Journal articles on the topic 'Land settlement New South Wales'

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1

Dickman, Christopher R., Daniel Lunney, and Alison Matthews. "Ecological attributes and conservation of native rodents in New South Wales." Wildlife Research 27, no. 4 (2000): 347. http://dx.doi.org/10.1071/wr97133.

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In New South Wales, at least 28 species of native rodents have been recorded since European settlement. Four of these are extinct nationally, six are extinct in the State, six are vulnerable and four are endangered; only eight remain non-threatened. Declines and losses have been greatest in central and western New South Wales and least in the State’s north-east. Neither body weight nor habit are associated with status, but taxa such as Rattus species with broad diets and habitat preferences remain generally less threatened than ecological specialists. Threatening processes affect all vulnerable and endangered species, with predation from introduced carnivores, grazing from livestock, clearance of vegetation and changed fire regimes being among the most severe. No species occur entirely on reserved land, while two endangered species have no secure land tenure. A program of survey, research, management and education is proposed to help achieve recovery.
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2

Kercher, Bruce. "Commerce and the Development of Contract Law in Early New South Wales." Law and History Review 9, no. 2 (1991): 269–325. http://dx.doi.org/10.2307/743650.

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The penal colony of New South Wales was founded in January, 1788, with a population of convicts, military people, and a few civil officers. The settlement displaced one of the oldest cultures on earth, as English law failed to recognize that the Aborigines had any right to the land they had occupied for 40,000 years. On their first night ashore the women convicts were greeted by mass debauchery that deserved to be recorded by Hogarth, all under a heavy thunderstorm.
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3

Butterworth, Lee. "Investigating death in Moreton Bay: Coronial inquests and magisterial inquiries." Queensland Review 26, no. 01 (June 2019): 53–70. http://dx.doi.org/10.1017/qre.2019.2.

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AbstractEnglish common law was applied in the New South Wales penal colony when it was founded by Governor Arthur Phillip in 1788. Phillip’s second commission granted him sole authority to appoint coroners and justices of the peace within the colony. The first paid city coroner was appointed in 1810 and only five coroners served the expanding territory of New South Wales by 1821. To relieve the burden on coroners, justices of the peace were authorised to conduct magisterial inquiries as an alternative to inquests. When the Moreton Bay settlement was established, and land was opened up to free settlers, justices were relocated from New South Wales to the far northern colony. Nonetheless, the administration of justice, along with the function of the coroner, was hindered by issues of isolation, geography and poor administration by a government far removed from the evolving settlement. This article is about death investigation and the role of the coroner in Moreton Bay. By examining a number of case studies, it looks at the constraints faced by coroners, deaths due to interracial violence and deaths not investigated. It concludes that not all violent and unexplained deaths were investigated in accordance with coronial law due to a paucity of legally qualified magistrates, the physical limitations of local conditions and the denial of justice to Aborigines as subjects of the Crown.
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4

Knott, Tiffany, Daniel Lunney, Dionne Coburn, and John Callaghan. "An ecological history of Koala habitat in Port Stephens Shire and the Lower Hunter on the Central Coast of New South Wales, 1801-1998." Pacific Conservation Biology 4, no. 4 (1998): 354. http://dx.doi.org/10.1071/pc980354.

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This paper describes the vegetation of Port Stephens Shire and environs at the time of European settlement, defines the sequence of vegetation clearance since that time, and estimates the extent to which the pre-European vegetation represented Koala habitat. A study of historical records, newspapers, documents and reports was undertaken in conjunction with interviews with long-standing Port Stephens residents. The historical records show that Koalas were widespread and common during early settlement. Reconstruction of the original vegetation was based on descriptions by early explorers and settlers from the early 1800s, when settlement commenced. Most of the land on either side of the Hunter River was vegetated by Shrubby Tall Open Forest intermingling with either Open Swamp Forest, or VineFern Closed Forest, or cedar brush. The first area to be settled was the alluvial land on the banks of the rivers where the soil was fertile and well watered. Settlement proceeded rapidly in the western part of the Shire from the early 1800s, concentrating on the Lower Hunter and Williams Rivers, but not progressing to the east until much later (mid to late 1800s). The historical record was sufficiently detailed to allow reconstruction of Koala habitat distribution at the time of settlement. Ecological history is now emerging as a discipline that has far more than curiosity value. It can provide the essential framework for conserving and restoring those landscapes exploited in the first century of European settlement.
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5

R. Dickman, Christopher, Daniel Lunney, and Alison Matthews. "Ecological attributes and conservation of dasyurid marsupials in New South Wales, Australia." Pacific Conservation Biology 7, no. 2 (2001): 124. http://dx.doi.org/10.1071/pc010124.

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This paper outlines the status of dasyurid marsupials in New South Wales, Australia, and then compares the ecological attributes of threatened and non-threatened species. Of the 21 species recorded in the state since European settlement, eight are protected but not threatened, 10 are listed or proposed for listing as vulnerable or endangered, and three are presumed extinct. Status was not related to diet, habit or habitat. However, species weighing <35 g are less likely to be threatened than heavier species, while species occupying a single region are more likely to be threatened than species occurring in two or more regions. All vulnerable and endangered species occur at least partly in reserves and other areas of protected land, but are likely to be affected by one or more threatening processes. These processes differ regionally, with larger species (=175 g) being affected by a greater range of threats than very small species (<15 g). We propose a programme of survey, research, management and education to promote and sustain recoveries.
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6

Shield, Margaret. "Crown Lands Commissioners – Moreton Bay and Darling Downs, 1842–56." Queensland Review 26, no. 01 (June 2019): 71–85. http://dx.doi.org/10.1017/qre.2019.7.

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AbstractCommissioners of Crown Lands were the first government officials appointed to the newly declared pastoral districts surrounding Moreton Bay after it was opened to free settlement in 1842. These officers had a significant impact on the formation of regional communities, the administration of justice and the treatment of the Indigenous people but their primary responsibility was the implementation and enforcement of government policies relating to Crown Lands. Commissioners were required to oversee pastoral leases, ensure payment of fees for pastoral and other licences and undertake expeditions to provide the New South Wales government with information regarding the nature of the land and its resources. Extracts from the original correspondence between the Commissioners and the Colonial Secretary indicate that, despite enormous challenges, early Crown Lands Commissioners were largely successful in ensuring the orderly settlement of pastoral districts. Their success however, came at the expense of the Indigenous people, who were systematically driven from their lands without compensation and with scant consideration for their welfare.
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7

Lunney, Daniel. "Causes of the extinction of native mammals of the Western Division of New South Wales: an ecological interpretation of the nineteenth century historical record." Rangeland Journal 23, no. 1 (2001): 44. http://dx.doi.org/10.1071/rj01014.

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Twenty-four mammal species – predominantly the medium-sized, ground-dwelling mammals with a dependence on grass/herbs and seeds – disappeared forever from the landscape of the Western Division of New South Wales in a period of 60 years from first settlement in 1841. The present study examines the causes of this extinction episode by constructing a picture of the changing landscape from the historical record and interpreting the findings ecologically. The conclusions point to an extinction process that can be largely attributed to the impact of sheep, an impact that was exacerbated in the scarce and fragile refuges of the flat landscape in times of intense and frequent drought. This conclusion differs from those of many others, particularly Kerin in the Western Lands Review, who pointed to "the impact of feral animals, rather than overgrazing" as the cause of mammal extinctions, and Morton, who considered that the rabbit was "principally (although not entirely)" responsible for mammal extinctions in the rangelands. The rabbit plague in the Western Division from the early 1880s and the influx of foxes in the last years of the 19th century expedited the local demise of some species and even delivered the final blow to surviving remnant populations of a few species of native mammals but they were not the primary agent of extinction. Historical accounts give prominence to the rapidly growing wool industry in the 19th century. From its dominant position as an export commodity, wool became the chief means of the successful spread of colonial settlement. By 1853 there were about 300,000 sheep based at the southern end of the Darling on the watered frontages, which were all taken up by 1858. The west of the Darling was largely occupied by sheep farmers between 1859 and 1876. The history of settlement around Menindee from 1841 can be read as a devastating critique of the failure to realise that the west could not sustain a pattern of land use imposed on it from another world. The deterioration of the pastoral landscape was such that by the late 1880s the "walls of the pastoral fortresses... were beginning to crumble of their own accord, as the foundations on which they were built — the physical environment — altered under stresses...". The sequence of occupation and land use in the Western Division and the timing of the loss of native mammal species allows the conclusion to be drawn that it was sheep, and the way the land was managed for the export wool industry, that drove so many of the mammal species to extinction. The impact of ever-increasing millions of sheep on all frontages, through all the refuges, and across all the landscape by the mid 1880s is the primary cause of the greatest period of mammal extinction in Australia in modern times.
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8

Henry, B. K., D. Butler, and S. G. Wiedemann. "Quantifying carbon sequestration on sheep grazing land in Australia for life cycle assessment studies." Rangeland Journal 37, no. 4 (2015): 379. http://dx.doi.org/10.1071/rj14109.

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The sheep industry has played an important role in Australia’s development and economy over the 220 years since European settlement and remains an important land use in Australia, occupying an estimated 85 million ha of continental land mass. Historically, deforestation was carried out in many sheep-rearing regions to promote pasture growth but this has not occurred within recent decades and many wool producers have invested in planting trees as well as preserving patches of remnant vegetation. Although the limitations of single environmental impact studies are recognised, this paper focuses on the contribution of carbon sequestration in trees and shrubs on sheep farms to the global warming potential impact category in life cycle assessment of wool. The analysis represents three major wool-producing zones of Australia. Based on default regional yields as applied in Australia’s National Inventory model, FullCAM, CO2 removals in planted exotic pines and mixed native species were estimated to be 5.0 and 3.0 t CO2 ha–1 year–1, respectively, for the Northern Tablelands of New South Wales in the ‘high-rainfall zone’ and 1.4 t CO2 ha–1 year–1 for mixed native species in the ‘sheep-wheat zone’ of Western Australia. Applying modified factors allowing for the higher measured growth rates in regions with rainfall >300 mm, gave values for native species reforestation of 4.4 and 2.0 t CO2 ha–1 year–1 for New South Wales and Western Australia, respectively. Sequestration was estimated to be 0.07 t CO2 ha–1 year–1 over 100 years for chenopod shrublands of the ‘pastoral zone’ of South Australia but this low rate is significant because of the extent of regeneration. Sequestration of soil organic carbon in improved permanent pastures in the New South Wales Northern Tablelands was evaluated to be highly uncertain but potentially significant over large areas of management. Improved data and consistent methodologies are needed for quantification of these benefits in life cycle assessment studies for wool and sheep meat, and additional impact categories, such as biodiversity, need to be included if the public and private benefits provided by good management of vegetation resources on farms are to be more fully recognised.
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9

F. Braby, Michael, and Ted D. Edwards. "The butterfly fauna of the Griffith district, a fragmented semi-arid landscape in inland southern New South Wales." Pacific Conservation Biology 12, no. 2 (2006): 140. http://dx.doi.org/10.1071/pc060140.

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Thirty-three species of butterflies are recorded from the Griffith district in the semi-arid zone of inland southern New South Wales. The butterfly community comprises the following structure: 19 species (58%) are resident; 7 (21 %) are regular immigrants; 2 (6%) are irregular immigrants; 5 (15%) are vagrants. Except for a few migratory species, most occur in relatively low abundance. Lack of similar studies elsewhere in western New South Wales precludes generalizations regarding the species richness, composition and structure of semi-arid butterfly communities. Comparison of the butterfly fauna with that from five other inland regions on the slopes and foothills of the Great Diving Range, revealed that the Griffith district is most similar in species richness and composition to that of Deniliquin and to a lesser extent Wagga Wagga and Cowra in the south, than with two regions in the higher summer rainfall area of the north of the State (Coonabarabran-Mendooran, Narrabri-Bellata). Overall, the butterfly fauna of inland New South Wales (total of 73 species, of which 49 occur in the southern regions) is depauperate compared with that recorded from the coastal/subcoastal areas east of the Great Dividing Range. Attention is drawn to the conservation significance of several vegetation types and habitat remnants in the Griffith district. Much of the native vegetation in the district has been extensively modified since European settlement due to excessive clearing for agriculture, resulting in a highly fragmented landscape for the conservation of native flora and fauna. With the exception of the lycaenid Candalides hyacinthinus Simplex, which is considered threatened locally, there is a general absence of narrow range endemic butterflies associated with mallee-heathland or mallee-woodland, possibly as a result of widespread land clearing practices of mallee vegetation in the past.
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10

LUNNEY, DANIEL, and TANYA LEARY. "The impact on native mammals of land-use changes and exotic species in the Bega district, New South Wales, since settlement." Austral Ecology 13, no. 1 (March 1988): 67–92. http://dx.doi.org/10.1111/j.1442-9993.1988.tb01417.x.

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11

Thorpe, Bill. "Remembering Reserves: The Deebing Creek Aboriginal Mission and Cemetery in Aboriginal History and Memory." Queensland Review 9, no. 2 (November 2002): 95–113. http://dx.doi.org/10.1017/s1321816600002993.

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Eight kilometres south-east of Ipswich, along the banks of Deebing Creek, lies the site of a former Aboriginal mission reserve which, from 1892 to 1915, accommodated Aboriginal people from across Queensland, displaced from their lands by encroaching white settlement and government intervention. Some came from faraway places – Normanton, Burketown, Cooktown, Townsville, Barcaldine, St George, Alpha, Mitchell, Cunnamulla, Roma, and even New South Wales. Others were from regions adjacent to the mission such as Logan, Beaudesert and Boonah and from nearby Ipswich, Purga and Deebing Creek itself.
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12

Lunney, Daniel, and Alison Matthews. "The contribution of the community to defining the distribution of a vulnerable species, the spotted-tailed quoll, Dasyurus maculatus." Wildlife Research 28, no. 5 (2001): 537. http://dx.doi.org/10.1071/wr00018.

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Community-based wildlife postal surveys, which included the spotted-tailed quoll, were undertaken in Eden, Port Stephens, Bellingen and Iluka. This resulted in 68 records for spotted-tailed quolls for Eden, 40 for Port Stephens, 39 for Bellingen and 7 for Iluka. Such a high number of records from coastal New South Wales, with many on private lands, identifies postal surveys as a major source of previously overlooked sightings. Spotted-tailed quolls have declined in range by as much as 50–90% since European settlement, which has seen them listed as a nationally vulnerable species. There have been few surveys of spotted-tailed quolls in New South Wales due to their difficulty of detection using standard field survey techniques, such as cage trapping and hair tube sampling. Their unique appearance makes them an ideal species to include in community-based surveys. Future use of these surveys has the potential to contribute significantly to conservation programs of spotted-tailed quolls that involve private lands and local support.
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13

Armstrong, J. L., and D. H. Mackenzie. "Sediment yields and turbidity records from small upland subcatchments in the Warragamba Dam Catchment, southern New South Wales." Soil Research 40, no. 4 (2002): 557. http://dx.doi.org/10.1071/sr01065.

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Accelerated rates of soil erosion, following European settlement in Australia, pose a major threat to river ecosystems and water supply storages with agricultural catchments, such as Warragamba Dam (the main water supply dam for Sydney). Sediment yields from 1988 to 1999 have been determined by stream monitoring for 6 small grazing catchments located near Goulburn in southern New South Wales, in the outer Warragamba catchment. Average specific sediment yields were 0.07 t/ha.year from 3 small catchments of around 10 ha, where the drainage lines were not continuously gullied, and the drainage lines were undisturbed. Sediment yields from larger gullied catchments of 29, 52, and 510 ha were at least an order of magnitude higher than from the ungullied catchments at around 1 t/ha.year. Gullies continue to be the dominant source of sediment from these subcatchments despite indications that yields from gullies in the Southern Tablelands are much less than in the first few decades following settlement and are gradually declining as gullies move towards a stable vegetated state. Measured sediment yields from this study are comparable with yields for southern New South Wales determined using other methods, such as radionuclide and farm dam survey techniques. The impact of soil conservation works, such as sediment trapping and grade stabilisation works, on sediment yields can be mixed depending on the activity of the gully being treated and the mobility of the bed sediments. Turbidity levels from runoff events from the gullied catchments were an order of magnitude higher than from the ungullied catchments. For the Warragamba catchment turbidity levels are scale dependent; at the farm paddock scale turbidities are generally low where the land use is grazing, they increase dramatically at the subcatchment scale where active gullies dominate the drainage network, and then drop back again at the large river catchment scale. Turbidity is positively correlated with sediment concentration, so works that reduce sediment loads will also reduce the turbidity of water leaving the subcatchment. However, the link between high turbidity levels in small upland catchments and downstream water quality in large complex river basins is tenuous.
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14

Fletcher, Ned, and Dame Sian Elias. ""A Collusive Suit to ""Confound the Rights of Property Through the Length and Breadth of the Colony""?: Busby v White (1859) "." Victoria University of Wellington Law Review 41, no. 3 (November 1, 2010): 563. http://dx.doi.org/10.26686/vuwlr.v41i3.5215.

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In Busby v White, James Busby sought to challenge the validity of the Land Claims Ordinance 1841 which treated his pre-Treaty of Waitangi land purchases as "null and void". He had campaigned against the New South Wales statute which preceded the Ordinance, and throughout the 1840s continued to argue against the legislation through political channels, while maintaining his claim to hold the lands under his "native title". By the 1850s holding by "native title" was increasingly precarious as the Government moved to acquire Busby's lands for the purposes of settlement. Busby was forced to law. His aim was to set up the validity of the legislation as a question of law which could be taken to the Privy Council for authoritative resolution. Busby v White was the second attempt to establish a platform for appeal. As in his earlier claim, Busby v McKenzie, the Supreme Court avoided a determination on the merits, thus thwarting Busby's strategy of appealing to London. Although no substantive decision was delivered, the extensive argument was fully reported in The Southern Cross newspaper, from which the Lost Cases Project has recovered it. Its interest today is in arguments which question the course set by R v Symonds (1847) on the nature of native property in New Zealand and the subsequent relegation of the Treaty of Waitangi to legal limbo in Wi Parata v Bishop of Wellington (1877).
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Kreeb, KH, RDB Whalley, and JL Charley. "Some investigations into soil and vegetation relationships associated with alkaline-saline soil surfaces in the Walcha area, Northern Tablelands, New South Wales." Australian Journal of Agricultural Research 46, no. 1 (1995): 209. http://dx.doi.org/10.1071/ar9950209.

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The characteristics of the soil, vegetation and groundwater at a dryland salinity site on Miramoona, a property near Walcha on the Northern Tablelands of New South Wales, were investigated. Soil parameters measured at 23 points along a 200 m transect were highly correlated with the pattern of vegetation. Of overriding significance was soil pH, which varied from a high of over 10 on bare areas delineated by Critesion marinum and Cynodon dactylon to a low of less than 5 on grazing land supporting the growth of a wide range of pasture species. The bare areas were characterized by alkalinity. While they were sodic at all depths measured, they were only marginally saline and then only at the soil surface. The chemical composition of the groundwater collected from three piezometer tubes varied quite markedly over the site. It is hypothesized that the presence of alkaline bare areas on the Northern Tablelands is not a new problem, but rather the natural result of alternating wet and dry periods which have induced accumulation of carbonates and bicarbonates of the alkali cations, notably sodium. Drainage of the original perched swamps by the early landholders, tree clearing and the grazing of domestic livestock would have accelerated the process since European settlement. However, tree planting would appear unlikely to have any impact on the reclamation process in the short term. A more viable option would be the recreation of the original swamps in suitable situations, although this solution would create problems for grazing management.
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Quinn, Michael. "Rights to the rangelands: European contests of possession in the early 20th century." Rangeland Journal 23, no. 1 (2001): 15. http://dx.doi.org/10.1071/rj01011.

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Resolving competition over rights to the resources of Australia's rangelands is an issue of national prominence. In the early 20th century, European competition over the rangelands reflected the idea that the land needed to be used 'productively' for its occupation to be legitimate, and the idea that the rangelands were the 'public estate'. These perspectives about rights to the rangelands expose roots of today's conflicts. A central theme of 19th century Australian history has been conflict between squatters and colonial governments. By the beginning of the 20th century, occupation of the rangelands had been mostly legitimised through leases and licenses. Governments have continued to use leases to influence access and the use of the rangelands. The 20th century saw conflict continue over rights to the rangelands. Closer settlement, an expression of this conflict, sometimes led to land use that was disastrous for the land and those who used it. The career of the pastoralist Sidney Kidman illustrates the conflicts between the landed and landless, and the inseparability of 'productive' and 'legitimate' land use. The beginning of the 20th century also saw growing knowledge about the environmental impacts of rangeland pastoralism. The rights of lessees and governments were widely renegotiated, in the example of New South Wales, in all attempt to make land use better reflect this new knowledge and to protect the 'public estate'. Today, the history of the rangelands is used by different groups to justify perceived rights to its resources — these rights are legitimised culturally as well by the narrower prescriptions of the law. As social values change, different interests in the rangelands need to be accommodated. A better awareness of past ideas about the rights to the rangelands may in a small way help reconcile these interests, if only by reminding us that in the continuing process of adapting to the rangelands, rights have always been contested and negotiated rather than immutable.
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17

Zernetska, O. "William Wentworth – Democrat by Worldview, Australian Politician and Explorer by Calling." Problems of World History, no. 8 (March 14, 2019): 185–99. http://dx.doi.org/10.46869/2707-6776-2019-8-10.

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The article is dedicated to William Charles Wentworth, the leading Australian political figure during the first half of the 19th century, whose lifelong work for self-government culminated in the NewSouth Wales in 1855. While detecting his life-long activity we come to the conclusion that he was an exceptionally talented men: explorer, author, gifted barrister (he graduated from CambridgeUniversity with honours), landowner, and statesman. In 1819 he published a book “Statistical, Нistorical, and Political Description of The Colony of New South Wales and Its Dependant Settlements in Van Diemen’s Land” which was the first book of Australia written by native-born Australian. The analyses of this outstanding magnum opus, written by a young man before his thirties, allow to state that his book did much to stimulate emigration to Australia. It was reissued in revised and enlarged editions in 1820 and 1824. It is found out that while returning to Australia, Wentworth as a gifted orator and excellent journalist became the colony’s leading political figure of the 1820s and 1830s, calling for the abolition of convicts’ transportation and establishing representative government, freedom of the press and trial by jury. It is disclosed how he struggled for the Legislative Council (Parliament) and new Constitution in 1840s and 1850s; how he made primary education for all children in the colony a reality and did his utmost to open Sydney University. In sum: this great son of Australia accomplished everything he planned for his native land.
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18

Seddon, Julian A., Andre Zerger, Stuart J. Doyle, and Sue V. Briggs. "The extent of dryland salinity in remnant woodland and forest within an agricultural landscape." Australian Journal of Botany 55, no. 5 (2007): 533. http://dx.doi.org/10.1071/bt06100.

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Dryland salinity is considered a significant and increasing threat to sustainable land management and biodiversity across large parts of temperate Australia. However, there is little information on the extent of this threat to terrestrial ecosystems in south-eastern Australia. This paper provides a quantitative assessment of the extent of dryland salinity in remnant native woody vegetation in the agriculture-dominated landscape of the Boorowa Shire located in the South West Slopes bioregion of south-eastern Australia. The amount and type of native woody vegetation in the Boorowa Shire affected by dryland salinity was assessed by analysing the extent of overlap between the following three spatial data layers: (1) woody vegetation mapping derived from high-resolution satellite imagery, (2) existing vegetation community mapping predicted from field data and expert opinion and (3) existing dryland salinity outbreak mapping derived from air photo interpretation and filed verification. There were more than 6000 patches of salt outbreak in woody vegetation in the Boorowa Shire, 383 (6%) of which were 1 ha or larger in area. Almost 2000 ha of woody vegetation were affected by dryland salinity, representing ~3% of the extant native woody vegetation in the Boorowa Shire. The vegetation type with the largest total area affected by dryland salinity was yellow box (Eucalyptus melliodora Cunn. Ex Schauer)–Blakely’s red gum (E. Blakelyi Maiden) woodland. As a proportion of their current extent, vegetation communities lower in the landscape were significantly more affected than those higher up the topographic sequence, with 14% of riparian communities and nearly 6% of yellow box–Blakely’s red gum woodland exhibiting symptoms of dryland salinity. About 1% of white box (E. albens Benth) woodland, and of hill communities which are on mid- and upper slopes, were affected. The pattern of salinity outbreaks in relation to landscape position and vegetation type is significant for biodiversity conservation because the vegetation communities most affected by salinisation are those most heavily cleared and modified post-European settlement. Throughout the South West Slopes of New South Wales, remnants of riparian communities and yellow box–Blakely’s red gum woodland are highly cleared, fragmented and degraded. Dryland salinity represents an additional threat to these vegetation communities and their component species. Salinisation of woodland ecosystems poses significant problems for land managers. The long-term viability of these woodland remnants needs to be considered when allocating limited public funds for woodland conservation, whether on private land or in formal reserves.
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Starbuck, Nicole. "French Designs on Colonial New South Wales: François Péron's memoir on the English settlements in New Holland, Van Diemen's Land and the archipelagos of the great Pacific Ocean." Journal of Pacific History 50, no. 3 (July 3, 2015): 374–75. http://dx.doi.org/10.1080/00223344.2015.1071183.

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20

Chowdhooree, Imon, and Ishrat Islam. "Factors and actors for enhancing community flood resilience." International Journal of Disaster Resilience in the Built Environment 9, no. 2 (April 9, 2018): 153–69. http://dx.doi.org/10.1108/ijdrbe-12-2016-0056.

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Purpose Enhancing community flood resilience is a critical aspect of flood risk management that requires a systematic process of capacity building through incorporating mitigation measures. The inhabitants of South Rishipara, a riverside settlement of Bangladesh, are accommodating themselves in a flood-prone location through modifying their built environment. The purpose of this study is to conduct a detailed investigation regarding the built environment development and find out roles of different actors and contributing factors for enhancing community flood resilience. Design/methodology/approach This case study-based post-positivist research uses multiple lines of inquiries, which include focus group discussions, transect walks, in-depth semi-structured interviews, pair-wise comparisons and a questionnaire survey, mostly in a participatory appraisal manner to obtain data about community experiences and perceptions. Findings About 66.7 per cent of respondents identified themselves as severely affected by flood before the recent development with increased elevation of land, flood protection walls, reclaimed land from the river, underground drainage system, a new layout of plots and houses of better quality. In the post-development situation, not a single respondent identified him/ her in that condition. “Coordination and cooperation among GOs, NGOs and donor agency” (GO: governmental organization; NGO: nongovernmental organization) and “awareness about the flood vulnerability” were identified as key factors and the NGO was identified as the key actor for enhancing community flood resilience by the survey participants. Originality/value This research, through exploring the nuanced relationship between built environment development and community resilience, will contribute to address uncertainties associated with community capacities to respond to risks.
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Noble, JC, MA Habermehl, CD James, J. Landsberg, AC Langston, and SR Morton. "Biodiversity implications of water management in the Great Artesian Basin." Rangeland Journal 20, no. 2 (1998): 275. http://dx.doi.org/10.1071/rj9980275.

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The Great Artesian Basin (GAB) underlies a vast, mainly arid, region where most of the indigenous biota are not dependent upon surface water. In contrast, an important minority is dependent on refuges such as mound springs and their associated wetlands. In some parts of the GAB, such as western New South Wales, many springs have either ceased to flow, or are now barely detectable, because the proliferation of artesian waterbores has reduced groundwater pressures. Because of the rarity of species endemic to mound springs, and the damage they have suffered since pastoral settlement, emphasis should be directed towards conservation and possible rejuvenation of these ecosystems. Provision of artificial sources of water allows more widespread grazing by livestock, larger native and feral herbivores, thereby posing threats to native plants and animals that do not use the water. Because of the proliferation of artificial waters and the grazing they allow, terrestrial grazing-sensitive species now appear to be confined to tiny patches in the landscape. Some nature reserves within the GAB retain numerous artificial sources of water. Most of these should be closed over time to reduce negative impacts on grazing-sensitive plants and animals, especially where these species are inadequately protected elsewhere. In those regions where the ratio of artificial to natural waters is still low, consideration should be given to balancing provision of water for livestock with conservation of biological diversity, by maintaining a patchwork of areas remote from water. In regions where the density of artificial waters is high, conservation of biodiversity on freehold and leasehold lands might be enhanced with a mix of approaches accommodating the needs of the biota and the aspirations of landholders, tailored according to land type and condition. Key words: Great Artesian Basin, biological diversity, mound springs, refuges, rare biota, grazing impact, conservation management, groundwater.
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22

Komar, Oleksii, and Artem Borysov. "The “Our Pagans” of the Kiev land: stages of settlement and the landscape-geographical niche of nomads in agricultural society." Stratum plus. Archaeology and Cultural Anthropology, no. 5 (October 29, 2021): 15–39. http://dx.doi.org/10.55086/sp2151539.

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The paper analyzes the issue of the spatial and ecological niche of the nomadic population of the south of the Kiev principality (“Black Hats”), as well as the dynamics of the settling in the Ros’ river basin in the 11th—13th centuries. An important part in the spatial organization of the Ros’ river basin was the multi-row system of long walls, which divided the steppe zone into closed sectors. Nomadic burials were not discovered yet in the large northern sector (“Perepetovo Pole”), it was used as a buffer between nomads and farmers of the Stugna river basin. The area of burial mounds concentration is characterized by a lower amount of precipitation and a higher winter temperature, which makes it suitable for winter pastures. The more humid northwestern part with single burials was used for seasonal migrations in summer. There are four main episodes of the nomad influx in the Ros’ river basin detected. The wave of the 11 th century were Torks and Pechenegs, they occupied the space between the Rosava and the Dnieper. Migrants of the 12 th century wave were added to the Rosava basin, but they also left burials near Vyshgorod. The third big wave of the Cuman origin came in 1223—1241. They occupy both the main area of the “Black Hats” and new sectors along western Ros’. The Yablunivka burial ground of the 2nd half of the 13th—14th centuries should be withdrawn from the list of the “Our Pagans” sites. It arose after the migration of a group of the North Caucasian population during the Golden Horde stage.
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23

Griffiths, Tom. "How many trees make a forest? Cultural debates about vegetation change in Australia." Australian Journal of Botany 50, no. 4 (2002): 375. http://dx.doi.org/10.1071/bt01046.

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Environmental history, as it has emerged in recent years, is most distinctive in the way it illustrates a serious engagement between the disciplines of ecology and history. This article begins with an exploration of the lineage and promise of environmental history, particularly in the Australian setting. It then analyses a number of the cultural debates about vegetation change in Australia—about clearing, open landscapes, scrub encroachment and burning practices—and draws attention to the way that morals, politics and aesthetics shaped environmental perception and still do. Clearing was the dominant discourse in the history of landscape change and a legislative requirement for secure settlement. At the same time, criticism of clearing and its effects represented an early conservationist sensibility, but the heroic pioneering labour of clearing, the political imperatives associated with it and the escalating ecological legacy it generated, have sometimes made us forget how open was much of the Australian landscape when Europeans first arrived. The morality of clearing—the arguments for and against—focused the minds of settlers on the trees and the loss of them, while the aesthetics of pastoralism attracted their eyes to the grasslands and made them rejoice in the curious legacy of 'open' landscapes. In the early nineteenth century, the most common usage of the word 'forest' was to describe land fit to graze: 'according to the local distinction, the grass is the discriminating character [of forest land] and not the Trees'. At the same time, pastoralists were unwilling to recognise the role of Aboriginal people in creating such open landscapes and this reticence to acknowledge the Aboriginality of the pastoral economy persists today. This in turn affected the way settlers perceived the new forests that appeared after European invasion. The fate of the vegetation Europeans found has understandably been so much the focus of science and history—its removal, replacement, utilisation, modification and conservation—that 'new forests' easily escape scholarly attention; and being new, they seem far less valuable and threatened. They have generally been perceived as a nuisance, as enclosing and encroaching, as 'scrub', as 'woody weeds'. The politics of understanding regrowth are related not only to the issues of clearing and density, but especially to the culture of burning in Aboriginal and settler society and its implications for management and biodiversity. If the coming together of ecology and history best defines the new 'environmental history', then the most illuminating confluences are those where each discipline helps the other to identify what constitutes a unique 'event', both ecologically and historically. The article therefore finishes with examples of events in two landscapes—the long drought of the 1890s in western New South Wales and the Black Friday bushfires of 1939 in the mountain ash forests of Victoria—to illustrate how each emerges as an intriguing artefact of nature and history, a cultural exaggeration of a natural rhythm. Even as we discover the ecological depth of each apparently 'natural' event, we are reminded of its historical specificity.
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Mo, Matthew, Mike Roache, Rebecca Williams, Ian N. Drinnan, and Beth Noël. "From cleared buffers to camp dispersal: mitigating impacts of the Kareela flying-fox camp on adjacent residents and schools." Australian Zoologist 41, no. 1 (January 2020): 19–41. http://dx.doi.org/10.7882/az.2020.002.

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The management of the Kareela flying-fox camp in southern Sydney, New South Wales, is a case study of the challenges faced by local councils trying to mitigate negative impacts from flying-foxes on their communities. When flying-foxes were discovered roosting in Kareela in February 2008, local residents and schools complained to the public land manager, Sutherland Shire Council. Concerns were mainly about the impacts of flying-fox faeces, noise and odour, and fear of disease. Initially, branches overhanging affected properties were removed to mitigate the issue. Ongoing impacts prompted council to clear vegetation from the fringes of the camp, creating a buffer area. These buffers provided physical separation but reportedly caused noise impacts to intensify during peak influxes of flying-foxes when animals appeared to be unsettled from being concentrated into a smaller area of roosting habitat. Camp dispersal was advocated by some stakeholders seeking swift resolution. Others rejected the idea, considering the high cost and poor success rate of camp dispersal attempts elsewhere. Subsequently, several key stakeholders including direct neighbours of the camp renounced their support for camp dispersal. Council proceeded with camp dispersal, which only achieved a temporary absence of flying-foxes from Kareela. During this time, a new flying-fox camp formed 3.5 km away. Flying-foxes subsequently returned to the Kareela camp 15 months after the initial dispersal. This case study demonstrates the many interacting factors involved in managing flying-fox camps that have impacts on human settlements. Moreover, the Kareela case study adds to the list of flying-fox dispersal attempts in eastern Australia that have been ineffective in permanently removing flying-foxes from a camp. The case study also highlights the importance of understanding the social and political context of flying-fox camp management, in addition to flying-fox ecology.
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25

Bikić, Vesna, and Ivan Bugarski. "An archaeological sketch of the Belgrade district of Dorćol and the El Kal Viejo Synagogue." Nasledje, no. 23 (2022): 9–44. http://dx.doi.org/10.5937/nasledje2223009b.

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After four decades, in 2018, the experts of the Institute of Archaeology had the opportunity to undertake further research in the area of the El Kal Viejo (Old) Synagogue in Visokog Stevana Street. This new research has confirmed, and greatly supplemented, previous knowledge about the settlement of the Dorćol riparian zone through different prehistoric and historical eras. Following the identification of the foundations of the synagogue and definition of its construction phases, excavations of the deeper layers began. While no evidence of Neolithic occupation was found, sporadic finds of Eneolithic artefacts have yielded new information on the sequence of prehistoric cultures in the riverine area. Although limited to the parcel of land and dictated by the disposition of solid walls and the subterranean water level, the excavations brought to light the partial remains of two dugout houses belonging to the Iron Age and Late La Tène period were discovered, while traces from the Roman period were somewhat sporadic, being best represented by a pit dating to the 4th century AD. A damaged necropolis and a cultural layer belonging to the 10th-11th centuries represent the earliest evidence of the structure of Belgrade's suburbs in the Middle Ages. A settlement layer dating to the 11th-12th centuries was also documented, evidenced by a dwelling - only partially excavated - that, on the basis of pottery finds, was dated to the late 12th century. In accordance with previous investigations, traces of the later medieval period up until the 15th century are almost completely absent. That horizon, best represented by a sunken-floored house rich in ceramic artefacts, represents the culmination of the riparian zone's rural characteristics. An era of solid architectural constructions followed, but the remains of the buildings dating to the 16th-17th century cannot be reliably interpreted. A series of walls, retaining walls and floors were discovered, with some of these being incorporated into the later synagogue building. This simple construction, with a rectangular footprint, measuring 20m x 9m, paved with bricks and with massive pillar bases, was built at a time post-dating 1632. Based on numismatic finds, we also know that a major renovation of the synagogue, with the later structure retaining the same dimensions, was carried out at some point after 1770. Written sources also report in detail about a final renovation undertaken in 1819. The synagogue was expanded through the construction of an apse to the south and an annexe to the north. The synagogue was damaged in 1941, and, after the end of the Second World War, its remains were buried, with the entire plot completely changing in appearance. The synagogue, however, did not disappear from memory, and its ruins remain as a testament to Belgrade's rich history.
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Henningsen, Helle. "Koustrup –En middelalderlig torp i Vestjylland." Kuml 51, no. 51 (January 2, 2002): 221–66. http://dx.doi.org/10.7146/kuml.v51i51.102998.

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KoustrupA medieval thorp in Western JutlandIn the mid-1980s, a farmer ploughed up stones and clay on some fields adjoining an old road in an area known as Koustrup in the parish of Velling near Ringkøbing (fig. 1). Following this, amateur archaeologists investigated the area and located five medieval farm sites. Four farm sites were on the southern side and one was on the northern side of an east-west running road, which may go back to the Middle Ages. Some of the farm sites were visible on aerial photos (fig. 2).The farms were built on a moor in the early Middle Ages, and the settlement was probably inhabited until the 14th century. Ringkøbing Museum investigated the westernmost farm site in 1992 without recovering definite house remains. The second farm site from the East was excavated in the summers of 1994 to 1996.This paper presents the results of these in vestigations.The area to be excavated was divided into two large areas, I and II. A dwelling house and its surroundings were excavated in area I (fig. 3), and the remains of farm buildings and other structures in area II.The dwelling house first appeared as an oblong clay area: the clay floor (fig. 4). Along the edges of this floor, some large stones appeared. They were arranged in a row, and although some were missing, it was clearly the remains of a sill. In the middle of the northern row of sill stones there was a bay-like projection (fig. 5). There were only a few post holes in the house, and although some were following the axis of the house, the house did not seem to have had central roof-carrying posts. More likely, the walls were carrying the roof. Some postholes aligned across the house towards each end may indicate partition walls that divided the house into a large middle room and two smaller gable rooms. The gables were difficult to distinguish, but two oval pits containing stones may be the remains of the western gable (fig. 6), whereas a very deep posthole towards the south-east marked one corner of the eastern gable. The oldest fireplace in the house was a pit, which may have had a wooden superstructure, perhaps a spark-catcher (fig. 7). Along the inside of the northern wall east of the projection were the remains of an oven, which had had a mud-built vault. This oven belongs to the latest phase of the house. There were also traces of a couple of fireplaces on the clay floor. Postholes outside the house indicate a couple of light wooden buildings close to the dwelling house. Traces of another oven were found at the middle of the southern house wall. In the eastern end of the house was a 3-m long stone-lined pit (fig. 8), which is interpreted as a low cellar. Two stone-paved areas were excavated at the east end of the house. They may be connected with entrances in the eastern gable.The majority of the finds from the dwelling house are potsherds of the local brown/grey, coarsely tempered ware also known from the oldest layers of Ringkøbing (fig. 9). The numerous rimsherds with flanged rims indicate that the clay vessels are mainly of the gloular type (fig. 10). The rimsherds could be divided into three main groups: A, with a curved flanged rim (fig. 11); B, with a rim bent outward in an almost right angle (fig. 12); and C, with a pronounced bend between the neck and the rim and a wide rim meant to support a lid (fig. 13). Apart from sherds from globular vessels, there were sherds of unglazed jugs, dishes, and bowls (fig. 14). Only a few sherds from glazed jugs were found, one with a twisted handle (fig. 15). Other artifacts from the dwelling house were whetstones made from Norwegian micaschist (fig. 16) and some rusty iron objects, mainly nails and spikes.The dwelling house remains in area I are well preserved, although marked by cultivation in modern times. The house had a width of 5.5 meters and a length of 18 meters. Charcoal from the cooking pit and from a waste layer outside the projection were C14-dated. The result shows that the house was in use in the decades around 1250. Together with the artifacts, this point s at the 13th century as the function period.The knowledge of medieval country houses in Western Jutland is sparse, as it is limited to just a few finds. The dwelling house of an excavated medieval farm by Fjand also had a row of sill stones, but in this case, the sill was supporting massive turf walls, and the roof was supported by central roof-carrying posts. Turf walls in combination with central roof-bearing posts were common in areas with sparse timber. However, in Koustrup there was enough timber available for building, and the walls were probably half-timbered and fixed in a sill beam resting on the sill stones. The small projection in the north wall is unusual in the Danish material.Area II was situated south east of area I. It was laid out in order to locate the farm buildings of the medieval farm. Aerial photos showed faint house silhouettes in th is place. However, very little was preserved (fig. 17).The northern part of the area was characterized by a large peat layer, which had been filled into a 60- cm deep hole dug into the hill from the east – perhaps a store for house building, or for bedding in the stables. Later, a small peat-wall building with an oven (C, fig. 1 8) was erected on top of the layer. The surface had traces of two more fireplaces: A, by the western edge of the area, and B, some four meters from the western edge. In and around these structures were several medieval potsherds (fig. 19).South of the large peat blotch were the traces from a building running north-south. Unfortunately, only traces of the western wall were found, but enough of this was left for three building phases to be established. The older phase was represented by a row of postholes, which could be followed for 15 meters. The southernmost 9.5 meters consisted of six pairs of double posts. When the building was altered, these walls were replaced by peat walls resting in foundation trenches. When these walls were later replaced, new foundation trenches were dug into the old ones. However, this time stones were placed in the ditches before the peatwalls were erected on top (fig. 24). In the middle of the long wall was an interval without stones, perhaps indicating a door.Area II did not provide as much pottery as area I. Some sherds from globular vessels with the rim forms A, B, and C were collected, but just a single glazed sherd. A quern stone of garnet micaschist originates from Norway (fig. 21). Several rusty iron items were found in the area, mainly nails.The most interesting single find was a small Romanesque bronze cross (fig. 22). It was found using a metal detector and measures 3.6 x 2.8 cm. The weight is 7 g. The cross is from c. 1200 and has an ornamentation of engraved lines with traces of gilt. A missing cross arm may indicate that the cross was broken off a casket or other item.Although there were no instantly recognizable house sites, we have established medieval activity in area II. Whether the structural remains are from the farm’s stables and barns, or the remains of an older croft settlement is unknown.Aerial photos and investigation of the two areas showed trenches and ditches that may have been part of the demarcation of the medieval croft (fig. 24). A ditch running along the northern side of the dwelling house in area I may indicate the northern end of the croft. In area II, the structural remains were cut by two succeeding north-south running ditches, the assumed eastern end of the croft. Southernmost in area II was a large peat-filled ditch running east-west, which may indicate the southern perimeter (fig. 23).The early Middle Ages were times of prosperity for North-western Europe, and so the populations grew. New land was put under the plough, and many left their villages in order to found new settlements, the so-called thorps. In Denmark, around 4000 localities with the name ending ”- torp ” or the derivatives ” -tarp ”, or ”-trup ” are known. Around half of these belong to existing settlements, such as Koustrup. This name was supposedly created from the personal name of ”Kok” and ”torp”. The village was first mentioned as ”Coxtrup” in a written source from the mid-15th century.After the good times of the many thorp foundations, Denmark suffered a drastic recession in the first half of the 14th century. Civil wars and crop failure was followed by the plague, and many thorps and farms were deserted. Perhaps the Koustrup settlement was given up at that time. At least the area was uninhabited then, but new investigation has shown that Koustrup was revived in the late Middle Ages some two hundred meters to the south of the 13th century settlement. Some of the farms in this ”new” Koustrup were mentioned in late medieval sources,and three of the farms still exist (fig. 25).The excavations in Koustrup have increased our knowledge of the country settlement in Western Jutland in the late Middle Ages. Many questions have been answered, and new ones have been asked. It is a fascinating thought that the inhabitants of the first Koustrup may have witnessed both the erection of the Veiling Church and so me hundred years later the sprouting up of the market town of Ringkøbing.Helle HenningsenRingkøbing MuseumTranslated by Annette Lerche Trolle
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27

Ives, Malcolm James. "Land and pastoralism: New South Wales Riverina." Interdisciplinary Environmental Review 11, no. 2/3 (2010): 211. http://dx.doi.org/10.1504/ier.2010.037907.

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28

Graham, Owen P. "Survey of land degradation in New South Wales, Australia." Environmental Management 16, no. 2 (March 1992): 205–23. http://dx.doi.org/10.1007/bf02393826.

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29

Green, DR. "Rangeland restoration projects in western New South Wales." Rangeland Journal 11, no. 2 (1989): 110. http://dx.doi.org/10.1071/rj9890110.

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The semi-arid to arid Western Division of New South Wales has suffered significant levels of land degradation due to overstocking by domestic animals and rabbits. Three major forms of land degradation are identified, soil erosion, woody weed growth and pasture quality decline. Restoration techniques developed and applied by the New South Wales Soil Conservation Service are presented and discussed. The successful techniques presented are contour furrowing and waterponding for sheet eroded or scalded areas, fire and blade ploughing for woody weed control and grazing management to reverse pasture decline. The lack of knowledge on pasture species responses to grazing management stimuli is highlighted.
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30

Oliver, Damon. "Future of the fauna of western New South Wales." Pacific Conservation Biology 3, no. 1 (1997): 78. http://dx.doi.org/10.1071/pc970078.

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This attractively presented and enlightening collection of 22 chapters written by biologists, government land managers and a pastoralist, was derived from a 1991 symposium of the same name organized by the Royal Zoological Society of New South Wales. A third of the book deals with pre- and post-European land management practices that have drastically modified the western region of New South Wales. Another third is dedicated to the impact of these practices on habitat modification and the major vertebrate fauna groups, and for some of the invertebrates. Most of the chapters regarding the biology and ecology of the region paint a bleak picture of the negative impact on its faunal components. By presenting information in this manner, however, it is hoped that the problems will be actively addressed to ensure the future survival of native fauna. The chapters written by government land managers of National Parks, CALM and Landcare read more optimistically, and provide positive solutions to some of these problems. From reading these chapters, I now have a much better appreciation of the principles of reserve design and also how the Landcare network plays a vital role in the off-reserve conservation effort on farms.
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31

Kercher, Bruce. "Informal Land Titles: Snowden v Baker (1844)." Victoria University of Wellington Law Review 41, no. 3 (November 1, 2010): 605. http://dx.doi.org/10.26686/vuwlr.v41i3.5214.

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Snowden v Baker (1844) concerned the judicial recognition of informal land titles. This article compares the treatment of this broad question in Newfoundland and New South Wales, with Snowden v Baker.In Newfoundland and New South Wales, informal titles gained legal recognition. This happened in Newfoundland through judicial creativity, including statutory interpretation. In New South Wales, the formal law was applied more strictly, but was softened when commissioners were appointed to assess whether Crown discretion should be exercised in favour of those dispossessed due to informality.Both methods were used in New Zealand, where the informal titles of British settlers derived from sales by Māori land owners. Titles purchased from Māori owners were declared null and void unless based on Crown grants. As in New South Wales, commissioners were appointed to advise whether such grants should be made. In Snowden v Baker, Martin CJ used statutory interpretation to take a further step, by holding that titles derived from Māori sales had a contingent validity until affirmed or denied by the Crown.
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32

Pickard, John. "Land management in semi-arid environments of New South Wales." Vegetatio 91, no. 1-2 (January 1991): 191–208. http://dx.doi.org/10.1007/bf00036057.

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33

Jones, A. D., H. I. Davies, and J. A. Sinden. "Relationships between eucalypt dieback, land, and land use in southern New England, New South Wales." Australian Forestry 53, no. 1 (January 1990): 13–23. http://dx.doi.org/10.1080/00049158.1990.10676056.

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34

Jackson, R. V. "Theory and Evidence: Bentham, Collins, and the New South Wales Penal Settlement." Australian Journal of Politics & History 39, no. 3 (April 7, 2008): 318–29. http://dx.doi.org/10.1111/j.1467-8497.1993.tb00071.x.

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35

McGillivery, Angus R. "Convict Settlers, Seamen’s Greens, and Imperial Designs at Port Jackson: A Maritime Perspective of British Settler Agriculture." Agricultural History 78, no. 3 (July 1, 2004): 261–88. http://dx.doi.org/10.1215/00021482-78.3.261.

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Abstract This article is a contribution to the debate over Australia’s convict beginnings and the nature of the British colonization of New South Wales. The early agriculture of the convict colony is set in the maritime context of imperial rivalries and visions of empire in the Pacific Ocean. When the Port Jackson settlement is viewed from this maritime perspective, it is apparent that agriculture was an imperial imperative of the Pitt administration. The design and early function of the settlement as a port of shelter and refreshment ensured that, despite initial despondency and drought, a bountiful and secure agricultural hinterland was in the making. Within five years after the planting of New South Wales, convict settlers, mixed agriculture, and imperial designs had transformed "a rude, wild country into a pleasant garden." As a planned, self-sufficient, maritime settlement, Port Jackson rapidly developed its capacity to produce a surplus of antiscorbutic seamen’s greens essential for a distant port and naval base to become an assured resource of refereshment, services, and supplies necessary for Britain to "effectively occupy" the oceanic territory of New South Wales and thereby integrate the development of a global empire.
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36

Mytum, Harold. "COMMEMORATION AND IMPROVEMENT: PARRAMATTA ST JOHN’S CEMETERY, NEW SOUTH WALES, IN ITS CONTEXT 1788−c 1840." Antiquaries Journal 100 (July 2, 2020): 374–407. http://dx.doi.org/10.1017/s0003581520000281.

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Parramatta was the second British settlement established in mainland Australia, and for a time was the largest. Its burial ground and monuments, the oldest surviving British cemetery in mainland Australia, provides important evidence for the aspirations, attitudes and practices within this fledgling community. It reveals the role of improvement concepts and practices in popular as well as governmental culture, representing an experiment in secular control over burial decades before the urban non-denominational cemetery first appears in England. The primary chronological focus here is from the foundation of settlement in 1788 to c 1840, by which time free settlers as well as emancipists had transformed Parramatta from a convict settlement into a colonial town.
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37

Cardew, Richard, and Michael Cuddy. "A comparison of the land authority for Wales (United Kingdom) and the land commission of New South Wales (Australia)." Habitat International 11, no. 1 (January 1987): 97–111. http://dx.doi.org/10.1016/0197-3975(87)90039-7.

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38

Forster, B. C. (Bruce), J. C. (John) Trinder, and K. G. (Kevin) Nettle. "New graduate programs for land administration at The University of New South Wales." Australian Surveyor 42, no. 3 (September 1997): 81–86. http://dx.doi.org/10.1080/00050326.1997.10441801.

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39

(Bruce) Forster, B. C., J. C. (John) Trinder, and K. G. (Kevin) Nettle. "New Graduate Programs for Land Administration at The University of New South Wales." Australian Surveyor 42, no. 3 (September 1997): 81–86. http://dx.doi.org/10.1080/00050344.1997.10558689.

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40

Hett, Mary L. "On a New Land Nemertean from New South Wales (Geonemertes hillii, sp. n.)." Proceedings of the Zoological Society of London 94, no. 3 (August 21, 2009): 775–87. http://dx.doi.org/10.1111/j.1096-3642.1924.tb03314.x.

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41

Dempster, Tim, and Michael J. Kingsford. "Drifting objects as habitat for pelagic juvenile fish off New South Wales, Australia." Marine and Freshwater Research 55, no. 7 (2004): 675. http://dx.doi.org/10.1071/mf04071.

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The importance of drifting objects to small juvenile pelagic fish was investigated off the coast of New South Wales, Australia. Distance-related and temporal patterns in the distribution of clumps of drifting algae were investigated with 5000 m2 transects at five distances from shore (0.1, 0.5, 1, 5 and 10 km), two to three times per season for 2 years. Juvenile fish associated with drift algae were collected. Clumps of algae, predominantly Sargassum spp., were most abundant in spring, which coincided with the highest abundance of alga-associated post-flexion juvenile fish. Drift algae were also most abundant close to shore, probably due to the proximity to source and the dominant onshore winds. Fish were quickly attracted to drifting artificial objects (fish aggregation device; FADs), although the magnitude of attraction varied greatly among days. The relative abundance of small fish in open waters available to colonise FADs and differing weather conditions may explain much of this variability. More fish colonised FADs with an odour source than unscented control FADs, indicating small fish may use chemical cues to locate drifting structures. We conclude that juvenile fish actively seek drifting objects as pre-settlement habitat, which may reduce predation and enhance settlement opportunities.
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Gray, Jonathan M., Greg A. Chapman, and Brian W. Murphy. "Land management within capability: a new scheme to guide sustainable land management in New South Wales, Australia." Soil Research 53, no. 6 (2015): 683. http://dx.doi.org/10.1071/sr14196.

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A new evaluation scheme, land management within capability (LMwC), used to guide sustainable land management in New South Wales (NSW), is presented. The scheme semi-quantitatively categorises the potential impacts of specific land-management actions and compares these with the inherent physical capability of the land in relation to a range of land-degradation hazards. This leads to the derivation of LMwC indices, which signify the sustainability of land-management practices at the scale of individual sites up to broader regions. The LMwC scheme can be used to identify lands at greatest risk from various land-degradation hazards. It can help to guide natural resource agencies at local, regional and state levels to target priorities and promote sustainable land management across their lands. Few other schemes that assess the sustainability of a given land-management regime in a semi-quantitative yet pragmatic manner are found in the literature. The scheme has particular application for regional soil-monitoring programs and it was applied in such a program over NSW in 2008–09. The results suggested that the hazards most poorly managed across the state are wind erosion, soil acidification and soil organic carbon decline. The LMwC scheme, or at least its underlying concepts, could be readily applied to other jurisdictions.
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Jordan, Robert. "Convict Performances in a Penal Colony: New South Wales, 1789–1830." Theatre Research International 21, no. 1 (1996): 33–40. http://dx.doi.org/10.1017/s0307883300012682.

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The craze for amateur theatricals among the higher orders in late Georgian England is notorious. It was a passion that was given vent not only in Britain itself, but throughout the Empire, where military officers and civilian gentlefolk trod the boards in centres as far apart as Montreal and Cape Town, Jamaica and Calcutta. One colony that conspicuously lacked such genteel pleasures was convict settlement in New South Wales. The rigours of the posting, the minute numbers constituting the social elite, their geographic dispersal, and the bitter factionalism of their community effectively killed off any possibility of such theatre for the first twenty-five years or so of the outpost's existence. For the next fifteen years the positive influence of a growing population was negated by the continuance of the factionalism, by the deep suspicions of a succession of governors, and by the growing influence of the clergy, most of whom were bitterly hostile to theatre.
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44

McMichael, D. F. "The selection of land for nature conservation purposes in New South Wales." Australian Zoologist 26, no. 2 (June 1990): 78. http://dx.doi.org/10.7882/az.1990.121.

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45

Richards, David. "Medical convicts to New South Wales and Van Diemen's Land, 1788‐1818." Medical Journal of Australia 161, no. 1 (July 1994): 73–77. http://dx.doi.org/10.5694/j.1326-5377.1994.tb127330.x.

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46

Williams, Alan W. "Colonial origins of land acquisition law in New South Wales and Queensland." Journal of Legal History 10, no. 3 (December 1989): 352–64. http://dx.doi.org/10.1080/01440368908530973.

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47

J. S. Debus, S., H. A. Ford, and D. Page. "Bird communities in remnant woodland on the New England Tablelands, New South Wales." Pacific Conservation Biology 12, no. 1 (2006): 50. http://dx.doi.org/10.1071/pc060050.

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We provide a geographic and landscape context for ongoing studies on bird communities in eucalypt woodland remnants on the New England Tablelands, New South Wales. We draw together several surveys that have not been published in the scientific literature, and integrate them with previously published material. A total of 142 woodland bird species, including 12 threatened species, was recorded in remnant woodland in the area above 900 m elevation from 50 km SSE to 100 km NNW of Armidals. There was a positive relationship between remnant size and bird species richness. Woodland reserves >300 ha supported significantly more species than remnants <100 ha on private land. Intensively surveyed reserves also had more species than remnants surveyed more casually. Threatened and other declining species occurred mainly in medium-sized (100-300 ha) and large reserves; foraging guilds of small to medium-sized, ground and above-ground insectivores were impoverished in degraded medium-sized and small remnants on private land. Almost the full range of woodland bird species was found at one or more sites, indicating their conservation value. However, some species were found in few sites or were only vagrants at a site. Active management will be needed to retain the current diversity of bird species in such heavily cleared landscapes.
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48

Bednarik, Robert G. "On the Pleistocene settlement of South America." Antiquity 63, no. 238 (March 1989): 101–11. http://dx.doi.org/10.1017/s0003598x0007561x.

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Australia and the Americas provide the two case-studies of the late human settlement of a continent by, it seems, Homo sapiens sapiens. At one time the corollaries of first occupation of the Americas, at perhaps 12,000 b.p., were a similarly late settlement of Australia and the need for a land-bridge across the Bering Straits. But now the pattern of occupation in New Guinea and its offshore islands proves that a long sea-crossing was made there before about 40,000 b.p. Here an Australian researcher looks across the Pacific to the evidence that has been offered for a Pleistocene occupation in south America, of a date comparable with that in Sahul.
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49

Kerin, John. "The 1999 review of the Western Division of New South Wales." Rangeland Journal 23, no. 1 (2001): 33. http://dx.doi.org/10.1071/rj01013.

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A comprehensive review of the Western Division of New South Wales was carried out in 1998/99. The review addressed economic, environmental and social issues in New South Wales' rangelands. Six commissioned studies examined these issues in more detail. The recommendations of the review centred on streamlining administrative procedures, including Acts and regulations, addressing integrated natural resource management from a regional perspective by involving leaseholders and relevant stakeholders as representative of the broader community. It was seen as essential that scientific research and expertise, and technological advances in knowledge, be utilised by decision makers in coming to more coordinated land management decisions.
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50

Leggett, Keith E. A., Thanuri Welaratne, Michael Letnic, Steven McLeod, and Terence Dawson. "Rediscovery of the plains mouse (Pseudomys australis) (Rodentia : Muridae) in New South Wales." Australian Mammalogy 40, no. 1 (2018): 127. http://dx.doi.org/10.1071/am16046.

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We report the rediscovery of the rare and endangered native rodent, the plains mouse (Pseudomys australis) in New South Wales (NSW). Two plains mice were trapped in the far west of the state at Fowlers Gap Arid Zone Research Station and another in the NSW section of the Strzelecki Desert. Until these captures, the plains mouse was thought to have been extinct in NSW. Subfossil records indicate that these observations are within the pre-European settlement range of the species. It is uncertain whether these captures represent a range expansion from known populations in northern South Australia or reflect a local refuge population. Ensuring the conservation of P. australis in NSW requires further study to determine its distribution and the factors influencing its abundance.
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