why the enactment of some of its regulations were postponed. The article examines why some of the new regulations have already begun to function, while others are due to begin in 2018 and 2020. In 2014 the reform entered its critical phase, as its most controversial element on mandatory health insurance for all Americans came into effect. Failure to comply is met with the fine, while citizens with low incomes can rely on state support. Opponents of the reform are still undertaking efforts to eliminate the universal health insurance requirement. The author comes to the conclusion that despite the challenges Obama has already made the pages of history as the president who succeeded in implementing universal health insurance. One of his greatest achievements has been the triumph over many of the healthcare reform’s opponents as he wrote the reform into law in the spring of 2010. All previous attempts to reform the national system had been met with failure due to conservative resistance. The controversy around this topic stems from many Americans’ understanding of fundamental values. The central point of debate is not about the American healthcare system, but rather about what kind of country the United States of America will be in the 21st Century. Democrats believe that the reform will make the country more just, while their opponents fear that the USA will turn into a welfare state with less freedom and more control of federal authority.
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Lu, Jin Ping. "Review on Application of Polymer Concrete in Singapore." Advanced Materials Research 687 (April 2013): 416–25. http://dx.doi.org/10.4028/www.scientific.net/amr.687.416.

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Singapore is a small island country, but has won renown as uncorrupted government and high quality products. Independent testing and inspection played a very important role for this achievement[1]. The Housing and Development Board (HDB) is the sole public authority in Singapore and was set up as a statutory on 1 February 1960. Within 45 years, it built more than 700,000 flats housing approximately 86% of the population. Every year, around 40,000 new flats (about 400 blocks) are built up to meet the demands. In March 1992, HDB launched the 15-year main upgrading programme (MUP) to vying the finishes and facilities of old estates up to the standard of those in the new towns. The upgrading programme is a conscious effort by the government to provide a better living environment, strengthen existing community ties and enhance the value of our flats. The potential size of the upgrading program is approximately 370,000 units spread across 20 years, which works out to be 350 blocks per year. To ensure and maintain the high standards of the housing quality, Polymer concrete materials including polymer modified cement mortar, epoxy or PU floor screed and injection materials, and fibre-reinforced plastic (FRP) materials are extensively used in the new and upgrading projects. In this paper, the various applications of polymer concrete composites in Singapore are described and discussed. The various categories of polymer concrete composites are extensively used in Singapore’s public and private projects. To ensure and maintain the high standards of the building quality, independent testing and inspection plays a very important role. Through implementing a quality control program to ensure high standards in product quality and performance requirements, Housing & Development Board (HDB), Singapore's public housing authority and statutory board under the Ministry of National Development, screens and provides a comprehensive selection of quality products needed for HDB construction projects through HDB's Materials List [2] with a set of product evaluation requirement. The development of the requirements and specifications for various polymer concrete composite products are also described and discussed
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Taylor, Peter M. "A Pipeline Spill into the Mersey Estuary, England." International Oil Spill Conference Proceedings 1991, no. 1 (March 1, 1991): 299–303. http://dx.doi.org/10.7901/2169-3358-1991-1-299.

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ABSTRACT On the 19th of August 1989 at 2:30 p.m., a fracture occurred in a pipeline carrying Venezuelan crude oil from a shipping terminal at Tranmere to the Shell (U.K.) Ltd. oil refinery at Stanlow, on the Mersey Estuary, England. 150 metric tons of oil were released into the estuary before the pipeline was sealed; tidal currents widely distributed the oil within a tidal cycle. The Mersey Estuary is heavily industrialized and urbanized but does retain extensive areas of salt marsh and intertidal mud flats which are internationally important for wildfowl and wading birds. Cleanup operations were coordinated by the two local fire brigades whose areas of responsibility included impacted shoreline. Input to the response came from government, local authorities, specialist consultants, and various other interested parties. The occurrence of the spill on one of the highest spring tides of the year and under favorable weather conditions served to lessen the environmental impacts. Less than two weeks after the spill, Shell (U.K.) and Cheshire County Council set up the Mersey Oil Spill Project Advisory Group, with a membership drawn from independent scientific groups, which would monitor the environmental effects of the spill and publish its findings. The primary report of the advisory group is a detailed historical record of the spill incident, the response to it, and the coordination of that response, as well as the lessons learned by the involved parties. Further studies consider the persistence of the oil, and its effects on birds, invertebrates, vegetation, and algae. Recommendations have already led to a review of the local contingency plan and the commissioning of work to produce specific cleanup guidelines and sensitivity maps for the region. In February 1990, a court action brought by the newly formed National Rivers Authority led to Shell (U.K.) Ltd. being fined £1 million due to the pollution arising from this incident.
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K., Ngugi, Aluka P., and Kahiu Ngugi. "Sensory and Organoleptic Cup Attributes of Robusta Coffee (Coffea canephora Pierre ex A. Froehner)." Journal of Agricultural Studies 4, no. 1 (December 28, 2015): 101. http://dx.doi.org/10.5296/jas.v4i1.8789.

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Coffea canephora organoleptic cup attributes are the most important factors that define its price in world markets. Determining the components that contribute to the diversity of organoleptic characters will help in the improvement of these qualities in order to obtain favourable markets. Two hundred and six genotypes from twenty one districts and two research institutes were analyzed by a three member expert panel from Uganda Coffee Development Authority using a 10 point descriptive scale and protocols from, The Coffee Quality Institute of America (CQIA). The results revealed that the evaluators’ organoleptic cup trait ratings were significantly different (p< 0.05) for all attributes, reflecting a diversity of cup interests. Four multivariate groups that were significantly different for fragrance, aroma and flavour were formed offering diverse cup tests to different markets. A variety of fine and commercial flavours were detected in ripe cherry and green roasted beans. Cup balance contributed the highest regression coefficient (R2=0.90) to overall assessment while fragrance/aroma had the least (R2=0.22). The above average rating of 75% for cup balance, flavour, mouth feel, aftertaste, fragrance and aroma revealed that Ugandan Robusta coffees were of high quality with a mild taste. The higher cup acidity among land races,‘nganda’ and ‘erecta’ genotypes revealed that genotypes with high sugars and cup acidity could be selected for from local germ-plasm. Coffee types and environmental factors such as soil texture, altitude and location influenced the content and level of organoleptic cup attributes. A diversity of flavours that exist among Uganda Robusta coffee and has so far remained unexploited, would provide new marketing channels, enhance quality and earn the country the much desired foreign exchange capital.
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Lord, Justin, Ganisher Davlyatov, Akbar Ghiasi, and Robert Weech-Maldonado. "The Impact of Leadership Styles on Quality and Financial Performance in High Medicaid Nursing Homes." Innovation in Aging 4, Supplement_1 (December 1, 2020): 22. http://dx.doi.org/10.1093/geroni/igaa057.070.

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Abstract This study examines the association between leadership styles on resident quality and financial performance in under resourced nursing homes (70% or higher Medicaid census). The Bonoma/Slevin leadership model was used to classify managers into four categories, autocrat, consultative autocrat, consensus manager, and shareholder manager. Survey data from 391 nursing home directors (response rate of 37%) from 2017- 2018, were merged with secondary data from LTCFocus, Area Health Resource File, Medicare Cost Reports, and Nursing Home Compare. Two models were ran to examine the effect of leadership styles on the dependent variable(s) nursing home STAR data (quality) and operating margin (financial performance). The independent variables were composite scores for leadership styles, with autocrat as the reference group. Control variables included organizational (ownership, chain affiliation, size, occupancy, payer mix, staffing, and race/ethnicity), and county factors (Medicare Advantage penetration, per capita income, poverty, education, unemployment, and competition). Multivariate regression was used to model the relationship between leadership styles and nursing home quality and financial performance. The consultative autocrat was associated with lower quality (p &lt; 0.05), while the consensus manager was associated with lower profit margin (p &lt; 0.05), as compared to autocratic leadership. The consultative autocrat, who solicits information from the staff yet still makes all significant decisions, is associated in lower quality; however, a consensus manager, who delegates their authority to the group, is associated with lower financial performance. Under-resourced nursing homes who face dual pressures need to recognize trade-offs of different decision making styles for quality and financial performance.
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Faridi, Mohammad Rishad, and Aisha Javid Ali Mir. "Artientifique: a case study of transforming used cosmetics into creating wealth of art." Emerald Emerging Markets Case Studies 12, no. 4 (October 20, 2022): 1–43. http://dx.doi.org/10.1108/eemcs-03-2021-0090.

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Learning outcomes Upon completion of the case, students will be able to reflect the forces, which may disrupt the art industry through Artientifique initiatives and the ability to apply Phoenix encounter method with proactive scanning to remain competitive; create various multi-functional roles as a youth entrepreneur in the micro, small and medium enterprises (MSMEs) capacity and be able to understand the level and review the competition and business trends from an art industry perspective; analyze how innovation clubbed with sustainability will create a competitive advantage in a circular economy; determine the leadership style most appropriate for MSMEs to indulge in innovation and sustainability in the fine arts business; and design and discover opportunities to promote women’s entrepreneurship in the art industry, especially in emerging markets. Case overview/synopsis On a cold Friday morning in November 2020, Aisha Mir was in utter confusion written all over her face. She had to decide on a prosperous pathway. Should it be customization or standardization of artwork? Also, whether she should continue investing in the existing in-house supply chain or outsource this to a third party. Being practicing sustainability in her personal and professional life, she had designed her art studio herself by using upcycled materials. While enjoying the pigeons and sparrows chirping and eating grains on her wide windowpane, she looked at the world map with keen interest and imagined herself flying to each country along with her gray and white pigeons. While sitting in Madina city, Saudi Arabia, she was concerned about the expired makeup collection hub being set up in Abu Dhabi, UAE. The collection and the painting processes had to be monitored; the artworks needed auditing, framing and packing before they were shipped to a customer. Centralizing would add unnecessary hassle, and outsourcing needed distribution of authority. Keeping the challenges in mind, she was struggling to find a solution for efficient community engagement. Complexity academic level This case has been particularly focused on undergraduate and postgraduate early-stage level students pursuing business or commerce programs, particularly those studying entrepreneurial and management courses in innovation and sustainability. Supplementary materials Teaching notes are available for educators only. Subject code CSS 3: Entrepreneurship.
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Ben Rebah, Maher. "Mapping votes and representing power: Spatio-temporal and multiscalar analysis of electoral results in Tunisia between 2011 and 2018." Abstracts of the ICA 1 (July 15, 2019): 1. http://dx.doi.org/10.5194/ica-abs-1-26-2019.

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<p><strong>Abstract.</strong> Tunisia has held four elections (legislative2011 and 2014, presidential 2014 and local 2018) since the 2011 Revolution. The last municipal elections held on May 6, 2018 were the first free and fair local elections in the country’s history so far. The political dynamics at play after 2011 are far from being settled. In fact, the first National Constituent Assembly’s election in October 2011 knew a large advance of Ennahda Islamist Party. With the 2014 legislative elections we come to witness the advent of a new political party: Nidaa Tounes. However, in the last local elections the political scene was marked by the breakthrough of many independent lists. Along with the ever decreasing voters participation. It reached only 35.6% of registered voters in 2018 which is hardly half the turnout in 2014.</p><p>This paper aims to use cartographic illustration at the ‘Imada’ level, the smallest administrative scale in Tunisia to provide a local spatial evidence of voting patterns in Tunisia. To my knowledge, this is the first attempt to map electoral results at such a fine scale in the Tunisian political analysis context.</p><p>For the purpose of this study, a time-series electoral GIS-based database was designed. The data used was mainly provided by the Independent Higher Election Authority (ISIE). The electoral results are first produced at the scale of polling stations which is the finest scale. They are then aggregated into vote centers which in turn are aggregated into sectors or 'Imadas'. Imadas are the building blocks of higher territorial levels such as municipalities, delegations, and governorates (regions).The Imada-level electoral mapping and analysis will be applied to 2011, 2014 and 2018 elections results.</p><p>The analysis will be applied to two levels : First, the country-level where we will analyse at one and the same time the electoral geography of the two major political parties, i.e. Ennahda and Nidaa Tounes as well as. The dispersion of votes and the turnout evolution .Secondly, we will explore the impact of redistricting and gerrymandering on local votes. Two case studies will be juxtaposed: the stable region of Tunis which underwent no communal redistricting at all as opposed to the region of Kasserine which was completely restuctured.</p>
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Pureklolon, Thomas T. "KOMUNIKASI POLITIK: KAJIAN SUBSTANSIAL DALAM PENDEKATAN POLITIK." Jurnal Visi Komunikasi 19, no. 02 (March 5, 2021): 205. http://dx.doi.org/10.22441/visikom.v19i02.11392.

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Political communication consists of political actors and political messages relating to power, governance, and all government policies. This communication takes place in complex political behavior. The complexity of political communication runs in a political process that is always unique and strategic from a communicator through messages and media. The speaking ability and representation of a communicator are the main determining elements in political communication. Political communication is a dynamic element that can determine political socialization and at the same time determine political participation. In this case political communication can be a pattern of human political behavior and a major determinant in politics. Therefore; Political communication is communication that involves political messages and political actors, or is directly related to power, government and government policies in a country. Political communication can also be understood as communication between two institutions, namely "those who govern" and "those who are ruled." This is an important thing in political communication. In every human activity always requires communication. It can be said that communication is an absolute thing in the concrete life of every human being. Communicators in a communication always occur in a social life matrix. Communication also occurs in social situations from the very beginning of a communication, develops until its end, which means: the relationship between the communicator and the public or the public is an inseparable part of the social system. Mass communicators as organizations that occupy important sensitive positions in social networks, respond to various pressures by rejecting and selecting information that all occur in the relevant social system that develops in society at that time. In a political communication, there are often figures of political communicator figures who certainly have authority and popularity such as community leaders, religious leaders, or celebrities, and so on, which are used effectively to attract the masses, such as in elections to gain votes. Actions like this are perfectly fine in a political communication, including also displaying large-scale advertisements with gleaming and excitement. In political communication, the content of political messages uses the media more than using public communication such as campaigns or speeches. The content of political messages is also directly related to the media setting agenda which always comes from orders from certain groups or groups, in this case a propaganda can also play in the message which aims to form new perceptions in the eyes of the public. This political message can influence the success process of a political party when competing for votes for power. The writing method in this article is a qualitative method, literature study with an interdisciplinary approach.
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Chornyi, Serhii, Serhii Ostrovskyi, and Oleksandr Gaponov. "INTERACTION OF INTERPOL UKRBUREAU UNITS WITH THE STATE MIGRATION SERVICE OF UKRAINE TO COMBAT ECONOMIC CRIMES COMMITTED BY FOREIGNERS." Baltic Journal of Economic Studies 7, no. 5 (December 27, 2021): 221–27. http://dx.doi.org/10.30525/2256-0742/2021-7-5-221-227.

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Joint counteraction against international crime by all law enforcement agencies of different countries brings common results in eradicating this phenomenon in the world and reducing the number of crimes in a single state. This is one of the most relevant areas of international cooperation worldwide. That is why the issue of interaction in the field of law enforcement acquires special attention and relevance. That is why special attention is paid to the content of the concept of "interaction" and "interaction of law enforcement agencies". Today there is a significant increase in economic crime, with international transnational crime paying particular attention to economic crimes committed by foreigners. A significant role in countering this phenomenon is played by specially formed international institutions (bodies), namely: international organizations; international conferences; international commissions and committees. The most famous of these include the following: United Nations (UN) Commission on Crime Prevention and Criminal Justice; UN Office on Drugs and Crime; Council of Europe (Council of Europe Committee of Experts on the Evaluation of Anti-Money Laundering Measures); European Committee on Crime Problems; International Criminal Police Organization (Interpol), etc. The central body for combating international crime is the International Criminal Police Organization – Interpol, which began its activities after the entry into force (June 13, 1956). The purposes of Interpol are: to ensure and develop the widest possible mutual assistance between all criminal police agencies within the framework of the laws in force in the various countries and in the spirit of the Universal Declaration of Human Rights; creation and development of institutions capable of successfully contributing to the prevention and suppression of criminal offenses (Art. 2 of the Interpol Charter). The structure of the internal organs of Interpol consists of: General Assembly; Executive Committee; General Secretariat; National Central Bureaus; Counselors; File Control Commission. INTERPOL maintains relations with many international organizations on issues related to its sphere of activity. Interpol maintains a National Central Bureau of Interpol in each of its member countries, through which international police cooperation is regulated. The National Central Bureau is an authorized police authority or entity with the status of an Interpol representative in its country. The main purpose of national central bureaus is to involve the police authorities of the country in the international fight against crime, to establish and maintain contacts with other national central bureaus and the General Secretariat of Interpol by ensuring a continuous, rapid and high-quality exchange of information. In Ukraine, such a unit is the National Central Bureau of Interpol, which operates within the structure of the National Police of Ukraine and organizes international cooperation of all law enforcement agencies of our state within the framework of the Organization. As part of combating crime, the National Central Bureau of Interpol cooperates with the State Migration Service of Ukraine, organizes cooperation, as well as initiates and coordinates operational and investigative activities aimed specifically at preventing and solving crimes, identifying and deporting from Ukraine persons – citizens of foreign countries involved in criminal activity, in particular members of transnational organized crime networks, persons who have committed sexual crimes against children, and the like. A special area of interaction is the fight against economic crimes committed by foreigners that disrupt the economic systems of various states. The State Migration Service of Ukraine sends requests about economic crimes committed by foreigners to the Interpol National Central Bureau.
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Giannuzzi, Viviana, Mariagrazia Felisi, Hugo Devlieger, Aurelio Maggio, George Papanikolaou, Giorgio Reggiardo, Bianca Tempesta, Fernando Tricta, and Donato Bonifazi. "Ethical Issues and Barriers for Multi-National Paediatric Clinical Trials: The Challenging Experience of the DEEP Project." Blood 134, Supplement_1 (November 13, 2019): 4820. http://dx.doi.org/10.1182/blood-2019-124689.

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Introduction: The procedures and requirements for the clinical trial application (CTA) to Ethics Committees (ECs) and/or Competent Authorities (CAs) are not fully harmonised, and this is even more evident when non-EU countries are involved. This lack of harmonisation makes more difficult the approach in the case of 'small populations', such as children and patients affected by rare diseases. A phase III efficacy-safety comparative trial (DEEP-2) involving paediatric patients affected by transfusion dependent haemoglobinopathies from seven European and non-European countries (Albania, Cyprus, Greece, Italy, United Kingdom, Egypt, Tunisia) was carried out in the context of a FP7 project (HEALTH-F4-2010-G.A. n. 261483) and included in an agreed Paediatric Investigation Plan. Aims: The aims of this paper are to describe in a complex multi-national/multi-ethnic framework the different provisions and procedures to authorise a paediatric trial in EU/non-EU countries and to evaluate the possible impact of the following key indicators on the timing of ECs approval and CAs authorisation: complexity of the national/local provisions and procedures to authorise a paediatric trial, including the number of ECs and CAs to be addressed; number and type of additional local/national documentation; number of queries from CAs and ECs; geographic setting (EU and non-EU). Methods: The following information was collected from official websites and through a survey addressed to Principal Investigators: The regulatory and legal frameworks in force at the time of the submission of DEEP-2 in each involved country;The procedures required at local/national level (i.e. number of ECs and CAs to be addressed, parallel or subsequent submission to the CA and the EC, preparation of the CTA form and documents required from CAs and ECs);The timing of ECs approval and CAs authorisation, including number and types of queries, were collected from DEEP-2 Trial Master File. Descriptive analysis, Wilcoxon Rank-Sum test and General Linear Model (GLM) analysis were used to describe results and to analyse significance of the considered indicators. Results: In the EU countries, relevant legislative acts apply and include GCP and specific procedures for paediatric trials, in non-EU countries GCP guidelines apply but have not been implemented in the national laws regulating clinical trials. Moreover, within the 4 EU Member States a different approach was in place, even if under the same rules (i.e. Directive 2001/20/EC as implemented in the national law) with distinctive documents required for the CTA in almost all the EU countries compared with the EC provisions. The CTAs were performed in the period June 2012 - September 2015 in 23 trial sites. The EC approvals and CA authorisations were issued between January 2013 - September 2015. In the EU countries, the authorisation process was completed within 7,3 to 33,8 months (median = 15 months), while in non-EU countries, the authorisation process was completed by 7 months (median = 4 months) (figure 1). In particular, the comparison of the CA time authorisation shows a significant difference between EU and non-EU clusters (p = 0.001); however, if the statistical model is adjusted for the number of EC requests as covariate, the difference is not significant. Thus, it seems that the main factor influencing the time for EC approval is the number of requests for changes/clarifications (mainly on informed consent/assent, study protocol, insurance) (figure 2). Conclusion: Delays in completion of the authorisation phase in many countries seems to be a relevant issue and the timeframes for the authorisation in EU countries are not compliant with the European requirements (60 days for single opinion release and 30 days for its acceptance, as stated in Directive 2001/20/EC). The main reasons for delay is the complexity of the procedures and the requests from the ECs/CAs. In non-EU countries, procedures are different and faster with less requests from ECs and CAs. The upcoming application of a stronger set of rules, CT-Regulation (EU) 536/2014, is expected to harmonise practices in Europe and possibly outside Europe. The final aim of this change should be to assure a good balance between a timely approval and a high-level of children protection. Disclosures Reggiardo: CVBF: Consultancy. Tricta:ApoPharma: Employment.
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Poulsen, Karen Løkkegaard. "Oldsagssamlinger på danske herregårde." Kuml 50, no. 50 (August 1, 2001): 71–110. http://dx.doi.org/10.7146/kuml.v50i50.103118.

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Collections of antiquities on Danish manorsBefore the establishment of the public museum system and during its first phase after 1807, important activity concerning the relics of antiquity was managed by the estates (fig. 3). This resulted in the creation of collections with varied contents, including Danish antiquities. These were either bought or found within the estate district as was the case with the pieces of ”danefæ”, which the peasants found and brought to the manor (according to a decree from 1737, all treasures found in the Danish soil must be handed over to the king or – later – the state. Such finds are called” danefæ”). It is notable that the collection of danefæ took place according to a decentralised structure, as described in King Frederik V’s public notice from 1752, which also stated that a reward is given in return. According to this, the king delegated his right to collect danefæ to counts and barons, who could then again pass it on and cash the reward. The danefæ became the nucleus in many collections (fig. 4). This category of landowners kept their central position to archaeological work for a long time. Their right to collect danefæ lasted until 1853, and the practice of delivering antiquities found on the estate at the manor went on until modern times.The early museum collections, the kunstkammers and collections of curios of the 17th and 18th centuries, are well described in the literature on museum history. However, only little attention has been paid to the collections of the 19th and early 20th centuries. For instance, the collections of Broholm on Fyn (fig. 9), of Nr. Vosbjerg in Western Jutland, of Brattingsborg on Samsø, and of Valbygaard (fig. 1) and Lerchenborg on Sjælland have all been thoroughly described, but only individually (note 5), not as a phenomenon. This article is based on information from a few selected archives supplemented by spot tests involving a number of manors and several museums in areas with many estates (note 14). ln spite of the limitations induced by the source material it is the aim of the article to throw light on as many collections as possible to reach a general view. The article focuses on the manor collections as a phenomenon and on the museum development and museum traditions to which these collections belong , with the emphasis on the 19th and early 20th centuries.The article is based on two archives,Victor Hermansen’s papers in the Royal Library, indicated in the lists I-V with the signature of ”gl. Bib. VH” and the part of the report archive in the National Museum / Danish Prehistory, listed as ”NM, Oldtiden”, which contains the private collections. The material has been described using five time references: Before 1807 (list I); 1807-1848 (list II); 1848-1892 (list III); and finally 1892-1919 and 1919- the present time (both in list IV) (fig. 2). The time divisions were the result of an overall evaluation of the material, the type of collections and the intellectual, mental and social motives behind the collecting activity. Although the types of collections from different periods overlap and late examples of early collection types do occur, it is still obvious that the ideal for collector’s activity changed in the course of time.The review begins with the period 1807-1848, at the start of which the ”Royal Commission to the Safe keeping of Antiquities” was to become the foundation stone of the public museum system.1807-1848: landowners and others put much work into the issue, which the ”Commission” had been appointed to safeguarding. Danish artefacts were collected as never before. A flow of artefacts arrived at the collection in the capital from several landowners on Fyn and elsewhere. As in the beginning of the previous period, the landowners were also taking part in excavations, in protecting relics of antiquity and in publishing archaeological treatises.1848-1892:The public museum services were established. The new keeper of the Danish antiquities, the archaeologist J.J.A. Worsaae travelled the country to collect information, and he specifically contacted the landowners, knowing that these were key figures within archaeological research (fig. 5 and 10). Consequently, the landowners changed the way they dealt with archaeology in line with the development of the profession as initiated by Worsaae, who went in the direction of a more scholarly method and a dissociation of philosophy and history, which had been closely connected to archaeology. King Frederik VII’s (1848-1863) personal interest in archaeology had a positive influence on the development of the profession and contributed to its growing popularity among the landowners and the public.1892-1919: This period began with the Old Nordic Museum changing its name into the National Museum, and Sophus Müller becoming its curator. The landowners continued their archaeological activity, especially on those estates, which had a tradition for this (fig. 6). However, in the correlation between these archaeologically interested and active landowners, the National Museum gained more authority due to its growing expertise. Not only did the museum engage itself in the landowners’ investigations, it also took over the work and continued it on its own terms. But at the same time the museum staff showed appropriate consideration to the landowners, who according to the constitution had the right of owners hip to extensive areas with artefacts and relics of the past. Cooperation was necessary for the growth of the profession. The landowners had unlimited rights to those finds of artefacts and structures that were not danefæ or listed relics. However, the registers of the National Museum from this time show that after the excavation, the landowner often gave the finds to the museum.This period also saw conflicts between the provincial museums and the National Museum, caused by Sophus Müller’s policy of a centralised museum structure, which gave the provincial museums little liberty of action (note 7). We lack a coherent description of the private artefact collectors’ part in this game. A closer examination of some of them, such as Beck on Valbygaard, the private collectors associated with the museum in Odense, and Collet on Lundbygaard suggests that they were sometimes on one, sometimes on the other front in this controversy (note 9 and 47).After 1919: In 1919, the privileges and special duties of the nobility were cancelled, a development parallelled in the rest of Central, East and Northern Europe. The advanced position in the government previously held by this social class had ended to be replaced by the public sector of the democratic society of which the modern museum system forms a part. However, some estates carried on the tradition of building up collections of artefacts even in this period, and a few landowners opened museums on their estates (fig. 7). These are late activities in the long tradition of archaeological activity on the manors. Both in this periods and the previous one, the interest in collecting artefacts spread down the hierarchy of the manors to the employees and to the farmers on the small holdings. Today almost every family holding owns a collection of artefacts found on the property.To throw light on the changing intellectual context of which the artefact collections on the manors formed part, from the collections of the late Renaissance until the present, the article includes the collections of curios and minerals from the 17th and 18th centuries (list I). Most royal and princely courts in Europe had a kunstkammer with a wideranging content. The archive information used for this article has shown that in Denmark in the 19th century, these collections were not exclusively connected to the nobility or the manors. It is a common trait that the collector was a learned person, an academic or a high official or a well- educated nobleman with or without property. To agree with this, both in Denmark and internationally, a well-equipped library was attached to the collection as a fixed element (fig. 8). Some kunstkammers were attached to grammar schools, orphanages and student hostels. Through purchase and sale parts of the collections changed owner and location from time to time, as for instance the collection of Jesper Friis, which can be followed in written so urces from the 17th century through the following centuries and for a couple of items even into the antique collection of the National Museum.Around 1800, the Romantic Movement and the national currents increased the interest in Danish arte facts and relics of the past. Via folk high school education, which was inspired by the Nordic mythology and attached importance to the prehistory and early history of the nation, this interest spread into the population. As opposed to the earlier collections, which formed part of a learned environment characterised by a classical, humanistic education, the many manor collections, which had their prime in the period of c. 1860-1919, formed part of a practical agronomy universe, where demanding farming techniques were pushed into effect and where hunting and outdoor life was an important part of life. At the same time the landowners put much strength into renovating buildings and erecting fine manor complexes, a natural consequence of the wealth that originated from the corn sales. In an era where natural sciences and practical trades were given pride of place, the turn of archaeology away from the old humanistic method and tradition within philology and history towards the exact sciences will have contributed to the populariry of the profession.The private collections of artefacts have a larger professional and intellectual value than what is usually attributed to them. They were made at a time when the creation of rype collections of artefacts, suites, were in fashion. Information on find conditions and contexts are therefore rare. In the 20th century, professional archaeologists valued these collections according to the presence of find information, and so many of them were split through exchange. The fact that many of these artefacts were from the time before the parish accounts (a registering of relics of the past initiated by the National Museum) and thus – when it comes to the local artefacts – told of the relics of the past that had been situated on the estate earlier, but had been demolished in the early, active farming years of the first half of the 19th century. Also, the ethnological value of these collections has been disregarded.The article ends with considerations as to the public / the private. Nowadays these two notions create two separate rooms. ICOM’s ethical rules for museums have a clear definition, stating that a professional museum activiry is in compatible with private collecting activity.The history of the private collections of arte facts throws light on the development from the time before the public sector, when landowners and other private persons were supporting archaeology and the public museum initiative economically, politically and professionally. The profession developed from here and in a continued interaction between the professionals and the private collectors. Even when today there is a clear distinction between public and private, there are some interesting reminiscences left. Without the contribution and support of the public, archaeology would have difficult conditions.Karen Løkkegaard PoulsenMariboTranslated by Annette Lerche Trolle
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"Iot based Garbage and Waste Collection Bin Overflow Indicator." International Journal of Innovative Technology and Exploring Engineering 9, no. 7 (May 10, 2020): 1128–31. http://dx.doi.org/10.35940/ijitee.f3729.059720.

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Waste the board is the fundamental problem that the world deals self reliant in case of creating country. The troubles within the waste corporation are that the waste holder at open spots advances beyond time before the begin of the partner cleaning process. It consequently precise numerous dangers, as an instance, lousy aroma and repulsiveness to that spot which can be the basic driving force for unfold of numerous illnesses. To avoid all such unsafe circumstance and maintain up open neatness and prosperity this work is mounted on an astute refuse device. The popular problem of the work is to expand a sagacious shrewd rubbish prepared gadget for a proper refuse the board .This paper introduces a pointy prepared shape for junk opportunity by using offering a caution hint to the huge town server for minute cleaning of waste with valid check reliant on level of waste filling. This technique is helped via the ultrasonic sensor that's interfaced with Arduino UNO to test the diploma of refuse crammed inside the dustbin and sends the caution to the everyday net server once if trash is crammed . The fuel sensor and the fire sensor are applied to take a look at the spoil of fire and it take a gander at the closeness of any risky fuel over the development holder. The fuel sensor and the fire sensor are used to take a gander at the wreck of fireplace and it look at the closeness of any risky fuel over the accumulation holder. The complete gadget is stored up by way of an embedded module combined with IOT Assistance and sensor. The non-stop status of ways waste is accumulated that might be watched and stuck up by means of the location authority with the guide. Despite this the crucial change measures will be balanced.
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Maxwell, Lori, and Kara E. Stooksbury. "No "Country" for Just Old Men." M/C Journal 11, no. 5 (August 22, 2008). http://dx.doi.org/10.5204/mcj.71.

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Introduction Presidents “define who Americans are—often by declaring who they aren’t”, and “by their very utterances […] have shaped our sense of who we are as Americans” (Stuckey, front cover). This advocacy of some groups and policies to the exclusion of others has been facilitated in the United States’ political culture by the country music industry. Indeed, President Richard Nixon said of country music that it “radiates a love of this nation—a patriotism,” adding that it “makes America a better country” (Bufwack and Oermann 328). Country music’s ardent support of American military conflict, including Vietnam, has led to its long-term support of Republican candidates. There has been a general lack of scholarly interest, however, in how country music has promoted Republican definitions of what it means to be an American. Accordingly, we have two primary objectives. First, we will demonstrate that Republicans, aided by country music, have used the theme of defence of “country,” especially post-9/11, to attempt to intimidate detractors. Secondly, Republicans have questioned the love of “country,” or “patriotism,” of their electoral opponents just as country musicians have attempted to silence their own critics. This research is timely in that little has been done to merge Presidential advocacy and country music; furthermore, with the election of a new President mere days away, it is important to highlight the tendencies toward intolerance that both conservatism and country music have historically shared. Defence of ‘Country’ After the 9/11 attacks, President George W. Bush addressed the nation before a Joint Session of Congress on 20 September 2001. During this speech, the president threatened the international community and raised the spectre of fear in Americans both while drawing distinctions between the United States and its enemies. This message was reflected and reinforced by several patriotic anthems composed by country artists, thus enhancing its effect. In his remarks before Congress, Bush challenged the international community: “Either you are with us, or you are with the terrorists;” thus “advocating some groups to the exclusion of others” on the international stage (20 September 2001). With these words, the President expanded the definition of the United States’ enemies to include not only those responsible for the 9/11 attacks, but also anyone who refused to support him. Republican Senator John McCain’s hawkishness regarding the attacks mirrored the President’s. “There is a system out there or network, and that network is going to have to be attacked,” McCain said the next morning on ABC (American Broadcasting Company) News. Within a month he made clear his priority: “Very obviously Iraq is the first country,” he declared on CNN. Later he yelled to a crowd of sailors and airmen: “Next up, Baghdad!” (http://www.iht.com/articles/2008/08/17/america/mccain.php). Bush’s address also encouraged Americans at home to “be calm and resolute, even in the face of a continuing threat” (20 September 2001). The subtle “us vs. them” tension here is between citizens and those who would threaten them. Bush added that “freedom and fear” had always “been at war” and “God is not neutral between them” (20 September 2001) suggesting a dualism between God and Satan with God clearly supporting the cause of the United States. Craig Allen Smith’s research refers to this as Bush’s “angel/devil jeremiad.” The President’s emphasis on fear, specifically the fear that the American way of life was being assailed, translated into public policy including the creation of the Department of Homeland Security and the Patriot Act. This strategic nomenclature strengthened the power of the federal government and has been used by Republicans to suggest that if a candidate or citizen is not a terrorist then what does he/she have to fear from the government? The impact of Bush’s rhetoric of fear has of late been evaluated by scholars who have termed it “melodrama” in international affairs (Anker; Sampert and Treiberg). To disseminate his message for Americans to support his defence of “country,” Bush needed look no further than country music. David Firestein, a State Department diplomat and published authority on country music, asserted that the Bush team “recognised the power of country music as a political communication device” (86). The administration’s appeal to country music is linked to what Firestein called the “honky-tonk gap” which delineates red states and blue states. In an analysis of census data, Radio-Locator’s comprehensive listing by state of country music radio stations, and the official 2004 election results, he concluded that If you were to overlay a map of the current country music fan base onto the iconic red-and-blue map of the United States, you would find that its contours coincide virtually identically with those of the red state region. (84) And country musicians were indeed powerful in communicating the Republican message after 9/11. Several country musicians tapped into Bush’s defence of country rhetoric with a spate of songs including Alan Jackson’s Where Were You? (When the World Stopped Turning), Toby Keith’s Courtesy of the Red, White, and Blue (the Angry American), and Darryl Worley’s Have You Forgotten? to name a few. Note how well the music parallels Bush’s attempt to define Americans. For instance, one of the lines from Keith’s Courtesy of the Red, White, and Blue (the Angry American) speaks of those who have given their lives so that other Americans may rest peacefully. This sentiment is reiterated by the theme of Worley’s Have You Forgotten? in which he talks of spending time with soldiers who have no doubts about why they are at war. Both songs implicitly indict the listener for betraying United States soldiers if his/her support for the Iraqi war wanes or, put in Bush terms, the listener would become a supporter of “terrorism.” Country music’s appeal to middle-America’s red state conservatism has made the genre a natural vehicle for supporting the defence of country. Indeed, country songs have been written about every war in United States history; most expressing support for the conflict and the troops as opposed to protesting the United States’ action: “Since the Civil War and Reconstruction, ‘Dixie’ has always been the bellwether of patriotic fervour in time of war and even as the situation in Vietnam reached its lowest point and support for the war began to fade, the South and its distinctive music remained solidly supportive” (Andresen 105). Historically, country music has a long tradition of attempting to “define who Americans were by defining who they weren’t” (Stuckey). As Bufwack and Oermann note within country music “images of a reactionary South were not hard to find.” They add “Dixie fertilized ‘three r’s’ – the right, racism, and religion” (328). Country musicians supported the United States’ failed intervention in Vietnam with such songs as It’s for God and Country and You Mom (That’s Why I’m Fighting In Vietnam), and even justified the American massacre of noncombatants at My Lai in the Battle Hymn of Lt. Calley (328). Thus, a right-wing response to the current military involvement in Iraq was not unexpected from the industry and the honky-tonk state listeners. During the current election, Republican presidential nominee McCain has also received a boost from the country music genre as John Rich, of Big and Rich, wrote Raising McCain, a musical tribute to McCain’s military service used as his campaign theme song. The song, debuted at a campaign rally on 1 August 2008, in Florida, mentions McCain’s ‘Prisoner of War’ status to keep the focus on the war and challenge those who would question it. Scholars have researched the demographics of the country music listener as they have evaluated the massification theory: the notion that the availability of a widespread media culture would break down social and cultural barriers and result in a “homogenised” society as opposed to the results of government-controlled media in non-democratic countries (Peterson and DiMaggio). They have determined that the massification theory has only been partially demonstrated in that regional and class barriers have eroded to some extent but country music listeners are still predominately white and older (Peterson and DiMaggio 504). These individuals do tend to be more conservative within the United States’ political culture, and militarism has a long history within both country music and conservatism. If the bad news of the massification theory is that a mass media market may not perpetuate a homogenous society, there is good news. The more onerous fears that the government will work in tandem with the media to control the people in a democracy seem not to have been borne out over time. Although President Bush’s fear tactics were met with obsequious silence initially, resistance to the unquestioning support of the war has steadily grown. In 2003, a worldwide rally opposed the invasion of Iraq because it was a sovereign state and because the Bush doctrine lacked United Nations’ support. Further opposition in the United States included rallies and concerts as well as the powerful display in major cities across the nation of pairs of combat boots representing fallen soldiers (Olson). Bush’s popularity has dropped precipitously, with his disapproval ratings higher than any President in history at 71% (Steinhauser). While the current economic woes have certainly been a factor, the campaigns of Barack Obama and John McCain can also be viewed as a referendum on the Bush war. The American resistance to the Bush rhetoric and the Iraq war is all the more significant in light of research indicating that citizens incorrectly believe that the opposition to the Vietnam War was typified by protests against the troops rather than the war itself (Beamish). This false notion has empowered the Republicans and country musicians to challenge the patriotism of anyone who would subsequently oppose the military involvement of the United States, and it is to this topic of patriotism that we now turn. Patriotism Patriotism can be an effective way for presidential candidates to connect with voters (Sullivan et al). It has been a particularly salient issue since the 9/11 attacks and the wars in Iraq and Afghanistan. Ironically, George W. Bush, a man whose limited military service had been the subject of debate in 2000, was able to employ the persistent patriotic themes of country music to his electoral advantage. In fact, Firestein argued that country music radio had a greater effect on the 2004 election than any ads run by issue groups because it “inculcated and reinforced conservative values in the red state electorate, helped frame the issues of the day on terms favourable to the conservative position on those issues, and primed red state voters to respond positively to President Bush’s basic campaign message of family, country, and God” (Firestein 83). Bush even employed Only in America, a patriotic anthem performed by Brooks and Dunn, as a campaign theme song, because the war and patriotism played such a prominent role in the election. That the Bush re-election campaign successfully cast doubt on the patriotism of three-time Purple Heart winner, Democratic Senator John Kerry, during the campaign is evidence of Firestein’s assertion. The criticism was based on a book: Unfit for Command: Swift Boat Veterans Speak Out Against John Kerry (O’Neill and Corsi). The book was followed by advertisements funded by Swift Boat Veterans for Truth which included unsubstantiated claims that Kerry lied or exaggerated his combat role in Vietnam in order to obtain two of his Purple Hearts and his Bronze Star; the testimony of Kerry’s crewmen and Navy records notwithstanding, these ads were effective in smearing Kerry’s service record and providing the President with an electoral advantage. As far as country music was concerned, the 2004 election played out against the backdrop of the battle between the patriotic Toby Keith and the anti-American Dixie Chicks. The Dixie Chicks were berated after lead singer Natalie Maines’s anti-Bush comments during a concert in London. The trio’s song about an American soldier killed in action, Travelin’ Soldier, quickly fell from the top spot of the country music charts. Moreover, while male singers such as Keith, Darryl Worley, and Alan Jackson received accolades for their post 9/11 artistic efforts, the Dixie Chicks endured a vitriolic reaction from country music fans as their CDs were burned, country radio refused to play their music, their names were added to an internet list of traitors, their concerts were protested by Bush supporters, and their lives were even threatened (http://www.poppolitics.com/archives/2003/04/Bandwagon). Speaking from experience at the 2008 Democratic National Convention, Kerry addressed the issue of patriotism stating: This election is a chance for America to tell the merchants of fear and division: you don’t decide who loves this country; you don’t decide who is a patriot; you don’t decide whose service counts and whose doesn’t. […] After all, patriotism is not love of power or some cheap trick to win votes; patriotism is love of country. (http://www.clipsandcomment.com/2008/08/27/full-text-john-kerry-speech-democratic-national-convention/) Kerry broached the issue because of the constant attacks on the patriotism of Democratic nominee, Senator Barack Obama. At the most basic level, many of the attacks questioned whether Obama was even an American. Internet rumours persisted that Obama was a Muslim who was not even an American citizen. The attacks intensified when the Obamas’ pastor, Reverend Jeremiah Wright, came under fire for comments made during a sermon in which he stated “God damn America.” As a result, Obama was forced to distance himself from his pastor and his church. Obama was also criticised for not wearing a United States flag lapel pin. When Michelle Obama stated for the “first time [she was] proud of her country” for its willingness to embrace change in February of 2008, Cindy McCain responded that she “had always been proud of her country” with the implication being, of course, a lack of patriotism on the part of Michelle Obama. Even the 13 July 2008 cover of the liberal New Yorker portrayed the couple as flag-burning Muslim terrorists. During the 2008 election campaign, McCain has attempted to appeal to patriotism in a number of ways. First, McCain’s POW experience in Vietnam has been front and centre as he touts his experience in foreign policy. Second, the slogan of the campaign is “Country First” implying that the Obama campaign does not put the United States first. Third, McCain’s running mate, Alaska Governor Sarah Palin, insisted in a speech on 4 October 2008, that Barack Obama has been “palling around with terrorists who would target their own country.” Her reference was to Obama’s acquaintance, Bill Ayers, who was involved in a series of Vietnam era bombings; the implication, however, was that Obama has terrorist ties and is unpatriotic. Palin stood behind her comments even though several major news organisations had concluded that the relationship was not significant as Ayers’ terrorist activities occurred when Obama was eight-years-old. This recent example is illustrative of Republican attempts to question the patriotism of Democrats for their electoral advantage. Country music has again sided with the Republicans particularly with Raising McCain. However, the Democrats may have realised the potential of the genre as Obama chose Only in America as the song played after his acceptance speech at the Democratic Convention. He has also attempted to reach rural voters by starting his post-convention campaign in Bristol, Virginia, a small, conservative town. Conclusion Thus, in the wake of 9/11, Republicans seized the opportunity to control the culture through fear and patriotic fervour. They were facilitated in this endeavor by the country music industry with songs that that would questions the motives, defence of “country,” and patriotism, of anyone who would question the Bush administration. This alliance between country music and the right is an historically strong one, and we recommend more research on this vital topic. While this election may indeed be a referendum on the war, it has been influenced by an economic downturn as well. Ultimately, Democrats will have to convince rural voters that they share their values; they don’t have the same edge as Republicans without the reliance of country music. However, the dynamic of country music has changed to somewhat reflect the war fatigue since the 2004 campaign. The Angry American, Toby Keith, has admitted that he is actually a Democrat, and country music listeners have grown tired of the “barrage of pro-troop sentiment,” especially since the summer of 2005 (Willman 115). As Joe Galante, the chief of the RCA family of labels in Nashville, stated, “It’s the relatability. Kerry never really spent time listening to some of those people” (Willman 201). Bill Clinton, a Southern governor, certainly had relatability, carrying the normally red states and overcoming the honky-tonk gap, and Obama has seen the benefit of country music by playing it as the grand finale of the Democratic Convention. Nevertheless, we recommend more research on the “melodrama” theory of the Presidency as the dynamics of the relationship between the Presidency and the country music genre are currently evolving. References Andreson, Lee. Battle Notes: Music of the Vietnam War. 2nd ed. Superior, WI: Savage Press, 2003. Anker, Elisabeth. “Villains, Victims and Heroes: Melodrama, Media and September 11th.” Journal of Communication. 55.1 (2005): 22-37. Baker, Peter and David Brown. “Bush Tries to Tone Down High-Pitched Debate on Iraq.” Monday, 21November 2005, Page A04. washingtonpost.com Beamish, Thomas D., Harvey Molotch, and Richard Flacks. “Who Supports the Troops? Vietnam, the Gulf War, and the Making of Collective Memory.” Social Problems. 42.3 (1995): 344-60. Brooks and Dunn. Only in America. Arista Records, 2003. Bufwack, Mary A. and Robert K. Oermann. Finding Her Voice The Saga of Women in Country Music. New York: Crown Publishers, 1993. Dixie Chicks. “Travelin Soldier.” Home. Columbia. 27 August 2002. Firestein, David J. “The Honky-Tonk Gap.” Vital Speeches of the Day. 72.3 (2006): 83-88. Jackson, Alan. Where Were You? (When the World Stopped Turning) Very Best of Alan Jackson. Nashville: Arista, 2004. Keith, Toby. Courtesy of the Red, White and Blue (The Angry American). Nashville: Dreamworks. November 9, 2004. Olson, Scott. “Chicago remembers war dead with 500 pairs of empty boots.” 22 January 2004. http://www.usatoday.com/news/nation/2004-01-22-chicago-boots_x.htm O’Neill, John E. and Jerome L. Corsi. “Unfit for Command Swift Boat Veterans Speak Out Against John Kerry.” Washington D.C.: Regnery Publishing, 2004. Peterson, Richard A. and Peter Di Maggio. “From Region to Class, the Changing Locus of Country Music. A Test of the Massification Hypothesis.” Social Forces. 53.3 (1975): 497-506. Rich, John. Raising McCain. Production information unavailable. Sampert, Shannon, and Natasja Treiberg. “The Reification of the ?American Soldier?: Popular Culture, American Foreign Policy, and Country Music.” Paper presented at the International Studies Association 48th Annual Convention, Chicago, Illinois, United States, 28 February 2007. Smith, Craig Allen. “President Bush’s Enthymeme of Evil: The Amalgamation of 9/11, Iraq, and Moral Values.” American Behavioral Scientist. 49 (2005): 32-47. Steinhauser, Paul. “Poll: More disapprove of Bush that any other president.” Politics Cnn.politics.com. 1 May 2008. Stuckey, Mary E. Defining Americans: The Presidency and National Identity. Lawrence: UP of Kansas, 2004. Sullivan, John L., Amy Fried, Mary G. Dietz. 1992. “Patriotism, Politics, and the Presidential Election of 1988.” American Journal of Political Science. 36.1 (1992): 200-234. Willman, Chris. Rednecks and Bluenecks: The Politics of Country Music. New York: The New Press, 2005. Worley, Darryl. Have You Forgotten? Nashville: Dreamworks, 2003.
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45

Vieira, Verónica, Ian W. Tang, Scott Bartell, Matthew Zahn, and Marion Joseph Fedoruk. "SARS-CoV-2 antibody seroprevalence among firefighters in Orange County, California." Occupational and Environmental Medicine, August 25, 2021, oemed—2021–107461. http://dx.doi.org/10.1136/oemed-2021-107461.

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ObjectivesWe conducted serological SARS-CoV-2 antibody testing from October to November 2020 to estimate the SARS-CoV-2 seroprevalence among firefighters/paramedics in Orange County (OC), California.MethodsOC firefighters employed at the time of the surveillance activity were invited to participate in a voluntary survey that collected demographic, occupational and previous COVID-19 testing data, and a SARS-CoV-2 immunoglobulin (Ig)G antibody blood test. We collected venous blood samples using mobile phlebotomy teams that travelled to individual fire stations, in coordination with an annual tuberculosis testing campaign for firefighters employed by OC Fire Authority (OCFA), and independently for firefighters employed by cities. We estimated seroprevalence and assessed several potential predictors of seropositivity.ResultsThe seroprevalence was 5.3% among 923 OCFA personnel tested, with 92.2% participating. Among firefighters self-reporting a previous positive COVID-19 antibody or PCR test result, twenty-one (37%) did not have positive IgG tests in the current serosurvey. There were no statistically significant differences in demographic characteristics between cases and non-cases. Work city was a significant predictor of case status (p=0.015). Seroprevalence (4.8%) was similar when aggregated across seven city fire departments (42%–65% participation). In total, 1486°C fire personnel were tested.ConclusionUsing a strong serosurvey design and large firefighter cohort, we observed a SARS-CoV-2 IgG seroprevalence of 5.3%. The seroprevalence among OC firefighters in October 2020 was lower than the general county population estimated seroprevalence (11.5%) in August. The difference may be due in part to safety measures taken by OC fire departments at the start of the pandemic, as well as differences in antibody test methods and/or duration of antibody response.
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46

S, Begum. "Using Hadoop, Analyze Airport Authority." International Journal of Research Publication and Reviews, August 12, 2022, 828–31. http://dx.doi.org/10.55248/gengpi.2022.3.8.29.

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A modern airport has access to a vast quantity of information, including the number of flights, arrival and departure times, flight routes, the number of airports that operate in each nation, a list of the current active airlines in each nation, etc. DBMS has so far been utilized to store and analyze the airport database. An airport database management system uses SQL to apply queries to all of the records. B-tree or distributed hash tables are used by My SQL to analyze the database. It is unable to analyze a large volume of data. Data is stored in a parallel database. This system's disadvantage is that it can't handle an increase in massive amounts of data to a significant degree. Therefore, the Hadoop database file system is employed to solve this issue. Hadoop uses HDFS and the Map-Reduce processing architecture to store vast amounts of data and provide the data in parallel. We made an effort to examine in-depth research of airline data sets, such as a list of airports in India, a list of airlines with no stops, a list of codeshare airlines by country with the most airports, and a list of active airlines in the United States. Here, we concentrated on processing large data sets in a distributed setting utilizing the hive component of the Hadoop ecosystem. The developers and business analysts will be helped by this effort when it comes to obtaining and handling their user requests
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47

Jaswadi, Jaswadi, Hari Purnomo, and Sumiadji Sumiadji. "Financial statement fraud in Indonesia: a longitudinal study of financial misstatement in the pre- and post-establishment of financial services authority." Journal of Financial Reporting and Accounting, April 11, 2022. http://dx.doi.org/10.1108/jfra-10-2021-0336.

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Purpose This study aims to investigate cases of fraudulent financial statements that have occurred in Indonesia and explore the similarities of cases that existed in the period before and after the establishment of the Financial Services Authority. Design/methodology/approach This paper provides a descriptive examination of financial misstatements issued by different regimes by listed companies of the capital market and financial institution supervisory agency and the introduction of new financial service authority; among 93 listed companies that were subject to an official investigation arising from the publication of financial misstatements, these assessments were facilitated by mean of content analysis of annual reports following the announcement of an investigation. Findings The findings indicate that each regime has a specific pattern of financial statement fraud. It is found that senior management is responsible for most fraud, and recording a fictitious sale is the most common method of falsifying financial statements. Under the new regime, the publication of cases is limited since the introduction of risk-based supervision. Financial Services Authority is likely to fine and prosecute the director of a company as a perpetrator rather than a corporation as a legal entity. Originality/value This study contributes to the literature on the incidence of financial statement fraud in public companies and provides a detailed descriptive comparison of cases scrutinized by securities exchange commission in an emerging country.
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48

Kakucs, Lajos. "Contribuții la istoria pompierilor voluntari din Timișoara (de la inceputuri pană in anul 1936) / Contributions to the history of volunteer firefighters from Timișoara (from the very beginnings to 1936)." Analele Banatului XXV 2017, January 1, 2017. http://dx.doi.org/10.55201/kmjh8407.

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We have got the first sporadic references to the activity of volunteer firefighters from Timişoara from the period succeeding the formation of the town’s civilian leadership after January 1, 1718, when the fireman’s duties, as well as those regarding the internal order, were related to the Civil Magistracy which was also supervised by the Administration of Banat County. The 22nd point of the Regulations from 1755 for the town’s organisation (Policey Ordnung) demanded the construction of a separate building, from solid materials, for the preservation of objects (such as stairs, dishes etc.) and cars needed to stop the fire (Wasser Maschinen). The new regulations of the Administration of Banat County, in March 31, 1774, envisaged the participation of citizens, especially of the craftsmen in the town, in the extinction of fire. In the decades after 1718 the chimney sweeps from Timişoara had an important role in the extinction of fire; after 1815 they were organised in a mutual guild together with masons, stone carvers, carpenters, roofers and street pavers. The sealing field of this guild’s signet dominated the silhouette of their patron, St. Florian, holding a flag in his left hand, a milk pail in his right hand, from which he was pouring some water on a house in fire. After the guild’s dissolution, the first group of volunteer firefighters from Timişoara was organised in the Fabric District in September 1867, relying on a much older structure belonging to Timișoara town. The status of the structure from Fabric was authorized only on August 22, 1868. The Volunteer Firefighter Corporation from Iosefin (Josefstädter Feuerlösch-Corp) was founded on August 5, 1868, in a restaurant (Zum König von Ungarn). The information of a newspaper, Temesvarer Zeitung, in 1873, certifies the alliance of volunteer firefighters from two districts, Iosefin and Elisabetin. The Volunteer Firefighter Corporation from the fortified town, as the third corporation in the town of Timișoara, was founded in 1873. In 1877 the three volunteer firefighter corporations were united under the name of Temesvarer Freiwillige Feuerwehr. They preserved their own authority. According to our information, the groups of volunteer firefighters from the outskirts of Mehala and Fratelia were organised in 1894.
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49

Gichuru, Denis Brian, and John N. Wahome. "INFLUENCE OF TAX COMPLIANCE COST ON HOSTEL OWNERS’ COMPLIANCE TO RENTAL INCOME TAX IN LAIKIPIA WEST SUB COUNTY, KENYA." European Journal of Economic and Financial Research 6, no. 1 (January 10, 2022). http://dx.doi.org/10.46827/ejefr.v6i1.1207.

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<p>The Government of Kenya through the Finance Act 2015 introduced a simplified rental income tax. This is a monthly tax payable by a resident person for rental income earned from use or occupation of residential property. Upon the gazettement of the Income Tax (Residential Rental Income Tax) Regulations, 2016, the Kenya Revenue Authority embarked on an aggressive campaign to enlist landlords into the Monthly Rental Income Tax regime. However, the Economic Survey 2021 showed that the country’s revenue collecting agency KRA was not able to meet revenue targets as set by the National Treasury. Comparison of National Government Budget Estimates with Actual Out – turns for the fiscal years 2017/2018 and 2018/2019 showed that KRA missed the Budgeted Ordinary Revenue targets by Kshs.128.7 Billion and Kshs.90.1 Billion respectively. Property taxes including rental income tax are part of the ordinary revenue collected by the tax authority. The objective of the study was to investigate the influence of tax compliance cost on hostel owners’ compliance to the monthly rental income tax in Laikipia West Sub County. Quantitative data was collected using questionnaires. A census of the entire population of hostels was used to collect the required data. The collected data was analysed using the Statistical Package for Social Sciences (SPSS). The study established that an increase in tax compliance cost discourages compliance behavior since taxpayers tend to evade the costs either by under-declaring their monthly rental incomes or not declaring any income at all. The study recommends that KRA should scale up the tax payer education and awareness programs to ensure that more landlords are trained on how to file their own returns without having to use tax agents who make the process costly leading to non-compliance.</p><p>JEL: H25, H26</p><p> </p><p><strong> Article visualizations:</strong></p><p><img src="/-counters-/edu_01/0982/a.php" alt="Hit counter" /></p>
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"Mr. Baron Lovell's Charge to the Grand Jury for the County of Devon, The 5th of April, 1710. At the Castle of Exon. London, Printed for A. Baldwin in Warwick-Lane 1710." Camden Fourth Series 43 (July 1992): 77–79. http://dx.doi.org/10.1017/s0068690500001501.

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Her Majesty having been pleased to appoint us Judges for this Circuit, to put the Laws of this Nation in Execution, and being ready to proceed thereon, I cannot omit laying before you the Excellency of our Laws, compared with those Abroad. Laws, which do not authorize, but check and oppose Sword, Fire, Persecution, Oppression, and Inquisition. They preserve every Man's Liberty and Property, and are made for the Support of the good Government, as establish'd and settled by them. Her Majesty knowing that the best Foundation is in Religion, builds on that Rock, and I can assure you, [4] has taken an unalterable Resolution, to prefer none to any Dignities in Church or State (which are in her Donation) but such as are Men of conspicuous Virtue, Piety, Morality, and Temper.
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