Academic literature on the topic 'Environmental management Australia Case studies'

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Journal articles on the topic "Environmental management Australia Case studies"

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Carter, Jennifer L., and Greg J. E. Hill. "Critiquing environmental management in indigenous Australia: two case studies." Area 39, no. 1 (March 2007): 43–54. http://dx.doi.org/10.1111/j.1475-4762.2007.00716.x.

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de Little, Siobhan C., Roser Casas-Mulet, Lisa Patulny, Joanna Wand, Kimberly A. Miller, Fiona Fidler, Michael J. Stewardson, and J. Angus Webb. "Minimising biases in expert elicitations to inform environmental management: Case studies from environmental flows in Australia." Environmental Modelling & Software 100 (February 2018): 146–58. http://dx.doi.org/10.1016/j.envsoft.2017.11.020.

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O'Donnell, Renee, Melissa Savaglio, Dave Vicary, and Helen Skouteris. "Effect of community mental health care programs in Australia: a systematic review." Australian Journal of Primary Health 26, no. 6 (2020): 443. http://dx.doi.org/10.1071/py20147.

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Although numerous studies have examined the effects of community-based mental health care programs in Australia, no synthesis of this literature exists. This systematic review of peer-reviewed and grey literature described the types of community-based mental health care programs delivered and evaluated in Australia in the past 20 years, and evaluated their impact in improving outcomes for those with a serious mental illness (SMI). Articles were included if they evaluated the extent to which the programs delivered in Australia improved individual outcomes, including hospitalisations, psychiatric symptoms, substance misuse or psychosocial outcomes, for individuals with an SMI. Forty studies were included. Community-based mental health care programs were categorised into three types: case management (n=23), therapeutic (n=11) and lifestyle (n=6). Therapeutic programs were most effective in reducing psychiatric symptoms. Case management approaches yielded significant improvements in psychosocial outcomes. Lifestyle programs were inconclusive in improving individual outcomes. This review provides support for the implementation of community-based mental health care programs that are informed by both therapeutic and case management principles. A multidisciplinary team that can facilitate the provision of therapeutic and psychosocial support may be most beneficial for those with an SMI within the Australian community.
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Smith, David C., Elizabeth A. Fulton, Petrina Apfel, Ian D. Cresswell, Bronwyn M. Gillanders, Marcus Haward, Keith J. Sainsbury, Anthony D. M. Smith, Joanna Vince, and Tim M. Ward. "Implementing marine ecosystem-based management: lessons from Australia." ICES Journal of Marine Science 74, no. 7 (July 12, 2017): 1990–2003. http://dx.doi.org/10.1093/icesjms/fsx113.

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Abstract Ecosystem-based management (EBM) is now widely accepted as the best means of managing the complex interactions in marine systems. However, progress towards implementing and operationalizing it has been slow. We take a pragmatic approach to EBM. Our simple definition is balancing human activities and environmental stewardship in a multiple-use context. In this paper, we present case studies on the development and implementation of EBM in Australia. The case studies (Australia’s Ocean Policy, the Great Barrier Reef, New South Wales (NSW) marine estate, Gladstone Harbour, and South Australia and Spencer Gulf) span different spatial scales, from national to regional to local. They also cover different levels of governance or legislated mandate. We identify the key learnings, necessary components and future needs to support better implementation. These include requirements for clearly identified needs and objectives, stakeholder ownership, well defined governance frameworks, and scientific tools to deal with conflicts and trade-offs. Without all these components, multi-sector management will be difficult and there will be a tendency to maintain a focus on single sectors. While the need to manage individual sectors remains important and is often challenging, this alone will not necessarily ensure sustainable management of marine systems confronted by increasing cumulative impacts.
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Kingham, N. "Environmental action for community monitoring." Water Science and Technology 45, no. 11 (June 1, 2002): 177–84. http://dx.doi.org/10.2166/wst.2002.0393.

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Community monitoring began in Australia in the 1980s primarily as an awareness-raising tool. Since that time, the community has developed increased skills and knowledge in monitoring procedures and both the data collectors and data users are placing greater demands on community data to be accurate and reliable. With over 3,500 community groups in the field collecting data at over 5,000 sites across Australia, the Waterwatch Program has developed guidelines and tools for monitoring and data collection for the community to collect reliable, accurate and useful data. This paper will discuss how Waterwatch is providing technical support through a range of data confidence guidelines and procedures to ensure that community monitoring and community data continue to play a significant role in the protection and management of our waterways. This paper will also draw on a couple of case studies from across Australia that demonstrate community data being used by a variety of stakeholders.
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Tsatsaros, Julie, Jennifer Wellman, Iris Bohnet, Jon Brodie, and Peter Valentine. "Indigenous Water Governance in Australia: Comparisons with the United States and Canada." Water 10, no. 11 (November 13, 2018): 1639. http://dx.doi.org/10.3390/w10111639.

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Aboriginal participation in water resources decision making in Australia is similar when compared with Indigenous peoples’ experiences in other common law countries such as the United States and Canada; however, this process has taken different paths. This paper provides a review of the literature detailing current legislative policies and practices and offers case studies to highlight and contrast Indigenous peoples’ involvement in water resources planning and management in Australia and North America. Progress towards Aboriginal governance in water resources management in Australia has been slow and patchy. The U.S. and Canada have not developed consistent approaches in honoring water resources agreements or resolving Indigenous water rights issues either. Improving co-management opportunities may advance approaches to improve interjurisdictional watershed management and honor Indigenous participation. Lessons learned from this review and from case studies presented provide useful guidance for environmental managers aiming to develop collaborative approaches and co-management opportunities with Indigenous people for effective water resources management.
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Grimstad, Sidsel, and John Burgess. "Environmental sustainability and competitive advantage in a wine tourism micro-cluster." Management Research Review 37, no. 6 (May 13, 2014): 553–73. http://dx.doi.org/10.1108/mrr-01-2013-0019.

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Purpose – The paper aims to examine the competitive advantage of the environmental behaviour at a firm level and micro-cluster level, building the analysis on Harts model of natural resource-based view of the firm and by using Brown et al.'s framework for analysing contextual resources that would provide locational advantage based on environmental behaviour. The case study examines the drivers and the obstacles to environmental action and demonstrates how clustering has been important in progressing a sustainability agenda. Design/methodology/approach – A case study of a single wine tourism cluster in Australia is undertaken using mixed methods. Findings – The main drivers for environmental action are genuine concerns for the environment by the cluster participants, especially water conservation in the Australian context. Supporting this is the co-ordination of the Lovedale Chamber of Commerce which has promoted its “greening Lovedale” project as a source of regional identity and potential competitive advantage. The obstacles to action are those that are present when small firms dominate, a lack of resources and a lack of know how. Through clustering small businesses can share resources, access specialists and share knowledge. Research limitations/implications – A single cluster case study within the Australian and the wine tourism context confined to one point in time. Practical implications – The clustering of firms in agricultural regions offers the opportunity to achieve individual and collective benefits. Clustering participation can reduce costs, achieve scale economies and share knowledge. These advantages are relevant for environmental actions. In the context of weak or absent government actions and regulations over the environment, regional clusters can utilise the advantages of clustering to meet environmental goals. These in turn can contribute to regional identity and regional comparative advantage. These issues are addressed through the study of the Lovedale wine cluster in Australia. Originality/value – There are few studies of how clustered agricultural industries are addressing environmental challenges independently of central government directives or subsidies. Clustering enables small firms to participate in environmental programs despite being faced by resource and knowledge shortages.
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HOWARD, JONATHON LEIGH. "Managing for justice in community-based water planning: a conceptual framework." Environmental Conservation 37, no. 3 (September 2010): 356–63. http://dx.doi.org/10.1017/s0376892910000627.

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SUMMARYThis paper provides a systematic way to consider justice in community-based environmental planning and management. A conceptual framework connects the literature on management functions to the empirical and theoretical research on justice. Two contrasting case studies of the water reform process in Australia are used to illustrate how to apply this framework. These case studies show that certain perspectives of justice are particularly pertinent during different phases of a planning process, and that community-based environmental planning and management can be more difficult when the stakeholders involved have different values and views about a resource, and when perceived injustices occur early in a planning process.
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Chanan, A., S. Vigneswaran, and J. Kandasamy. "Valuing stormwater, rainwater and wastewater in the soft path for water management: Australian case studies." Water Science and Technology 62, no. 12 (December 1, 2010): 2854–61. http://dx.doi.org/10.2166/wst.2010.544.

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A Water Sensitive City is now commonly acknowledged best practice for designing the cities of the future. In Australia, the National Water Initiative has allocated high priority towards offering insight into successful water sensitive urban development projects, to facilitate capacity building within the industry. This paper shares innovative water sensitive projects implemented at Kogarah City Council, in Sydney. Four key projects are discussed, demonstrating how stormwater, rainwater and wastewater can be incorporated into decentralised water systems to offer sustainable water management of the future. The case studies included in the paper highlight Kogarah's journey towards the Soft Path for Water Management.
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Anderson, J. "The environmental benefits of water recycling and reuse." Water Supply 3, no. 4 (August 1, 2003): 1–10. http://dx.doi.org/10.2166/ws.2003.0041.

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The world's supply of fresh water is finite and is threatened by pollution. Rising demands for water to supply agriculture, industry and cities are leading to competition over the allocation of limited fresh water resources. This paper examines how water reuse increases the available supply of water and enables human needs to be met with less fresh water. The paper is illustrated with water reuse case studies in agriculture, urban areas, industry and water resource supplementation in Australia and other countries. The links between water reuse and sustainable water management are examined. Water conservation and water reuse produce substantial environmental benefits, arising from reductions in water diversions, and reductions in the impacts of wastewater discharges on environmental water quality. Some examples are presented demonstrating the environmental benefits in quantitative terms. The paper also describes the economic and environmental benefits identified in a number of recent integrated water cycle planning studies in Australia.
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Dissertations / Theses on the topic "Environmental management Australia Case studies"

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Ross-Smith, Anne. "Women who manage women's experience as managers in contemporary Australian organisations : implications for the discourse of management and organisation(s) /." Phd thesis, Australia : Macquarie University, 1999. http://hdl.handle.net/1959.14/26116.

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Thesis (PhD)--Macquarie University, Graduate School of Management, 1999.
Bibliography: leaves 353-372.
Introduction and thesis overview -- A clarification of how common terms and key concepts within managerial and organisational discourse are interpreted within the thesis -- Theoretical and philosophical concerns: gender and the discourse of management and organisation(s) -- Contextualising the research: an overview of social, political, economic/business organisational conditions in contemporary Australia and review of literature germane to the empirical research studies -- Research methodology, judgement criteria and framework for analysis and representation -- Women managers: day to day managerial work and behaviour: ethnographic/participant observation studies -- Women's perceptions of their experience as managers: the interview studies -- Conclusions and thesis summary.
This thesis investigates the managerial experience of senior women in contemporary Australian public and private sector organisations and explores the implications this investigation has in relation to the discourse of management and organisation(s). -- The thesis proposes that although women have gained a presence in the ranks of senior management in the last twenty years, they continue to remain marginal to the discourse of management and organisation(s). The reason for this, it is argued, is because of the preoccupation this discourse has with conceptions of rationality and masculinity. This proposition is elaborated in the thesis by tracing the philosophical and sociological interpretations of reason and rationality from ancient Greek philosophy to its embodiment in the contemporary discourse of management and organisation(s). -- Whether for biological, social or psychological reasons, it can be argued that men and women are 'different'. A further proposition, therefore, is that they will have a 'different' experience as managers. On the basis of this proposal, the thesis evaluates contemporary theories of gender and sexual difference, but stops short of defining 'difference' specifically with regard to women's experience as managers. Instead, it allows the empirical research to determine what it is that constitutes 'difference' in such a context. -- The empirical component of the thesis seeks to develop an understanding of how senior women managers in contemporary Australian organisations both experience and interpret their experience in management. This is achieved by the use of two different, but complementary studies. Using an ethnographic/participant observation case study approach, the first of these investigates the day to day managerial activities, over time, of two senior women managers, one from the private and one from the public sector. The second component of the empirical research involves as series of in depth interviews with forty senior women managers in Australian public and private sector organisations, together with a small number of interviews with their immediate superiors and subordinates, and observation, by the researcher, of their workplaces. The location of the empirical research in the late 20th century, some twenty years or so after women started to enter the ranks of management in Australia, allows for a reflection on women's progress in management in this country during this period. It also allows for contemporary social and organisational conditions in Australia to be a consideration in evaluating the research participant's managerial experience. The thesis, therefore, links the empirical research findings to Australian literature and research on women and management, current social trends in this country, characteristics of the Australian business culture, Australian managementand the Australian manager.
The research framework utilised in the thesis is informed by critical, feminist and postmodern approaches to organisational analysis. For this reason the Deetz (1994) schema, which defines organisational reserch from the perspective of four differing discursive spaces - dialog, critical, interpretive and normative is utilised to locate the research orientation of the empirical studies. This schema recognises that overlap between the four discursive spaces is possible and thus can accommodate insights from each of the above mentioned approaches, as well as areas of overlap between them. -- The principal research findings suggest, in summary, that women in senior management in Australia largely conform to the traditional (masculine) norms that are deeply embedded in the discourse of management and organisation(s) and in managerial practice, yet at the same time, they consider themselves to be 'different'. A feminist interpretation of Social Contract theory, together with a feminist analysis of Foucault's (1988) notion of an 'ethics' of the self and the link between this notion and non essentialist feminist theory are used in the discussion of the empirical research findings to construct an interpretation of 'difference' as it applies to women's managerial experience. -- The contribution to knowledge in the field of organisational analysis that the thesis seeks to make includes: adding new grounded empirical research whcih uses alternative approaches to organisational understanding; providing a comprehensive analysis of the philosophical and sociological underpinnings of the relationship between management, rationality and masculinity; providing a platform for future policy development and organisational practice, and adding a perspective on contemporary managerial practice and organisation conditions against which to gauge classical studies of managerial work and behaviour. -- Finally, the thesis can also be seen to provide additional insights into recent critiques of essentialist feminsit theory and the 'feminisation of management'/female advantage literature.
Mode of access: World Wide Web.
x, 376, [9] leaves
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Reid, Elizabeth. "Of leisure, learning and leviathan : enhancing the use of interpretation in Australian whale watching /." Title page, contents and abstract only, 1999. http://web4.library.adelaide.edu.au/theses/09PH/09phr3544.pdf.

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Oh, Shih-Hao Steven 1977. "Case studies in project management." Thesis, Massachusetts Institute of Technology, 1999. http://hdl.handle.net/1721.1/80170.

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Govinnage, Sunil Kantha. "Environmental Regulations of the Mining Industry: Two Case Studies from Western Australia." Thesis, Curtin University, 2018. http://hdl.handle.net/20.500.11937/75445.

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The study analyses the Western Australian mining regulatory framework of environmental compliance. Through the case studies of Yeelirrie uranium mining approval, and Collie coal mining, it identifies a dichotomy (Acts of Parliament and State Agreements) of mining legislation and multi-agency approach challenging effective environmental protection. Grounded in sustainability and social sciences approaches, the thesis draws from expert interviews to identify weaknesses and best practices. It makes recommendations for strengthening the implementation of the mining regulatory framework.
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Hoffmann, Terrence Martin, and mikewood@deakin edu au. "Using competencies in human resource management: case studies in Australian companies." Deakin University, 1998. http://tux.lib.deakin.edu.au./adt-VDU/public/adt-VDU20050815.114903.

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This study investigated the use of competencies for human resource management in seven Australian companies. Despite advocacy for the use of competencies by Government Committees and Task Forces (For example Carmichael (1992), Mayer, (1992) and Karpin, 1995), and the existence of competency standards for eighty per cent of the Australian workforce, the competency approach has not been widely adopted. A review of the literature indicated that the term competency had several meanings with different implications for its use depending on the meaning. The study looked at how individuals have defined the term and applied the approach to human resource management practices. Interviews were conducted with Human Resource and Training managers, and operative staff in companies using competencies. How they defined the term, described the rationale for using competencies, and applied competencies to selection, training, performance appraisal and remuneration were determined. Case studies were written for each company to describe their particular application of competencies. Competencies were found to be defined in several ways by those interviewed. Some advantages of using competencies in human resource management applications were found. The amount of work involved in introducing the competency approach was described as a reason why competencies have not been more widely adopted.
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Miller, Alyssa. "Urban neighborhoods and environmental management: case studies from Ambom, Eastern Indonesia." Thesis, University of Hawaii at Manoa, 2003. http://hdl.handle.net/10125/6901.

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This work addresses the subject area of global urbanization and its linked environmental and social consequences, a relatively recent focus within the larger geographic tradition of investigating interrelationships between people and their environments. The research site is a rapidly urbanizing market center on a small tropical island of Indonesia, where conditions evoke particular concerns for not only human survival but also for related issues of coastal management, marine biodiversity and the sustainability of island urbanization. Recent urban growth has brought severe environmental deterioration to the city of Ambon and its surrounds, while local government remains unable to keep up with the infrastructure and service needs of its predominantly low income population. Taking its impetus from political ecology and employing auxiliary concepts on practice from theorist Pierre Bourdieu and from network theory, this work enfolds political-economic and social analyses of urbanization processes within an investigation of local environmental problems and local agency. Focused primarily at the micro-level of the household and neighborhood, the research aims to increase understanding of the phenomena of urban environmental degradation and local self-management of the urban environment within this coastal city.
xix, 391 leaves
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Le, Thi Kieu Huong. "Performing Arts Management in a Climate of Adjustment: Case Studies from Vietnam and Australia." School of Policy and Practice, Faculty of Education and Social Work, University of Sydney, 2005. http://hdl.handle.net/2123/1115.

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Doctor of Philosophy(PhD)
This thesis investigates performing arts administration and management in the current economic and social environment in Vietnam and Australia within a context of globalisation. A comparative study of two major arts organisations in both Vietnam and Australia was carried out to investigate the following: why and how performing arts organisations are adapting to the changing environment; how arts leaders are adapting to changes; and whether arts managers need specific arts management training. The suitability of pertinent training packages and tertiary arts management courses from an Australian perspective are examined to determine whether these could be adapted for arts administration training in Vietnam. A qualitative case study approach was employed, using judgemental sampling. Two case studies were in Vietnam (the Vietnam National Symphony Orchestra and the Hanoi Youth Theatre), and two in Australia (the Sydney Symphony Orchestra and the Melbourne Theatre Company). Some arts administrators involved with managing these performing arts organisations were interviewed in-depth, and relevant documents, regulations and policies in the arts field were also analysed to lay a foundation for comprehending the operation and management of performing arts organisations in both countries, at a time of change. Findings indicate that globalisation and particularly economic changes are major pressures that are pushing arts organisations to adapt. Furthermore, in the context of the knowledge economy, credentials have become increasingly important for arts leaders to obtain their positions, while in order to be successful in their positions, practical experience, innovation and an entrepreneurial mindset proved to be even more essential. It is suggested that some pertinent arts management training courses in Australia could, if adapted, contribute to enhancing arts management and the entertainment industry in Vietnam, as well as providing mutual benefit to both Vietnam and Australia.
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Zacharyasz, Kevin Scott. "A Collection of Model Recycling Program Case Studies for the Ohio EPA." Miami University / OhioLINK, 2015. http://rave.ohiolink.edu/etdc/view?acc_num=miami1430413263.

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Love, David. "Mine water geochemistry and management : two case studies and a new treatment method." Thesis, Stellenbosch : Stellenbosch University, 2000. http://hdl.handle.net/10019.1/51829.

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Thesis (MSc)--Stellenbosch University, 2003.
ENGLISH ABSTRACT: Mine water, that is all forms of water associated with and affected by mining operations is probably the largest area of concern in the environmental geology of mining. This study looks at the inter-relationship between mine water geochemistry and mine water management. The objectives of this study are: 1. To examine major geochemical processes influencing mine water; 2. To apply new national water and environmental legislation to the mining industry and discover how mine water management will be regulated; 3. To examine the approach of Integrated Catchment Management, and discover how this approach can be applied to the mining industry; 4. To conduct two case studies, where environmental geochemistry, general geochemistry and multivariate analyses are used as tools to investigate groundwater contamination problems in mining areas, and therefore suggest mine water management interventions; and 5. To, considering mine water problems discovered in the case studies, develop a newly-patented chemical treatment method for possible application in the mining industry. The changing legal framework - principally the implementation of the National Water Act (Act No 36 of 1998) and the National Environmental Management Act (Act No 107 of 1998) - is leading to the responsibilities of a mine becoming substantially clearer, and responsibilities which in the past could have been ignored until public outcry will now be difficult to escape. Two case studies are investigated. In both cases, general geochemistry and hydrogeochemistry, coupled with factor analysis are used to determine the major signatures in groundwater chemistry and the major sources of contamination. On the basis of this, management interventions are suggested. In the first case study, Sishen Iron Ore Mine of the Northern Cape, three signatures are identified in the groundwater: a clean dolomitic water signature, and a contamination signature from the mine and one from agriculture. The extent of nitrate and diesel contamination is shown to be related to agriculture, the use of explosives and to mine workshops and depots. Surface water controls may help reduce these problems. In the second case study, West Driefontein Gold Mine of the Far West Rand, two signatures are identified in the groundwater: a clean dolomitic water signature and a signature relating to contamination from the mine. Cluster analysis is used to suggest three groundwater zones, the chemistry of one being fairly clean dolomitic aquifer, the chemistry of the second affected by the mine and the chemistry of the third affected by granites. Contamination is shown to be related to mining operations, especially the slimes dams, and agriculture. Rehabilitation of dams and dumps, as well as surface water controls may help reduce these problems. Considering mine water problems discovered in the case studies, a newly-patented chemical treatment method is examined and tested for possible application in the mining industry. It is shown to be extremely effective for the removal of calcium from water, but less effective for the removal of iron and manganese. More broadly, this study shows the inter-dependence between mine water geochemistry and mine water management, and the need to be multi-disciplinary in approach.
AFRIKAANSE OPSOMMING: Mynwater, dit is aile soorte water wat geaffekteer en geassosieer word met mynbou bedrywighede, is moontlik die grootste rede tot kommer in omgewingsgeologie van mynbou. Hierdie studie stel ondersoek in na die verhouding tussen mynwater geochemie en mynwater bestuur. Die doelwitte van die studie is soos volg: 1. Om die hoof geochemiese prosesse te ondersoek wat mynwater beinvloed: 2. Om die nuwe nasionale water- en omgewingswette toe te pas op die mynboubedryf en te ondersoek hoe die bestuur van mynwater gereguleer sal word; 3. Om die benadering van Gerntegreerde Opvangs Bestuur ("Integrated Catchment Managemement") te ondersoek, en te ondersoek hoe hierdie benadering op die mynbou industrie toegepas kan word' 4. Om twee gevallestudies te doen, waar omgewingsgeochemie, algemene geochemie en multivariant analise gebruik word as middels om grondwater besoedeling in mynbougebiede te ondersoek, en daarvolgens om mynwater bestuurswysigings voor te stel; en 5. Om, nemende in ag die mynwater probleme wat ontdek is in die gevallestudies, 'n nuutgepatenteerde chemiese behandelingsmetode, vir moontlike toepassing in die mynbou industrie, te ontwikkel. Die veranderende regtelike raamwerk - hoofsaaklik die implementering van die Nasionale Waterwet (Wet No. 36 van 1998) en die Nasionale Omgewingsbestuur Wet (Wet No.1 07 van 1998) - lei daartoe dat 'n myn verantwoordelik moet wees om opmerklik skoner te word, verantwoordelikhede wat in die verlede maklik gergnoreer kon word maar wat nou te moeilik is om te ignoreer as gevolg van publieke uitroepe. Twee gevalle is ondersoek. In be ide studies word algemene geochemie en hidrogechemie, saam met faktoranalise, gebruik om die hoof kenmerke te bepaal in grondwaterchemie en die hoof bronne van besoedeling. Deur dit as basis te gebruik word bestuurswysigings voorgestel. In die eerste gevallestudie, Sishen Ystererts Myn in die Noordkaap, is drie kenmerkende samestellings qeidentitiseer in die grondwater: 'n skoon dolomitiese samestelling, en een elk van 'n myn en landbou gekontamineerde samestelling. Die omvang van nitraat en diesel kontaminasie word aangedui as geassosieerd met landbou, die gebruik van plofstowwe, mynwerkswinkels en depots. Oppervlak waterbeheer mag help om hierdie probleme te beheer. In die tweede gevallestudie, Wes Driefontein Goudmyn in die Ver Wesrand, is twee kenmerkende samestellings in die grondwater gerdentifiseer: 'n skoon dolomitiese samestelling en 'n samestelling geassosieer met kontaminasie van die myn. "Cluster" analise is gebruik om drie grondwatersones te identifiseer, die eerste een se chemie stem redelik ooreen met 'n skoon akwifer, die tweede een se chemie is bernvloed deur die myn en die derde se chernie is deur granite bemvloed. Kontaminasie word aangedui as geassosieer met mynboubedrywighede, veral die slikdamme, en landbou. Rehabilitasie van damme en afvalhope, asook oppervlak waterbeheer mag help om die probleem te verminder. Deur die mynwater probleme wat in die gevallestudies ontdek is in ag te neem, word 'n nuutgepatenteerde chemiese behandeling ondersoek en getoets vir moontlike toepassing in die mynboubedryf. Dit word aangewys as uiters effektief vir die verwydering van kalsium, maar minder effektief in die verwydering van yster en mangaan. In die algemeen, wys hierdie studie inter-afhanklikheid tussen mynwater geochemie en mynwater bestuur, en 'n behoefte aan 'n rnultidissiplinere benadering.
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Moeketse, Libuseng Mary-Stella. "An evaluation of responsible tourism on livelihoods and natural resource management : a case study of Malealea, Lesotho." Master's thesis, University of Cape Town, 2006. http://hdl.handle.net/11427/8117.

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Includes bibliographical references (leaves 71-79).
The past two decades have seen numerous changes in ideas that inform the tourism industry. In part this is as a result of the introduction of principles of sustainability in tourism which endeavours to address key concerns in tourism including socio-economic inequity and environmental degradation. This dissertation seeks to understand these changes by evaluating the influence of responsible tourism on livelihoods and natural resource management. Malealea Lodge in Lesotho is used as a case study. The objectives of this study elucidate the influence of responsible tourism on livelihoods and naturalresource management, and how these two themes are integrated through responsible tourism practice. The study seeks to understand the nature and extent of the influence of tourism on both the well-being of social and natural systems in a rural, developing society. It further aims to inform entrepreneurs who are keen to improve their tour operations so as to practice responsible tourism. Primary data for this research was collected from a sample of fifty interviewees involving those who were directly involved in a tour operation at Malealea; those indirectly involved; and from those living in the surrounding area who were not involved in the operation in any way. Structured interviews were utilised for data collection. The results show that those directly involved with Malealea Lodge were able to enhance their skills through various education programs offered by the Lodge and were able toearn money to complement other sources of income. Alcohol abuse, child labour and uncontrollable children are reported as the most common negative impacts of the lodge on the host community. Most importantly, evidence of the integration of livelihoods and natural resource management in Malealea is limited. This conclusion is reached despite the fact that the management of the Lodge have established a few projects in an effort to address natural resources use and management concerns.
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Books on the topic "Environmental management Australia Case studies"

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Gribble, Nicola. Environmental management systems: A Western Australian perspective. Perth, Western Australia: School of Biological and Environmental Sciences, Murdoch University, 1996.

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1964-, Owen Lewis A., and Unwin P. T. H, eds. Environmental management: Readings and case studies. Oxford: Blackwell Publishers, 1997.

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Gilmour, Peter. Operations management in Australia. Melbourne, Australia: Longman Cheshire, 1991.

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Jeanette, Conacher, ed. Environmental planning and management in Australia. Melbourne, Vic: Oxford University Press, 2000.

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Harvey, Nick. Coastal management in Australia. South Melbourne, Vic: Oxford University Press, 2002.

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Harvey, Nick. Coastal management in Australia. Oxford: Oxford University Press, 2003.

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V, Russo Michael, ed. Environmental management: Readings and cases. Boston: Houghton Mifflin Co., 1999.

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National, Consultation on "Local Environmental Governance in India: Setting the Agenda" (2007 New Delhi India). Local environmental governance in India: Case studies. New Delhi: LEAD India, 2007.

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(Organization), LEAD India, and Great Britain High Commission for India., eds. Local environmental governance in India: Case studies. [New Delhi]: Lead India, 2007.

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National Consultation on "Local Environmental Governance in India: Setting the Agenda" (2007 New Delhi, India). Local environmental governance in India: Case studies. New Delhi: LEAD India, 2007.

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Book chapters on the topic "Environmental management Australia Case studies"

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Lindenmayer, David. "Ecological History has Present and Future Ecological Consequences - Case Studies from Australia." In Historical Environmental Variation in Conservation and Natural Resource Management, 273–80. Chichester, UK: John Wiley & Sons, Ltd, 2012. http://dx.doi.org/10.1002/9781118329726.ch19.

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Talapatra, Jayati. "Environmental Leadership—Case Studies." In Responsible Leadership and Sustainable Management, 281–96. Singapore: Springer Nature Singapore, 2022. http://dx.doi.org/10.1007/978-981-19-4723-0_16.

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Hudson, Simon. "Australia." In International Case Studies on Tourism Destination Management and COVID-19, 21–28. London: Routledge, 2022. http://dx.doi.org/10.4324/9781003310624-4.

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Sparrow, Leigh A. "Potato Nutrient Management in Tasmania, Australia." In Sustainable Potato Production: Global Case Studies, 295–308. Dordrecht: Springer Netherlands, 2012. http://dx.doi.org/10.1007/978-94-007-4104-1_17.

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Wilson, George, Melanie Edwards, and Genevieve Carruthers. "Environmental Management Systems as Adaptive Natural Resource Management: Case Studies from Agriculture." In Adaptive Environmental Management, 209–26. Dordrecht: Springer Netherlands, 2009. http://dx.doi.org/10.1007/978-1-4020-9632-7_12.

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Fowler, Catherine S. "Historical Perspectives On Timbisha Shoshone Land Management Practices Death Valley California." In Case Studies in Environmental Archaeology, 43–57. New York, NY: Springer New York, 2008. http://dx.doi.org/10.1007/978-0-387-71303-8_3.

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Dent, Benjamin, and Ray Collins. "Case studies." In A manual for agribusiness value chain analysis in developing countries, 56–103. Wallingford: CABI, 2021. http://dx.doi.org/10.1079/9781789249361.0003.

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Abstract This section illustrates Value Chain Thinking (VCT) in practice, using a combination of our development project experiences and Australia Awards Africa case studies that we have mentored. It provides case studies on which VCT has been put into practice: These examples cover: aquaculture on Lake Victoria, Kenya; Pakistani mangoes; Ghanaian pineapples; livestock value chains covering Madagascan goats, Ugandan rabbits, Ghanaian guinea fowl, Nigerian catfish and Kenyan indigenous chicken; and vegetable value chains in Ethiopia, Tanzania, Malawi and Mozambique. Then the researchers offer two novel applications of VCT: (1) to improve children's nutrition in Madagascar, Cameroon and Zambia, as well as value chain members' livelihoods; and (2) to design and operate the Ghana Green Label scheme for food certification covering both safety and environmental assurances.
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Venturelli, Alessia, and Aldo Pilisi. "EMA in SMEs: Ten Italian Case Studies." In Environmental Management Accounting — Purpose and Progress, 309–32. Dordrecht: Springer Netherlands, 2003. http://dx.doi.org/10.1007/978-94-010-0197-7_14.

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White, David, Drew Collins, and Mark Howden. "Drought in Australia: Prediction, Monitoring, Management, and Policy." In Drought Assessment, Management, and Planning: Theory and Case Studies, 213–36. Boston, MA: Springer US, 1993. http://dx.doi.org/10.1007/978-1-4615-3224-8_12.

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Higgins, Vaughan, Jacqui Dibden, and Chris Cocklin. "Adapting Standards: The Case of Environmental Management Systems in Australia." In Calculating the Social, 167–84. London: Palgrave Macmillan UK, 2010. http://dx.doi.org/10.1057/9780230289673_10.

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Conference papers on the topic "Environmental management Australia Case studies"

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Senaratne, S., and S. Rai. "Sustainable challenges and strategies for managing stakeholders in megaprojects: Review of cases from Australia." In 10th World Construction Symposium. Building Economics and Management Research Unit (BEMRU), University of Moratuwa, 2022. http://dx.doi.org/10.31705/wcs.2022.64.

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Megaprojects are an essential part in social, economic, and environmental developments and they attract a consortium of stakeholders ranging from governments, communities, international consumers, and suppliers. Hence, stakeholder management in these projects contributes significantly to projects’ success and sustainability. The research project, on which this paper is based on, aims to identify key challenges and propose suitable strategies to manage stakeholders in megaprojects for better sustainability outcomes. In achieving this aim, the research re-viewed key concepts related to project stakeholder management in megaprojects, explored sustainable challenges and analysed appropriate stakeholder management strategies through a secondary review of two major case studies of megaprojects in Sydney, Australia. The key findings discovered that the main factors influencing stakeholders were related to social, economic and environmental impacts of the project and, the need for managing them through proactive stakeholder management strategies. The implications of this research guide project managers on managing stakeholders on megaprojects and inform on possible challenges and solutions to achieve sustainable outcomes. Further research could extend and replicate on other case studies in different contexts and project types.
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Edge, David, Michael Pope, Konstantin Puskarskij, Helio Santos, Henry Pinkstone, and Phil McKenzie. "Successful First Implementation of MPD Technology Offshore Australia: Regulatory, Technical and Operational Lessons Learned." In IADC/SPE Managed Pressure Drilling & Underbalanced Operations Conference & Exhibition. SPE, 2021. http://dx.doi.org/10.2118/206390-ms.

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Abstract This paper details the successful first implementation of closed-loop Managed Pressure Drilling (MPD) technology offshore Australia, on a 6th generation semi-submersible rig. The paper covers the process of achieving safety case acceptance to implement MPD technology from the National Offshore Petroleum Safety and Environmental Management Authority (NOPSEMA), the government regulatory authority. The paper describes the project concept design phase, including a Drill Well on Simulator (DWOS) exercise, which was completed to confirm MPD techniques would mitigate problems experienced on conventionally drilled offset wells. The MPD risk assessments completed included HAZID / BOWTIE / HAZOP / FEA studies which were included in the safety case formal safety assessment that was submitted to NOPSEMA. In parallel the Well Operations Management Plan was submitted, detailing the planned MPD methodology. The detailed Well Engineering scope including the MPD Programme, Operational and Contingency Procedures and Commissioning Process was developed to form a Joint Operations Manual. Four levels of project specific MPD training were developed, reviewed, accepted and monitored by NOPSEMA, including classroom based and rig site practical training. Post MPD system installation in Singapore, the System Integrity Testing was successfully completed offshore Australia. Lastly the paper details MPD operations on the first well including the effective use of MPD well control, dynamic MPD FIT, LOT and Pore Pressure testing and establishing the high formation temperature effects on drilling mud density. The closed-loop MPD system allowed the riser deployed sections to be drilled using a statically underbalanced mud system and confirmed the improved capability and flexibility in terms of detection and controllability during mud loss events.
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Liner, Barry, and Christopher Stacklin. "Driving Water and Wastewater Utilities to More Sustainable Energy Management." In ASME 2013 Power Conference. American Society of Mechanical Engineers, 2013. http://dx.doi.org/10.1115/power2013-98310.

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The Water Environment Federation (WEF) and industry leaders have identified the need for an energy roadmap to guide utilities of all sizes down the road to overall sustainable energy management through increased renewable energy production and energy conservation. This roadmap leverages a framework developed by the electric power sector. Known as the The Smart Grid Maturity Model (SGMM), the framework moved the industry toward “Smart Grid” technology. The basis of the Energy Roadmap originated at a workshop of water and power industry leaders convened by WEF in North Carolina in March 2012. Case studies were analyzed from successful utilities in Austria, Holland, Australia, and the United States. High level, strategic best practices were identified and organized into topic areas, which define the level of progression (enable, integrate and optimize) towards achieving energy sustainability. As a living document, the roadmap is always under review by dedicated groups within the industry. A number of utilities worldwide have already taken the leap and begun this transformation towards resource recovery and many more are peering over the edge. The WEF Energy Roadmap is intended to guide utilities of all sizes as they progress toward becoming treatment plants of the future. While it is not practical for all wastewater treatment plants to become energy positive or neutral, all can take steps towards increasing energy sustainability. A key component of the WEF Energy Roadmap is collaboration between water/wastewater utilities and electric utilities. This paper focuses on lessons learned and case studies about energy and water utilities working together to address energy-water nexus challenges. This paper examines perspectives both from energy use at water sector facilities and water use at energy sector facilities.
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Whiteley, Robert J., and Simon B. Stewart. "Engineering Geophysics in Australia: Urban Case Studies from Downunder." In Symposium on the Application of Geophysics to Engineering and Environmental Problems 2008. Environment and Engineering Geophysical Society, 2008. http://dx.doi.org/10.4133/1.2963281.

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J. Whiteley, Robert, and Simon B Stewart. "Engineering Geophysics In Australia: Urban Case Studies From Downunder." In 21st EEGS Symposium on the Application of Geophysics to Engineering and Environmental Problems. European Association of Geoscientists & Engineers, 2008. http://dx.doi.org/10.3997/2214-4609-pdb.177.23.

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Robinson, Ridge. "Recent Case Studies: Decision Support for Environmental Restoration Projects." In Watershed Management and Operations Management Conferences 2000. Reston, VA: American Society of Civil Engineers, 2001. http://dx.doi.org/10.1061/40499(2000)118.

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Hayes, Jan, Lynne Chester, and Dolruedee Kramnaimuang King. "Is Public Safety Impacted by the Multiple Regulatory Regimes for Gas Pipelines and Networks?" In 2018 12th International Pipeline Conference. American Society of Mechanical Engineers, 2018. http://dx.doi.org/10.1115/ipc2018-78160.

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Gas pipelines and networks are subject to multiple regulatory governance arrangements. One regime is economic regulation which is designed to ensure fair access to gas markets and emulate the price pressures of competition in a sector dominated by a few companies. Another regime is technical regulation which is designed to ensure pipeline system integrity is sufficient for the purposes of public safety, environmental protection and physical security of supply. As was highlighted in analysis of the San Bruno pipeline failure, these two regulatory regimes have substantially different orientations towards expenditure on things such as maintenance and inspection which ultimately impact public safety. Drawing on more than 50 interviews, document review and case studies of specific price determinations, we have investigated the extent to which these two regulatory regimes as enacted in Australia may conflict, and particularly whether economic regulation influences long-term public safety outcomes. We also draw on a comparison with how similar regulatory requirements are enacted in the United Kingdom (UK). Analysis shows that the overall orientation towards risk varies between the two regimes. The technical regulatory regime is a typical goal-setting style of risk governance with an overarching requirement that ‘reasonably practicable’ measures are put in place to minimize risk to the public. In contrast, the incentive-based economic regulatory regime requires that expenditure should be ‘efficient’ to warrant inclusion in the determination of acceptable charges to customers. How safety is considered within this remains an open question. Best practice in performance-based safety regimes such as those used in the UK and Australia require that regulators adopt an attitude towards companies based on the principle of ‘trust but verify’ as, generally speaking, all parties aim for the common goal of no accidents. Equally, in jurisdictions that favor prescriptive safety requirements such as the United States (US) the common goal remains. In contrast, stakeholders in the economic regulatory regime have significantly diverse interests; companies seek to maximize their individual financial returns and regulators seek to exert downward price pressures. We argue that these differences in the two regulatory regimes are significant for the management of public safety risk and conclude that minimizing risk to the public from a major pipeline failure would be better served by the economic regulatory regime’s separate consideration of safety-related from other expenditure and informed by the technical regulator’s view of safety.
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Du, Pengfei, and Di Wei. "Water Resources Management of Ancient Chinese Cities: Case Studies." In World Environmental and Water Resources Congress 2011. Reston, VA: American Society of Civil Engineers, 2011. http://dx.doi.org/10.1061/41173(414)299.

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Hotchkiss, Rollin H., Paul M. Boyd, John Shelley, and Stanford Gibson. "Reservoir Sediment Management: Case Studies from the United States." In World Environmental and Water Resources Congress 2018. Reston, VA: American Society of Civil Engineers, 2018. http://dx.doi.org/10.1061/9780784481424.035.

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Kepke, Jacqueline, Ken Wright, and Sally Williamson. "Total Water Management Tools and Process to Address Water Resources Management Challenges: Botany Case Study in Sydney, Australia." In World Environmental and Water Resources Congress 2008. Reston, VA: American Society of Civil Engineers, 2008. http://dx.doi.org/10.1061/40976(316)50.

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Reports on the topic "Environmental management Australia Case studies"

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McKay, S. Is mean discharge meaningless for environmental flow management? Engineer Research and Development Center (U.S.), September 2022. http://dx.doi.org/10.21079/11681/45381.

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River ecosystems are highly dependent on and responsive to hydrologic variability over multiple time scales (e.g., hours, months, years). Fluctuating river flows present a key challenge to river managers, who must weigh competing demands for freshwater. Environmental flow recommendations and regulations seek to provide management targets balancing socio-economic outcomes with maintenance of ecological integrity. Often, flow management targets are based on average river conditions over temporal windows such as days, months, or years. Here, three case studies of hydrologic variability are presented at each time scale, which demonstrate the potential pitfalls of mean-based environmental flow criteria. Each case study shows that the intent of the environmental flow target is not met when hydrologic variability is considered. While mean discharge is inadequate as a single-minded flow management target, the consequences of mean flow prescriptions can be avoided in environmental flow recommendations. Based on these case studies, a temporal hierarchy of environmental flow thresholds is proposed (e.g., an instantaneous flow target coupled with daily and monthly averages), which would improve the efficacy of these regulations.
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Walz, Yvonne, Florence Nick, Oscar Higuera Roa, Udo Nehren, and Zita Sebesvari. Coherence and Alignment among Sustainable Land Management, Ecosystem-based Adaptation, Ecosystem-based Disaster Risk Reduction and Nature-based Solutions. United Nations University - Institute for Environment and Human Security, November 2021. http://dx.doi.org/10.53324/mwgp9896.

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Approaches integrating environmental management practices have been gaining importance in recent years. Sustainable Land Management (SLM), Ecosystem-based Adaptation (EbA), Ecosystem-based disaster Risk Reduction (Eco-DRR) and Nature-based Solutions (NbS) are widely applied approaches that tackle certain drivers of challenges such as food insecurity, water scarcity, decline in biodiversity and threats to livelihoods, while also considering both human well-being and ecosystem functions and services. Better understanding the similarities, differences and relationships between these approaches helps to improve efficiency in implementation and leverage synergies. By shedding more light on where these approaches align, investments in land-based solutions in response to different types of environmental challenges can be more effectively designed to achieve multiple targets. In response to the United Nations Convention to Combat Desertification (UNCCD) decision 19/COP.14 paragraph 4, the main objective of this report is to understand and elaborate upon the characteristics of SLM, EbA, Eco-DRR and NbS. The report begins with an overview of the historical backgrounds and origins of SLM, EbA, Eco-DRR and NbS. Despite differences in their specific goals and targeted benefits, all approaches aim for the support of biodiversity, land-based ecosystems and ecosystem services and functions, and employ measures to conserve, restore and sustainably use land to support ecosystem services and functions, including SLM technologies. Furthermore, irrespective of their different goals, the projects developed under any approach can generate comparable co-benefits, especially due to their support of biodiversity. The capacity for all these approaches to deliver multiple co-benefits means that projects of each approach can directly contribute to implementing the specific goals of the other approaches as well. Thus, multiple global and national targets, frameworks, strategies and conventions which call for the implementation of one or more of these approaches, can benefit from this report by avoiding duplication and reducing the overall investments necessary to achieve the set targets and goals. This is critical for achieving the ambitious Agenda 2030, including voluntary land degradation neutrality (LDN) targets and climate action under the Paris Agreement. It will also be the case for the post-2020 global biodiversity framework currently under development. The added value that will come from optimizing the links among these approaches extends from national policymakers to the practitioners of SLM, EbA and Eco-DRR projects, which all share the ultimate goal of sustainable development. To capture the coherence and alignment among these approaches, their similarities and differences have been summarized in a conceptual framework. The framework has been designed to help practitioners understand the specific goals of each approach, and to link these to the relevant global and national targets, frameworks, strategies and conventions, which can support monitoring and evaluation as well as reporting processes. The synergies among these approaches are further illustrated based on three case studies in order to demonstrate opportunities for leveraging multiple co-benefits and targets at implementation level irrespective of the different objectives under each. The results of this assessment demonstrate that activities under one approach can be beneficial to achieve the specific goals of other approaches with little additional effort. It is essential for policymakers, project developers and practitioners to recognize that. This is key to the achievement of sustainable development.
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Dodson, Giles. Advancing Local Marine Protection, Cross Cultural Collaboration and Dialogue in Northland. Unitec ePress, January 2015. http://dx.doi.org/10.34074/rsrp.12015.

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This research report summarises findings and observations arising from the Advancing marine protection through cross-cultural dialogue project, which examines community-driven, collaborative marine protection campaigns currently being pursued in Northland. This project consists of a series of case studies undertaken between 2012–2014 and draws on data obtained from archival research, semistructured interviews with campaign participants, and published documents. The aims of these case studies have been to compare different approaches taken towards marine protection in Northland and to understand the composition of effective marine protection campaigns, within the context of collaborative approaches to environmental management and the communicative processes underpinning these engagements. The report provides a number of insights into how contemporary marine protection campaigns have been developed and the place of cross-cultural (Māori – non-Māori) collaboration and communication within these processes.
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Dodson, Giles. Advancing Local Marine Protection, Cross Cultural Collaboration and Dialogue in Northland. Unitec ePress, January 2015. http://dx.doi.org/10.34074/rsrp.12015.

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This research report summarises findings and observations arising from the Advancing marine protection through cross-cultural dialogue project, which examines community-driven, collaborative marine protection campaigns currently being pursued in Northland. This project consists of a series of case studies undertaken between 2012–2014 and draws on data obtained from archival research, semistructured interviews with campaign participants, and published documents. The aims of these case studies have been to compare different approaches taken towards marine protection in Northland and to understand the composition of effective marine protection campaigns, within the context of collaborative approaches to environmental management and the communicative processes underpinning these engagements. The report provides a number of insights into how contemporary marine protection campaigns have been developed and the place of cross-cultural (Māori – non-Māori) collaboration and communication within these processes.
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Dodson, Giles. Advancing Local Marine Protection, Cross Cultural Collaboration and Dialogue in Northland. Unitec ePress, January 2015. http://dx.doi.org/10.34074/rsrp.12015.

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This research report summarises findings and observations arising from the Advancing marine protection through cross-cultural dialogue project, which examines community-driven, collaborative marine protection campaigns currently being pursued in Northland. This project consists of a series of case studies undertaken between 2012–2014 and draws on data obtained from archival research, semistructured interviews with campaign participants, and published documents. The aims of these case studies have been to compare different approaches taken towards marine protection in Northland and to understand the composition of effective marine protection campaigns, within the context of collaborative approaches to environmental management and the communicative processes underpinning these engagements. The report provides a number of insights into how contemporary marine protection campaigns have been developed and the place of cross-cultural (Māori – non-Māori) collaboration and communication within these processes.
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Rankin, Nicole, Deborah McGregor, Candice Donnelly, Bethany Van Dort, Richard De Abreu Lourenco, Anne Cust, and Emily Stone. Lung cancer screening using low-dose computed tomography for high risk populations: Investigating effectiveness and screening program implementation considerations: An Evidence Check rapid review brokered by the Sax Institute (www.saxinstitute.org.au) for the Cancer Institute NSW. The Sax Institute, October 2019. http://dx.doi.org/10.57022/clzt5093.

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Background Lung cancer is the number one cause of cancer death worldwide.(1) It is the fifth most commonly diagnosed cancer in Australia (12,741 cases diagnosed in 2018) and the leading cause of cancer death.(2) The number of years of potential life lost to lung cancer in Australia is estimated to be 58,450, similar to that of colorectal and breast cancer combined.(3) While tobacco control strategies are most effective for disease prevention in the general population, early detection via low dose computed tomography (LDCT) screening in high-risk populations is a viable option for detecting asymptomatic disease in current (13%) and former (24%) Australian smokers.(4) The purpose of this Evidence Check review is to identify and analyse existing and emerging evidence for LDCT lung cancer screening in high-risk individuals to guide future program and policy planning. Evidence Check questions This review aimed to address the following questions: 1. What is the evidence for the effectiveness of lung cancer screening for higher-risk individuals? 2. What is the evidence of potential harms from lung cancer screening for higher-risk individuals? 3. What are the main components of recent major lung cancer screening programs or trials? 4. What is the cost-effectiveness of lung cancer screening programs (include studies of cost–utility)? Summary of methods The authors searched the peer-reviewed literature across three databases (MEDLINE, PsycINFO and Embase) for existing systematic reviews and original studies published between 1 January 2009 and 8 August 2019. Fifteen systematic reviews (of which 8 were contemporary) and 64 original publications met the inclusion criteria set across the four questions. Key findings Question 1: What is the evidence for the effectiveness of lung cancer screening for higher-risk individuals? There is sufficient evidence from systematic reviews and meta-analyses of combined (pooled) data from screening trials (of high-risk individuals) to indicate that LDCT examination is clinically effective in reducing lung cancer mortality. In 2011, the landmark National Lung Cancer Screening Trial (NLST, a large-scale randomised controlled trial [RCT] conducted in the US) reported a 20% (95% CI 6.8% – 26.7%; P=0.004) relative reduction in mortality among long-term heavy smokers over three rounds of annual screening. High-risk eligibility criteria was defined as people aged 55–74 years with a smoking history of ≥30 pack-years (years in which a smoker has consumed 20-plus cigarettes each day) and, for former smokers, ≥30 pack-years and have quit within the past 15 years.(5) All-cause mortality was reduced by 6.7% (95% CI, 1.2% – 13.6%; P=0.02). Initial data from the second landmark RCT, the NEderlands-Leuvens Longkanker Screenings ONderzoek (known as the NELSON trial), have found an even greater reduction of 26% (95% CI, 9% – 41%) in lung cancer mortality, with full trial results yet to be published.(6, 7) Pooled analyses, including several smaller-scale European LDCT screening trials insufficiently powered in their own right, collectively demonstrate a statistically significant reduction in lung cancer mortality (RR 0.82, 95% CI 0.73–0.91).(8) Despite the reduction in all-cause mortality found in the NLST, pooled analyses of seven trials found no statistically significant difference in all-cause mortality (RR 0.95, 95% CI 0.90–1.00).(8) However, cancer-specific mortality is currently the most relevant outcome in cancer screening trials. These seven trials demonstrated a significantly greater proportion of early stage cancers in LDCT groups compared with controls (RR 2.08, 95% CI 1.43–3.03). Thus, when considering results across mortality outcomes and early stage cancers diagnosed, LDCT screening is considered to be clinically effective. Question 2: What is the evidence of potential harms from lung cancer screening for higher-risk individuals? The harms of LDCT lung cancer screening include false positive tests and the consequences of unnecessary invasive follow-up procedures for conditions that are eventually diagnosed as benign. While LDCT screening leads to an increased frequency of invasive procedures, it does not result in greater mortality soon after an invasive procedure (in trial settings when compared with the control arm).(8) Overdiagnosis, exposure to radiation, psychological distress and an impact on quality of life are other known harms. Systematic review evidence indicates the benefits of LDCT screening are likely to outweigh the harms. The potential harms are likely to be reduced as refinements are made to LDCT screening protocols through: i) the application of risk predication models (e.g. the PLCOm2012), which enable a more accurate selection of the high-risk population through the use of specific criteria (beyond age and smoking history); ii) the use of nodule management algorithms (e.g. Lung-RADS, PanCan), which assist in the diagnostic evaluation of screen-detected nodules and cancers (e.g. more precise volumetric assessment of nodules); and, iii) more judicious selection of patients for invasive procedures. Recent evidence suggests a positive LDCT result may transiently increase psychological distress but does not have long-term adverse effects on psychological distress or health-related quality of life (HRQoL). With regards to smoking cessation, there is no evidence to suggest screening participation invokes a false sense of assurance in smokers, nor a reduction in motivation to quit. The NELSON and Danish trials found no difference in smoking cessation rates between LDCT screening and control groups. Higher net cessation rates, compared with general population, suggest those who participate in screening trials may already be motivated to quit. Question 3: What are the main components of recent major lung cancer screening programs or trials? There are no systematic reviews that capture the main components of recent major lung cancer screening trials and programs. We extracted evidence from original studies and clinical guidance documents and organised this into key groups to form a concise set of components for potential implementation of a national lung cancer screening program in Australia: 1. Identifying the high-risk population: recruitment, eligibility, selection and referral 2. Educating the public, people at high risk and healthcare providers; this includes creating awareness of lung cancer, the benefits and harms of LDCT screening, and shared decision-making 3. Components necessary for health services to deliver a screening program: a. Planning phase: e.g. human resources to coordinate the program, electronic data systems that integrate medical records information and link to an established national registry b. Implementation phase: e.g. human and technological resources required to conduct LDCT examinations, interpretation of reports and communication of results to participants c. Monitoring and evaluation phase: e.g. monitoring outcomes across patients, radiological reporting, compliance with established standards and a quality assurance program 4. Data reporting and research, e.g. audit and feedback to multidisciplinary teams, reporting outcomes to enhance international research into LDCT screening 5. Incorporation of smoking cessation interventions, e.g. specific programs designed for LDCT screening or referral to existing community or hospital-based services that deliver cessation interventions. Most original studies are single-institution evaluations that contain descriptive data about the processes required to establish and implement a high-risk population-based screening program. Across all studies there is a consistent message as to the challenges and complexities of establishing LDCT screening programs to attract people at high risk who will receive the greatest benefits from participation. With regards to smoking cessation, evidence from one systematic review indicates the optimal strategy for incorporating smoking cessation interventions into a LDCT screening program is unclear. There is widespread agreement that LDCT screening attendance presents a ‘teachable moment’ for cessation advice, especially among those people who receive a positive scan result. Smoking cessation is an area of significant research investment; for instance, eight US-based clinical trials are now underway that aim to address how best to design and deliver cessation programs within large-scale LDCT screening programs.(9) Question 4: What is the cost-effectiveness of lung cancer screening programs (include studies of cost–utility)? Assessing the value or cost-effectiveness of LDCT screening involves a complex interplay of factors including data on effectiveness and costs, and institutional context. A key input is data about the effectiveness of potential and current screening programs with respect to case detection, and the likely outcomes of treating those cases sooner (in the presence of LDCT screening) as opposed to later (in the absence of LDCT screening). Evidence about the cost-effectiveness of LDCT screening programs has been summarised in two systematic reviews. We identified a further 13 studies—five modelling studies, one discrete choice experiment and seven articles—that used a variety of methods to assess cost-effectiveness. Three modelling studies indicated LDCT screening was cost-effective in the settings of the US and Europe. Two studies—one from Australia and one from New Zealand—reported LDCT screening would not be cost-effective using NLST-like protocols. We anticipate that, following the full publication of the NELSON trial, cost-effectiveness studies will likely be updated with new data that reduce uncertainty about factors that influence modelling outcomes, including the findings of indeterminate nodules. Gaps in the evidence There is a large and accessible body of evidence as to the effectiveness (Q1) and harms (Q2) of LDCT screening for lung cancer. Nevertheless, there are significant gaps in the evidence about the program components that are required to implement an effective LDCT screening program (Q3). Questions about LDCT screening acceptability and feasibility were not explicitly included in the scope. However, as the evidence is based primarily on US programs and UK pilot studies, the relevance to the local setting requires careful consideration. The Queensland Lung Cancer Screening Study provides feasibility data about clinical aspects of LDCT screening but little about program design. The International Lung Screening Trial is still in the recruitment phase and findings are not yet available for inclusion in this Evidence Check. The Australian Population Based Screening Framework was developed to “inform decision-makers on the key issues to be considered when assessing potential screening programs in Australia”.(10) As the Framework is specific to population-based, rather than high-risk, screening programs, there is a lack of clarity about transferability of criteria. However, the Framework criteria do stipulate that a screening program must be acceptable to “important subgroups such as target participants who are from culturally and linguistically diverse backgrounds, Aboriginal and Torres Strait Islander people, people from disadvantaged groups and people with a disability”.(10) An extensive search of the literature highlighted that there is very little information about the acceptability of LDCT screening to these population groups in Australia. Yet they are part of the high-risk population.(10) There are also considerable gaps in the evidence about the cost-effectiveness of LDCT screening in different settings, including Australia. The evidence base in this area is rapidly evolving and is likely to include new data from the NELSON trial and incorporate data about the costs of targeted- and immuno-therapies as these treatments become more widely available in Australia.
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Rao, Nitya, Sheetal Patil, Maitreyi Koduganti, Chandni Singh, Ashwin Mahalingam, Prathijna Poonacha, and Nishant Singh. Sowing Sustainable Cities: Lessons for Urban Agriculture Practices in India. Indian Institute for Human Settlements, 2023. http://dx.doi.org/10.24943/ssc12.2022.

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Despite growing interest and recognition of urban and peri-urban agriculture (UPA) as a nature- based solution, there is limited empirical evidence in countries like India on its role in reconfiguring goals on environmental functions (such as biodiversity, waste management, water recycling, micro-climate regulation, etc.) and social wellbeing (such as food and nutrition security, gender relations, work burdens, land tenure and community ties). A need to address this gap led to the ideation of the project ‘Urban and peri-urban agriculture as green infrastructures’ ( UPAGrI ). When UPAGrI started in 2019, the research on UPA in India was thin but growing. However, the practical experience of urban farming across Indian cities is thriving and diverse, built on decades of bottom-up experimentation. Within the landscape of our ever-changing cities, we found vibrant communities-of-practice sharing seeds and knowledge, engaged online influencers discussing composting and water reuse, and stories of farming becoming sites of multi-generational bonding and nutritional security. This compendium is a collection of 29 such innovative UPA practices from across the different cities in the country. These diverse case studies are loosely categorized into four themes: environment and sustainability; food, nutrition and livelihood; gender and subjective well-being; and urban policy and planning. Written mostly by practitioners themselves, the case studies collectively recognise and celebrate UPA innovations and practices, serving as a repository of lessons for peer-to-peer learning, and demonstrating how UPA can be one of the many solutions towards sustainable, liveable Indian cities.
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8

Rao, Nitya. Sowing Sustainable Cities: Lessons for Urban Agriculture Practices in India. Indian Institute for Human Settlements, 2023. http://dx.doi.org/10.24943/ssc12.2023.

Full text
Abstract:
Despite growing interest and recognition of urban and peri-urban agriculture (UPA) as a nature- based solution, there is limited empirical evidence in countries like India on its role in reconfiguring goals on environmental functions (such as biodiversity, waste management, water recycling, micro-climate regulation, etc.) and social wellbeing (such as food and nutrition security, gender relations, work burdens, land tenure and community ties). A need to address this gap led to the ideation of the project ‘Urban and peri-urban agriculture as green infrastructures’ ( UPAGrI ). When UPAGrI started in 2019, the research on UPA in India was thin but growing. However, the practical experience of urban farming across Indian cities is thriving and diverse, built on decades of bottom-up experimentation. Within the landscape of our ever-changing cities, we found vibrant communities-of-practice sharing seeds and knowledge, engaged online influencers discussing composting and water reuse, and stories of farming becoming sites of multi-generational bonding and nutritional security. This compendium is a collection of 29 such innovative UPA practices from across the different cities in the country. These diverse case studies are loosely categorized into four themes: environment and sustainability; food, nutrition and livelihood; gender and subjective well-being; and urban policy and planning. Written mostly by practitioners themselves, the case studies collectively recognise and celebrate UPA innovations and practices, serving as a repository of lessons for peer-to-peer learning, and demonstrating how UPA can be one of the many solutions towards sustainable, liveable Indian cities.
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9

Gu, Jing, Danielle Green, and Jiadan Yu. Building Back Better: Sustainable Development Diplomacy in the Pandemic Era. Institute of Development Studies (IDS), December 2021. http://dx.doi.org/10.19088/ids.2021.065.

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This report critically examines the nature of the distinction between traditional inter-state diplomacy and sustainable development diplomacy. It then sets out the institutional changes which are necessary for the achievement of sustainable development diplomacy. Multi-stakeholder partnerships have been identified as a key means of implementation for the Sustainable Development Goals (SDGs). Given the increasing centrality of the United States (US)–China relationship in global development cooperation, understanding the modalities of their engagement may provide useful insights into how partnerships may be cultivated and deepened to realise the SDGs. The Covid-19 pandemic and climate change have demonstrated the interconnection of the world, as well as the interconnection of challenges of the world. Sustainable development diplomacy is needed now more than ever to prioritise development strategies of different states and work on common shared challenges. Sustainable development diplomacy can only work when different actors recognise the value of the common goals and are willing to make an effort to accomplish them. Global sustainable development diplomacy requires a stronger policy agenda and greater cohesion. This report explores the idea of sustainable development diplomacy and, through two sectoral case studies, explores the nature, function, and rationale for interactive engagement. The form and structure of multi-actor relationships are a response to complex, trans-border political, social, economic, and environmental challenges which require a more nuanced and varied management approach than narrowly defined state-led development. However, the power dynamics, the modalities, and experiences of engagement that underpin these dynamic relationships, remain understudied, especially with regard to their impact on sustainable development.
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10

Nagabhatla, Nidhi, Panthea Pouramin, Rupal Brahmbhatt, Cameron Fioret, Talia Glickman, K. Bruce Newbold, and Vladimir Smakhtin. Migration and Water: A Global Overview. United Nations University Institute for Water, Environment and Health, May 2020. http://dx.doi.org/10.53328/lkzr3535.

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Global migration has been increasing since the 1990s. People are forced to leave their homes in search of safety, a better livelihood, or for more economic opportunities. Environmental drivers of migration, such as land degradation, water pollution, or changing climate, are acting as stronger phenomena with time. As millions of people are exposed to multiple water crises, daily needs related to water quality, lack of provisioning, excess or shortage of water become vital for survival as well for livelihood support. In turn, the crisis can transform into conflict and act as a trigger for migration, both voluntary and forced, depending on the conditions. Current interventions related to migration, including funding to manage migration remain focused on response mechanisms, whereas an understanding of drivers or so-called ‘push factors’ of migration is limited. Accurate and well-documented evidence, as well as quantitative information on these phenomena, are either missing or under-reflected in the literature and policy discourse. The report aims to start unpacking relationships between water and migration. The data used in this Report are collected from available public sources and reviewed in the context of water and climate. A three-dimensional (3D) framework is outlined for water-related migration assessment. The framework may be useful to aggerate water-related causes and consequences of migration and interpret them in various socioecological, socioeconomic, and sociopolitical settings. A case study approach is adopted to illustrate the various applications of the framework to dynamics of migration in various geographic and hydrological scenarios. The case studies reflect on well-known examples of environmental and water degradation, but with a focus on displacement /migration and socioeconomic challenges that apply. The relevance of proxy measures such as the Global Conflict Risk Index, which helps quantify water and migration interconnections, is discussed in relation to geographic, political, environmental, and economic parameters. The narratives presented in the Report also point to the existing governance mechanisms on migration, stating that they are fragmented. The report examines global agreements, institutions, and policies on migration to provide an aggerated outlook as to how international and inter-agency cooperation agreements and policies either reflected or are missing on water and climate crises as direct or indirect triggers to migration. Concerning this, the new directives related to migration governance, i.e., the New York Declaration and the Global Compact for Migration, are discussed. The Report recommends an enhanced focus on migration as an adaptation strategy to maximize the interconnectedness with the Sustainable Development Goals (SDGs). It calls for the migration discourse to look beyond from a preventative and problematic approach to a perspective emphasizing migration as a contributor towards achieving sustainable development, particularly SDGs 5, 6, 13, and 16 that aim strengthening capacities related to water, gender, climate, and institutions. Overall, the synthesis offers a global overview of water and migration for researchers and professionals engaged in migration-related work. For international agencies and government organizations and policymakers dealing with the assessment of and response to migration, the report aims to support the work on migration assessment and the implementation of the SDGs. The Report may serve as a public good towards understanding the drivers, impacts, and challenges of migration, for designing long-term solutions and for advancing migration management capabilities through improved knowledge and a pitch for consensus-building.
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