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1

SUZUKI, Hitoshi. « Digging for European Unity : the role played by the trade unions in the Schuman plan and the European coal and steel community from a German perspective, 1950-1955 ». Doctoral thesis, European University Institute, 2007. http://hdl.handle.net/1814/10420.

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Defence date: 13 December 2007
Examining Board: Prof. Wilfried Loth (Universität Duisburg-Essen) ; Prof. Bo Stråth (EUI) ; Prof. Pascaline Winand (EUI and Monash University) ; Prof. Gérard Bossuat (Université de Cergy-Pontoise)
PDF of thesis uploaded from the Library digital archive of EUI PhD theses
no abstract available
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2

O'Brien, Carolyn 1957. « Immigrant integration, European integration : the Front national and the manipulation of French nationhood ». Monash University, Centre for European Studies, 2002. http://arrow.monash.edu.au/hdl/1959.1/8548.

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Novotná, Tereza. « Negotiating the accession : transformation of the state during German unification and the Eastern enlargement of the European Union ». Thesis, Boston University, 2012. https://hdl.handle.net/2144/32886.

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Thesis (Ph.D.)--Boston University
PLEASE NOTE: Boston University Libraries did not receive an Authorization To Manage form for this thesis or dissertation. It is therefore not openly accessible, though it may be available by request. If you are the author or principal advisor of this work and would like to request open access for it, please contact us at open-help@bu.edu. Thank you.
This dissertation examines the profound transformations in post-1989 Europe by comparing and contrasting the unification of Germany and the European Union's (EU) eastern enlargement to the Czech Republic as two integration processes during which (post)-communist states were incorporated into Western-style democratic political structures. The main research questions are how and by what means a post-communist state can be transformed through political integration and how the (post)-communist state can influence this process of political integration. The research is thus two-directional: it examines both the 'downloading' side of the process, in which the 'accepting' unit imposes its structures (political institutions, legal order, economic system) on the 'entering' unit, and the 'uploading'/impact side, in which the entering unit changes under pressure from the accepting unit while influencing the transformation process. The dissertation develops two models of political integration, Transplantation and Adaptation. Both possess a wider applicability than the two cases studied. Transplantation involves an immediate integration with a strong leader, no preconditions and no preceding reforms on either part. Rather a simple transfer principle occurs. Adaptation, in contrast, entails a gradual, long-term integration with bureaucratic oversight and the use of 'political conditionality' until the candidate states reach an acceptable political and economic level vis-a-vis the accepting unit. Speed and the impact of the local actors are the key factors distinguishing the two models of political integration. An interdisciplinary methodology is employed which blends the traditions of political science and political sociology. At the center of the research is an extensive series of 90 semi-structured interviews conducted in German, Czech, and English with key political actors that offer new perspectives on the dynamics of the processes of unification and enlargement. The dissertation examines in detail the negotiation processes that led to German unification (Transplantation) and, using the case of the Czech Republic, the eastern enlargement of the EU (Adaptation). It concludes by drawing several general lessons.
2031-01-01
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Rottwilm, Philipp Moritz. « Electoral system reform in early democratisers : strategic coordination under different electoral systems ». Thesis, University of Oxford, 2015. https://ora.ox.ac.uk/objects/uuid:6c3ebcf9-f25b-4ce8-a837-619230729c33.

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On the basis of case studies of 19th and early 20th century Germany, Sweden and the Netherlands, I address the question of how and when incumbent right elites reformed electoral systems under a rising political threat from the left. Some states adopted proportional representation (PR) earlier than others. Why did different states adopt PR at different times? One important factor was the existing electoral system before the adoption of PR. This has been missed in academic research since most scholars have assumed that the electoral system in place before the adoption of PR in most Western European states was single-member plurality (SMP). I show that the system in place prior to PR in most Western European states was not SMP but a two-round system (TRS). TRS effects are still poorly understood by political scientists. I argue that both PR and TRS were used as safeguards by the parties on the right against an electoral threat from the left, which originated from the expansion of suffrage. PR was used as a last resort after other safeguards had been exhausted. I state that in the presence of a strong left threat, countries with TRS could wait longer to implement PR than countries with SMP in place. Under TRS, the adoption of PR was considerably delayed since electoral coordination between parties could be applied more effectively than under SMP systems. This was largely due to the increase of information and time after the first round of TRS elections, which was used by right parties to coordinate votes around the most promising candidate before the second round. First round results under TRS were used as an "electoral opinion poll". Based on these results, the right could react more effectively than the left in order to improve outcomes in round two.
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Verschueren, Nicolas. « Fermer les mines en construisant l'Europe : une histoire sociale de l'intégration européenne ». Doctoral thesis, Universite Libre de Bruxelles, 2010. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/210001.

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Cette recherche a pour ambition de contribuer aux études sur l’histoire sociale de la construction européenne. En prenant pour point d’appui le cas de l’industrie charbonnière, il a été possible de mettre en évidence une tentative de préservation et de prolongement des politiques sociales d’après-guerre à l’intérieur de la Communauté. Les débats sur le logement ouvrier, les discussions paritaires et la tentative d’instauration d’un statut européen du mineur reflètent cette continuité entre les niveaux nationaux et européens. L’échec de politiques sociales d’envergure sonnait le glas d’un élan initié par quelques syndicalistes et militants européens pour un approfondissement de l’Europe sociale dont l’expression commençait à prendre consistance. La crise charbonnière de 1958 allait transformer les politiques de la Haute Autorité où la réponse aux crises régionales prenait une place majeure. En ce sens, la reconversion du Borinage était le premier test social d’envergure pour le maintien du consensus politique d’après-guerre. Malgré les mesures nationales et européennes pour la relance économique du bassin borain, aucune industrie n’est parvenue à remplacer les fosses tant du point de vue économique qu’identitaire. Les conflits sociaux apparus dans les années 1970 ont alors mis en lumière les transformations sociales et culturelles du Borinage en reconversion.
Doctorat en Histoire, art et archéologie
info:eu-repo/semantics/nonPublished
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6

Magnette, Paul. « Citoyenneté et construction européenne : étude de la formation du concept de citoyenneté et de la recomposition de ses formes institutionnelles dans le cadre de la construction européenne ». Doctoral thesis, Universite Libre de Bruxelles, 1998. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/211973.

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Fahlbusch, Markus. « European integration in the field of human rights protection : the interaction on the basis of different constitutional cultures ». Doctoral thesis, Universite Libre de Bruxelles, 2014. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/209162.

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The present thesis suggests that judicial interaction can benefit constructive solutions of concrete human rights problems as a specific way of integrating European human rights protection. This affirmation is substantiated by case studies examining the interaction of the European Court of Human Rights with the UK House of Lords and Supreme Court on the one hand and with the German Federal Constitutional Court on the other. Yet, the manner in which the courts proceed in their interaction, notably in view of their potentially conflictual stances, can deflect from the concentration on constructively solving the substantive human rights problem with which the courts are confronted. Accordingly, the courts might be inclined to preserve the status quo of their initial positions and to resort to a mere compromise between the different interests involved.

This thesis identifies two major factors in the courts’ reasoning that inhibit the fruitful discussion of the substantive human rights questions brought up by the cases: the reference to “culture” and the focus on their institutional relationship with the balancing of possibly conflicting interests. By way of analysing practical cases against a legal- and political-theoretical backdrop, this work develops how these two factors contribute to the obstruction of a constructive interaction between the courts and to the shielding of controversial views from being discussed and challenged. In response, also by reference to the concrete practice of the courts, this thesis puts forward an approach to the interaction which avoids this inhibiting effect and therefore allows for a comprehensive, deep and critical discussion on how to solve the specific human rights problems raised by the cases./La présente thèse soutient que l’interaction judiciaire peut bénéficier à des solutions constructives des problèmes concrets de droits de l’homme comme une forme spécifique d’intégration de la protection européenne des droits de l’homme. Cette affirmation est corroborée par des études de cas qui examinent l’interaction de la Cour européenne des droits de l’homme avec la House of Lords et la Cour suprême du Royaume-Uni d’un côté et avec la Cour constitutionnelle fédérale de l’Allemagne de l’autre. Pourtant, la manière dont les cours procèdent dans leur interaction, notamment au vu de leurs points de vue potentiellement conflictuels, peut détourner l’attention de la solution constructive des problèmes substantiels des droits de l’homme auxquels les cours font face. En conséquence, il se peut que les cours soient susceptibles de préserver le statu quo de leurs positions initiales et d’avoir recours à un simple compromis entre les différents intérêts en cause.

Cette thèse identifie deux facteurs majeurs dans le raisonnement des cours qui entravent la discussion fructueuse des questions substantielles soulevées par les cas :la référence à la « culture » et la concentration sur leur relation institutionnelle avec le balancement des intérêts possiblement conflictuels. Au moyen de l’analyse des cas pratiques sur le fond de la théorie juridique et politique, ce travail fait ressortir comment ces deux facteurs contribuent à l’obstruction d’une interaction constructive entre les cours et à la protection des opinions controversées contre leur discussion et défi. En réponse, également en se fondant sur la pratique concrète des cours, cette thèse avance une approche quant à l’interaction qui évite cet effet inhibant et, par conséquent, permet une discussion complète, profonde et critique de comment résoudre les problèmes spécifiques de droits de l’homme posés par les cas.


Doctorat en Sciences juridiques
info:eu-repo/semantics/nonPublished

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Kostera, Thomas. « When Europa meets Bismarck : cross-border healthcare and usages of Europe in the Austrian healthcare system ». Doctoral thesis, Universite Libre de Bruxelles, 2014. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/209268.

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In a series of landmark rulings on patient mobility and cross-border healthcare, the European Court of Justice (ECJ) has made clear that Member States’ healthcare systems have to comply with the rules of the EU’s Internal Market when it comes to individual patient rights and the non-discrimination of healthcare providers. The rulings increased the possibilities for EU Member State citizens to get medical treatment in another Member State (“cross-border healthcare”), yet providing that under certain conditions the home Member State has to pay for these treatments in the other country. After a decade of negotiations, these rulings have been codified in a European Directive. Assuming that European integration has an impact on national welfare states and taking the example of European rules on access to cross-border healthcare, this thesis suggests analyzes the domestic impact of European integration in terms of Europeanization of the Austrian healthcare system within the context of the interplay between actors’ interests and practices on the one hand, and institutional effects on the other. European cross-border healthcare in forms of regional projects and privately or publicly organized healthcare arrangements has already become a reality in many European countries, especially in border regions. The main research questions which guides this thesis can be be put as follows: How does European integration in healthcare impact on the interests, practices and strategies of national actors that operate between national institutional constraints and European opportunities? And if national actors’ interests and strategies change, does this in turn have repercussions on the national institutional rules of healthcare governance? Given that European integration in healthcare delivery is a rather a “recent” phenomenon, and based on the assumption that actors’ strategies change more easily than national institutions, the following hypothesis is tested: Even if national healthcare actors use Europe – and hence their practices and strategies change – their interests remain largely determined by the national institutional set-up of the healthcare system. The institutional boundaries of the national healthcare system may have become porous, but for the time being they remain intact. The main findings of this study confirm the hypothesis and can be summarized as follows: Austrian actors responsible for the delivery of healthcare actively integrate various usages Europe into their existing practices of healthcare governance. These usages of Europe are more frequent at European level than at national level. Those actors who have important legal competencies, financial resources, and hence power in healthcare governance at national level, are also in a better position to use Europe effectively than those actors who lack such national resources. Limited usages of Europe at national level by corporate actors can best be accounted for by practices of consensually governing a typically Bismarckian healthcare system. None of the actors analysed, no matter how critical their stance vis-à-vis their own healthcare system might be, puts into question the legitimacy of the national healthcare system in the light of increased European competencies in regulating cross-border healthcare. Advancing European integration, mainly through the ECJ’s rulings on cross-border healthcare, might have rendered national institutional boundaries porous, but national institutions retain – at least for the time being – their power of channelling actors’ interests and of influencing corresponding practices of healthcare governance. These results invite us to further investigate which kind of healthcare governance structures are being developed at European level in parallel to those existing at national level, and to what extent Bismarckian welfare regimes might be showing resistance to institutional change induced by European integration.
Doctorat en Sciences politiques et sociales
info:eu-repo/semantics/nonPublished
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Carotenuto, Matthew Paul. « Cultivating an African community the Luo Union in 20th century East Africa / ». [Bloomington, Ind.] : Indiana University, 2006. http://gateway.proquest.com/openurl?url_ver=Z39.88-2004&rft_val_fmt=info:ofi/fmt:kev:mtx:dissertation&res_dat=xri:pqdiss&rft_dat=xri:pqdiss:3238502.

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Thesis (Ph.D.)--Indiana University, Dept. of History, 2006.
"Title from dissertation home page (viewed July 12, 2007)." Source: Dissertation Abstracts International, Volume: 67-10, Section: A, page: 3939. Adviser: John H. Hanson.
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Reid, George. « Popes, politicians and political theory : The principle of subsidiarity in 20th century European history ». Thesis, University of Ottawa (Canada), 2005. http://hdl.handle.net/10393/27018.

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The transformation of the principle of subsidiarity from a philosophical principle in Catholic social teachings to a constitutional article in the 1992 Treaty on European Union has been a source of confusion for scholars of European integration. Political scientists have examined subsidiarity from the perspective of political philosophy to account for its transformation and to determine its impact on European integration. However, no attempt has been made to anchor the emergence of subsidiarity in a historical context. This thesis employs a historical approach to analyze the transformation of subsidiarity. It examines the political struggles surrounding the principle in the Catholic Church, in German Christian Democracy, and in the debates over European Union in the European Community. It concludes that the transformation of subsidiarity occurred during the debates over the European Union that began in the 1970s and culminated in the ratification of the 1992 Maastricht treaty on European Union.
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Seward, James W. « The German exile journal Das Wort and the Soviet Union ». PDXScholar, 1990. https://pdxscholar.library.pdx.edu/open_access_etds/4104.

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Das Wort was a literary journal published by German Communist writers and fellow-travelers exiled in Moscow from 1936 to 1939. It was to be a mouthpiece for German literature in exile and to promote the Popular Front policy, which sought to unite disparate elements in non-Fascist Europe in opposition to the Nazis. Das Wort, under the editorship of German Communist writers whose close association with the Soviet Union had been well established in the previous decade, tried to provide a forum for exiled writers of various political persuasions, but was unwavering in its positive portrayal of Stalin's Soviet Union and the policies of that country. As the level of hysteria grew with the successive purges and public show trials in the Soviet Union, the journal adopted an even more eulogistic and militant attitude: any criticism or expression of doubt about Soviet policy was equated with support for Fascism. Thus the ability of the journal to contribute to the formation of a true common front in Europe to oppose Fascism was compromised from the outset by its total support for the Soviet Union. The Popular Front policy foundered on this issue, and that portion of German literature in exile which was to form the first generation of East German literature was inextricably bound to the Soviet Union well before the German Democratic Republic came in to existence.
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YAKUSHENKO, Olga. « Building connections, distorting meanings : Soviet architecture and the West, 1953-1979 ». Doctoral thesis, European University Institute, 2021. https://hdl.handle.net/1814/71643.

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Defence date: 26 April 2021
Examining Board: Professor Alexander Etkind (European University Institute); Professor Catriona Kelly (University of Oxford); Professor Pavel Kolář (University of Konstanz); Professor Anatoly Pinsky (University of Helsinki)
The transnational history of the Soviet Union often goes against everything we know as citizens of the post-Soviet world. We are used to imagining the Iron Curtain as an impermeable obstacle and any meaningful connection between the Soviet Union and the rest of the world as clandestine, unofficial, and potentially subversive. But it was not always the case. I wish to open my thesis with a short dramatic exposition from the memoir of one of the protagonists of my thesis, the Soviet architect Felix Novikov: Soon [after the speech against the extravagances in architecture in 1953] the architectural bosses went abroad in search for examples worthy of emulation. The head of the Union of architects of the USSR, Pavel Abrosimov, left for Italy, Aleksandr Vlasov went to the US, Iosif Loveĭko who, in his absence became the chief architect of Moscow, left for France. After, each of them gave a talk about his impressions to the colleagues in the overcrowded lecture hall of the Central House of Architects. A year after the “historical” (without irony) speech the Party and government decree “On the elimination of extravagances in housing design and construction” appeared […] in the text of this document were such lines: “Obligate (the list of responsible organizations followed )… to be more daring in assimilation of the best achievements… of foreign construction.” The true “reconstruction” resulted in architecture that I call Soviet modernism started from this moment.”
Chapter 4 ‘Anatole Kopp: Enchanted by the Soviet' of the PhD thesis draws upon an earlier version published as an article 'Anatole Kopp’s town and revolution as history and a manifesto : a reactualization of Russian constructivism in the West in the 1960s' (2016) in the journal ‘Journal of Art Historiography’
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Janicki, Maciek. « "Incorrigible enemies of Soviet power" ; : Polish citizens in the Soviet Union, 1939-1942, in the light of Soviet documents and Polish witness' testimonies ». Thesis, McGill University, 2007. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=101883.

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Between February 1940 and June 1941, in four major deportations Soviet authorities moved Polish citizens to work-colonies in the Soviet interior and detained others in various prisons and camps. Based on war-time information, works on the deportations published in the West during the decades of communist rule in Eastern Europe and since reported figures of over 1.5 million deportees, of whom as many as half reportedly died in the USSR. These works held a prevailing view that Soviet intentions towards the deported Poles were genocidal. Recent work with Soviet archival materials has led Polish and Russian historians to revise the number of deportees to 320,000. This substantial reduction has received a mitigated response in the work of Western commentators. A review of published archival materials and of accounts left by witnesses demonstrates that both sets of sources are indispensable to an analysis of the deportations. It also shows that Soviet policies directed against the deportees were not genocidal in their intent and adds a dimension, that of the perpetrators, to the limited conceptualization afforded to the subject thus far. The study shows that under the control of the NKVD the deportations were economic and political components of internal Soviet policy in 1939-1942 and suggests that the Soviet infrastructure was incapable of supplying the resources necessary to fulfill plans set by Moscow. Moreover, the Soviet documentation offers a glimpse into the perpetrators' planning and execution of massive population displacement, thus taking the deportations outside of the realm of conjecture and placing them more firmly within the grasp of historical understanding.
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Callaway, Helen. « European women with the Colonial Service in Nigeria, 1900-1960 ». Thesis, University of Oxford, 1985. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.670408.

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Morehart, Miriam Corinne. « "Children Need Protection Not Perversion" : The Rise of the New Right and the Politicization of Morality in Sex Education in Great Britain, 1968-1989 ». PDXScholar, 2015. https://pdxscholar.library.pdx.edu/open_access_etds/2207.

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Two competing forms of sex education and the groups supporting them came to head in the 1970s and 1980s. Traditional sex education retained an emphasis on maintaining Christian-based morality through marriage and parenthood preparation that sex education originally held since the beginning of the twentieth century. Liberal sex education developed to openly discuss issues that reflected recent legal and social changes. This form reviewed controversial subjects including abortion, contraception and homosexuality. Though liberal sex education found support from national family planning organizations and Labour politicians, traditional sex education found a more vocal and powerful ally in the New Right. This thesis explores the political emergence of the New Right in Great Britain during the 1970s and 1980s and how the group utilized sex education. The New Right, composed of moral pressure groups and Conservative politicians, focused on the supposed absence of traditional morality from the emergent liberal sex education. Labour (and liberal organizations) held little power in the 1980s due to internal party struggles and an insignificant parliamentary presence. This allowed the New Right to successfully pass multiple national reforms. The New Right latched onto liberal sex education as demonstrative of the moral decline of Britain and utilized its emergence of a prime example of the need to reform education and local government.
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Kashirin, Alexander Urievich 1963. « Protestant minorities in the Soviet Ukraine, 1945--1991 ». Thesis, University of Oregon, 2010. http://hdl.handle.net/1794/10956.

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xiv, 934 p. A print copy of this thesis is available through the UO Libraries. Search the library catalog for the location and call number.
The dissertation focuses on Protestants in the Soviet Ukraine from the end of the Second World War to the collapse of the USSR. It has two major aims. The first is to elucidate the evolution of Soviet policy toward Protestant denominations, using archival evidence that was not available to previous students of this subject. The second is to reconstruct the internal life of Protestant congregations as marginalized social groups. The dissertation is thus a case study both of religious persecution under state-sponsored atheism and of the efforts of individual believers and their communities to survive without compromising their religious principles. The opportunity to function legally came at a cost to Protestant communities in Ukraine and elsewhere in the USSR. In the 1940s-1980s, Protestant communities lived within a tight encirclement of numerous governmental restrictions designed to contain and, ultimately, reduce all manifestations of religiosity in the republic both quantitatively and qualitatively. The Soviet state specifically focused on interrupting the generational continuity of religious tradition by driving a wedge between believing parents and their children. Aware of these technologies of containment and their purpose, Protestants devised a variety of survival strategies that allowed them, when possible, to circumvent the stifling effects of containment and ensure the preservation and transmission of religious traditions to the next generation. The dissertation investigates how the Soviet government exploited the state institutions and ecclesiastic structures in its effort to transform communities of believers into malleable societies of timid and nominal Christians and how the diverse Protestant communities responded to this challenge. Faced with serious ethical choices--to collaborate with the government or resist its persistent interference in the internal affairs of their communities-- many Ukrainian Evangelicals joined the vocal opposition movement that contributed to an increased international pressure on the Soviet government and subsequent evolution of the Soviet policy from confrontation to co-existence with religion. The dissertation examines both theoretical and practical aspects of the Soviet secularization project and advances a number of arguments that help account for religion's survival in the Soviet Union during the 1940-1980s.
Committee in charge: Julie Hessler, Chairperson, History; R Alan Kimball, Member, History; Jack Maddex, Member, History; William Husband, Member, Not from U of O Caleb Southworth, Outside Member, Sociology
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Verbeeten, David Randall. « The politics of non-assimilation : three generations of Eastern European Jews in the United States in the twentieth century ». Thesis, University of Cambridge, 2012. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.610787.

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CHINCOLI, Veronica. « Black North American and Caribbean music in European metropolises : a transnational perspective of Paris and London music scenes (1920s-1950s) ». Doctoral thesis, European University Institute, 2019. http://hdl.handle.net/1814/62230.

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Defence date: 15 April 2019
Examining Board: Professor Stéphane Van Damme, European University Institute; Professor Laura Downs, European University Institute; Professor Catherine Tackley, University of Liverpool; Professor Pap Ndiaye, SciencesPo
This thesis examines black music circulation in the urban spaces of London and Paris. It shows the complexity of the evolutionary processes of black musical genres, which occurred during the late imperial period (1920s-1950s) within the urban music scenes of two imperial metropolises, and how they played an important role on the entertainment circuit. Both cities functioned as sites of crossfertilisation for genres of music that were co-produced in a circulation between empires and Europe. Musicians of various origins met in the urban spaces of the two cities. The convergence and intermingling of musical cultures that musicians had brought with them produced new sounds. This process was influenced by a minority group (blacks), but had a significant and lasting influence on the musical world. By creating an historical account of the encounters and exchanges between people of different origins within the music scenes, this thesis examines music development and the complexity of processes of racialisation according to their historical locality and meaning. Using a variety of sources including police reports, government documents, interviews, guidebooks and newspapers, this work contributes to widen the perspective of historical studies on music developments, emphasising their social and spatial dimensions, which are fundamental for the exploration of music scenes, in general, and for the spread of black genres of music in particular. Black music styles spread internationally, but were produced in several specific locations where music industry infrastructure was developing. In the urban spaces of the music scenes of London and Paris social networks were formed by various actors - both blacks and whites - and were crucial for music production and reception; different perceptions of blackness, processes of competition, and debates on authenticity emerged; and processes of regulation and negotiation underpinned the intervention of public authorities.
Chapter 4 'Black Music Styles as Vehicles for Trans-racial Interplay: Practices of Learning, Perceptions of Blackness and Commercialisation of Music' of the PhD thesis draws upon an earlier version published as an article “Black Music Styles as Vehicles for Transnational and Trans-Racial Exchange: Perceptions of Blackness in the Music Scenes of London and Paris (1920s-1950s),” (2017) in the journal 'Zapruder world'
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Lin, Yuexin Rachel. « Among ghosts and tigers : the Chinese in the Russian Far East, 1917-1920 ». Thesis, University of Oxford, 2015. http://ora.ox.ac.uk/objects/uuid:6b8153ea-0f39-43cd-9c76-416f86c85d02.

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This thesis examines the experiences of the overseas Chinese in the Russian Far East during the revolutionary and Civil War period from 1917 to 1920, as well as their responses to the upheaval. Bucking the current trend towards transcultural history, the thesis argues that Chinese identity and nationalist language were of prime importance to this community. By concentrating on Chinese-language sources, the thesis re-privileges the community's internal discourses and highlights the prevalence of nationalist rhetoric across the Sino-Russian border. It also sites the Chinese community's use of nationalist language within the context of the global diaspora, for which questions of national weakness and revival were also pressing. Going further, the thesis postulates the presence of "Chinese nationalism with Russian characteristics", in which the issues surrounding Chinese nationalism as a whole were heightened. It shows that the rhetoric of 'national humiliation' and victimhood were particularly immediate to the community in the Russian Far East, since it was located at one of the epicentres of imperial contestation. In practice, this led to a modus vivendi with the Reds and a decisive turn against the Whites. Furthermore, the chaos of the revolutions and Civil War imbued this nationalism with an opportunistic quality. The collapse of Russian state power became the 'opportunity of a thousand years' for China to redress past wrongs. This allowed the overseas community to work closely with local authorities and the Beijing government to achieve shared goals. New civil society organisations with community-wide aims were formed. Beijing extended its diplomatic reach in the form of new Far Eastern consulates. Finally, common nationalist rhetoric underpinned China's successful attempt to re-establish its civilian and military presence on the Amur River. "Chinese nationalism with Russian characteristics" could be effectively harnessed to secure multi-level and cross-border cooperation.
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Baird, Catherine 1966. « The "third way" : Russia's religious philosophers in the West, 1917-1996 ». Thesis, McGill University, 1997. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=34695.

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In 1922, the Bolshevik government expelled some 160 prominent intellectuals from Russia. Numbered among these were many of the leaders of the Religious Renaissance which had flourished since the turn of the century. They advocated a "third way": neither for the Tsarist regime nor the Bolsheviks; neither for Capitalism nor Communism; neither for Materialism nor Idealism; rather, they promoted personalist, spiritual development (Godmanhood ), Christian economic ethics (Sobornost'), and a path to knowledge informed by reason, but guided by faith (Religious-Philosophy ). Forced to join the Russian diaspora, these religious philosophers continued to advance their movement with the help of the Young Men's Christian Association. Largely at the initiative of Nikolai Berdyaev (1874--1948), they also began to interact with the French intellectual milieu in Paris in order to develop inter-confessional and cultural understandings. Although Russian religious-philosophy suffered a certain decline following World War Two, many of their writings had returned to the USSR. As Soviet intellectuals discovered these works, they gradually began to revolt against dialectical materialism, and aspire to recover the religious-philosophical tradition. In 1988, this Return was at last made possible, and religious-philosophy has been enjoying a second renaissance which continues unabated today.
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Biria, Ensieh. « Figurative Language in the Immigration Debate : Comparing Early 20th Century and Current U.S. Debate with the Contemporary European Debate ». PDXScholar, 2012. https://pdxscholar.library.pdx.edu/open_access_etds/234.

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This study analyzes newspaper coverage of immigration reform in mainstream newspapers prior to, and following the debate in June 2007. The newspaper text is analyzed using metaphor interpretation supported by content analysis. The quantitative result categorizes the identified metaphors in three distinct metaphor categories about: immigrants and immigration, immigration policy and enforcement, and metaphors about the debate and immigration issue itself. The relative distribution of metaphors among categories is provided. Using an open coding process, emergent metaphor categories are identified. The qualitative findings describe metaphors and schemas that were potentially activated by particular metaphorical phrases in this context. Lastly, this research compares the similarities and differences of the immigration debate of the early 20th century with the contemporary U.S. and European debate.
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Monama, Fankie Lucas. « Wartime propaganda in the Union of South Africa, 1939 - 1945 ». Thesis, Stellenbosch : Stellenbosch University, 2014. http://hdl.handle.net/10019.1/86202.

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Thesis (PhD)--Stellenbosch University, 2014.
ENGLISH ABSTRACT: After the First World War (1914-1918) – the first “total war” in modern history, where whole populations, not just military forces, became participants in the war effort, the potential power of propaganda was realised, through the exploitation of mass communication media to manipulate public opinion. Alongside politico-diplomatic, economic and military manoeuvres, governments needed to mobilise the minds of their population to secure support, to mobilise them behind the war policy and to avoid discontent and dissension. This was particularly crucial to South Africa during the Second World War (1939-1945), especially as the country was threatened by deeply ingrained political tensions and internal divisions. The wartime Union, under General Jan Smuts, experienced an escalation of political extremism and militancy from radical sections of white Afrikaner nationalists who opposed the government’s war policy. Furthermore, some elements within even the Union Defence Force (UDF) displayed disloyal tendencies which threatened the morale of the armed forces. Thus, in response, the government waged a massive propaganda campaign during the war aimed at stimulating recruitment, at preserving national morale, at combating anti-war resistance and at minimising disruptions to the implementation of its war policy. To this end, the authorities exploited information avenues such as radio broadcasts, the press, films, mobile recruiting tours and military demonstrations for publicity and propaganda purposes. As propaganda delivery channels, radio, the press and films were potentially powerful. However, the strategy pursued by the authorities failed to maximise their full impact. The government also did not enjoy a media monopoly for the conduct of its war propaganda. The SABC continued operating independently and its airtime was not handed over to the authorities. Similarly, while the government relied on the support of sympathetic newspaper editors for its propaganda campaign, newspapers themselves sometimes ignored censorship regulations and published material which was unhelpful to the national war effort. Meanwhile, the opposition press also contested the propaganda terrain by waging anti-war campaigns. Films were the weakest link due to limited government control, production obstacles and an English language dominance which alienated the majority of white Afrikaans speakers. Another problem was persistent rivalry among various official and semiofficial propaganda agencies and a lack of clarity over a common propaganda policy. When it came to recruitment, government propaganda achieved particularly limited success. Despite patriotic appeals for volunteer enlistment, the shortage of manpower remained a persistent problem throughout the war. Alongside this, social and economic problems such as food and housing shortages also had a negative impact on public morale. The positive reach of propaganda efforts within the military, especially education, information and social welfare services, was also limited in that they were unable to dispel dissatisfaction resulting from poor service conditions, military policies, and the growing influence of war weariness. Towards the end of hostilities, there was a perceptible decline in troop discipline and morale. In general, therefore, the Union government’s overall war publicity and propaganda effort failed to produce a solid sense of national war cohesion or war unity. Although the country remained stable and was able to sustain war participation, it could not be said that South Africa’s leadership was able to persuade inhabitants – whether white or black - to participate in the Second World War as a war to be embraced as a people’s war.
AFRIKAANSE OPSOMMING: Die Eerste Wêreldoorlog (1914-1918), die eerste “totale oorlog” in kontemporêre geskiedenis waartydens nie net militêre magte nie, maar hele gemeenskappe by die oorlogspoging betrek is, het die potensiaal van propaganda om die openbare mening met behulp van die massamedia te manipuleer, tuisgebring. Naas polities-diplomatiese, ekonomiese en militêre maneuvrering, moes regerings ook die gesindheid van die bevolking beïnvloed om hulle agter die oorlogspoging te skaar en twis en tweedrag te vermy. Gesindheidsbeïnvloeding was vir die Unieregering van kardinale belang gedurende die Tweede Wêreldoorlog (1939-1945), aangesien Suid-Afrika onder diepgaande politieke verdeeldheid en interne spanning oor die oorlogskwessie gebuk gegaan het. Die Smuts-bewind het hewige politieke druk en militante weerstand ervaar van Afrikanernasionaliste wat teen die regering se oorlogsbeleid gekant was. Ontevrede elemente in die Unieverdedigingsmag (UVM) het insgelyks dislojale neigings openbaar, wat die moraal van die gewapende magte ondermyn het. Die regering het gevolglik gedurende die oorlog ’n omvattende propagandaveldtog van stapel gestuur om weerstand teen sy oorlogspoging te beveg, ontwrigting in die implementering van die oorlogsbeleid tot ’n minimum te beperk, die werwing van soldate te bevorder en die nasionale moraal hoog te hou. Die Smuts-regering het ’n verskeidenheid van instrumente, waaronder radio-uitsendings, die gedrukte media, rolprente, mobiele werwingsveldtogte en miltêre demonstrasies, vir hul reklame- en propagandaveldtogte ingespan. Die regering se propagandastrategieë het egter nie dié kragtige instrumente optimaal uitgebuit om maksimum trefkrag te verseker nie. Daarby het die regering ook nie ’n monopolie oor alle mediaplatvorms vir geniet om hul propagandaveldtogte te bedryf nie. Die SAUK het onafhanklik gefunksioneer en min lugtyd aan die regering afgestaan om radio-uitsendings vir publisiteit en propagande te benut. Die regering het voorts sterk op koerantredakteurs gesteun om hul propagandaveldtog te bevorder, maar redakteurs het soms sensuurregulasies geïgnoreer en artikels geplaas wat regeringsbeleid ondermyn het. Die opposisiepers het uiteraard ook die regeringspropaganda met anti-oorlogpropaganda beveg. Rolprente was die swakste skakel in die regering se reklame- en propagandastelsels vanweë hul swak beheer daaroor, ’n gebrek aan tegniese vaardigheid, die hoë koste van rolprentproduksies, asook die oorheersing van die bedryf deur die Engelse taal, wat die meerderheid Afrikaanssprekendes die harnas ingejaag het. ’n Verdere probleem was die voortdurende wedywering tussen die verskillende amptelike en halfamptelike propaganda-agentskappe. Dit was veral die gebrek aan ’n duidelike propaganda-beleid wat tot oorvleueling en mededinging gelei het. Wat werwingspropaganda betref, het die regering beperkte sukses behaal. Naas ’n beroep op pligsbesef, eer en glorie, het die regering oor geen hefkrag beskik om werwing te bevorder nie. ’n Gebrek aan mannekrag het derhalwe die UVM dwarsdeur die oorlog gekortwiek in weerwil van die regering se omvattende reklame- en propagandaprogramme. Teen 1945 het slegs sowat 330 000 uit die Unie se bevolking van nagenoeg tien miljoen vir vrywillige krygsdiens aangemeld. Sosio-ekonomiese uitdagings soos ’n gebrek aan voedselvoorrade en behuising het ook negatief op die openbare en burgerlike moraal ingewerk. Interne propaganda in die UVM, veral deur middel van die opvoedings-, informasie- en welsynsdienste, het ook beperkte sukses behaal as gevolg van ontevredenheid met militêre beleid, swak diensvoorwaardes en oorlogsmoegheid. Dié ontevredenheid het moraal en dissipline ondermyn en teen die einde van die oorlog tot uitdagende gedrag en oproer onder die troepe gelei. Oor die algemeen genome, was die Unie-regering se totale reklame- en propagandapoging dus oneffektief. Alhoewel die hele die stelsel nie in duie gestort het nie en Unie se oorlogspoging sonder groot ontwrigting voortgegaan het, het oorlogsmoegheid, oneffektiewe beleide en die invloed van sosio-ekonomiese probleme uiteindelik tot openbare en militêre ontnugtering gelei.
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Millier, Callie Anne. « Russian Peasant Women's Resistance Against the State during the Antireligious Campaigns of 1928-1932 ». Thesis, University of North Texas, 2016. https://digital.library.unt.edu/ark:/67531/metadc849654/.

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This study seeks to explore the role of peasant women in resistance to the antireligious campaigns during collectivization and analyze how the interplay of the state and resistors formed a new culture of religion in the countryside. I argue that while the state’s succeeded in controlling most of the public sphere, peasant women, engaging in subversive activities and exploiting the state’s ideology, succeeded in preserving a strong peasant adherence to religion prior to World War II. It was peasant women’s determination and adaptation that thwarted the party’s goal of nation-wide atheism.
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Nanson, Steffanie Jennifer. « Fleet Street's dilemma : the British press and the Soviet Union, 1933-1941 ». Thesis, University of St Andrews, 1997. http://hdl.handle.net/10023/14303.

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British press opinion concerning the Soviet Union in the 1930s contributes to an understanding of the failed cooperation, prior to 1941, between the British and Soviet Governments. During the trial of six British engineers in Moscow in 1933, the conservative press jingoistically responded by demanding stringent economic action against the Soviet Union and possibly severing diplomatic cooperation. The liberal and labour press expected relations to improve to prevent similar trials of Britons in the future. Despite the strain in relations and ideological differences, between 1934 and 1935, Britain and the USSR worked for collective security. The quality conservative press was willing to support a closer relationship, though popular conservative newspapers remained anti-Soviet. The liberal and labour press, though hoping for more, expressed relief that Britain was improving relations with the Soviet Union. The Spanish Civil War led the conservative press to resume its non-collective beliefs and to become ideologically critical of the Soviet Union. The provincial conservative newspapers were the exceptions. Liberal and labour papers were annoyed with the British refusal to cooperate with the USSR over Spain and became disappointed by the Government's decision to support appeasement rather than collective action. While the British Government reviewed the benefits of collective security, the Moscow show trials damaged Britain's belief in the stability of the USSR. All papers realised there was something seriously wrong in the Soviet Union. The conservative press advocated avoiding cooperation with a country weakened by purging. The liberal and labour press, though concerned about the image of the USSR, realised that Britain required an East European ally and called for an improvement of existing relations. In 1939 nearly every newspaper demanded the British Government form an alliance with the USSR against Hitler's aggression and criticised both governments for wasting time. Condemnation of the Soviet Union's signing of the Nazi-Soviet pact and role in the partition of Poland was relatively limited as hope remained that Britain and the USSR would collaborate to defeat Hitler. However, the Winter War strained these hopes and led to intense press condemnation of the Soviet attack on Finland. Nevertheless, in July 1940 newspapers became interested in the emerging conflict of interests between Germany and the USSR. Despite criticism of Soviet expansion in Eastern Europe, the press accepted that Britain's security depended on the Soviet Union. All newspapers welcomed the alliance in 1941 and ignored ideological issues.
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Sveitz, Therese. « Accessibility in ordinary dwellings for various physical disabilities : a comparison between Swedish and Italian dwellings in the 20th to 21th century ». Thesis, Luleå tekniska universitet, Arkitektur och vatten, 2016. http://urn.kb.se/resolve?urn=urn:nbn:se:ltu:diva-60228.

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The world population is increasing while the average age rises steadily. With this, the percentage with any kind of physical impairment is equally increasing (WHO, 2011). Today, a large part of our built environment is planned for people without disabilities. The inaccessible environment prevents people with disabilities to live independently and participate in society. This divides the population into two: the ones with a disability and the ones without one. The thesis is focused on accessibility for persons with various physical impairments in dwellings. Building legislation in Italy is limited to Milano and in Sweden the main focus has been Stockholm because of the similar population and accommodation. This master thesis aims at defining how two different countries, both part of the European Union, works with accessibility for disabled. To define and analyze the work at different political levels, laws and guidelines that is used to regulate accessibility for buildings have been investigated and to describe and analyze differences and similarities a comparative method has been used. A literature study and case study have been applied to answer the research questions, as well as for further understanding and comprehension. Both Sweden and Italy has ratified the UN Convention on the Rights of persons with disabilities, but the study has shown that there is work left before the buildings are fully accessible for all. Sweden has a clear legal framework and standards regarding accessibility in buildings, but yet many newly built dwellings do not meet the requirements or the process is ineffective concerning accessibility. Italy has not come as far as Sweden and their current building legislation is very strict, which causes problems for architects and the responsible for control of plans. Control of how well new built apartment houses function is poor and both countries have work to be done in the field; especially In Milano, Italy. When it comes to social support Italy is behind Sweden in available and free social support for disabled. In Italy it is depending on the family to help while in Sweden society take more responsibility. So the thesis shows that the countries have differences despite the same legal framework from the UN and the EU. They can learn from each other and together build a more accessible environment.
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Kennedy, Shane Michael. « Expressionist Art and Drama Before, During, and After the Weimar Republic ». PDXScholar, 2015. https://pdxscholar.library.pdx.edu/open_access_etds/2508.

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Expressionism was the major literary and art form in Germany beginning in the early 20th century. It flourished before and during World War I and continued to be the dominant art for of the Early Weimar Republic. By 1924, Neue Sachlichkeit replaced Expressionism as the dominant art form in Germany. Many Expressionists claimed they were never truly apart of Expressionism. However, in the periodization and canonization many of these young artists are labeled as Expressionist. This thesis examines the periodization and canonization of Expression in art, drama, and film and proves that Expressionism began much earlier than scholars believe and ended much later than 1924. This thesis examines the conflicts in Germany that led to Expressionism and which authors and artists influenced Expressionists. It will also show that after Expressionism ceased to be the dominant art form in Germany, many former Expressionists continued to use expressionistic form in their works but ceased to use expressionistic content. This thesis argues that both the periodization and canonization of Expressionism should be expanded to include all works that may be classified as having expressionistic form.
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Pyanzina, Elizaveta Anatolyevna 1981. « Representation of the Peoples of the Caucasus in 20th Century Russian Literature and Cinematography ». Thesis, University of Oregon, 2011. http://hdl.handle.net/1794/11489.

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ix, 67 p.
For centuries, Russian writers have stressed the important role the Caucasus played in the Russian Empire. In the last few decades, much attention has been directed at the Caucasians in literary works and movies as a result of the two Chechen wars. This thesis addresses the evolution of the Caucasian theme in Russian literature beginning from the 18th century with a focus on the contemporary representation of the peoples of Caucasus, mainly Chechens, in three works: a Soviet-era movie by Leonid Gaidai, Kidnapping, Caucasian Style (1966); Vladimir Makanin's story, Captive of the Caucasus (1994) and Viktor Pelevin's story, Papakhi na bashniakh (1995). The central research question is to what degree contemporary authors have transformed the image of the Caucasians compared to the Romantic period. Of particular interest is the issue of Russia's self-representation in these works.
Committee in charge: Dr. Susanna Soojung Lim, Chairperson; Dr. Katya Hokanson, Member
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Chattopadhyay, Sayan. « Foreign selves : Indian self-fashioning as European and twentieth-century Indian English literature ». Thesis, University of Cambridge, 2014. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.648897.

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Casey, Walter Thomas. « Unexpected Unexpected Utilities : A Comparative Case-Study Analysis of Women and Revolutions ». Thesis, University of North Texas, 2000. https://digital.library.unt.edu/ark:/67531/metadc2728/.

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Women have been part of modern revolutions since the American Revolution against Great Britain. Most descriptions and analyses of revolution relegate women to a supporting role, or make no mention of women's involvement at all. This work differs from prior efforts in that it will explore one possible explanation for the successes of three revolutions based upon the levels of women's support for those revolutions. An analysis of the three cases (Ireland, Russia, and Nicaragua) suggests a series of hypotheses about women's participation in revolution and its importance to revolutions' success.
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Guillaumier, Christina. « From piano to stage : a genealogy of musical ideas in the piano works of Sergei Prokofiev (1900-c.1920) ». Thesis, University of St Andrews, 2010. http://hdl.handle.net/10023/6451.

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This thesis is a study of Prokofiev's musical ideas as they emerge in his early writing for piano. It is concerned with elucidating the connections between Prokofiev's pianistic technique and his compositional technique. In doing so, the study explores the genealogy of composer's musical gestures and thematic ideas. Both his playing and his compositional styles have been labelled as distinctive: the thesis attempts to deconstruct that distinctiveness by pinpointing the origins of the composer's playing and compositional styles, tracing their gradual evolution into a mature idiom. The first chapter is concerned with Prokofiev's juvenilia (1898 to c. 1906). Drawing upon a large amount of previously unpublished archival resources, this chapter uncovers the original gestures and thematic ideas which characterize Prokofiev's early style. The next chapter focuses on Prokofiev's period at the St Petersburg Conservatory, tracing his development into a virtuoso pianist, examining the nature of that virtuosity and chronicling the creation of Prokofiev's performing persona. The gestures and idea- types identified in the first chapter are then examined within the context of Prokofiev's works for solo piano, his early works with orchestra and his first two major operas. Conclusions are then drawn about the nature of Prokofiev's distinctiveness, his compositional legacy and about his current position as a major twentieth-century composer.
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Wisnor, Ryan Thomas. « Workers of the Word Unite ! : The Powell's Books Union Organizing Campaign, 1998-2001 ». PDXScholar, 2017. https://pdxscholar.library.pdx.edu/open_access_etds/4162.

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The labor movement's groundswell in the 1990s accompanied a period of intense competition and conglomeration within the retail book sector. Unexpectedly, the intersection of these two trends produced two dozen union drives across the country between 1996 and 2004 at large retail bookstores, including Borders and Barnes & Noble. Historians have yet to fully examine these retail organizing contests or recount their contributions to the labor movement and its history, including booksellers' pioneering use of the internet as an organizing tool. This thesis focuses on the aspirations, tactics, and contributions of booksellers in their struggles to unionize their workplaces, while also exploring the economic context surrounding bookselling and the labor movement at the end of the twentieth century. While the United Food and Commercial Workers (UFCW) auspiciously announced a national campaign in 1997 to organize thousands of bookstore clerks, the only successfully unionized bookstore from this era that remains today is the Powell's Books chain in Portland, Oregon with over 400 workers represented by the International Longshore and Warehouse Union (ILWU) Local 5. Local 5's successful union campaign at Powell's Books occurring between 1998 and 2000 is at the center of this study and stands out as a point of light against a dark backdrop of failed union attempts in the retail sector during the latter decades of the twentieth century. This inquiry utilizes Local 5's internal document archive and the collection of oral histories gathered by labor historians Edward Beechert and Harvey Schwartz in 2001 and 2002. My analysis of these previously unexamined records demonstrates how Powell's efforts to thwart the ILWU campaign proved a decisive failure and contributed to the polarization of a super majority of the workforce behind Local 5. Equally, my analysis illustrates how the self-organization, initiative, and unrelenting creativity of booksellers transformed a narrow union election victory to overwhelming support for the union's bargaining committee. Paramount to Local 5's contract success was the union's partnership with Portland's social justice community, which induced a social movement around Powell's Books at a time of increased political activity and unity among the nation's labor, environment, and anti-globalization activists. The bonds of solidarity and mutual aid between Local 5 and its community allies were forged during the World Trade Organization (WTO) demonstrations in Seattle in 1999 and Portland's revival of May Day in 2000. Following eleven work stoppages and fifty-three bargaining sessions, the union acquired a first contract that far exceeded any gains made by the UFCW at its unionized bookstores. The Powell's agreement included improvements to existing health and retirement benefits plus an 18 percent wage increase for employees over three years. This analysis brings to light the formation of a distinct working-class culture and consciousness among Powell's booksellers, communicated through workers' essays, artwork, strikes, and solidarity actions with the social justice community. It provides a detailed account of Local 5's creative street theater tactics and work stoppages that captured the imagination of activists and the attention of the broader community. The conflict forced the news media and community leaders to publicly choose sides in a labor dispute reminiscent of struggles not seen in Portland since the 1950s. Observers of all political walks worried that the Portland cultural and commercial intuition would collapse under the weight of the two-year labor contest. My research illustrates the tension among the city's liberal and progressive populace created by the upstart union's presence at prominent liberal civic leader Michael Powell's iconic store and how the union organized prominent liberal leaders on the side of their cause. It concludes by recognizing that Local 5's complete history remains a work in progress, but that its formation represents an indispensable Portland contribution to the revitalized national labor movement of the late 1990s.
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Angelopoulou, Maria. « Cosmopolitanism in Europe-in-crisis : the cases of the EU, Greece and Turkey ». Thesis, University of St Andrews, 2014. http://hdl.handle.net/10023/10375.

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Adopting a critical cosmopolitan outlook the thesis identifies a constructive engagement with the European project at a time when the crisis of the Euro-zone is still threatening the very existence of the European Union. The purpose of the study is to determine whether cosmopolitanism is feasible in Europe. I argue that the EU can be conceived as a catalyst of cosmopolitanism without being cosmopolitan per se due its so far limited internal and external contexts of cosmopolitanism. In the case of the EU's limited inner cosmopolitanism, I seek cosmopolitan alternatives for the EU to overcome the crisis on the basis of an institutional and civil society analysis within the conceptual framework of cosmopolitan democracy. Instead of adopting the terminology of governance either for or by the people, my cosmopolitan approach focuses on governance with the people. The case of Greece is of utmost importance for my research as it reveals the causes and gravity of the crisis. It also broadens the empirical basis of cosmopolitan studies by embodying both the dynamics and challenges posed to cosmopolitanism which are exemplified in the paradoxes provoked; on the one hand there is aggravation of (fascist) nationalism and domination of economics on politics perhaps leading to Greece's de- Europeanisation; on the other hand the dynamics of a paradigm shift towards a post-crisis cosmopolitanism are revealed. That kind of cosmopolitanism needs to take under consideration the role of contestation and to redefine its position in the era of global capitalism for the confrontation of the crisis. In the case of the EU's limited external cosmopolitanism, my analysis of Turkey's possible impact on the EU and the reverse aims to demonstrate that Turkey's integration can contribute to the formation of a cosmopolitan, post-Western EU and post-national Turkey. What is of crucial importance for both cosmopolitan and Europeanisation studies is that the endogenous process of change within Turkey which is interlocking with the external dynamics of the EU may potentially lead to a distinctive ‘hybrid' type of cosmopolitanisation neither merely European nor simply Asian. The conclusions drawn from this multiple case study suggest that the current crisis may open new meanings for cosmopolitanism in Europe.
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Fokkens, Andries Marius. « The role and application of the Union Defence Force in the suppression of internal unrest, 1912-1945 ». Thesis, Stellenbosch : Stellenbosch University, 2006. http://hdl.handle.net/10019.1/17352.

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Thesis (MMil)--Stellenbosch University, 2006.
ENGLISH ABSTRACT: The use of military force to suppress internal unrest has been an integral part of South African history. The European colonisation of South Africa from 1652 was facilitated by the use of force. Boer commandos and British military regiments and volunteer units enforced the peace in outlying areas and fought against the indigenous population as did other colonial powers such as France in North Africa and Germany in German South West Africa, to name but a few. The period 1912 to 1945 is no exception, but with the difference that military force was used to suppress uprisings of white citizens as well. White industrial workers experienced this military suppression in 1907, 1913, 1914 and 1922 when they went on strike. Job insecurity and wages were the main causes of the strikes and militant actions from the strikers forced the government to use military force when the police failed to maintain law and order. Public reaction to the use of force was strong and the government, particularly Gen. J.C. Smuts, was severely criticised resulting in a defeat in the 1924 election. Over the period 1921 to 1932 indigenous populations in South Africa and South West Africa such as the Israelites (1921), the Bondelswarts (1922), the Rehoboth Basters (1925) and the Ukuambi (1932), were suppressed through punitive expeditions by the police and military forces of the Union of South Africa. The indigenous populations were a.o. grieved by the government’s implementation of branding laws, enforced indentured labour, dog and hut tax. The government’s prevailing racial policy of that time, manifested in a master and servant attitude towards the indigenous populations, exacerbated an existing grievance of restrictive political rights. The government reacted quickly and economically in suppressing any indigenous population’s protests involving militant action. Although the use of aeroplanes was criticised, it was a force multiplier and greatly assisted the small number of police and military forces deployed in minimising casualties on both sides. The government also had to suppress militant Afrikaner uprisings during the First and Second World Wars. In 1914 and 1915, prominent Afrikaner leaders and veterans of the Anglo-Boer War reacted militantly against the government’s participation in the First World War. Gen. L. Botha and Gen. Smuts were the architects of their suppression through quick mobilisation of the Active Citizen Force, using mostly Afrikaans speaking volunteers. The period between the two world wars saw the growth of the Afrikaners on a political, social and limited economical level. This gave rise to further dispute on political and social levels when the government once again opted to fight alongside Britain in the Second World War. Old animosities between the Afrikaners and British were relived and militant elements within Afrikaner society mobilised to impede this participation. The government resorted to using the Union Defence Forces and SA Police to facilitate internment, for spying and to guard strategic objectives in an effort to prevent sabotage and other serious damage to the war effort. Smuts received severe criticism from mostly Afrikaners who were against participation in the war, and the general public who had to suffer under the conditions of martial law.
AFRIKAANSE OPSOMMING: Die gebruik van militêre mag in die onderdrukking van interne onrus is ‘n algemene verskynsel in die geskiedenis van Suid-Afrika. Sedert 1652 het die Europese koloniale besetting van Suid-Afrika gepaard gegaan met geweld. Boerekommando’s en Britse militêre regimente en vrywilligereenhede het die vrede in verafgeleë gebiede gehandhaaf en die plaaslike bevolkings onderwerp, net soos ander koloniale moondhede, byvoorbeeld, Frankryk in Noord-Afrika en Duitsland in Duits-Suidwes-Afrika gedoen het. Die periode van 1912 tot 1945 was geen uitsondering nie, maar met die verskil dat opstande ook onder die blanke bevolking onderdruk is. In 1907, 1913, 1914 en 1922 het die blanke industriële werkers sodanige onderdrukking ervaar. Werksonsekerheid en loongeskille was die dryfkrag agter die stakings en die stakers se militante optrede het die regering gedwing om militêre mag te gebruik om die opstande te onderdruk, nadat die polisie se pogings om wet en orde te handhaaf, misluk het. Die publiek was sterk gekant teen sulke hardhandige optrede en Genl. J.C. Smuts het veral onder kritiek deurgeloop, wat tot sy politieke nederlaag gelei het. Opstandige inheemse bevolkings in Suid-Afrika en Suidwes-Afrika soos die Israeliete (1921), die Bondelswarts (1922), die Rehoboth Basters (1925) en die Ukuambi (1932) het deurgeloop onder strafekspidisies van elemente van die Unie van Suid-Afrika se polisie en weermag. Die inheemse bevolking is gegrief deur die regering se implimentering van brandmerkwette, geforseerde kontrakarbeid, hut- en hondebelasting. Die regering se rassebeleid van die tyd het ‘n meester-en-onderdaan-houding teenoor die inheemse bevolkings geskep, wat die teer kwessie van beperkte politieke regte vererger het. Opstande deur inheemse bevolkings wat militant van aard was, is op ‘n vinnige en ekonomiese manier onderdruk, dog het skerp kritiek uitgelok. Die benutting van vliegtuie om die opstande te onderdruk was ‘n magsvermenigvuldiger wat die klein polisie- en weermag gehelp het om verliese tydens die onderdukking van opstande aan beide kante te beperk. Die regering het ook opstande van Afrikanergroepe tydens die Eerste en Tweede Wêreldoorlog onderdruk. In 1914-1915 het prominente Afrikanerleiers en veterane van die Anglo-Boereoorlog militant opgeruk teen die regering in verset oor die regering se deelname aan die Eerste Wêreldoorlog. Genl. L. Botha en Genl. Smuts was die argitekte van die vinnige onderdrukking van die opstande deur die Aktiewe Burgermag op te roep en hoofsaaklik Afrikaanssprekende vrywilligers te gebruik. Die periode tussen die twee Wêreldoorloë is gekenmerk deur die groei van die Afrikaner op politieke, sosiale en in ‘n beperkte mate, ook ekonomiese gebied. Hieruit het verdere onenigheid op politieke en sosiale vlak onstaan toe die regering weer besluit het aand die kant van Brittanje tot die Tweede Wêreldoorlog toe te tree. Ou vyandighede tussen Afrikaans- en Engelssprekendes het herleef en militante elemente binne die Afrikanersamelewing het gemobiliseer om die deelname te belemmer. Die regering het die Unieverdedigingsmag en die SA Polisie gebruik vir internering, spioenering en die beveiliging van strategiese doelwitte teen sabotasie en ander aktiwiteite wat die oorlogsdeelname sou belemmer. Smuts het die meeste kritiek ontvang van Afrikaners wat gekant was teen die oorlog, asook die publiek in die algemeen wat gebuk gegaan het onder krygswet.
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Norquist, Jordan Faith. « RevolutionärInnen am Fließband : a Comparative Gendered Analysis of the 1973 Pierburg and Ford Migrant Labor Strikes ». PDXScholar, 2019. https://pdxscholar.library.pdx.edu/open_access_etds/4824.

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In the years following the end of the Second World War, the Federal Republic of Germany experienced a "golden age" of economic upturn. Due to the labor shortage in the aftermath of war and the division of Germany, West Germany initially looked to its eastern counterpart, the German Democratic Republic, to meet its labor needs in the immediate postwar years. Once East Germany tightened its border control, the Federal Republic of Germany extended bilateral agreements to Southern Mediterranean countries to meet the nation's labor needs. Italy was the first official nation to have a bilateral work agreement with West Germany in 1955, yet by the end of the labor program, the greatest population of "guest workers" in West Germany were Turkish nationals. The West German public initially heralded the arrival of guest workers as a boon, but by the program's end in November of 1973, the West German press reviled the Turkish migrant worker as they gradually moved out of isolated company employee barracks into single apartments, often with families or spouses joining them from Turkey. In spite of a lack of rights on West German soil, the year of 1973 was witness to a swell in migrant political activity, in the form of unsanctioned labor strikes. Utilizing two of these strikes, this thesis will compare the strategies, support, opposition, and success of the Ford Cologne (Ford Köln-Niehl) Factory strike and the Pierburg factory strike in Neuss. In both instances, the degree of support by ethnic German coworkers and factory management influenced the success of the strike. Additionally, this analysis will demonstrate that gender, in concert with nationality, negatively affected the results of the Ford Cologne Strike by way of public reception, while the negotiation of the Pierburg strike through a gendered lens aided woman migrant workers in the cooperation of factory management, the worker's council, union, and the West German public. Regardless of the strikes' outcomes, the significance of the labor strikes of 1973 is emblematic of both the lack of human rights afforded migrant workers in West Germany at the time and the persistent determination of blue-collar migrant workers to claim space for themselves and their families.
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Daly, Robert. « The scholar as scientist : Iurii Tynianov and the OPOiaZ ». Thesis, University of Oxford, 2016. https://ora.ox.ac.uk/objects/uuid:9a362e24-fc5b-447c-a740-8284a66c2a35.

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The present work deals with the literary-theoretical work of the Petrograd Formalists - those who participated in the OPOiaZ in the 1910s and early 1920s - with a focus on that oflurii Tynianov. It attempts to unpack the representation of their literary-theoretical work as 'science' [nauka] by exploring how that category was constructed in dialogue with their evolving conception of literature. It is argued in the first chapter that, for the duration of their project, they conceptualized the 'language of nauka' - and their own prose by association - in accordance with the laws of their theory of language. It is argued in the second chapter that, as the Formalists developed a theory of literary history as an endless succession of 'revolutions' in the period 1919- 24, they tried to make their theorization of that process take a correspondingly revolutionary form, one in which the sciences of nature and those of history would become one. It is argued in the third chapter that, as the Formalists came to theorize the connection between literature and life in the period 1924-30, they practised a new 'type' of nauka in the form of the authorial collection of articles, one in which their own work was historicized in a 'literary' manner. It is concluded that, for the OPOiaZ, nauka came into being as a function of its object: as the Formalists transformed their conception of literature, their realization of nauka was correspondingly transformed. The conclusion then problematizes the categorization of Formalism as a purely 'scientific', extra-'literary' movement, since emphasis is placed on their authorship of that categorization, and raises broader questions about the origin of modem 'literary theory'.
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Fernandez, Soriano Victor. « Le fusil et l'olivier : l'Espagne franquiste, la Grèce des colonels et les droits de l'Homme en Europe, 1949-1977 ». Doctoral thesis, Universite Libre de Bruxelles, 2013. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/209476.

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La consolidation des droits de l'Homme comme principe politique du processus d'intégration européenne fut articulée par les relations entre la Communauté économique européenne et les dictatures franquiste en Espagne et des colonels en Grèce. Ces deux régimes aspiraient à maintenir un statut d'États associés à la CEE :les débats politiques qui furent tenus à leur égard contribuèrent à la fixation d'une conditionnalité politique pour la participation au processus d'intégration européenne.
Doctorat en Histoire, art et archéologie
info:eu-repo/semantics/nonPublished
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Trehearne, Brian 1957. « Aestheticism and the Canadian modernists : aspects of a poetic influence ». Thesis, McGill University, 1986. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=72831.

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Charlton-Stevens, Uther E. « Decolonising Anglo-Indians : strategies for a mixed-race community in late colonial India during the first half of the 20th century ». Thesis, University of Oxford, 2012. http://ora.ox.ac.uk/objects/uuid:254b43ad-a0d6-4416-b451-c1ebff58ecce.

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Anglo-Indians, a designation acquired in the 1911 Indian Census, had previously been known as Eurasians, East Indians, Indo-Britons and half-castes. ‘Anglo-Indian’ had previously denoted, and among some scholars continues to denote, Britons long resident in India. We will define Anglo-Indians as a particular mixed race Indo-European population arising out of the European trading and imperial presence in India, and one of several constructed categories by which transient Britons sought to demarcate racial difference within the Raj’s socio-racial hierarchy. Anglo-Indians were placed in an intermediary (and differentially remunerated) position between Indians and Domiciled Europeans (another category excluded from fully ‘white’ status), who in turn were placed below imported British superiors. The domiciled community (of Anglo-Indians and Domiciled Europeans, treated as a single socio-economic class by Britons) were relied upon as loyal buttressing agents of British rule who could be deployed to help run the Raj’s strategically sensitive transport and communication infrastructure, and who were made as a term of their service to serve in auxiliary military forces which could help to ensure the internal security of the Raj and respond to strikes, civil disobedience or crises arising from international conflict. The thesis reveals how calls for Indianisation of state and railway employment by Indian nationalists in the assemblies inaugurated by the 1919 Government of India Act threatened, through opening up their reserved intermediary positions to competitive entry and examination by Indians, to undermine the economic base of domiciled employment. Anglo-Indian leaders responded with varying strategies. Foremost was the definition of Anglo-Indians as an Indian minority community which demanded political representation through successive phases of constitutional change and statutory safeguards for their existing employment. This study explores various strategies including: deployment of multiple identities; widespread racial passing by individuals and families; agricultural colonisation schemes; and calls for individual, familial or collective migration.
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Bentz, Gustav. « Fighting Springboks : C Company, Royal Natal carbineers : from Premier Mine to Po Valley, 1939 - 1945 ». Thesis, Stellenbosch : Stellenbosch University, 2013. http://hdl.handle.net/10019.1/85636.

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Thesis (MMil)-- Stellenbosch University, 2013.
ENGLISH ABSTRACT: Germany’s declaration of war on Poland on 1 September 1939 and the consequent war in Europe not only found the Union of South Africa politically divided but militarily unprepared to fight a modern war let alone make any worthwhile contribution toward its European allies’ war effort. The task of getting South Africa into the fight fell to newly appointed Prime Minister J.C. Smuts who cleverly outmanoeuvred J.B.M. Hertzog as leader of the nation. Not only was the Union Defence Force (UDF) severely ravaged by several budget cuts during and after the depression but it seemed to have no inclination of embracing the kind of mechanisation that was the hallmark of most European armies. Within the space of a year Smuts managed to transform the UDF and on 17 July 1940 the 1st South African Infantry Brigade set sail for East Africa where Mussolini’s Italians reigned supreme after brushing aside a couple of British border guards and laying claim to a few miles of British territory. One of the units dispatched by Smuts was the 1st Royal Natal Carbineers from Pietermaritzburg in Natal. Throughout the campaign the Regiment’s C Company fought with distinction but had the dubious honour of being the South African unit that suffered the most casualties during the whole campaign. Several of C Company’s men then become the vehicles through which the remainder of the war is experienced as the men were moved from one theatre of battle to another. Through their eyes the hunting trips into the East African bush and the death of their Commanding Officer, among other things, are relived. The victorious Springboks are then sent to Egypt where they were needed in an effort to break the deadlock that existed between the British 8th Army and the German Afrika Korps. Amidst the ebb and flow of the battle the men of C Company still found time to experience the sights and sounds of Africa’s most populous cities, Cairo and Alexandria. Here many young soldiers were exposed to pleasures and pastimes not to be had back in the Union. In spite of the eventual defeat of the German forces North Africa C Company witnessed the destruction of the 5th South African Brigade at Sidi Rezegh and suffered the loss of a combined platoon when Tobruk capitulated on 21 June 1942. After a brief period on home leave in 1943 C Company was back in action, this time in Italy as part of the 6th South African Armoured Division. Here they faced mountains, heavy snow and an enemy desperately fighting for every hill, stream and building. In the months which followed C Company were often in the midst of the action and many men lost close friends on the slopes of the Italian mountains. As final victory became apparent during the first months of 1945, C Company’s men began preparing for their post-war lives and when the first planes and ships left for the union at the end of April 1945 the men felt that they have served their country well and did their regiment proud.
AFRIKAANSE OPSOMMING: Ten tyde van Duitsland se oorlogsverklaring Pole op 1 September 1939 wat die weg gebaan het het vir die gevolglike oorlog in Europa was die Unie van Suid-Afrika nie net polities verdeel nie maar ook militêr onvoorbereid op 'n moderne oorlog. Die kans dat Suid Afrika n beduidende bydrae tot sy Europese bondgenote se oorlogspoging sou kon maak was ook skraal. Die taak om Suid-Afrika voor te berei vir die komende stryd het op die skouers van die nuutaangestelde premier J.C. Smuts gerus wat deur middel van politieke manuvrering vir J.B.M. Hertzog uitoorlê het as leier van die volk. Nie net was die Unie Verdedigings Mag (UVM) erg uitgemergel deur verskeie besnoeings in sy begroting tydens en ná die depressie nie, maar daar was klaarblyklik geen begrip vir die proses van meganisasie gehad waarmee die meeste Europese weermagte doenig was nie. Binne die bestek van 'n jaar het Smuts daarin geslaag om die UVM te transformeer en op 17 Julie 1940 seil die 1ste Suid-Afrikaanse Infanterie Brigade Oos-Afrika toe waar Mussolini se magte die kruin van die golf ry nadat hulle ‘n paar Britse grensposte eenkant toe gevee het en 'n paar myl Britse grondgebied beset het. Die 1st Royal Natal Carbineers van Pietermaritzburg was een van die eenhede wat in Oos Afrika teen die Italianers sou veg. Tydens die veldtog veg die Regiment met onderskeiding, maar verwerf ook die twyfelagtige eer om die Suid-Afrikaanse eenheid te wees wat die meeste ongevalle gely het gedurende die hele veldtog. Verskeie van C Kompanie se manne word gebruik as ‘n lens waardeur die res van die oorlog ervaar word soos die troepe van een front na die ander verskuif word. Deur middel van hul wedervaringe word, onder andere, die jagtogte in die Oos-Afrikaanse bos en die dood van hul bevelvoerder herleef. Na Oos-Afrika word die seëvierende Springbokke na Egipte gestuur waar hulle benodig word om die Britse 8ste Leër by te staan in in die stryd teen die Duitse Afrika Korps. Te midde van die stryd kom die manne van C Kompanie nog tyd vind om Afrika se mees digbevolkte stede, Kaïro en Alexandrië te besoek waar baie jong soldate blootgestel is aan genot en tydverdryf wat nie beskikbaar was in die Unie nie. Ten spyte van die uiteindelike nederlaag van die Duitse magte in Noord-Afrika was C Kompanie teenwoordig tydens die vernietiging van die 5de Suid-Afrikaanse Brigade by Sidi Rezegh en ervaar ook die verlies van 'n gekombineerde peloton toe Tobruk oorgegee op 21 Junie 1942. Na 'n kort tydperk in Suid Afrika is C Kompanie terug in aksie, hierdie keer in Italië as deel van die 6de Suid-Afrikaanse Pantserdivisie. Hier word hulle gekonfronteer deur berge, swaar sneeu en 'n vyand wat desperaat veg vir elke heuwel, stroom en bouval. In die daaropvolgende maande bevind C Kompanie hom dikwels te midde van die aksie sterf vele goeie vriende teen die hange van die Italiaanse bergreekse. Namate dit duidelik begin raak dat die Duitsers die oorlog gaan verloor begin C Kompanie se manne hulself voorberei vir hul na-oorlogse lewens. Met die vertrek van die eerste vliegtuie en skepe na die Unie teen die einde van April 1945 was die manne van Natal oortuig daarvan dat hulle hul land na die beste van hulle vermoë gedien het en dat hulle die goeie naam van hulle regiment gestand gedoen het.
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Vimont, Michael. « The anthropological construction of Czech identity : academic and popular discourses of identity in 20th century Bohemia ». Thesis, University of Oxford, 2015. http://ora.ox.ac.uk/objects/uuid:bb316968-60a1-472c-bee4-b8de3af5ebbd.

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Through close textual analysis of 20th century Czech anthropological texts from the Revivalist and Socialist periods and contemporary social research conducted after the Velvet Revolution, I demonstrate certain prominent discourses of identity developed in early Bohemian anthropology and their continuities in present day popular discourses. In each period, identity is deeply intertwined with teleological theories of history with Czech populations at the apex of cultural evolutionary development. In the Revivalist period this apex was believed to be the democratic nation state, transitioning to a Marxist nation state in the Socialist period, and in the contemporary period is conceived of as a neoliberal nation state. A major function of anthropology in the Revivalist and Socialist periods was to legitimate either period’s respective teleological theory and Czech possession of relevant values as 'objective' and 'natural' fact, a general mode of discourse which continued in the contemporary period in numerous editorials in the 1990s on the advantages of capitalism. The contemporary manifestation has particularly noteworthy consequences for the Roma minority, which I argue has provided Czech discourses with an ethnic category 'anti-thetical' to their own identity, providing a 'repository' for negative Czech self-stereotypes emerging from collaboration in the Socialist period.
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Demers, Alanna. « They Kill Horses, Don't They ? Peasant Resistance and the Decline of the Horse Population in Soviet Russia ». Bowling Green State University / OhioLINK, 2016. http://rave.ohiolink.edu/etdc/view?acc_num=bgsu1459521486.

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Foisy, Cory A. « Soviet war-readiness and the road to war : 1937-41 ». Thesis, McGill University, 2003. http://digitool.Library.McGill.CA:80/R/?func=dbin-jump-full&object_id=79938.

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This is a study of the foreign and domestic policies of the USSR as they pertain to its war-readiness, as well as the degree to which these policies presumably opened the door to the European conflagration and, in 1941, to the Nazi-Soviet war. Topics to be discussed include: (1) the crash industrialization of the Soviet Union and industrial war preparations from 1928--41; (2) the development of Soviet military doctrine before and after 12 June 1937; (3) a critical re-examination of the popularly accepted reasons for the devolution of the Soviet armed forces; and (4) Soviet foreign policy from 1937--41. The chronological end of the paper (1941) is followed by a brief epilogue discussing the evident success of the Soviet industrialization program by reference to Soviet industrial performance during the Nazi-Soviet war. Furthermore, the epilogue will challenge the popular depiction of the German invasion as an effortless, seamless advance into the Soviet heartland.
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Nichols, Julia A. (Brezon). « The Spanish University : An Analysis of the Relationship Between Institutional and Political Change ». Oberlin College Honors Theses / OhioLINK, 1985. http://rave.ohiolink.edu/etdc/view?acc_num=oberlin1336746162.

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Strugnell, James Paul. « Paintings by numbers : applications of bivariate correlation and descriptive statistics to Russian avant-garde artwork ». Thesis, University of St Andrews, 2017. http://hdl.handle.net/10023/10722.

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In this thesis artwork is defined, through analogy with quantum mechanics, as the conjoining of the nonsimultaneously measurable momentum (waves) of artwork-text (words within the primary sources and exhibition catalogues) with the position (particles) of artwork-objects (artist- productivity/exhibition-quantities). Such a proposition allows for the changes within the artwork of the Russian avant-garde to be charted, as such artwork-objects are juxtaposed with different artwork-texts from 1902 to 2009. The artwork of an initial period from 1902 to 1934 is examined using primary-source artwork-text produced by Russian artists and critics in relation to the contemporaneous production-levels of various types of Russian-avant-garde artwork-objects. The primary sources in this dataset are those reproduced in the artwork-text produced by the 62 exhibitions described below, and those published in John E. Bowlt's 1991 edition of Russian Art of the Avant-Garde: Theory and Criticism. The production of artwork in the latter period from 1935 to 2009 is examined through consecutive exhibitions, and the relationship between the artwork-text produced by these exhibitions and the artwork-objects exhibited at them. The exhibitions examined within this thesis are 62 containing Russian avant-garde artwork, held in Britain from 1935 to 2009. Content analysis, using an indices-and-symptom analytical construct, functions to convert the textual, unstructured data of the artwork-text words to numerical, structured data of recording-unit weighted percentages. Whilst artist-productivity and exhibition-quantities of types of artwork-object convert the individual artwork-objects to structured data. Bivariate correlation, descriptive statistics, graphs and charts are used to define and compare relationships between: The recording units of the artwork-texts; the artist-productivity/ exhibition-quantities of types of artwork-objects; the structured artwork-text data and structured artwork-object data. These various correlations between structured artwork-text data and structured artwork-object data are calculated in relationship to time (Years) to chart the changes within these relationships. The changes within these relationships are synonymous with changes within Russian avant-garde artwork as presented from 1902 to 1934 and within the 62 British exhibitions from 1935 to 2009. Bivariate correlations between structured artwork-texts data and structured artwork-objects data express numerically (quantitatively) the ineffable relationships formed over time by large sets of unstructured data in the continued (re)creation of artwork.
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Coosemans, Thierry. « Les Libéraux dans l'Union européenne : étude de cas :le groupe libéral, démocratique et réformateur du Parlement européen, 1979-2002 :un bilan ». Doctoral thesis, Universite Libre de Bruxelles, 2008. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/210544.

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McNulty, Christine. « Olfactory Approaches to Historical Study : The Smells of Chicago's Stockyard Jungle, 1900-1910 ». Thesis, Connect to resource online, 2009. http://hdl.handle.net/1805/1898.

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Thesis (M.A.)--Indiana University, 2009.
Title from screen (viewed on August 28, 2009). Department of History, Indiana University-Purdue University Indianapolis (IUPUI). Advisor(s): Marianne Wokeck. Includes vita. Includes bibliographical references (leaves 93-99).
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Zhang, Xiaotong. « The EU's trade relations with China, 1975-2008 : a linkage power at work ? » Doctoral thesis, Universite Libre de Bruxelles, 2010. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/210151.

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The EU’s Trade Relations with China (1975-2008):

A Linkage Power at Work?

(Summary)

The central aim of this thesis is to improve our understanding of the EU’s power, in particular in its external trade relations/negotiations. Our hypothesis is that the EU is a distinctive kind of linkage power, defined as an actor relying on linkage as a crucial modus operandi in its external relations. We explored how, to what extent and in which distinctive ways the EU is such a linkage power.

Our analysis was based on three logically interrelated concepts – power resources, linkage and linkage power. Linkage refers to a leveraging strategy, with an aim of packaging relevant power resources, so as to increase leverage in bargaining, or more generally attain a policy objective. I identified seven types of linkages that the EU used: political-economic issue linkage, economic-economic issue linkage, conditionality, contextual linkage, linkage with a third party, cognitive linkage and synergistic linkage. Linkage can hardly work without proper power resources. The latter, as Dahl (1970) defined, refers to all the resources-opportunities, acts, objects etc – that an actor can exploit in order to affect the behaviour of another. So, linkage is a bridge between power resources and impacts – meaning affecting or changing the behaviour of another party. By putting linkage and power together, we created a new term – “linkage power”, referring to a power based on linkages. The EU, the US, China or any other power can all be such labelled, though these actors may diverge in power resources, linkage strategies and the variables affecting linkage effectiveness. When applying such an analytical framework to the EU, we gave particular attention to the implications of the EU’s sui generis nature on its linkage power.

Our case study is the EU’s trade relations with China (1975-2008), which were punctuated by two critical historical junctures – the Tian’anmen Square Incident in 1989 and the EU-China Textile Crisis in 2005. In 1975, The EEC’s successful strategy by linking political issues (Europe-China balancing the Soviet Union and recognising China’s sovereignty over Taiwan) with economic issues (signing the EEC-China Trade Agreement) played a crucial role in securing the establishment of diplomatic relations between the EEC and China. Different types of linkages were then applied to the EEC’s negotiations with Beijing on the 1978 Trade Agreement and the 1979 textile agreement, which effectively prompted the Chinese side to agree to the EU’s terms.

Immediately after the 1989 Tian’anmen Square Incident, the EC imposed economic sanctions with an aim of coercing China to accept Western world’s human rights conditions. This linkage did not last long or pay off due to divergent political and economic interests among the Member States and the EC’s institutional handicaps (foreign policy competence was largely in the hands of Member States, collective foreign policy action was non-binding), and soon de-linked.

Having realised that confrontational approach did not work well, the EC/EU and its Member States started to change their China policies in 1993-95. The period of 1993-2004 witnessed the EC/EU’s power through partnership. The strategic partnership was seen as a complex of different pairs of issue linkages, ranging from political-strategic issues to economic and human rights issues. The partnership, once established, had fostered new linkages and consolidated old ones. China’s WTO accession was seen as a once-in-a-century opportunity for the EU to exercise linkage through conditionality, so as to extract market access concessions from the Chinese side. Moreover, by linking with China could the European Commission garnered international support for advancing the Galileo project within the Union and ward off some of the US pressure in 2003.

The Year 2005 was singled out since an unprecedented trade row on textiles broke out, confronting the EU against China’s export prowess resulting from globalisation and China’s WTO accession. Linkages were used as a predominant strategy to help the EU to persuade and press the Chinese side firstly accept voluntary export restrictions and then share the burden of allowing the blocked textiles in European ports to be released. In 2006-08, the trade deficit problem emerged, coupled with a series political spats between Europe (France and Germany) and Beijing on the Tibet issue. As the EU-China honeymoon was over, the Commission toughened its approach towards China. Although linkage was again used to redress the trade deficit, its effects were not satisfactory, as the EU power resources were eroded.

Our conclusions are (1) linkage is a crucial modus operandi in the EU’s internal bargain and its external relations with China; (2) Linkage was generally effective vis-à-vis China, but with variations, either over time or across different linkage types; (3) The EU is a sui generis linkage power, resulting from its institutional characteristics and heterogeneity of interests among the Commission and Member States. We find that the EU’s increased institutionalisation (both regional and bilateral) and competences generally facilitated its use of linkage strategies. The EU’s sui generis structure and its internal interest divergences have mixed implications on its linkage effectiveness. On one hand, the EU’s linkage power was weakened accordingly. But on the other, the Commission could tactically make use of some Member State government’s row with Beijing and advance its own economic agenda (such as the EU-China High-level Economic and Trade Dialogue, HED). Moreover, our research also confirmed Andrew Moravcsik’s argument that issue linkage is more easily made within an issue-area than across issue-areas. But we differ from him on the reason behind that. We find that this was largely attributable to the EU’s pillar structure and competence divisions.

The theoretical contributions include: (1) Linkage power provides a distinctive prism to look into the EU’s concrete strategies in internal bargains, and external commercial negotiations. Linkage serves as a crucial strategy for the EU to handle its relations with a far-abroad country like China, including establishing diplomatic relations, negotiating trade deals, forging strategic partnerships and holding high-level dialogue. (2) Giving some insights to the EU’s actorness. We find that the EU, though institutionally not a unitary actor, was somehow able to present its power to the extent like a sovereign state on some occasions using linkage strategies. (3) Contributing to the understanding of the EU’s means to spread its governance model. We find that the EU’s norm-setting goals have often been achieved through non-normative ways – such as interest exchange and trade-off, and other deliberate ways of persuasion and even coercion, mainly based on linkage. (4) Shedding light on the interactions between the Commission and the Member State governments and on the Commission’s autonomy in external trade relations.

Two future directions of research have been identified: (1) comparative studies: the EU’s linkage practices vis-à-vis the US, Russia and middle powers, or other actors’ linkage strategies vis-à-vis China; (2) post-Lisbon linkage strategies used by the EU.


Doctorat en Sciences politiques et sociales
info:eu-repo/semantics/nonPublished

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48

Svanberg, Johan. « Arbetets relationer och etniska dimensioner : Verkstadsföreningen, Metall och esterna vid Svenska Stålpressnings AB i Olofström 1945-1952 ». Doctoral thesis, Linnéuniversitetet, Institutionen för kulturvetenskaper, KV, 2010. http://urn.kb.se/resolve?urn=urn:nbn:se:lnu:diva-6239.

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Labour migration to Sweden is analysed from a labour perspective. As regards theory, the thesis focuses on how class and ethnicity intersect in a capitalistic setting, but it also gives attention to gender and age as structural principles. The main purpose is to analyse migrants in Sweden as a party in the relationship between labour and capital, and to explore how the immigration and the active recruitment of workers in other countries affected and was affected by the relative strengths of the parties on the labour market, covering the period 1945–1952. The relationship between labour and capital, regarding migration-related issues, is analysed from above and below on both national and local level, and the thesis discerns how the state mediated between the parties. It examines the first encounters between foreign-born and native-born workers at shop-floor level, how these encounters affected the relationship between the trade union and the industrial management concerned, and explores how all this, in turn, affected the relationship between the national parties on the Swedish labour market. A structural perspective is combined with micro analyses of narratives from the actors involved, which opens up for a study of the history of society. Firstly, the thesis addresses the relationship between the Swedish Engineering Employers’ Association and the Swedish Metalworkers’ Union, and secondly it is a local workplace study, focusing on Svenska Stålpressnings AB in Olofström (the Swedish Steel Pressing Company). The more precise focus of attention is on war refugees from Estonia employed by the company in Olofström between 1945 and 1947, and on Estonians recruited directly from West German refugee camps in the early 1950s. The study reveals that the Metalworkers’ Union at first opposed labour recruitment abroad – at both national and local level –, but also how coincident interests developed between labour, capital and the state regarding labour immigration. An important finding is that the Metalworkers’ Union had great influence considering which companies would be allowed to recruit foreign-born workers, and that the trade union could direct the migrations to workplaces with acceptable staff policies. A fundamental research problem for the thesis is, furthermore, how social groups construct ethnic boundaries between “us” and “the others”. It is stressed that Estonians’ background experiences and social memories differed from those of the Swedish workers, and that these differences affected the outcomes of the first encounters. But it is also pointed out that the Estonian group was internally divided, with a basis in interwar Estonian political history and in disparate class backgrounds among the Estonians.
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Clark, Rhonda (Rhonda Ingold). « The Communist Party and Soviet Literature ». Thesis, University of North Texas, 1994. https://digital.library.unt.edu/ark:/67531/metadc500452/.

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The Communist Party's control of Soviet literature gradually evolved from the 1920s and reached its height in the 1940s. The amount of control exerted over Soviet literature reflected the strengthening power of the Communist Party. Sources used in this thesis include speeches, articles, and resolutions of leaders in the Communist Party, novels produced by Soviet authors from the 1920s through the 1940s, and analyses of leading critics of Soviet literature and Soviet history. The thesis is structured around the political and literary developments during the periods of 1917-1924, 1924-1932, 1932-1941, and 1946-1949. The conclusion is that the Communist Party seized control of Soviet literature to disseminate Party policy, minimize dissent, and produce propaganda, not to provide an outlet for creative talent.
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Defraigne, Jean-Christophe P. L. G. « De l'intégration nationale à l'intégration continentale : analyse de la dynamique d'intégration supranationale européenne et de ses liens avec les changements technologiques des processus de production dans une perspective de long terme ». Doctoral thesis, Universite Libre de Bruxelles, 2002. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/211359.

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