Journal articles on the topic 'Federal government Australia History'

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1

Plumb, James. "‘Back to the Future' A review of Australian reservation and other natural gas export control policies." APPEA Journal 59, no. 2 (2019): 505. http://dx.doi.org/10.1071/aj18282.

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Despite record levels of domestic production, forecasters are predicting that the east coast Australian gas market will remain tight in 2019. The introduction of the Australian Domestic Gas Security Mechanism (ADGSM) by the Federal Government in 2017, and the proposal announced by the Australian Labour Party (ALP) to bolster the mechanism, have again thrust the issue of political intervention in the export gas market into sharp focus. This paper provides an overview of the current regulatory intervention at the state and federal level, and looks back at the history of controls imposed upon the Australian gas export market. The paper is divided into two parts: Part 1, which looks at current regulatory controls engaged by various State and Federal governments: (a) the development and implementation of the ADGSM; (b) the development and implementation of the Queensland Government’s Prospective Gas Production Land Reserve policy (PGPLR); and (c) the Government of Western Australia’s (WA Government) domestic gas policy. The paper also reviews policy announcements made by the ALP in the lead up to the 2019 Federal election. Part 2 provides a broad overview of the history of controls on gas exports in Australia, from the embargo on exports from the North West Shelf between 1973 and 1977, through the increasing liberalisation of Australian energy policy during the 1980s and 1990s (and the associated conflict with state concerns of ensuring sufficiency of the domestic supply of gas), up to the removal of federal controls on resources exports (including liquefied natural gas) in 1997.
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2

T. Schaper, Michael. "A brief history of small business in Australia, 1970-2010." Journal of Entrepreneurship and Public Policy 3, no. 2 (October 14, 2014): 222–36. http://dx.doi.org/10.1108/jepp-08-2012-0044.

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Purpose – The purpose of this paper is to provide an overview of the development of the SME sector in Australia, concentrating on a number of key areas: small business definitions and numbers; the role of government; the emergence of key industry groups; and the evolution of education, training and research services. Design/methodology/approach – The study is a result of extensive literature reviews, desk research and the recollections of various participants in the field. Findings – There have been major changes to the Australian small business sector over the last 40 years. In 1983-1984 there were an estimated 550,000 small firms, and by 2010 this had grown to almost two million. Government involvement in, and support for, SMEs was virtually non-existent before 1970. Following the delivery of the Wiltshire report (1971), however, both state and federal governments responded by developing specialist advisory services, funding programmes and other support tools. Virtually non-existent before the 1970s, several peak industry associations were formed between 1977 and the 1990s. At the same time, formal education and teaching in the area expanded in the 1970s and 1980s and is now widespread. Practical implications – Development of the small business sector in Australia has often paralleled similar trends in other OECD nations. State and territory governments have often (but not always) been the principal drivers of policy change. Originality/value – There has been no little, if any, prior documentation of the evolution of the small business sector in Australia in the last 40 years.
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Hailey, David. "The history of health technology assessment in Australia." International Journal of Technology Assessment in Health Care 25, S1 (July 2009): 61–67. http://dx.doi.org/10.1017/s0266462309090436.

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Objectives:To describe the development and application of health technology assessment (HTA) in Australia.Methods:Review of relevant literature and other documents related to HTA in Australia.Results:Most HTA activity in Australia has been associated with provision of advice for the two national subsidy programs, Medicare, and the Pharmaceutical Benefits Scheme (PBS). National advisory bodies established by the federal government have had a prominent role. Assessments from the advisory bodies have had a major influence on decisions related to Medicare and the PBS, and in some other areas. Technologies without links to the national subsidy schemes, and those that are widely distributed, have been less well covered by HTA. To some extent these are addressed by evaluations supported by state governments, but details of approaches taken are not readily available.Conclusions:HTA in Australia now has a long history and is well established as a source of advice to health decision makers. Challenges remain in extending the scope of assessments, developing more transparent approaches in some areas, and consistently applying appropriate standards.
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4

Fairbrother, Peter, Stuart Svensen, and Julian Teicher. "The Ascendancy of Neo-Liberalism in Australia." Capital & Class 21, no. 3 (October 1997): 1–12. http://dx.doi.org/10.1177/030981689706300101.

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On 19 August 1996, thousands of trade unionists and others stormed the Australian Parliament protesting against the Coalition Government's Work place Relations Bill. In a very visible departure from the years of cooperation and compromise with the previous Federal Labor Government, the Australian Council of Trade Unions (ACTU) called on trade unionists and their supporters to demonstrate their opposition to the proposed legislation. This outbreak of anger might be thought to herald a reaction to heightened attacks on the Australian working class, ushered in by the election of the Coalition Government on 2 March 1996, which ended thirteen years of Labor rule under leaders Bob Hawke (1983-1991) and Paul Keating (1991-1996). However, while indicating a renewed activism by a disenchanted and alienated working class, this outburst of anger was not attributable to a sudden shift in the overall direction of government policy. Rather, it was an expression of a profound disenchantment with thirteen years of Australian ‘New Labor’ and a fear of the future under a Coalition Government committed to the sharp edges of the neo-liberal agenda.
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5

Ellinghaus, Katherine. "The Moment of Release." Pacific Historical Review 87, no. 1 (2018): 128–49. http://dx.doi.org/10.1525/phr.2018.87.1.128.

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During the twentieth century some Australian states and the U.S. federal government enacted comparable policies that demonstrate how the discourse of protection continued to survive in an era when settler nations were focussed on “assimilating” Indigenous populations. The Australian policy of exemption and the U.S. policy of competency did not represent a true change in direction from past policies of protection. In contrast to the nineteenth century, though, these twentieth-century policies offered protection to only a deserving few. Drawing on records of exemption and competency from New South Wales and Oklahoma in the 1940s and 1950s, this article shows how the policies of exemption and competency ostensibly gave the opportunity for some individuals to prove that they no longer needed the paternalism of colonial governments. They were judged using very different local criteria. In Australia, applicants were mostly judged on whether they engaged in “respectable” use of alcohol; in the United States, applicants were assessed on whether they had “business sense.”
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6

Peterson, Nicolas. "Legislating for Land Rights in Australia." Practicing Anthropology 23, no. 1 (January 1, 2001): 21–23. http://dx.doi.org/10.17730/praa.23.1.1rp8324376861j67.

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A commitment in applied anthropological policy work to maximising cultural appropriateness or even to supporting what indigenous people say they want is not always possible. This proved to be the case in connection with formulating recommendations for land rights legislation in Australia's Northern Territory. Until 1992 the only rights in land that Aboriginal people had as the original occupiers of the continent were statutory (that is, through acts of state and federal parliaments). No treaties were signed with Aboriginal people and until that date the continent was treated as terra nullius, unowned, at the time of colonisation in 1788. From early on in the history of European colonisation, however, areas of land had been set aside for the use and benefit of Aboriginal people. These reserves were held by the government, or by one of a number of religious bodies that ministered to Aboriginal people, usually supported by government funding. Beginning with South Australia in 1966 all of the states, except Tasmania, have passed legislation that gives varying degrees of control of these reserves to land trusts governed by Aboriginal people. Each of these pieces of legislation had/have different shortcomings which included some or all of the following: the total area that had been reserved was small; the powers granted over the land were limited; the majority of the Aboriginal population did not benefit from the legislation; and none of them addressed the issue of self-determination. In 1973 a Royal Commission into Aboriginal Land Rights, with a single Commissioner, Mr. Justice Woodward, was established by the newly elected Federal Labor government, the first in 23 years. It was planned that it would deal with the continent but that it would begin by focusing on the Northern Territory which until 1978 was administered by the Federal government. At the time there were 25,300 Aboriginal people in the Territory making up 25% of the population.
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7

Binnema, Ted. "Federation and the History of the Administration of Indigenous Affairs in Canada, the United States, and Australia: New Insights through a Transnational Approach." Journal of the Canadian Historical Association 28, no. 2 (January 9, 2019): 1–53. http://dx.doi.org/10.7202/1055322ar.

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The importance of decisions regarding the allocation of jurisdiction over Indigenous affairs in federal states can only be understood well when studied transnationally and comparatively. Historians of Canada appear never to have considered the significance of the fact that the British North America Act (1867) gave the Canadian federal government exclusive jurisdiction over Indian affairs, even though that stipulation is unique among the constitutional documents of comparable federal states (the United States and Australia). This article explains that the constitutional provisions in Canada, the United States, and Australia are a product of the previous history of indigenous-state relations in each location, but also profoundly affected subsequent developments in each of those countries. Despite stark differences, the similar and parallel developments also hint at trends that influenced all three countries.
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8

McAllister, Ian. "Australia: 11 July—Consolidating the Hawke Ascendancy." Government and Opposition 22, no. 4 (October 1, 1987): 435–43. http://dx.doi.org/10.1111/j.1477-7053.1988.tb00066.x.

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ON 11 JULY 1987 THE AUSTRALIAN LABOR PARTY (ALP) WAS returned, with an increased majority, to an unprecedented third term in federal government. The election result was doubly remarkable. First, the ALP has traditionally been unable to gain more than two terms in office. Schisms and factional conflict have generally ruined Labor's chances of a third period in office, as in 1949, when Ben Chifley failed to gain a third term, and in 1975, when the same fate befell Gough Whitlam, following a constitutional crisis. Secondly, the party retained office during a period of economic crisis unprecedented in Australia's modern history, a crisis which might have been expected to sweep the opposition Liberal–National coalition to power.
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9

Hawker, Geoffrey. "Ministerial Consultants and Privatisation: Australian Federal Government 1985-88." Australian Journal of Politics and History 52, no. 2 (June 2006): 244–60. http://dx.doi.org/10.1111/j.1467-8497.2005.00417.x.

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10

Young, D., R. Brockett, and J. Smart. "AUSTRALIA—SOVEREIGN RISK AND THE PETROLEUM INDUSTRY." APPEA Journal 45, no. 1 (2005): 191. http://dx.doi.org/10.1071/aj04017.

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Australia has rejoiced in its reputation for having low sovereign risk and corresponding rating, for decades. This reputation was bruised in the first decade after the High Court introduced Native Title into Australian law by the legislative response of the then Government, but has since recovered, and enjoys the world’s lowest country risk rating, and shares the worlds best sovereign risk rating with the USA. A number of government precipitated occurrences in recent times, however, raise the question: for how long can this continue?This paper tracks the long history of occasional broken resource commitments—for both petroleum and mining interests—by governments at both State and Federal level, and the policies which have driven these breaches. It also discusses the notorious recent cancellation of a resource lease by the Queensland Government, first by purporting to cancel the bauxite lease and, after legal action had commenced, by a special Act of Parliament to repeal a State Agreement Act. This has raised concerns in boardrooms around the world of the security of assets held in Australia on a retention, or care and maintenance basis.The paper also looks at the cancellation of the offshore prospecting rights held by WMC, with no compensation. This was a result of the concept that rights extinguished by the Commonwealth, with no gain to the Commonwealth or any other party do not constitute an acquisition of property, thereby denying access to the constitutional guarantee of ’just terms’ supposedly enshrined in the Australian Constitution where an acquisition has occurred.Some other examples are the prohibition on exploration in Queensland national parks last November. This cost some companies with existing tenures a lot of money as exploration permits were granted, but then permission to do seismic exploration refused (Victoria). Several losses of rights occurred as a result of the new Queensland Petroleum and Other Acts Amendment Act after investments have been made.Changes in fiscal policy can also impact on project viability, and some instances of this are considered.This paper also explores ways these risks can be minimised, and how and when compensation might be recovered.
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11

Davies-Slate, Sebastian, and Peter Newman. "Partnerships for Private Transit Investment—The History and Practice of Private Transit Infrastructure with a Case Study in Perth, Australia." Urban Science 2, no. 3 (September 3, 2018): 84. http://dx.doi.org/10.3390/urbansci2030084.

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Urban transit planning is going through a transition to greater private investment in many parts of the world and is now on the agenda in Australia. After showing examples of private investment in transit globally, the paper focuses on historical case studies of private rail investment in Western Australia. These case studies mirror the historical experience in rapidly growing railway cities in Europe, North America, and Asia (particularly Japan), and also the land grant railways that facilitated settlement in North America. The Western Australian experience is noteworthy for the small but rapidly growing populations of the settlements involved, suggesting that growth, rather than size, is the key to successfully raising funding for railways through land development. The paper shows through the history of transport, with particular reference to Perth, that the practice of private infrastructure provision can provide lessons for how to enable this again. It suggests that new partnerships with private transport investment as set out in the Federal Government City Deal process, should create many more opportunities to improve the future of cities through once again integrating transit, land development, and private finance.
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12

Krever, Richard, and Kerrie Sadiq. "Non-Residents and Capital Gains Tax in Australia." Canadian Tax Journal/Revue fiscale canadienne 67, no. 1 (April 2019): 1–22. http://dx.doi.org/10.32721/ctj.2019.67.1.krever.

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The evolution of capital gains taxation in Australia parallels that in Canada in many respects. Federal income taxes were adopted in both countries during the First World War, and in both jurisdictions the courts interpreted the term "income," the subject of taxation, using United Kingdom judicial concepts that excluded capital gains from the tax base. In the last quarter of the 20th century, both countries amended their income tax laws to capture capital gains, and in both countries concessional rates apply. Initially, the Australian capital gains tax regime had rules that paralleled those in Canada in respect of the application of capital gains tax measures to non-residents, and the list of assets that might generate a capital gains tax liability for non-residents was similar in both countries. Australia changed course just over a decade ago with a decision to limit the income tax liability of non-residents in respect of capital gains to gains on land and land-rich companies alone, albeit with an extended definition of land to capture directly related interests such as exploration and mining rights. Consequently, until this decade, reform of Australia's regime imposing capital gains tax on non-residents focused on the concept of source as a primary driver, with the categories of taxable assets being gradually reduced. However, after more than a decade of unprecedented increases in housing prices in Australia, reform has moved away from addressing source to integrity matters. In Australia, as in Canada, there has been considerable investment in property, particularly residential property, by non-residents in recent years, and the government has sought ways to enhance the enforcement and integrity of the capital gains tax rules applying to non-residents disposing of Australian real property. Since 2013, Australia has proposed three separate measures to ensure integrity within this regime: removal of a concessional rate, introduction of a withholding tax, and removal of the principal residence exemption for non-residents. This article considers the history and development of Australia's capital gains tax regime as it applies to non-residents and examines the recent shift in focus from what is captured in the capital gains source rules to integrity provisions adopted to achieve both compliance and geopolitical objectives.
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13

Gregg, Melissa. "History in the Making: The NBN Rollout in Willunga, South Australia." Media International Australia 143, no. 1 (May 2012): 146–58. http://dx.doi.org/10.1177/1329878x1214300116.

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The 2010 press release announcing the first-release sites for Australia's National Broadband Network (NBN) identified five locations chosen for their contrasting ‘housing density, housing type, geography, climate and local infrastructure’. On these measures, the South Australian town of Willunga was described as a ‘small rural town’ with ‘dispersed housing’. It thus served as a model for the country constituencies crucial to securing support for the federal government's large-scale infrastructure investment. But what else made Willunga an ideal first-release site? Are there local histories that shed light on the decision to grant its residents access to high-speed broadband before the rest of the country? This article shares findings from ethnographic research conducted in Willunga during the 2011 NBN roll-out to answer these questions.
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Pittock, Jamie. "Are we there yet? The Murray-Darling Basin and sustainable water management." Thesis Eleven 150, no. 1 (February 2019): 119–30. http://dx.doi.org/10.1177/0725513618821970.

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In 2007, then Australian Prime Minister Howard said of the Murray-Darling Basin’s rivers that action was required to end the ‘The tyranny of incrementalism and the lowest common denominator’ governance to prevent ‘economic and environmental decline’. This paper explores the management of these rivers as an epicentre for three key debates for the future of Australia. Information on biodiversity, analyses of the socio-ecological system, and climate change projections are presented to illustrate the disjunction between trends in environmental health and the institutions established to manage the Basin sustainably. Three key debates are considered: (1) conflict over the allocation of water between irrigated agriculture versus a range of other ecosystem services as the latest manifestation of the debate between adherents of the pioneering myth versus advocates of limits to growth in Australia; (2) cyclical crises as a driver of reactive policy reform and the prospects of the 2008 Water Act forming the basis of proactive, adaptive management of emerging threats and opportunities; and (3) subsidiarity in governance of the environment and natural resources in the Australian federation. Implementation of the 2012 Basin Plan as promised by the Federal Government ‘in full and on time’ is a key sustainability test for Australia. Despite Australian claims of exceptionalism, the Murray-Darling Basin experience mirrors the challenges faced in managing rivers sustainably and across governance scales in federations around the world.
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Grieve, Chris, and Geoff Richardson. "Recent history of Australia's South East Fishery; a manager's perspective." Marine and Freshwater Research 52, no. 4 (2001): 377. http://dx.doi.org/10.1071/mf00070.

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A brief history of the South East Fishery is presented, focussing on the period 1986–2000. With the realization in the 1980s that natural resources are finite, active fisheries management became more of a focus for the Australian Federal Government. This paper describes the Federal Government’s fisheries management objectives since the mid 1980s as well as major new policy initiatives, and seeks to measure the performance of the fishery against key management objectives. A few simple indicators of change are examined with particular reference to the pursuit of economic efficiency.
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Devereux, Annemarie. "Australia’s Journey to Ratification of the ICESCR and ICCPR." Australian Year Book of International Law 36, no. 1 (October 1, 2019): 163–93. http://dx.doi.org/10.1163/26660229_03601009.

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Abstract This article explores Australia’s journey to ratification of the ICESCR and ICCPR. From a somewhat languorous consideration of the Covenants following their adoption by the General Assembly in 1966, the Australian federal government moved to enthusiastically support signature and ratification after the election of the Whitlam government. However, tensions over federal-State demarcations and the potential use of the external affairs power stymied progress. It was not until the Fraser government period that each Covenant was ratified. Exploring this history reveals the depth of divisions concerning respective roles of the Commonwealth and the States in the human rights arena and highlights the role of ‘lighter’ interpretations of obligations in facilitating consensus.
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Lee, David. "Labor, the External Affairs Power and the Rights of Aborigines." Labour History 120, no. 1 (May 1, 2021): 49–68. http://dx.doi.org/10.3828/jlh.2021.4.

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The Australian Constitution gave the Commonwealth not a “treaty power” but a vague power over “external affairs,” the precise meaning of which was elusive for most of the twentieth century. From the 1930s, Labor judges and politicians such as H. V. Evatt saw its potential to extend Commonwealth power by legislating international agreements throughout Australia. The non-Labor parties rejected the idea of using the “external affairs” power to legislate in areas formerly the responsibility of the states but the federal Labor Party continued in the Evatt tradition. After significant uncertainties, the Whitlam government used the external affairs power to pass the Racial Discrimination Act 1975, the first significant human rights legislation in the country, which in turn had a profound effect on the law of the land in the country by making the second Mabo Case possible.
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Stratton, Jon. "Coronavirus, the great toilet paper panic and civilisation." Thesis Eleven 165, no. 1 (July 20, 2021): 145–68. http://dx.doi.org/10.1177/07255136211033167.

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Panic buying of toilet rolls in Australia began in early March 2020. This was related to the realisation that the novel coronavirus was spreading across the country. To the general population the impact of the virus was unknown. Gradually the federal government started closing the country’s borders. The panic buying of toilet rolls was not unique to Australia. It happened across all societies that used toilet paper rather than water to clean after defecation and urination. However, research suggests that the panic buying was most extreme in Australia. This article argues that the panic buying was closely linked to everyday notions of Western civilisation. Pedestal toilets and toilet paper are key aspects of civilisation and the fear of the loss of toilet paper is connected to anxiety about social breakdown, the loss of civilisation. This is the fear manifested in the perceived threat posed by the virus.
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Gregory, Jenny. "Stand Up for the Burrup: Saving the Largest Aboriginal Rock Art Precinct in Australia." Public History Review 16 (December 27, 2009): 92–116. http://dx.doi.org/10.5130/phrj.v16i0.1234.

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The Dampier Rock Art Precinct contains the largest and most ancient collection of Aboriginal rock art in Australia. The cultural landscape created by generations of Aboriginal people includes images of long-extinct fauna and demonstrates the response of peoples to a changing climate over thousands of years as well as the continuity of lived experience. Despite Australian national heritage listing in 2007, this cultural landscape continues to be threatened by industrial development. Rock art on the eastern side of the archipelago, on the Burrup Peninsula, was relocated following the discovery of adjacent off-shore gas reserves so that a major gas plant could be constructed. Work has now begun on the construction of a second major gas plant nearby. This article describes the rock art of the Dampier Archipelago and the troubled history of European-Aboriginal contact history, before examining the impact of industry on the region and its environment. The destruction of Aboriginal rock art to meet the needs of industry is an example of continuing indifference to Aboriginal culture. While the complex struggle to protect the cultural landscape of the Burrup, in particular, involving Indigenous people, archaeologists, historians, state and federal politicians, government bureaucrats and multi-national companies, eventually led to national heritage listing, it is not clear that the battle to save the Burrup has been won.
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Podger, Andrew. "Federalism and Australia’s National Health and Health Insurance System." Asia Pacific Journal of Health Management 11, no. 3 (October 1, 2016): 26–37. http://dx.doi.org/10.24083/apjhm.v11i3.151.

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While health reform in Australia has been marked by piecemeal, incremental changes, the overall trend to increasing Commonwealth involvement has not been accidental or driven by power-hungry centralists: it has been shaped by broader national and international developments including technological change and the maturing of our nation and its place internationally, and by a widespread desire for a national universal health insurance system. In many respects the Australianhealth system performs well, but the emerging challenges demand a more integrated, patient-oriented system. This is likely to require a further shift towards the Commonwealth in terms of financial responsibility, as the national insurer. But it also requires close cooperation with the States, who could play a firmer role in service delivery and in supporting regional planning and coordination. The likelihood of sharing overall responsibility for the health system also suggests thereis a need to involve the States more fully in processes for setting national policies. This article draws heavily on a lecture presented at the Australian National University in October 2015. It includes an overview of Australia’s evolving federal arrangements and the context within which the current Federalism Review is being conducted. It suggests Australia will not return to ‘coordinate federalism’ with clearly distinct responsibilities, and that greater priority should be given to improving how we manage shared responsibilities. There is a long history of Commonwealth involvement in health, and future reform should build on that rather than try to reverse direction. While critical of the proposals from the Commission of Audit and in the 2014 Budget, the lecture welcomed the more pragmatic approaches that seemed to be emerging from the Federalism Review discussion papers and contributions from some Premiers which could promote more sensible measures to improve both the effectiveness and the financial sustainability of Australia’s health and health insurance system. The Commonwealth’s new political leadership in 2015 seemed interested in such measures and in moving away from the Abbott Government’s approach. But the legacy of that approach severely damaged the Turnbull Government in the 2016 federal election as it gave traction to Labor’s ‘Mediscare’ campaign. In addition to resetting the federalism debate as it affects health, the Turnbull Government now needs to articulate the principles of Medicare and to clarify the role of the private sector, including private health insurance, in Australia’s universal health insurance system. Labor also needs to address more honestly the role of the private sector and develop a more coherent policy itself. Abbreviations: COAG – Council of Australian Governments; NHHRC – National Health and Hospitals Reform Commission; PHI – Private Health Insurance; VFI – Vertical Fiscal Imbalance.
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Sutherland, Carolyn, and Joellen Riley. "Industrial Legislation in 2007." Journal of Industrial Relations 50, no. 3 (June 2008): 417–28. http://dx.doi.org/10.1177/0022185608089997.

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The Howard government's draconian Work Choices laws will soon be history. A change of government at the 2007 federal election means that Australian industrial relations legislation will continue to be a turbulent field, for some time yet. This review provides an account of the last piece of industrial legislation passed by the Howard government, to introduce a `Fairness Test' in an attempt to ameliorate public concern about the patent unfairness of some aspects of the Work Choices laws. The same Act made some changes to the way in which `prohibited content' is regulated in workplace agreements. We also provide a brief summary of some of the more significant State manoeuvres in what remains to them of the field of industrial relations law.
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Saunders, Malcolm, and Neil Lloyd. "Holding Australia to Ransom: The Colston Affair, 1996–2003." Queensland Review 17, no. 1 (January 2010): 59–74. http://dx.doi.org/10.1017/s1321816600005262.

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Probably no one who has entered either federal or state Parliament in Australia departed from it as loathed and despised as Malcolm Arthur Colston. A Labor senator from Queensland between 1975 and 1996, he is remembered by that party as a ‘rat’ who betrayed it for the sake of personal advancement. Whereas many Labor parliamentarians – most notably Prime Minister ‘Billy’ Hughes in 1917 have left the party because they strongly disagreed with it over a major policy issue or a matter of principle, in the winter of 1996 Colston unashamedly left it to secure the deputy presidency of the Senate and the status, income and several other perquisites that went with it. Labor's bitterness towards Colston stems not merely from the fact that he showed extraordinary ingratitude towards a party that had allowed him a parliamentary career but more especially because, between his defection from the party in August 1996 and his retirement from Parliament in June 1999, his vote allowed the Liberal-National Party government led by John Howard to pass legislation through the Senate that might otherwise have been rejected.
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Goggin, Gerard. "Making the Australian Mobile in the 1990s: Creating Markets, Choosing Technologies." Media International Australia 129, no. 1 (November 2008): 80–90. http://dx.doi.org/10.1177/1329878x0812900109.

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In thinking about convergent media and new digital technologies, the place of mobile services and technologies in the broader media policy field has not been addressed satisfactorily. This article reviews the beginnings of cellular mobiles in Australia to see what this piece of history can tell us about today's policy challenges. My case study revolves around the technology choices made by the federal government in the 1980s, especially the decision to essentially mandate the second-generation Global Standard for Mobiles (GSM) digital standard. I examine the structuring of the mobiles market with three initial licence-holders, and look at the implications of this as mobiles developed through the 1990s. The article offers a brief comparison with the New Zealand mobiles market, and also the promising yet ultimately ‘failed’ technology of the public-access cordless telephone. I conclude with some observations about how such critical examination of history can help to open up policy vistas about mobile media.
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Chiarella, Mary, Jane Currie, and Tim Wand. "Liability and collaborative arrangements for nurse practitioner practice in Australia." Australian Health Review 44, no. 2 (2020): 172. http://dx.doi.org/10.1071/ah19072.

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The purpose of this paper is to clarify the relationship between medical practitioners (MPs) and nurse practitioners (NPs) in general, and privately practising NPs (PPNPs) in particular, in relation to collaboration, control and supervision in Australia, as well as to explore the difficulties reported by PPNPs in establishing mandated collaborative arrangements with MPs in Australia. In order for the PPNPs to have access to the Medicare Benefit Schedule (MBS) and Pharmaceutical Benefits Scheme (PBS) in Australia, they are required, by law, to establish a collaborative arrangement with an MP or an entity that employs MPs. This paper begins by describing the history of and requirements for collaborative arrangements, then outlines the nature of successful collaboration and the reported difficulties. It goes on to address some of the commonly held misconceptions in order to allay medical concerns and enable less restrictive access to the MBS and PBS for PPNPs. This, in turn, would improve patient access to highly specialised and expert PPNP care. What is known about the topic? NPs have been part of the Australian health workforce since 1998, but until 2009 their patients did not receive any reimbursement for care delivered by PPNPs. In 2009, the Federal government introduced limited access for PPNPs to the MBS and PBS, but only if they entered into a collaborative arrangement with either an MP or an entity that employs MPs. What does this paper add? The introduction of collaborative arrangements between PPNPs and MPs seems, in some instances, to have created confusion and misunderstanding about the way in which these collaborative arrangements are to operate. This paper provides clarification of the relationship between MPs and NPs in general, and PPNPs in particular, in relation to collaboration, control and supervision. What are the implications for practitioners? A clearer understanding of these issues will hopefully enable greater collegial generosity and improve access to patient care through innovative models of service delivery using NPs and PPNPs.
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Gibson, David A. J., Rachael E. Moorin, David B. Preen, Jon D. Emery, and C. D'Arcy J. Holman. "Effects of the Medicare enhanced primary care program on primary care physician contact in the population of older Western Australians with chronic diseases." Australian Health Review 35, no. 3 (2011): 334. http://dx.doi.org/10.1071/ah09852.

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Objective. Assess uptake of Medicare’s enhanced primary care (EPC) services in Western Australia (WA) in 2001 to 2006, evaluating effect of EPC services on the regularity of contact with general practitioners (GPs) in patients aged 65+ years. Method. Whole-population cohort study using linked routinely collected health service data from State and Federal health databases. Analyses include age-standardised rate of EPC services, odds of EPC utilisation relative to other GP services using logistic regression, and total GP service regularity pre- and post-implementation of the EPC program. Results. EPC services provided to WA seniors increased 345% 2001 to 2006, comprising an increasing proportion of the total GP services (1.1 to 3.6%). Uptake of EPC services accelerated abruptly after 2004 due to greater use of ‘care plans’. EPC services were associated with a history of chronic disease, especially type 2 diabetes (OR = 1.74, 95% CI 1.66–1.82). Regularity of total GP services was improved with any EPC service exposure, with greater improvement occurring in the presence of annual EPC service exposure. Conclusions. EPC item uptake responded favourably to item changes from Medicare Australia. Prior exposure to EPC items increased the regularity of GP services, an outcome inversely associated with chronic disease progression. What is known about the topic? The Australian Federal government has invested substantial funds (over $200 million in 2007–08 alone) in the enhanced primary care (EPC) program with the intention of improving patient outcomes, specifically aged patients and those suffering from chronic disease. The EPC program uses high value Medicare items to incentivise GPs to engage in long-term planned care. However, limited research has examined the effect of this program on patient service utilisation and outcomes. What does this paper add? This paper provides a whole-population perspective on the EPC utilisation trends from 2001 to 2006 for Western Australian residents over 65 years of age. The paper then examines the likelihood of using the EPC program on the basis of calendar year, sex, age and chronic disease history. A comparison of the regularity of GP service utilisation for those exposed to the EPC program is also made. What are the implications for practitioners? The adjustments made to the EPC program in 2004, after feedback from GPs, appears to have substantially increased the utilisation of the program. Additionally, patients suffering from several different chronic diseases are more likely to be exposed to the EPC program. Exposure to the EPC program also appears to provide an improvement in regularity of service utilisation which has been associated with improved outcomes in the literature.
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Miller, Jessica, and Nick Quinn. "EXERCISE WESTWIND – A COLLABORATIVE OIL SPILL RESPONSE BY OIL & GAS OPERATORS AND AGENCIES." International Oil Spill Conference Proceedings 2017, no. 1 (May 1, 2017): 2851–62. http://dx.doi.org/10.7901/2169-3358-2017.1.2851.

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Abstract On June 9th, 2015, ACME Oil Company’s rig suffered a dynamic positioned ‘run-off’. The mobile drilling unit lost its station above the wellhead and a loss of well control was experienced. “A massive environmental emergency unfolded…affecting pristine coastline and masses of wildlife”. Incident Management and Field Response Teams were activated in a multi-agency operation, bringing together 200 personnel from 16 oil and gas companies and 18 government agencies and third party providers. Source control, aerial, offshore, nearshore, shoreline and oiled wildlife response capabilities were deployed and national/international support was utilised. Jointly managed by the Australian Marine Oil Spill Centre (AMOSC), the Australian Maritime Safety Authority (AMSA), the Federal Department of Industry and Science, and the Western Australian Department of Transport -Exercise Westwind was a successful multi-faceted marine spill response, demonstrating Australia’s collective Industry/Government capacity to respond to a large, offshore loss of well control incident in a remote and isolated location. ACME Oil Company was a fictitious company formed to enable the amalgamation of Australian petroleum companies to exercise industry arrangements under one ‘banner’ during the exercise period. ACME Oil Company had its own set of credentials, company website and Oil Pollution Emergency Plan. The company also held real time memberships with a number of service providers including AMOSC, Oil Spill Response Ltd, Trendsetter Engineering International, Oceaneering Australia and addenergy. Representing an innovative approach to spill response exercising, ACME Oil Company was a valuable and critical aspect to industry and governments participation under a non-attributable banner. Additionally, it enabled safe, widespread lessons to be observed, allowed for real-time testing of arrangements and provided a safe environment for regulators, stakeholder and industry interplay. The exercise was an efficient and practical solution for Industry titleholders and their third party supporting organisations, to test shared response resources and to ensure Industry arrangements for responding to oil pollution are in accordance with the Offshore Petroleum and Greenhouse Gas Storage (Environment) Regulations 2009. This paper will discuss the development program behind the exercise and the experience of managing an exercise of this nature. It will highlight the successes including the creation and implementation of a fictitious company and the extensive collaboration between the industry and government personnel involved. It will also look forward – where are we 11-months later? Can the history of exercising and/or response help us improve for the future-implementation of change and continued testing is critical in furthering our oil spill response capability and capacity.Exercise Westwind – Operational Phase TwoExercise Westwind – Operational Phase Two
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Bell, Alan W. "Animal science Down Under: a history of research, development and extension in support of Australia’s livestock industries." Animal Production Science 60, no. 2 (2020): 193. http://dx.doi.org/10.1071/an19161.

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This account of the development and achievements of the animal sciences in Australia is prefaced by a brief history of the livestock industries from 1788 to the present. During the 19th century, progress in industry development was due more to the experience and ingenuity of producers than to the application of scientific principles; the end of the century also saw the establishment of departments of agriculture and agricultural colleges in all Australian colonies (later states). Between the two world wars, the Council for Scientific and Industrial Research was established, including well supported Divisions of Animal Nutrition and Animal Health, and there was significant growth in research and extension capability in the state departments. However, the research capacity of the recently established university Faculties of Agriculture and Veterinary Science was limited by lack of funding and opportunity to offer postgraduate research training. The three decades after 1945 were marked by strong political support for agricultural research, development and extension, visionary scientific leadership, and major growth in research institutions and achievements, partly driven by increased university funding and enrolment of postgraduate students. State-supported extension services for livestock producers peaked during the 1970s. The final decades of the 20th century featured uncertain commodity markets and changing public attitudes to livestock production. There were also important Federal Government initiatives to stabilise industry and government funding of agricultural research, development and extension via the Research and Development Corporations, and to promote efficient use of these resources through creation of the Cooperative Research Centres program. These initiatives led to some outstanding research outcomes for most of the livestock sectors, which continued during the early decades of the 21st century, including the advent of genomic selection for genetic improvement of production and health traits, and greatly increased attention to public interest issues, particularly animal welfare and environmental protection. The new century has also seen development and application of the ‘One Health’ concept to protect livestock, humans and the environment from exotic infectious diseases, and an accelerating trend towards privatisation of extension services. Finally, industry challenges and opportunities are briefly discussed, emphasising those amenable to research, development and extension solutions.
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Stacey, Andrew, Cameron Mitchell, Goutam Nayak, Heike Struckmeyer, Michael Morse, Jennie Totterdell, and George Gibson. "Geology and petroleum prospectivity of the deepwater Otway and Sorell basins: new insights from an integrated regional study." APPEA Journal 51, no. 2 (2011): 692. http://dx.doi.org/10.1071/aj10072.

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The frontier deepwater Otway and Sorell basins lie offshore of southwestern Victoria and western Tasmania at the eastern end of Australia’s Southern Rift System. The basins developed during rifting and continental separation between Australia and Antarctica from the Cretaceous to Cenozoic. The complex structural and depositional history of the basins reflects their location in the transition from an orthogonal–obliquely rifted continental margin (western–central Otway Basin) to a transform continental margin (southern Sorell Basin). Despite good 2D seismic data coverage, these basins remain relatively untested and their prospectivity poorly understood. The deepwater (> 500 m) section of the Otway Basin has been tested by two wells, of which Somerset–1 recorded minor gas shows. Three wells have been drilled in the Sorell Basin, where minor oil shows were recorded near the base of Cape Sorell–1. As part of the federal government-funded Offshore Energy Security Program, Geoscience Australia has acquired new aeromagnetic data and used open file seismic datasets to carry out an integrated regional study of the deepwater Otway and Sorell basins. Structural interpretation of the new aeromagnetic data and potential field modelling provide new insights into the basement architecture and tectonic history, and highlights the role of pre-existing structural fabric in controlling the evolution of the basins. Regional scale mapping of key sequence stratigraphic surfaces across the basins, integration of the regional structural analysis, and petroleum systems modelling have resulted in a clearer understanding of the tectonostratigraphic evolution and petroleum prospectivity of this complex basin system.
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Bernecker, T., M. A. Woollands, D. Wong, D. H. Moore, and M. A. Smith. "HYDROCARBON PROSPECTIVITY OF THE DEEPWATER GIPPSLAND BASIN, VICTORIA, AUSTRALIA." APPEA Journal 41, no. 1 (2001): 91. http://dx.doi.org/10.1071/aj00005.

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After 35 years of successful exploration and development, the Gippsland Basin is perceived as a mature basin. Several world class fields have produced 3.6 billion (109) BBL (569 GL) oil and 5.2 TCF (148 Gm3) gas. Without additional discoveries, it is predicted that further significant decline in production will occur in the next decade.However, the Gippsland Basin is still relatively underexplored when compared to other prolific hydrocarbon provinces. Large areas are undrilled, particularly in the eastern deepwater part of the basin. Here, an interpretation of new regional aeromagnetic and deep-water seismic data sets, acquired through State and Federal government initiatives, together with stratigraphic, sedimentological and source rock maturation modelling studies have been used to delineate potential petroleum systems.In the currently gazetted deepwater blocks, eight structural trapping trends are present, each with a range of play types and considerable potential for both oil and gas. These include major channel incision plays, uplifted anticlinal and collapsed structures that contain sequences of marine sandstones and shales (deepwater analogues of the Marlin and Turrum fields), as well as large marine shale-draped basement horsts.The study has delineated an extensive near-shore marine, lower coastal plain and deltaic facies association in the Golden Beach Subgroup. These Late Cretaceous strata are comparable to similar facies of the Tertiary Latrobe Siliciclastics and extend potential source rock distribution beyond that of previous assessments. In the western portion of the blocks, overburden is thick enough to drive hydrocarbon generation and expulsion. The strata above large areas of the source kitchen generally dip to the north and west, promoting migration further into the gazetted areas.Much of the basin’s deepwater area, thus, shares the deeper stratigraphy and favourable subsidence history of the shallow water producing areas. Future exploration and production efforts will, however, be challenged by the 200–2500 m water-depths and local steep bathymetric gradients, which affect prospect depth conversion and the feasibility of development projects in the case of successful exploration.
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Harrison, Jennifer. "‘Pitchforking Irish Coercionists into Colonial Vacancies’: The Case of Sir Henry Blake and the Queensland Governorship." Queensland Review 20, no. 2 (October 30, 2013): 135–43. http://dx.doi.org/10.1017/qre.2013.16.

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During the year 1888 — the centenary of white settlement — Australia celebrated the jubilee of Queen Victoria together with the advent of electricity to light Tamworth, the first town in the Southern Hemisphere to receive that boon. In the north-eastern colony of Queensland, serious debates involving local administrators included membership of the Federal Council, the annexation of British New Guinea and the merits of a separation movement in the north. In this distant colony, events in Ireland — such as Belfast attaining city status or Oscar Wilde publishing The happy prince and other tales — had little immediate global impact. Nevertheless, minds were focused on Irish matters in October, when the scion of a well-established west Ireland family — a select member of the traditional Tribes of Galway, no less — was named as the new governor of Queensland. The administrators of the developing colony roundly challenged the imperial nominators, invoking a storm that incited strong opinions from responsible governments throughout Australia and around the world.
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Garrick, Dustin, Lucia De Stefano, Fai Fung, Jamie Pittock, Edella Schlager, Mark New, and Daniel Connell. "Managing hydroclimatic risks in federal rivers: a diagnostic assessment." Philosophical Transactions of the Royal Society A: Mathematical, Physical and Engineering Sciences 371, no. 2002 (November 13, 2013): 20120415. http://dx.doi.org/10.1098/rsta.2012.0415.

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Hydroclimatic risks and adaptive capacity are not distributed evenly in large river basins of federal countries, where authority is divided across national and territorial governments. Transboundary river basins are a major test of federal systems of governance because key management roles exist at all levels. This paper examines the evolution and design of interstate water allocation institutions in semi-arid federal rivers prone to drought extremes, climatic variability and intensified competition for scarce water. We conceptualize, categorize and compare federal rivers as social–ecological systems to analyse the relationship between governance arrangements and hydroclimatic risks. A diagnostic approach is used to map over 300 federal rivers and classify the hydroclimatic risks of three semi-arid federal rivers with a long history of interstate allocation tensions: the Colorado River (USA/Mexico), Ebro River (Spain) and Murray–Darling River (Australia). Case studies review the evolution and design of water allocation institutions. Three institutional design trends have emerged: adoption of proportional interstate allocation rules; emergence of multi-layered river basin governance arrangements for planning, conflict resolution and joint monitoring; and new flexibility to adjust historic allocation patterns. Proportional allocation rules apportion water between states based on a share of available water, not a fixed volume or priority. Interstate allocation reform efforts in the Colorado and Murray–Darling rivers indicate that proportional allocation rules are prevalent for upstream states, while downstream states seek reliable deliveries of fixed volumes to increase water security. River basin governance arrangements establish new venues for multilayered planning, monitoring and conflict resolution to balance self governance by users and states with basin-wide coordination. Flexibility to adjust historic allocation agreements, without risk of defection or costly court action, also provides adaptive capacity to manage climatic variability and shifting values. Future research should develop evidence about pathways to adaptive capacity in different classes of federal rivers, while acknowledging limits to transferability and the need for context-sensitive design.
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Hardell, Lennart, Mikael Eriksson, and Olav Axelson. "Agent Orange in War Medicine: An Aftermath Myth." International Journal of Health Services 28, no. 4 (October 1998): 715–24. http://dx.doi.org/10.2190/l940-b8fk-3y5e-rg86.

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Since the late 1970s several epidemiological studies have appeared linking exposure to phenoxy herbicides or chlorophenols to some malignant tumors. Most of these compounds are contaminated with dioxins and dibenzofurans; for example, 2,3,7,8-tetrachlorodibenzo- p-dioxin (TCDD) is a contaminant of 2,4,5-trichlorophenoxyacetic acid (2,4,5-T), a component of Agent Orange which was sprayed in Vietnam during the war. The results of some of the epidemiological studies on cancer risks associated with exposure to these compounds have been manipulated and misinterpreted, particularly by the Australian Royal Commission on the Use and Effects of Chemical Agents on Australian Personnel in Vietnam. Furthermore, a book on Australian war history entitled Medicine at War, commissioned by the Federal Government, reiterates several of these misinterpretations, despite available contrary evaluations from Australian and U.S. authorities. These remarkable and confusing circumstances in the scientific process are considered also in the light of the recent classification of TCDD as carcinogenic to humans, Group 1, by a Working Group at the International Agency for Research on Cancer in Lyon, France.
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33

Homan, Shane. "Cultural Industry or Social Problem? The Case of Australian Live Music." Media International Australia 102, no. 1 (February 2002): 88–100. http://dx.doi.org/10.1177/1329878x0210200110.

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The live music pub and club scene has historically been regarded as the source of a distinctively Australian rock/jazz culture, and the basis for global recording success. This paper examines the history of live venue practices as a case study of a local cultural industry that often existed outside of traditional policy structures and meanings of the arts industries. Confronted with a loss of performance opportunities for local musicians, it is argued that traditional cultural policy mechanisms and platforms used for cultural nationalist outcomes are no longer relevant. Rather, policy intervention must engage with administrative obstacles to live creativity, specifically the series of local regulations that have diminished the viability of live venues. The decline of the rock/jazz pub continues in the face of current federal government support for touring musicians. A closer inspection of the local administration of cultural practice remains the best means of understanding the devaluation of the social and industrial value of live performance.
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THORLEY, VIRGINIA. "‘School Milk’ in the Context of the Australian Dairy Industry." Rural History 27, no. 1 (March 3, 2016): 103–17. http://dx.doi.org/10.1017/s0956793315000187.

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AbstractAustralia, as with a number of other countries with dairy industries, established a national school milk scheme which operated from 1951 to the beginning of 1974 at no cost to the children's families. The scheme, funded by the federal government and administered by the states, ended abruptly after costs blew out, with resultant losses by the industry. This article describes the limited provision of milk in schools in two states prior to the national scheme and how, after the cessation of the national scheme, dairy industry initiatives in some states were gradually developed to market liquid cow's milk, including flavoured products, at subsidised prices to school children who were perceived as potential lifelong consumers. The article traces the rise and decline of these schemes in the late twentieth century within the context of moves towards dairy deregulation and its effects on the industry.
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35

Story, I. "OIL PRICE OUTLOOK REMAINS UNCERTAIN IN THE FACE OF CONTINUING WORLD OVERSUPPLY." APPEA Journal 27, no. 1 (1987): 7. http://dx.doi.org/10.1071/aj86001.

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Australia's oil industry has just emerged from the most difficult period in its short history, following the unprecedented collapse in world oil prices during the first half of 1986, and the continuing weakness during the rest of the year. As a result, the oil industry has undergone painful cost-cutting measures to survive the new environment. Thousands of jobs have been lost for good, exploration activity has been dramatically cut back to the levels of the late 1970s, and the industry now faces the bleak prospect that oil prices may not return to previous high levels until sometime in the 1990s, ironically at a time when Australian oil production is expected to begin a major decline.The Australian federal government has also felt the pain, through significantly reduced revenues from oil production and exports, although this has been anaesthetised to a large degree by a hike in petrol pump excise rates.Oil and petroleum product exports, which rose during the second half of 1985 to become Australia's number two export earner (behind coal) with sales valued at over $150 million a month, came to a dramatic halt during the first half of 1986 before resuming again at considerably lower levels during the second half, only after the government had lowered the top Bass Strait excise rate from 87 per cent to 80 per cent.Government revenue from Bass Strait excises, which reached a record $4.2 billion in 1984-85, fell slightly to $4 billion in fiscal 1985-86 and is forecast to tumble to $1.7 billion during 1986-87.The industry was granted a slight relief from the pressures of low oil prices during the second half of 1986 by the temporary scrapping of onshore levies and a reduction in the top Bass Strait levies. It was unclear, however, at the time of going to press just how long the government was prepared to continue with the tax holiday.The short to medium term outlook is far from healthy. The continuing world over-supply of oil is expected to last until at least the end of the decade, and perhaps into the 1990s. The OPEC nations continue to struggle with meeting the level of production ceilings which will ensure long term oil price stability. While signs are hopeful that OPEC may succeed in holding production at around 16-17 million barrels a day (mmbpd), continuing high output from the non-OPEC countries ensures the prospects for prices firming much above the US$15-18/barrel range for any length of time are not bright. The market supply/demand equation will ensure world prices remain precariously balanced for some time to come.
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Fenton-Smith, Ben. "Discourse structure and political performance in adversarial parliamentary questioning." Journal of Language and Politics 7, no. 1 (May 26, 2008): 97–118. http://dx.doi.org/10.1075/jlp.7.1.05smi.

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One of the most high-profile and glamorous speech situations to occur in many parliamentary democracies around the world is the spectacle of Question Time. Whereas most of what goes on in parliament may be drab, perfunctory and arcane, Question Time is often dramatic, adversarial, and highly publicised. It is, generally, the only parliamentary procedure to be televised and stands out in the public mind as one of the primary tests of a politicians ability to perform. But how might this performance be judged? Strangely, there has been little systematic linguistic research into the characteristic ways in which this political theatre is stage-managed by its actors. Using the Australian federal parliament as a case study, this paper attempts to elucidate some of the patterns that emerge from a close analysis of all opposition questions directed to government members over a weeks sitting of both the House of Representatives and the Senate. Utilising the tools of systemic functional grammar, recurring discourse structures are identified as standard techniques of formal interrogation between political parties.
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Herliana, Emmelia Tricia. "PENERAPAN KONSEP TRIAS POLITICA PADA MORFOLOGI DAN TIPOLOGI KOTA WASHINGTON, D. C. DAN CANBERRA." Jurnal Arsitektur KOMPOSISI 11, no. 3 (May 1, 2017): 267. http://dx.doi.org/10.24002/jars.v10i4.1101.

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Abstract: City planning is intended to create better living environment for its residents. A city is ‘a living laboratory’ that can be learned by people from different nations and cultures or even by the next generation, particularly by the next city planners. The morphology and typology of Washington, D.C. and Canberra, as federal capital cities of the central government, are determined by the early phase of planning, in which the planners interpreted the concept of the power system that each government has and implemented it to the structure of city. This study has an aim to oversee and compare the implementation of governmental power system in USA and Australia to the urban structure of their civic center. Both of them are democratic nations, which apply the concept of “Trias Politica”, and this concept is implemented within the morphological and typological structure of the capital cities. The method to discuss this topic is, firstly, by describe the history of city planning and design of the two cities. Secondly, the difference of the implementation of “Trias Politica” concept to the basic concept of planning and to the elements of morphology and typology of each city is analyzed. Thirdly, the conclusion of previous discussion is configured. The result of this study is a comparison of the implementation of the concept in differentiating power of legislative, executive, and judicative to the city planning which applied Baroque and Beaux-Arts ideas on Washington, D.C. and Canberra.Keywords: Morphology, typology, capital city, civic center, “Trias Politica”Abstrak: Perencanaan kota bertujuan untuk menciptakan lingkungan bermukim yang lebih baik bagi penduduk kota. Kota yang direncanakan dengan baik diharapkan akan dapat berfungsi dengan baik pula. Morfologi dan tipologi Kota Washington, D.C. dan Canberra, yang berfungsi sebagai ibukota pusat pemerintahan, sangat ditentukan oleh bagaimana para perencana dan perancang kota sejak awal menterjemahkan sistem kekuasaan yang dianut oleh pemerintah negara tersebut ke dalam struktur kota. Studi ini bertujuan untuk melihat dan membandingkan bagaimana konsep yang dianut oleh kedua negara, yaitu United State of America dan Australia, di dalam menjalankan kehidupan bernegara yang menerapkan paham demokrasi, yaitu konsep “Trias Politica”, diterapkan pada struktur morfologi dan tipologi ibukota kedua negara. Metoda pembahasan yang digunakan adalah dengan menguraikan sejarah perencanaan dan perancangan kota Washington, D. C. dan Canberra, menganalisis perbedaan penerapan konsep “Trias Politica” pada konsep dasar perancangan dan unsur-unsur morfologi dan tipologi masing-masing kota, serta menarik kesimpulan dari pembahasan tersebut. Hasil dari studi ini berupa perbandingan penerapan konsep pembagian kekuasaan pada paham demokrasi melalui perancangan kota yang menerapkan gagasan Baroque dan Beaux-Arts pada kota Washington, D.C. dan Canberra. Studi ini dapat dijadikan sebagai bahan pembelajaran dan dapat diambil maknanya apabila para perencana dan perancang kota dihadapkan pada permasalahan di dalam merencana dan merancang kota atau mengevaluasi perencanaan dan perancangan yang sudah ada.Kata kunci: Morfologi, tipologi, ibukota, pusat pemerintahan, “Trias Politica”
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Rawling, Michael, and Eugene Schofield-Georgeson. "Industrial legislation in Australia in 2018." Journal of Industrial Relations 61, no. 3 (May 1, 2019): 402–20. http://dx.doi.org/10.1177/0022185619834058.

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It has been a quiet year like last year for the passing of federal industrial legislation (due to a number of factors, including the political turmoil of the federal coalition government and their lack of an overall labour law reform agenda). This article examines key federal industrial legislative developments including the Modern Slavery Act 2018 (Cth). The article identifies that the federal Act contains much weaker compliance measures than the counterpart New South Wales legislation also passed in 2018 – the Modern Slavery Act 2018 (NSW). Also, although the Coalition government has attempted to continue to prosecute its case for further union governance measures, this agenda has been less successful than in previous years, with key government Bills not yet passed by the Parliament. The stagnation in the federal Parliament continues to motivate certain State Parliaments to address worker exploitation, and the article goes on to examine key State industrial legislation passed in 2018 including the Victorian labour hire licensing statute. In light of the continuing dominant position of the federal Labor opposition in opinion polls and an impending federal election in 2019, the article concludes by briefly considering the federal Labor opposition's agenda for industrial legislation.
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Butler, Julia. "Law Libraries in Australia - Government Libraries." International Journal of Legal Information 28, no. 2 (2000): 429–32. http://dx.doi.org/10.1017/s0731126500009203.

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Since the mid 1980's to the present time there has been an unprecedented attitudinal change by governments, both at the federal and state levels, regardless of political persuasion, towards the role of the public sector. There has been a sustained policy to wind back the size of the Public Service across the board.
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40

Biggs, Anthony G. "HORTICULTURAL RESEARCH IN AUSTRALIA." HortScience 27, no. 6 (June 1992): 608f—608. http://dx.doi.org/10.21273/hortsci.27.6.608f.

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Australian horticultural research and development is now co-ordinated by an industry supported, federal government statutory body — the Horticultural Research and Development Corporation (HRDC). The Corporation, constituted in 1987, co-ordinated project funding to the value of just over $10 million in 1991/92. More than 300 projects are now supported, covering all sectors of horticulture. Federal government funds are available to match industry contributions to a value of up to 0.5% gross value of product. Traditional funding organisations are reducing commitments to research and development, thus placing increasing pressure on industries to help themselves on a user-pays basis. Examples will be provided of completed projects which are proving of great value to Australian horticultural domestic and export opportunities.
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Rawling, Michael, and Eugene Schofield-Georgeson. "Industrial legislation in Australia in 2017." Journal of Industrial Relations 60, no. 3 (April 20, 2018): 378–96. http://dx.doi.org/10.1177/0022185618760088.

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This article examines key industrial legislation passed by federal Parliament in 2017. The main development in federal industrial legislation for this year, which passed with bipartisan support, saw a weakened Coalition Government (forced from its traditional industrial relations (IR) stance) act to improve protections for vulnerable workers. This initiative introduced extended liability provisions regulating franchisors and holding companies. However, these provisions are a narrow response to an economy-wide problem because they do not establish measures to better regulate supply chains, labour hire and gig economy arrangements for the protection of vulnerable workers. Back in more familiar territory, the Coalition Government managed to implement part of its agenda to further regulate unions by establishing legislation that criminalises bargaining payments by employers to unions. A constitutional crisis over the citizenship status of federal Parliamentarians prevented the Coalition Government from passing legislation designed to curtail trade union activities. The article also considers significant State legislative developments including the introduction of mandatory labour hire licensing laws in South Australia and Queensland, industrial manslaughter laws in Queensland and regulation of ridesharing arrangements in Victoria. The article concludes by contrasting federal criminal penalties against union activity with civil penalties for businesses that exploit vulnerable workers, before suggesting future directions in industrial legislation.
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42

Ritchie, Donald A. "Oral History in the Federal Government." Journal of American History 74, no. 2 (September 1987): 587. http://dx.doi.org/10.2307/1900141.

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Schofield-Georgeson, Eugene, and Michael Rawling. "Industrial legislation in Australia in 2019." Journal of Industrial Relations 62, no. 3 (April 2, 2020): 425–45. http://dx.doi.org/10.1177/0022185620911682.

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In this 2019 electoral year, a federal Morrison Liberal Government was returned to power with little in the way of an industrial agenda. It failed to implement its key legislation, which mainly included reform to union governance and changes to religious freedom in the workplace. Meanwhile, the state governments, particularly the Victorian Andrews Labor Government, reviewed a swathe of labour law, including wage theft, industrial manslaughter, owner–driver legislation and workers' compensation laws and implemented a host of progressive changes. This year has also seen the continuation of a key policy trend, observable at both state and federal levels of government, towards regulation of aspects of industrial relations by the state that were once exclusively the province of employers and trade unions through a twentieth-century system of conciliation and arbitration.
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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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45

Omelyanovskiy, V. V., E. S. Saybel, T. P. Bezdenezhnykh, and G. R. Khachatryan. "The health technology assessment system in Australia." FARMAKOEKONOMIKA. Modern Pharmacoeconomic and Pharmacoepidemiology 12, no. 4 (February 18, 2020): 333–41. http://dx.doi.org/10.17749/2070-4909.2019.12.4.333-341.

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In Australia, the federal government is in charge of providing the health care to patients. The government agencies determine the list of reimbursable pharmaceuticals and medical services and also define the preferential categories of the population. The states and territories may have their own health care programs in addition to the federal ones. The Pharmaceutical Benefits Advisory Committee (PBAC) is responsible for the health technology assessment (HTA) and decides which technology is eligible for reimbursement by the federal budget. The drug evaluation process includes five stages: a review of general information about the product, assessment of its clinical efficacy, cost-effectiveness analysis, assessment of financial implications of including the drug in the reimbursement list, and consideration of any other factors that may influence the committee decision. In addition to the full reimbursement of pharmaceuticals, the committee may decide to provide funding based on a managed entry agreement.
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46

Ritchie, Donald A. "Introduction: Oral History in the Federal Government." Oral History Review 30, no. 2 (September 2003): 77–79. http://dx.doi.org/10.1525/ohr.2003.30.2.77.

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47

Leruez, Jacques, and David Hamer. "Can Responsible Government Survive in Australia?" Vingtième Siècle. Revue d'histoire, no. 55 (July 1997): 189. http://dx.doi.org/10.2307/3770589.

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48

Leitch, Shona, and Matthew Warren. "Applying classification controls to Internet content in Australia." Journal of Information, Communication and Ethics in Society 13, no. 2 (May 11, 2015): 82–97. http://dx.doi.org/10.1108/jices-08-2014-0037.

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Purpose – The purpose of this study is to explore Australian public and stakeholders views towards the regulation of the Internet and its content. The federal government called for submissions addressing their proposal, and this paper analyses these submissions for themes and provides clarity as to the Australian public and stakeholders key concerns in regards to the proposed policy. Design/methodology/approach – The paper uses a qualitative approach to analyse the public consultations to the Australian Federal Government. These documents are coded and analysed to determine negative and positive viewpoints. Findings – The research has shown, based upon the analysis of the consultation, that there was no public support for any of the measures put forward, that the Australian Federal Government in its response has not recognised this public feedback and instead has only utilised some of the qualitative feedback obtained through the public consultation process to try to justify its case to proceed with its proposals. Research limitations/implications – The study is focussed on Australia. Practical implications – The paper analyses a proposed national approach to filtering the content of the Internet and discussed the public reaction to such an approach. Social implications – The paper looks at how different parts of Australian society view Internet filtering in a positive or negative manner. Originality/value – The only study that directly looks at the viewpoint of the Australian public.
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Economou, Nick. "Elections Matter: Ten Federal Elections That Shaped Australia." Australian Historical Studies 50, no. 4 (October 2, 2019): 541–42. http://dx.doi.org/10.1080/1031461x.2019.1662542.

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50

Clyne, Michael. "Multilingualism in Australia." Annual Review of Applied Linguistics 17 (March 1997): 191–203. http://dx.doi.org/10.1017/s0267190500003342.

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Although English fulfills many of the functions of an official language in Australia, the Australian Constitution does not declare it to be the official language. Instead, it serves as the lingua franca of a culturally and linguistic diverse population. It is the language of Parliament and Administration, and the language in which official records are kept. Only on one occasion was a federal government bill passed multilingually, the Report and Recommendations of the Review of Programs and Services for Migrants (in 1978), which was written in ten languages other than English.
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