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1

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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2

Frantz, Susanne K. « ARTISTS AND GLASS : A HISTORY OF INTERNATIONAL STUDIO GLASS (SCULPTURE) ». Thesis, The University of Arizona, 1987. http://hdl.handle.net/10150/291668.

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3

BALABAN, Ioan. « International and multinational banking under Bretton Woods (1945-1971) : the experience of Italian banks ». Doctoral thesis, European University Institute, 2021. https://hdl.handle.net/1814/69996.

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Defence date: 11 February 2021
Examining Board: Professor Youssef Cassis (European University Institute); Professor Federico Romero (European University Institute); Professor Catherine Schenk (Oxford University); Professor Stefano Battilossi (University of Carlo III)
Business economists and financial historians distinguish between a first and a second wave of international and multinational banking. The Great Depression and the two World Wars interrupted the first wave which began in the mid 19th century. The second wave began in the 1960s and was triggered by the advent of the Euromarkets under the international monetary regime of Bretton Woods (1944-1971). The thesis investigates the determinants of the internationalization of European commercial banks under Bretton Woods by focusing on the experience of Italian banks. I argue that Italian banks re-entered international and multinational banking from the late 1940s onwards in order to contribute to establish Italy as a commercial power. Competition between the banks in the international arena led them to integrate Eurodollar deposits into their international and domestic banking strategies in the 1950s and the 1960s thus contributing to the globalization of finance. The big European continental commercial banks internationalized in parallel to Italian banks and for the same reasons. Nevertheless, in contrast to latter, the former became major actors in the Euromarkets as a result of the American challenge after 1965. The thesis argues that the growth of the Euromarkets in the second half of the 1960s was sponsored by the Federal Reserve of the United States. The Federal Reserve encouraged the growth of the Euromarkets, and the role of American banks in the market, in order to defend the US official gold stock and the US balance of payments. Sources are drawn from bank and central bank archives in Italy, France and the United States.
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4

Widmaier, Wesley William. « A constructivist theory of international monetary relations monetary understandings, state interests in cooperation, and the construction of crises (1929-2001) / ». Access restricted to users with UT Austin EID, 2001. http://wwwlib.umi.com/cr/utexas/fullcit?p3036613.

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5

Winfield, Sarah Jane. « Education for international understanding : British secondary schools, educational travel and cultural exchange, 1919-1939 ». Thesis, University of Cambridge, 2015. https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.708957.

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Reibman, Max Yacker. « Cairo and the international politics of Egypt and Syria, 1914-1920 ». Thesis, University of Cambridge, 2014. https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.708103.

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7

Lim, Jason. « Nationalism, tea leaves and a common voice : the Fujian-Singapore tea trade and the political and trading concerns of the Singapore Chinese tea merchants, 1920-1960 ». University of Western Australia. School of Humanities, 2007. http://theses.library.uwa.edu.au/adt-WU2007.0088.

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[Truncated abstract] Conventional historical research on the tea trade focussed on the trade between the United Kingdom and China up to 1937. Very little has been done on the tea trade between China and other regions such as colonial Singapore. In addition, the focus on the overseas Chinese community in Singapore has concentrated on two opposite ends of the social ladder the rich traders or merchants who came to dominate the political, economic and social life of the community, and the coolies or those in the working class and how the harsh reality of life in colonial Singapore often quashed any dreams they had of a better life. The key focus of this dissertation is a study of the trading links between a group of Chinese traders in Singapore and commodity producers in China. To date, research into Chinese traders in Singapore has focussed on their trade in products from British Malaya such as rubber and tin. This dissertation aims to steer away from this approach, and study the relationship between Fujian tea production and trade and the Chinese tea traders in Singapore . . . This dissertation, therefore, takes a two-pronged approach. First, it examines the conditions in Fujian tea production and trade since they were the key trading concerns of the Chinese tea traders in Singapore. Secondly, the dissertation examines the political beliefs and sense of patriotism among the Chinese tea traders in Singapore and their response to major events in their lives such as the Sino-Japanese War (1937-1945), the Japanese Occupation of Singapore (1942-1945), the Chinese Civil War (1945-1949) and self-government for Singapore from June 1959.
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8

Milner, Wesley T. « Progress or Decline : International Political Economy and Basic Human Rights ». Thesis, University of North Texas, 1999. https://digital.library.unt.edu/ark:/67531/metadc2180/.

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This dissertation is a cross-national, empirical study of human rights conditions in a dynamic international political economy. The scope of the examination covers 176 developed and developing countries from 1980 through 1993. Through evaluating the numerous theoretical aspects of human rights conceptualization, I draw upon Shue's framework and consider whether there are indeed "basic rights" and which rights should fit into this category. Further, I address the debate between those who claim that these rights are truly universal (applying to all nations and individuals) and those who argue that the validity of a moral right is relative to indigenous cultures. In a similar vein, I empirically investigate whether various human rights are interdependent and indivisible, as some scholars argue, or whether there are inherent trade-offs between various rights provisions. In going beyond the fixation on a single aspect of human rights, I broadly investigate subsistence rights, security rights and political and economic freedom. While these have previously been addressed separately, there are virtually no studies that consider them together and the subsequent linkages between them. Ultimately, a pooled time-series cross-section model is developed that moves beyond the traditional concentration on security rights (also know as integrity of the person rights) and focuses on the more controversial subsistence rights (also known as basic human needs). By addressing both subsistence and security rights, I consider whether certain aspects of the changing international political economy affect these two groups of rights in different ways. A further delineation is made between OECD and non-OECD countries. The primary international focus is on the effects of global integration and the end of the Cold War. Domestic explanations that are connected with globalization include economic freedom, income inequality and democratization. These variables are subjected to bivariate and multivariate hypothesis testing including bivariate correlations, analysis of variance, and multiple OLS regression with robust standard errors.
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Bruneau, Quentin. « Knowing sovereigns : forms of knowledge and the changing practice of sovereign lending ». Thesis, University of Oxford, 2016. https://ora.ox.ac.uk/objects/uuid:127b0026-030f-417d-9cb8-f871936d6227.

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This thesis examines how sovereign lending, i.e. the practice of lending capital to sovereigns, has changed since the early nineteenth century. It tackles this question by investigating how lenders have thought about sovereigns for the past two centuries, focusing on the tools they have used to know and represent them. I argue that there was a critical shift in the early twentieth century in terms of the kinds of knowledge lenders deployed to know sovereigns. This shift differentiates the old sovereign lending from the new. In the old sovereign lending, merchant banking families such as the Rothschilds knew sovereigns through intensely personal relations based on gentility, whereas in the new sovereign lending, joint stock banks, credit rating agencies and international institutions largely came to know sovereigns through statistics. Though difficult to imagine nowadays, the description of sovereigns through quantifiable facts (the original definition of 'statistics') was revolutionary for early twentieth century lenders. Despite constituting the origins of sovereign credit ratings, this key shift has been overlooked in all major studies about sovereign debt. The new sovereign lending rose to prominence from the interwar period to the 1970s and now defines our world. The identification of this crucial shift is based on the development and application of the concept of forms of knowledge. Forms of knowledge refer to enduring ways of knowing and representing the constituent units of the international system used by international practitioners (e.g. diplomats, military strategists, financiers, and international lawyers). Examples of forms of knowledge include, but are not limited to, modern cartography, international treaties, statistics, gentility, and heraldry. The use of this concept is that it leads to a better understanding of how international practitioners and their practices undergo radical changes. In so doing, it provides a firmer empirical grasp on the question of how fundamental discontinuities arise in international relations.
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Lin, Lidan. « The Rhetoric of Posthumanism in Four Twentieth-Century International Novels ». Thesis, University of North Texas, 1998. https://digital.library.unt.edu/ark:/67531/metadc278990/.

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The dissertation traces the trope of the incomplete character in four twentieth-century cosmopolitan novels that reflect European colonialism in a global context. I argue that, by creating characters sharply aware of the insufficiency of the Self and thus constantly seeking the constitutive participation of the Other, the four authors E. M. Forster, Samuel Beckett, J. M. Coetzee, and Congwen Shen all dramatize the incomplete character as an agent of postcolonial resistance to Western humanism that, tending to enforce the divide between the Self and the Other, provided the epistemological basis for the emergence of European colonialism. For example, Fielding's good-willed aspiration to forge cross-cultural friendship in A Passage to India; Murphy's dogged search for recognition of his Irish identity in Murphy; Susan's unfailing compassion to restore Friday's lost speech in Foe; and Changshun Teng, the Chinese orange-grower's warm-hearted generosity toward his customers in Long River--all these textual occasions dramatize the incomplete character's anxiety over the Other's rejection that will impair the fullness of his or her being, rendering it solitary and empty. I relate this anxiety to the theory of "posthumanism" advanced by such thinkers as Marx, Bakhtin, Sartre, and Lacan; in their texts the humanist view of the individual as an autonomous constitution has undergone a transformation marked by the emphasis on locating selfhood not in the insular and static Self but in the mutable middle space connecting the Self and the Other.
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11

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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12

Johnston, Seth Allen. « How NATO endures : an institutional analysis ». Thesis, University of Oxford, 2012. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.711650.

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13

Paterson, Craig. « Prohibition & ; resistance : a socio-political exploration of the changing dynamics of the southern African cannabis trade, c. 1850 - the present ». Thesis, Rhodes University, 2010. http://hdl.handle.net/10962/d1002403.

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Looking primarily at the social and political trends in South Africa over the course of the last century and a half, this thesis explores how these trends have contributed to the establishment of the southern Africa cannabis complex. Through an examination of the influence which the colonial paradigm based on Social Darwinian thinking had on the understanding of the cannabis plant in southern Africa, it is argued that cannabis prohibition and apartheid laws rested on the same ideological foundation. This thesis goes on to argue that the dynamics of cannabis production and trade can be understood in terms of the interplay between the two themes of ‘prohibition’ and ‘resistance’. Prohibition is not only understood to refer to cannabis laws, but also to the proscription of inter-racial contact and segregation dictated by the apartheid regime. Resistance, then, refers to both resistance to apartheid and resistance to cannabis laws in this thesis. Including discussions on the hippie movement and development of the world trade, the anti-apartheid movement, the successful implementation of import substitution strategies in Europe and North America from the 1980’s, and South Africa’s incorporation into the global trade, this thesis illustrates how the apartheid system (and its collapse) influenced the region’s cannabis trade.
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Askew, Joseph Benjamin. « The status of Tibet in the diplomacy of China, Britain, the United States and India, 1911-1959 ». Title page, contents and abstract only, 2002. http://web4.library.adelaide.edu.au/theses/09PH/09pha8356.pdf.

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"June 2002" Bibliography: leaves 229-270. This thesis examines the changes in diplomacy of China, the West, Tibet and India from 1911 to 1951, while Tibet functioned as an independent country, and during 1951 to 1959 while under Chinese control. Tibet maintained its own currency, government, armed forces and way of life until 1959. The thesis also examines the cultural shifts in the political, social and military spheres in these countries. It assumes that the general world trend in political life has been towards increasingly intolerant and extreme politics. If Tibet remains part of China with little chance of resuming independence, it is because the Chinese government and people were quicker to adopt radical Western philosophies than the Tibetans were.
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15

Worrell, Blake. « Determinants of International Terrorist Group Formation, 1968-1999 ». Thesis, University of North Texas, 2007. https://digital.library.unt.edu/ark:/67531/metadc5107/.

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Terrorism has become a focus of much political thought over the past few years, and with good reason, yet most quantitative studies of terrorism investigate the likelihood of a terrorist incident while ignoring the precursors to terrorist group formation. I examine cases of new terrorist group formations between the years 1968 and 1999 as a function of domestic demographic, geographic, governmental and societal factors. This is done by Poisson regression analysis, which determines the significance of the independent variables on a count of new international terrorist group formations per country year. The results indicate that higher levels of material government capability, high levels of political freedom, the availability of low-cost refuge, and a cultural tradition of terrorism all have a positive impact on the number of new terrorist group formations, while a higher degree of governmental durability has a negative impact.
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MacDonald, Andrew Scott. « Colonial trespassers in the making of South Africa's international borders 1900 to c.1950 ». Thesis, University of Cambridge, 2012. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.610898.

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Kirchhelle, Claas. « Pyrrhic progress : antibiotics and western food production (1949-2013) ». Thesis, University of Oxford, 2015. https://ora.ox.ac.uk/objects/uuid:08832606-eeb5-45a7-a0a4-33eb28f74d3e.

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This dissertation addresses the history of antibiotic use in British and US food production between 1950 and 2013. Introduced to agriculture in the 1950s, antibiotics underpinned the 20th-century revolution in Western food production. However, from the late 1950s onwards, controversies over antibiotic resistance, residues and animal welfare began to tarnish antibiotics' image. By mapping both the enthusiasm and the controversies surrounding antibiotic use, this dissertation shows how distinct civic epistemologies of risk influenced consumers', producers' and officials' attitudes towards antibiotics. These differing risk perceptions did not emerge by chance: in Britain, popular animal welfare concerns fused with new scenarios of antibiotic resistance and drove reform. Following 1969, Britain pioneered antibiotic resistance regulation by banning certain feed antibiotics. However, subsequent reforms were only partially implemented, and total antibiotic consumption failed to sink. Meanwhile, scandals and public pressure forced the American FDA to install the first comprehensive monitoring program for antibiotic residues. However, differing public priorities and industrial opposition meant that the FDA failed to convince Congress of resistance-inspired bans. The transatlantic regulatory gap has since widened: following the BSE crisis, the EU phased out growth-promoting antibiotic feeds in 2006. The US proclaimed only a voluntary and partial ban of antibiotic feeds in December 2013. In the face of contemporary warnings about failing antibiotics, the dissertation shows how one group of substances acquired different meanings for different communities. It also reveals that the dilemma of antibiotic regulation is hardly new. Despite knowing about antibiotic allergies and resistance since the 1940s, no country has managed to solve the dilemma of preserving antibiotics' economic benefits whilst containing their medical risks. Historically, effective antibiotic regulation emerged only when differing perceptions of antibiotics were broken down either by sustained regulatory reform or large crises.
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Chan, U. Wai. « An autonomous and unautonomous body : the making of Macau's female working class, 1957-1989 ». Thesis, University of Macau, 2012. http://umaclib3.umac.mo/record=b2590567.

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Louderman, James Richard. « No Place for Middlemen| Civic Culture, Downtown Environment, and the Carroll Public Market during the Modernization of Portland, Oregon ». Thesis, Portland State University, 2013. http://pqdtopen.proquest.com/#viewpdf?dispub=1541723.

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Following the Civil War, the American government greatly expanded the opportunities available for private businessmen and investors in an effort to rapidly colonize the West. This expansion of private commerce led to the second industrial revolution in which railroads and the corporation became the symbols and tools of a rapidly modernizing nation. It was also during this period that the responsibility of food distribution was released from municipal accountability and institutions like public markets began to fade from the American urbanscape. While the proliferation of private grocers greatly aided many metropolises' rapid growth, they did little to secure a sustainable and desirable form of food distribution. During the decades before and after the turn of the century, public market campaigns began to develop in response to the widespread abandonment of municipal food distribution.

Like many western cities, Portland, Oregon matured during the second half of the nineteenth century and lacked the historical and social precedent for the construction of a public market. Between 1851 and 1914, residents of Portland and its agricultural hinterland fought for the construction of a municipally-owned public market rallying against the perceived harmful and growing influences of middlemen. As a result of their efforts, the Carroll Public Market was founded on the curbsides of Yamhill Street in downtown Portland. While success encouraged multiple expansions and an increasingly supportive consumer base, a growing commitment to modernist planning among city officials and the spread of automobile ownership determined the market to be incompatible with the commercial future of Portland.

In an effort to acknowledge and capitalize on the Carroll Public Market's community, a group of investors, incorporated as the Portland Market Company, worked with city officials between 1926 and 1934 to create the largest public market in the United States, the Portland Public Market. As the first building of the newly constructed waterfront development, many believed the massive institution would reinvigorate nearby businesses and ultimately influence the potential of the downtown business district. The Portland Public Market was decidedly distinct from the market along Yamhill and the promoters cast it as such. By utilizing the most modern technologies and promises of convenience there was little that the two organizations shared in common. In the end, the potential of the waterfront market was never fulfilled and amidst legal scandals, an ongoing struggle to meet operating costs, and the success of a rebellious Farmers Cooperative, it shut down after nine years.

This thesis discusses these two public markets during a period of changing consumer interests and the rise of modernist planning in Portland, Oregon. Ultimately, the Carroll Public Market was torn down for reasons beyond its own control despite the comfortable profit it enjoyed each year. Many city officials refused to support the institution as they increasingly supported the values of modernism and urban planning. The Portland Public Market fit perfectly with many city planners' and private investors' intents for the future. This essay seeks to offer a unique glimpse of how commercial communities form and how commercial environments evolve through the politics of food distribution, consumerism, and producer-to-consumer relationships.

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Heavens, John Edmund. « The International Committee of the North American Young Men's Christian Association and its foreign work in China, 1895-1937 ». Thesis, University of Cambridge, 2014. https://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.707974.

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White, Bob Whitman. « Modernity's spiral : popular culture, mastery, and the politics of dance music in Congo-Kinshasa ». Thesis, National Library of Canada = Bibliothèque nationale du Canada, 1998. http://www.collectionscanada.ca/obj/s4/f2/dsk1/tape10/PQDD_0020/NQ44627.pdf.

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Polley, Martin Robert. « The Foreign Office and international sport, 1918-1948 ». Thesis, University of Wales Trinity Saint David, 1991. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.683112.

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Miller, Carol Ann. « Lobbying the League : women's international organizations and the League of Nations ». Thesis, University of Oxford, 1992. http://ora.ox.ac.uk/objects/uuid:f517ac72-18b3-42b2-9728-31129462bf4a.

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This thesis is an account of women's international work at the League of Nations. While feminists' shift from the national to the international arena has been noted in studies on the inter-war women's movement, most often it has been interpreted as a reflection of the heightened salience of peace work in the aftermath of the First World War. This is an important observation but it overlooks the fact that women's activities at the League embraced the full spectrum of feminist causes: social reform, women's rights and peace. This thesis gives prominence to inter-war feminist activity played against the backdrop of institutional developments at the League which encouraged women to believe their goals could be advanced under its auspices. One of the major goals of the Women's International Organizations was to establish a political role for women in international affairs. The first chapter describes the efforts of women's organizations to secure the representation of women in the League of Nations. Many recently enfranchised women in Europe and North America identified the League as an institution toward which they should direct their newly won political influence. This is assessed in the context of ideas that emerged in the aftermath of the First World War about the transformation of the international sphere through the infusion of female values. The second, third and fourth chapters present a profile of the women's networks operating in and around the League. The study reveals a high level of interaction between the Women's International Organizations and women in official positions at the League. Chapter 2 examines the aims of the Women's International Organizations and exposes tensions between social feminist and equal rights feminist organizations that led to a struggle for influence at the League. The third and fourth chapters assess the impact of gender-stereotyping on patterns of appointments to the League. However much appointments to Assembly delegations and League advisory committees should have carried with them national allegiances, women delegates were often seen to represent women and this both positively and negatively affected women's participation. The remaining chapters assess women's impact on the development of League activities with particular attention to the implications of the idea that women as women had a special contribution to make at the international level. Chapter 5 explores the extent to which the assertion of difference enhanced women's influence with regard to the League's social and humanitarian work in the 1920s and enabled them to have several gender-specific concerns placed on the agenda. The Depression and the rise of reactionary ideologies influenced feminists to call for more decisive League action on the status of women in the 1930s. Most member states of the League, however, did not view the status of women as a subject for international consideration. Chapter 6 looks at the conflict between social and equal rights feminists over what League initiatives would prove most effective for advancing the status of women and traces developments that ultimately led to the League sponsored Inquiry on the Legal Status of Women in 1937. The seventh chapter assesses the impact of traditional associations between women and peace on women's peace activities at the League. Cultural representations of women as peace-loving had political relevance in the context of League activities and the League attempted to bolster support in the 1930s by intensifying collaboration with women. Significantly, the Women's International Organizations responded by asserting that only with equality would women's influence for peace be fully available. The interplay between equality and difference permeated women's international work at every level and the conclusion evaluates the way in which this tension influenced women's participation in and contribution to the activities of the League of Nations.
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Lee, Sung Yong. « Dynamics of interplay between third-party interveners and national factions in civil war peace negotiations : case studies on Cambodia and El Salvador ». Thesis, University of St Andrews, 2011. http://hdl.handle.net/10023/1864.

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This thesis examines the processes of the peace negotiations in Cambodia (1987-1993) and El Salvador (1989-1993) in order to address the following question: What does the interplay between the national factions and the external interveners in peace negotiations tell us about their chances of achieving their goals? By using the concept of ‘interplay,’ this study reinterprets the negotiation processes as the negotiating actors’ exchanges of strategic moves. In particular, it explores how the negotiating actors’ attitudes towards the core negotiation issues changed in the two cases and how the changes affected their counterparts’ negotiating strategies. There are two aspects to the findings of this thesis, one descriptive and the other explanatory. First, this study has investigated the characteristics of the negotiating actors’ strategies and the pattern of the interplay between them. As for the interveners’ strategies, this thesis finds that impartial third parties generally employ diplomatic intervention methods, while advocate states enjoy a wider range of options. In addition, national factions’ behaviour is generally affected by three factors: their fundamental goals, the domestic resources under their control, and the incentives or pressure from external interveners. It is also observed that the stronger the intervention becomes, the more that national factions’ provisional strategies are inclined to be receptive towards the intervention. Nevertheless, the national factions rarely fully accepted proposals that they deemed harmful to the achievement of their fundamental goals. Second, based on the descriptive findings, this thesis highlights the importance of mutual understanding between national factions and external interveners. The case studies of Cambodia and El Salvador show that the effectiveness of a particular intervention depends not so much on the type of method employed but on the context in which it is applied. An intervention is more likely to be effective when it is used in a way that national factions can understand and is supported by the consistently strong attention of external interveners. In addition, it is observed that actors’ ethnocentric perceptions on core concepts of conflict and negotiation as well as their lack of an effective communication capability are some of the common causes of the misunderstandings that arise during negotiation processes.
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White, Kirk. « The Development of IAM District Lodge 776 in Fort Worth, Texas, 1942-1946 : A Case Study in the Growth of Organized Labor During World War II ». Thesis, University of North Texas, 1999. https://digital.library.unt.edu/ark:/67531/metadc2205/.

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This thesis concentrates on a local union of the International Association of Machinists (IAM), District Lodge 776, of Fort Worth, Texas, during the war years. The main argument of the thesis runs along three basic lines. First, it demonstrates that the experiences of the Fort Worth Machinists clearly fit into the national labor movement during the war years. Second, it argues that the existence, survival, and strength of the union depended greatly on outside forcesan expanding national economy, a powerful national union, and a generally labor-friendly government. Third, it shows that union officers and rank-and-file members used their bases of strengththe national economy, the national IAM, and the federal governmentto build an effective local labor organization.
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Cole, Laura A. « Civil-military relations in Guatemala during the Cerezo presidency ». FIU Digital Commons, 1992. http://digitalcommons.fiu.edu/etd/2404.

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In 1986 Guatemala experienced a transition from authoritarian rule. Many issues affected the democratization process, but I argue that an essential aspect was civil- military relations. Thus, the principal question answered in this thesis is: How have civil-military relations determined the extent and nature of transition towards democracy in Guatemala from 1986-1990? Adopting Alfred Stepan’s model to examine civil-military relations, the prerogatives and contestation of the Guatemalan military were examined. Prerogatives exist when the military assumes the right to control an issue, while contestation involves open articulated conflict with civilian government. High military prerogatives and low contestation indicate a situation of unequal civilian accommodation, where civilians do not effectively control the military. Civil-military relations in Guatemala from 1986-1990 reflect a pattern of unequal civilian accommodation. This illustrates the lack of civilian control over the military and continued military dominance of the political system in Guatemala.
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Miguda, Edith Atieno. « International catalyst and women's parliamentary recruitment : a comparative study of Kenya and Australia 1963-2002 / ». Title page, table of contents and abstract only, 2004. http://web4.library.adelaide.edu.au/theses/09PH/09phm6362.pdf.

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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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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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Masrani, Swapnesh. « International competition and strategic response in the Dundee jute industry during the inter-war (1919-1939) and post-war (1945-1960s) period : the case of jute industries, Buist Spinning, Craiks and Scott & ; Fyfe ». Thesis, University of St Andrews, 2008. http://hdl.handle.net/10023/415.

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This research uses the ‘demand-side thesis’ to examine the decline of the Dundee jute industry. In particular, it examines the effect of international competition and the strategic response of the industry during the inter-war (1919-1939) and the post-war (1945-1960s) period to counter this challenge. The strategic response is studied by examining strategies employed at the firm and the industry level. Strategy at the firm level is studied in the form of capability development using the capabilities approach. The thesis also makes an attempt to redress the issue of determinism in the capabilities approach which suggests that the pattern of capability development is governed by path-dependency. By drawing on the techniques employed in the history literature, this research identifies strategic options that were being considered by firms at the time of capability development and examine why certain alternatives were not pursued. This will bring to light aspects other then those associated with path-dependency that played a role in the pattern of capability development. The capabilities developed by firms during the two periods are compared and contrasted in order to understand the pattern over this period. These findings are juxtaposed with the British cotton textile industry, a related sector, to examine the effectiveness of the demand-side thesis in explaining the decline of the jute industry in particular and the textile industry in general. This thesis makes contribution to three areas of literature: First, the thesis helps to further develop the demand-side framework by introducing a new case (Dundee jute industry) and developing a better understanding of strategic response within the jute and textile industry in general. Second, this thesis contributes to the theoretical development of capabilities approach in two specific areas: a) it helps to address the issue of determinism inherent in the capabilities approach through the notion of path-dependency. This was done by also examining the strategic options that were available to firms while developing their capabilities and underlining the reasons for not pursuing them. b) the analysis sheds new light on the nature of branching of capabilities in an industry over a long period. Third, this research makes significant contribution to the existing literature on the business history of the Dundee jute industry, which is sparse. The contributions can be categorised into four key aspects which have not been examined in the current literature: a) period (inter-war and post-war), b) issue (systematic examination of the Dundee jute industry’s decline, strategic response and role of collective strategies), c) method (detailed study of individual firm’s strategies), and d) cross comparison of industry’s experience with related sectors (for example, the cotton industry). Focusing on these issues has helped to throw new light on the challenges, especially technological, facing the industry in developing its strategic response.
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Wright, Crystal Renee Murray. « From the Hague to Nuremberg : International Law and War, 1898-1945 ». Thesis, North Texas State University, 1987. https://digital.library.unt.edu/ark:/67531/metadc501222/.

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This thesis examines the body of international law drawn upon during the Nuremberg trials after World War II. The work analyzes the Hague Conventions, the Paris Peace Conference, and League of Nations decisions to support its conclusions. Contrary to the commonly held belief that the laws violated during World War II by the major war criminals were newly developed ideas, this thesis shows that the laws evolved over an extended period prior to the war. The work uses conference minutes, published government sources, the official journal of the League of Nations, and many memoirs to support the conclusions.
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Turnell, Sean. « Monetary reformers, amateur idealists and Keynesian crusaders Australian economists' international advocacy, 1925-1950 / ». Phd thesis, Australia : Macquarie University, 1999. http://hdl.handle.net/1959.14/76590.

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Thesis (PhD)--Macquarie University, Division of Economic and Financial Studies, Dept. of Economics, 1999.
Bibliography: p. 232-255.
Introduction -- Cheap money and Ottawa -- The World Economic Conference -- F.L. McDougall -- The beginnings of the 'employment approach' -- Coombs and consolidation -- Bretton Woods -- An international employment agreement -- The 'employment approach' reconsidered -- The Keynesian 'revolution' in Australia -- Conclusion.
Between 1925 and 1950, Australian economists embarked on a series of campaigns to influence international policy-making. The three distinct episodes of these campaigns were unified by the conviction that 'expansionary' economic policies by all countries could solve the world's economic problems. As well as being driven by self-interest (given Australia's dependence on commodity exports), the campaigns were motivated by the desire to promote economic and social reform on the world stage. They also demonstrated the theoretical skills of Australian economists during a period in which the conceptual instruments of economic analysis came under increasing pressure. -- The purpose of this study is to document these campaigns, to analyse their theoretical and policy implications, and to relate them to current issues. Beginning with the efforts of Australian economists to persuade creditor nations to enact 'cheap money' policies in the early 1930s, the study then explores the advocacy of F.L. McDougall to reconstruct agricultural trade on the basis of nutrition. Finally, it examines the efforts of Australian economists to promote an international agreement binding the major economic powers to the pursuit of full employment. -- The main theses advanced in the dissertation are as follows: Firstly, it is argued that these campaigns are important, neglected indicators of the theoretical positions of Australian economists in the period. Hitherto, the evolution of Australian economic thought has been interpreted almost entirely on the basis of domestic policy advocacy, which gave rise to the view that Australian economists before 1939 were predominantly orthodox in theoretical outlook and policy prescriptions. However, when their international policy advocacy is included, a quite different picture emerges. Their efforts to achieve an expansion in global demand were aimed at alleviating Australia's position as a small open economy with perennial external sector problems, but until such international policies were in place, they were forced by existing circumstances to confine their domestic policy advice to orthodox, deflationary measures. -- Secondly, the campaigns make much more explicable the arrival and dissemination of the Keynesian revolution in Australian economic thought. A predilection for expansionary and proto-Keynesian policies, present within the profession for some time, provided fertile ground for the Keynesian revolution when it finally arrived. Thirdly, by supplying evidence of expansionary international policies, the study provides a corrective to the view that Australia's economic interaction with the rest of the world has largely been one of excessive defensiveness. -- Originality is claimed for the study in several areas. It provides the first comprehensive study of all three campaigns and their unifying themes. It demonstrates the importance to an adequate account of the period of the large amount of unpublished material available in Australian archives. It advances ideas and policy initiatives that have hitherto been ignored, or only partially examined, in the existing literature. And it provides a new perspective on Australian economic thought and policy in the inter-war years.
Mode of access: World Wide Web.
255 p
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David, Huw T. « The Atlantic at work : Britain and South Carolina's trading networks, c. 1730-1790 ». Thesis, University of Oxford, 2011. http://ora.ox.ac.uk/objects/uuid:ecb3aae6-ba02-4537-b5b0-7f3c7e758613.

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This thesis describes the sixty years of transatlantic interaction, connection, dislocation and reconstruction in Anglo-Carolinian trade between 1730 and 1790. Focussing on about two dozen of London’s ‘Carolina traders’, it integrates their personal and collective stories of profit and loss, reputation and notoriety, and political activity and inactivity, with the broader forces they shaped and were in turn shaped by – forces of economic growth, political stability and instability, and imperial harmony and disharmony. Through their conjoined political and commercial agency – a dual role better appreciated by contemporaries than by historians – they profoundly influenced commerce between Britain and South Carolina. Their intermediation served firstly as a stabilising force in the Anglo-Carolinian polity as they procured favourable treatment for the colony’s goods and represented its grievances in the imperial metropolis. An important influence on this was their ‘absentee’ ownership of property in South Carolina and the thesis explores in depth the underappreciated prevalence and significance of this transatlantic absenteeism. From the mid-1760s, however, the traders’ political and commercial agency aggravated intra-imperial discord. Disputes between British merchants and their Carolinian correspondents reflected in microcosm the geo-political shifts of the time and reveal at an inter-personal level how resistance to British imperial authority developed among Carolinians. Furthermore, these disputes played a constitutive role in this resistance, as the purported commercial iniquities and political orientations of British merchants led their correspondents to question and reject the commercial and political norms that had once sustained Anglo-Carolinian relations. The thesis thus helps explain how South Carolina moved, often imperceptibly, against British authority during the 1760s and early 1770s by emphasising commercial discord within the growing political-economic friction. It further contributes to the burgeoning historiography of the eighteenth-century ‘Atlantic world’ by exploring the reconstruction of trading links between Britain and South Carolina after American independence. It reveals how strongly these were influenced by pre-war politics. In so doing, it demonstrates that Carolinians exercised greater commercial discretion after the war than contemporaries and historians have appreciated, and thus challenges contentions of South Carolina’s continuing commercial subservience to British trading interests.
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Pass, Andrea Rose. « British women missionaries in India, c.1917-1950 ». Thesis, University of Oxford, 2011. http://ora.ox.ac.uk/objects/uuid:4777425f-65ef-4515-8bfe-979bf7400c08.

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Although by 1900, over 60% of the British missionary workforce in South Asia was female, women’s role in mission has often been overlooked. This thesis focuses upon women of the two leading Anglican societies – the high-Church Society for the Propagation of the Gospel (SPG) and the evangelical Church Missionary Society (CMS) – during a particularly underexplored and eventful period in mission history. It uses primary material from the archives of SPG at Rhodes House, Oxford, CMS at the University of Birmingham, St Stephen’s Community, Delhi, and the United Theological College, Bangalore, to extend previous research on the beginnings of women’s service in the late-nineteenth century, exploring the ways in which women missionaries responded to unprecedented upheaval in Britain, India, and the worldwide Anglican Communion in the 1920s, 1930s, and 1940s. In so doing, it contributes to multiple overlapping historiographies: not simply to the history of Church and mission, but also to that of gender, the British Empire, Indian nationalism, and decolonisation. Women missionaries were products of the expansion of female education, professional opportunities, and philanthropic activity in late-nineteenth and early-twentieth century Britain. Their vocation was tested by living conditions in India, as well as by contradictory calls to marriage, career advancement, familial duties, or the Religious Life. Their educational, medical, and evangelistic work altered considerably between 1917 and 1950 owing to ‘Indianisation’ and ‘Diocesanisation,’ which sought to establish a self-governing ‘native’ Church. Women’s absorption in local affairs meant they were usually uninterested in imperial, nationalist, and Anglican politics, and sometimes became estranged from the home Church. Their service was far more than an attempt to ‘colonise’ Indian hearts and minds and propagate Western ideology. In reality, women missionaries’ engagement with India and Indians had a far more profound impact upon them than upon the Indians they came to serve.
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Tollardo, Elisabetta. « Italy and the League of Nations : nationalism and internationalism, 1922-1935 ». Thesis, University of Oxford, 2014. http://ora.ox.ac.uk/objects/uuid:1be4159c-7a45-4e8a-ae05-3d6b296f3429.

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This thesis investigates the relationship between Fascist Italy and the League of Nations (LoN) during the interwar period, with a particular focus on the years from 1922 to 1935. This relationship was contradictory, shifting from moments of active collaboration to moments of open disagreement. The existing historiography on the Italian membership of the League has not reflected this oscillation in policy, focusing disproportionally on the crises Italy caused at the League. However, Fascist Italy remained in the League for more than 15 years, ranking as the third-largest power, and was fully engaged in the institution's work. This dissertation investigates the dynamics that developed between Fascist Italy and the LoN through a systematic study of the Italians involved. In so doing, it contributes to the historiography of the LoN and of the Italian foreign policy in the interwar period. The thesis argues that there was more to the Italian membership of the LoN than the Ethiopian crisis. It reveals the extent of the Italian presence and activity in the institution from the beginning, and demonstrates that the organization was more important to the Italian government than previously recognized. Membership of the League was essential to guarantee Italy international legitimation and recognition. Through an active appropriation of internationalism, the Italian government hoped to obtain practical benefits in the colonial sphere. The thesis uncovers the depth and variety of interactions between nationalism and internationalism in the case of Italy and the League, establishing that they did not oppose each other but rather interacted. This dissertation illustrates the complexity of being an Italian working in the League, as well as the grey areas between nationalism and internationalism evident within individual experiences. Finally, it shows the continuity of actors and expertise in Italy's international cooperation between the interwar and the post-1945 period.
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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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Chen, Szu-Wei. « The music industry and popular song in 1930s and 1940s Shanghai : a historical and stylistic analysis ». Thesis, University of Stirling, 2007. http://hdl.handle.net/1893/202.

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In 1930s and 1940s Shanghai, musicians and artists from different cultures and varied backgrounds joined and made the golden age of Shanghai popular song which suggests the beginnings of Chinese popular music in modern times. However, Shanghai popular song has long been neglected in most works about the modern history of Chinese music and remains an unexplored area in Shanghai studies. This study aims to reconstruct a historical view of the Shanghai popular music industry and make a stylistic analysis of its musical products. The research is undertaken at two levels: first, understanding the operating mechanism of the ‘platform’ and second, investigating the components of the ‘products’. By contrasting the hypothetical flowchart of the Shanghai popular music industry, details of the producing, selling and consuming processes are retrieved from various historical sources to reconstruct the industry platform. Through the first level of research, it is found that the rising new media and the flourishing entertainment industry profoundly influenced the development of Shanghai popular song. In addition, social and political changes and changes in business practices and the organisational structure of foreign record companies also contributed to the vast production, popularity and commercial success of Shanghai popular song. From the composition-performance view of song creation, the second level of research reveals that Chinese and Western musical elements both existed in the musical products. The Chinese vocal technique, Western bel canto and instruments from both musical traditions were all found in historical recordings. When ignoring the distinctive nature of pentatonicism but treating Chinese melodies as those on Western scales, Chinese-style tunes could be easily accompanied by chordal harmony. However, the Chinese heterophonic feature was lost in the Western accompaniment texture. Moreover, it is also found that the traditional rules governing the relationship between words and the melody was dismissed in Shanghai popular songwriting. The findings of this study fill in the neglected part in modern history of Chinese music and add to the literature on the under-explored musical area in Shanghai studies. Moreover, this study also demonstrates that against a map illustrating how musical products moved from record companies to consumers along with all other involved participants, the history of popular music can be rediscovered systematically by using songs as evidence, treating media material carefully and tracking down archives and surviving participants.
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Heselwood, Luke Anthony. « The impact of Anglo-Chinese relations on the development of British liberalism, 1842-1857 ». Thesis, University of Manchester, 2016. https://www.research.manchester.ac.uk/portal/en/theses/the-impact-of-anglochinese-relations-on-the-development-of-british-liberalism-18421857(6f66493d-34e8-4661-a9ca-adcd9e5e5c21).html.

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Between 1842 and 1857, British interactions with the Qing Empire shaped and informed the development of British liberal attitudes. However, amid the widespread historiography devoted to uncovering international influences on British liberalism during this period, the impact of the Anglo-Chinese relationship remains a footnote. Instead, focus is given to how Europe, America and the British Empire assisted in the advancement of British politics and liberal thought. This thesis redresses this oversight – showing how Anglo-Chinese frictions in the mid-nineteenth century brought into question British notions of free trade, international law, diplomatic standards and non-intervention. Britain’s determination to improve its trading network in China matched by the Qing’s refusal to allow further Western expansion, informed British liberal debate and shaped political attitudes. Most notably, it resulted in Sir John Bowring, the former Foreign Secretary of the London Peace Society, ordering the military bombardment of the port of Canton in late 1856. The bombardment – which resulted in the second Anglo-Chinese conflict (1856-1860) – is well-documented by historians. However, the development of Bowring’s political convictions, which provided an ideological justification for war, has been overlooked. This thesis uncovers how interactions with China forced Bowring and the British expatriate community more generally to reconsider the meaning of free trade, the boundaries of international law and their commitment to non-intervention. In addition, it shows how Bowring’s actions resulted in a heated debate that captured the attention of Britain’s political elite and, through the General Election of 1857, the British public more generally. As a result, it facilitated an open and vibrant debate that queried whether, to secure British trade, military intervention could be deemed an acceptable diplomatic method – a discussion that forced the development of the nation’s liberal attitudes. This thesis tackles two relatively distinct areas of historical research that rarely interact. First, it sheds new light on the scholarship that has examined foreign influences on the development of British liberal ideas in the mid-nineteenth century. It shows that through an investigation of relations with peripheral nations such as China, historians can gain a fresh and more detailed perspective on how and why nineteenth century liberal attitudes developed. In addition, it challenges the existing framework adopted by Sinologists in their assessment of Anglo-Chinese relations. Recent studies remain focused on uncovering how nineteenth century Western expansion into the Qing Empire affected its political, legal and cultural development. This thesis reverses this approach – arguing that this relationship not only affected events within China but in addition, shaped British liberal debate and consolidated British political ideas. This thesis calls, therefore, for historians to reconsider the importance of relatively peripheral nations on the development of British ideals and liberal thinking in the mid-nineteenth century. By examining these new frontiers, it sheds new light on the making of British liberalism.
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Strauven, Iwan Aldo. « Victor Bourgeois, 1897-1962 : radicaliteit en pragmatisme, moderniteit en traditie ». Doctoral thesis, Universite Libre de Bruxelles, 2015. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/209054.

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Cette thèse de doctorat constitue la première étude transversale et systématique de l’œuvre et de la pensée théorique de l’architecte Victor Bourgeois (1897-1962). A contrepied d’une image de Bourgeois formée dans l’historiographie de l’architecture moderne en Belgique, cette étude est basée sur la cohérence fondamentale entre son œuvre d’avant et d’après-guerre, et sur la congruence entre sa théorie et sa pratique. Celles-ci résultent d’un engagement social permanent auquel Bourgeois, aux côtés de son frère, le poète Pierre Bourgeois, désirait donner forme à travers sa pratique professionnelle.

L’étude se présente en deux parties :un catalogue raisonné qui offre une vision complète des projets réalisés et non réalisés, ainsi qu’un commentaire et une courte bibliographie par projet. Ceci constitue la seconde partie, le premier volume étant consacré à un essai lui aussi divisé en deux parties. La première rassemble toute l’information disponible dans la littérature consacrée aux années de formation et à la carrière internationale de l’architecte, augmentée de quelques corrections et additions importantes. La seconde explore, sur la base de trois textes clefs, les trois champs d’action par lesquels Bourgeois a donné corps à son engagement social :l’urbanisme, l’architecture et l’éducation.

Il est question dans un premier temps de la forme qu’a pris l’engagement social de Victor Bourgeois à travers son œuvre construite. Cette interrogation s’appuie sur les écrits de Bourgeois à ce sujet. Sa réflexion sur la dimension sociale de sa profession est en permanente évolution et se construit autour de termes tels que :« l’art social », « le rendement de l’architecture », « la rationalisation de l’architecture », « la neutralité urbaine, », « la paix plastique », et « le civisme ». Ces concepts sont ici confrontés à quelques-uns de ses projets parmi les plus importants. Les interprétations successives que fait Bourgeois de cette dimension sociale de l’architecture moderne ont pour effet une érosion progressive de sa signification. Cette évolution ne le conduit pas nécessairement à une vision purement technocratique de l’architecture. Après-guerre, ses différentes pensées convergent dans deux textes aux titres révélateurs :De l’architecture au temps d’Erasme à l’humanisme social de notre architecture (1947) et L’architecte et son espace (1955).

Dans un second temps, cette thèse retrace la figure de l’urbaniste moderne tel qu’il émerge dans la pensée et la pratique urbanistique de Bourgeois. Alors qu’il était initialement proche des théories socio-biologiques (d’orientation esthétique) de Louis Van der Swaelmen, la figure de l’urbaniste en tant qu’organisateur apparaît progressivement dans ses textes :“L’architecte n’est plus ramené seulement à un rôle de dessinateur ou d’ingénieur, il devient un organisateur de toutes les valeurs utiles.” Et ailleurs: “L’urbaniste est un chef d’orchestre :il doit organiser et hiérarchiser cent, mille instruments différents.” C’est à la fin des années ’30 que la finalité sociale de la pratique urbanistique trouve sa formulation la plus explicite :“L’urbanisme ajuste l’espace au progrès social.” Ses projets urbanistiques des années 30 oscillent entre l’approche architecturo-urbanistique de Ludwig Hilberseimer, le modèle de ville linéaire de Nikolaï Miljutin et les théories du 19e siècle de Patrick Geddes et Paul Otlet. Ses prises de positions radicales aboutiront souvent, sur le terrain, à des solutions pragmatiques.

Enfin, dans un troisième temps, la dissertation thématise l’enseignement de Bourgeois. De ses premiers écrits, dans lesquels il défend les propositions de Victor Horta pour la réforme de l’Académie, jusqu’à sa retraite forcée de l’Institut d’Architecture La Cambre (quelques semaines avant sa mort), l’enseignement de l’architecture a été une préoccupation centrale pour Bourgeois. C’est ici que sa réflexion se manifeste le plus explicitement et qu’elle a été – comme il est souvent répété – la plus fertile. L’objectif est double :D’une part nous avons prêté attention à sa réflexion et au développement de sa carrière à l’ISAD-La Cambre ;d’autre part, nous proposons d’éclairer la complexité de sa figure à l’aide d’œuvres d’un certain nombre de ses ‘disciples’ qui revendiquent tous Bourgeois comme leur ‘père spirituel’, et qui ont chacun thématisé un aspect de sa ‘doctrine’ dans leur travail respectif.

La question en filigrane relève du domaine de la critique architecturale :Quelle est l’approche de Bourgeois? Comment s’est-elle incarnée dans ses projets (réalisés ou non réalisés)? Et enfin, quelles problématiques en constituent le fondement? Plus profondément, en dehors de l’évidente importance d’une documentation extensive et systématique du travail de cette figure majeure du modernisme Belge, ce questionnement a pour ambition d’évaluer le poids et l’importance du travail de Bourgeois. Pourquoi devrions-nous même en discuter encore aujourd’hui? Quelle est la pertinence de son approche au regard de la situation contemporaine?

La méthode de recherche utilisée est double. D’une part la thèse est basée sur l’histoire de la réception critique de l’œuvre construite et écrite de Bourgeois. Cette méthode permet d’isoler partiellement le travail (sous tous ses aspects) de l’accumulation d’interprétations dont il a fait l’objet jusqu’ici, et de nous faire prendre conscience de la trop grande simplicité des conclusions auxquelles elles ont souvent mené. D’autre part, la recherche est basée sur une étude comparative de la théorie et de la pratique :les écrits et les bâtiments. Quels effets concrets peut avoir une position théorique sur un projet, et vice versa, que peut nous transmettre un bâtiment des intentions de son créateur?

L’essai se propose donc de tracer un portrait complexe et nuancé de Victor Bourgeois. Il y est présenté comme un moderniste qui a cherché la continuité avec la tradition, un iconoclaste radical qui est toujours resté pragmatique. Dans le cas de Bourgeois, cette ambivalence résulte à la fois d’une attitude critique et d’une fascination vis-à-vis de la ville historique. Tout au long de sa carrière, la ville a été l’enjeu principal de son architecture, de sa pensée, de ses textes, de ses voyages et de son approche. Ainsi la thèse étudie Bourgeois en tant qu’éminent représentant d’une autre tradition moderniste qui a cherché, à l’encontre de la Charte d’Athènes, la continuité avec la morphologie de ville existante.


Doctorat en Art de bâtir et urbanisme
info:eu-repo/semantics/nonPublished

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Davidson, Matthew J. « Interaction on the Frontier of the 16th-17th Century World Economy : Late Fort Ancient Hide Production and Exchange at the Hardin Site, Greenup County, Kentucky ». UKnowledge, 2016. http://uknowledge.uky.edu/anthro_etds/20.

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This study assesses the organization and intensity of hide processing from sequential occupations at the Late Fort Ancient (A.D. 1400-1680) Hardin Site located in the central Ohio Valley. Historical and archaeological sources were drawn on to develop expectations for production intensification: 1) an increase in production tool quantity, 2) an increase in production debris quantity, and 3) an increase in tool utilization intensity. Many Native groups situated on the periphery of early European colonies intensified hide production to meet demand generated by an emerging global trade in hides. As this economic activity intensified in the 16th and 17th centuries it incorporated and ever greater network of native communities. By documenting production intensification at the Hardin Site, this study evaluates the degree to which global markets incorporated regions beyond the colonial periphery before A.D. 1680. This study also examines the social dimensions of economic activity by asking who processed hides, who may have benefited from the products of this labor, and whether or not either of these were influenced by participation in the tumultuous interaction sphere of the eastern North American Contact Period.
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Martin, William R. « Corporatism in American foreign policy toward Germany between the wars, 1921-1936 ». PDXScholar, 1992. https://pdxscholar.library.pdx.edu/open_access_etds/4380.

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This thesis is an investigation of how United States foreign policy was made in the context of German-American relations in the period between the two world wars. The problem under investigation is whether the United States was using a corporatist approach in dealing with the problems of Germany and ultimately Europe and whether the corporatist model is a good one for analyzing foreign policy development during this period. Corporatism, as it is used in this thesis, is defined as an organizational form which recognizes privately organized functional groups outside the United States government, which collaborate with the government to share power and make policy. In the case of foreign policy, the focus of this investigation is on the role played by autonomous financial experts, especially from the banking community.
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Andreasson, Ulf. « Arbetslösa i rörelse : Organisationssträvanden och politisk kamp inom arbetslöshetsrörelsen i Sverige, 1920-34 ». Doctoral thesis, KTH, Filosofi och teknikhistoria, 2008. http://urn.kb.se/resolve?urn=urn:nbn:se:kth:diva-4749.

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This doctoral thesis sets out to analyse the development of the unemployed movement in Sweden during the period 1920–34. The study is divided into two parts. The first is empirical and descriptive while the second is interpretive and explanatory, and seeks to examine why this phenomenon developed in the way it did. Mass unemployment in Sweden between the World Wars did not cause the same social tensions as in many other countries. This relative peace endured despite high and consistent unemployment and hard living conditions for the unemployed. These conditions served as sources for tensions present in the unemployed movement, and which some actors sought to take advantage of and even exacerbate. Andréasson argues that a major reason that society did not take a more radical turn in the period was that the reformist labour movement actively moderated these tensions. This was done by the Social Democratic Party (SAP) changing the environment of the unemployed organisations, for example by using local unemployment policy to polish off the rough edges of the national unemployment policy. More important was the crisis politics in the early 1930s that helped narrow the socio-economic gap between those who had and those who did not have a job. The Swedish Trade Union Confederation (LO) neutralised the movement of the unemployed by introducing changes within the unemployed movement itself, involving a variety of strategies. After 1933, the LO and SAP dominated and were able to direct the activities of most of the organisations that existed. Gaining control over the unemployed was as important for the LO and SAP as being able to exert control over other forces that might threaten to weaken their long-term strategies and aims. There was a conviction within the unemployed movement that mass unemployment was largely a consequence of technological developments in production. This argument had roots dating back to the early stages of industrialism in England when Luddites had attacked production machinery. The coalition of organisations of unemployed workers in Sweden during the 1920s and 1930s did not seriously consider engaging in machine-breaking activities. The movement’s criticism of technology did not extend into the Swedish model which envisioned the development of machinery as a way to prevent rising unemployment.
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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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Sarmiento, Oddveig Nicole. « A postcolonial analysis of Cuban foreign policy towards South African liberation movements, 1959-1994 ». Thesis, Stellenbosch : University of Stellenbosch, 2010. http://hdl.handle.net/10019.1/4300.

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Thesis (MA (Political Science))--University of Stellenbosch, 2010.
ENGLISH ABSTRACT: This thesis is a postcolonial analysis of Third World foreign policy, looking at an atypical case of state relations with national liberation movements. It is also an empirical contribution to an area of recent South African history through interrogating Cuba’s foreign policy towards South Africa’s liberation movements from 1959 until 1994. My starting point has been that meagre scholarship exists within the field of International Relations on this important area of South African history and on Cuban foreign policy. Mainstream scholars have largely overlooked relations between the Cuban state and civil society and liberation movements such as the African National Congress, the South African Communist Party, the Congress of South African Trade Unions and Umkhonto we Sizwe. By interrogating an ignored area of Third World foreign policy, this thesis furthermore aims to probe into the field of International Relations and analyses of foreign policy. Applying the methodology of a postcolonial theoretical critique, I highlight the ontological assumptions within the field that make theorising foreign policy from states and societies in the Third World peripheral within IR, as well as render states and civil society in the Third World as objects rather than subjects of the theoretical endeavour. The conceptualisation of the Cold War as a mere Superpower affair, with states in the Third World as mere sites of conflict between the Superpowers and divorced from the causal dynamics of the conflict, exemplifies the ontological assumptions that exist within the field of International Relations theory. I use the case study of Cuba’s foreign policy towards South African liberation movements in carrying out a qualitative analysis of the available literature and well as conducting interviews with senior participants of South Africa’s various liberation movements. A broad reconstruction of relations between 1959 and 1994, as well as post-1994, reveals extensive relations between Cuba and South African liberation movements involving the Cuban state and civil society. The findings of my research include an overview of relations between Cuba and various liberation movements at the political and military level, as well as the role of Cuban civil society in areas such as education and strengthening the role of women in the liberation struggle. Respondents reveal that relations between the two spheres are not uni-directional, but in fact reveal a complex interaction in which the agency of South Africa’s liberation movements in determining the content of relations is central. In conceptualising foreign policy using a postcolonial theoretical framework, I look not only at the Cuban state but also at the role of civil society in Cuba in constructing and carrying out foreign policy towards South African liberation movements. This theoretical framework rejects a strict dichotomy between the foreign and the domestic by looking at social forces within the state as well as the role of ideology in the making foreign policy domestically. Lastly, the extensive relations between Cuba and South African liberation movements that my research reveals points to possibilities for further theoretical investigations within the field of International Relations from a postcolonial theoretical critique.
AFRIKAANSE OPSOMMING: Hierdie tesis is ‘n post-koloniale analise van Derde Wêreld buitelandse beleid, dit kyk na die atipiese geval van staats verhoudinge met nasionale vryheidsbewegings. Dit is ook ‘n empiriese bydrae tot ‘n area in onlangse Suid-Afrikaanse geskiedenis deurdat dit Kuba se buitelandse beleid teenoor Suid- Afrikaanse vryheidsbewegings tussen 1959 tot 1994 ondervra. My beginpunt is dat daar skamele vakkundigheid tans bestaan binne die studieveld Internasionale Betrekkinge met betrekking tot hierdie belangrike area van Suid-Afrikaanse geskiedenis en Kubaanse buitelandse beleid. Hoofstroom deskundiges hanteer tot ‘n groot mate die verhoudinge tussen staat en burgerlike samelewing van Kuba met vryheidsbewegings soos die African National Congress, die Suid-Afrikaanse Kommunistiese Party, die Congress of South African Trade Unions en Umkhonto we Sizwe met min aandag. Deur hierdie geïgnoreerde area binne Derde Wêreld buitelandse beleid te ondervra, is dit ook ‘n verdere oogmerk van hierdie tesis om die vakgebied van Internasionale Betrekkinge en die gepaardgaande analises van buitelandse beleid te ondersoek. Deur die toepassing van die metodologie van post-koloniale kritiek, beklemtoon ek die ontologiese aannames binne die vakgebied van Internasionale Betrekkinge wat die teoretisering van buitelandse beleid van state en samelewings in die Derde Wêreld marginaliseer, asook om hierdie state en burgerlike samelewings in die Derde Wêreld tot objekte in plaas van subjekte van ‘n teoretiese onderneming te reduseer. Die konseptualiseering van die Koue Oorlog as bloot ‘n supermag aangeleentheid, met state in die Derde Wêreld as blote ligging vir konflikte tussen die supermagte asook terselfdertyd vervreemd van die oorsaaklike dynamiek van die konflik, beliggaam die ontologiese aannames wat binne die vakgebied van Internasionale Betrekkinge bestaan. Ek maak gebruik van Kuba se buitelandse beleid teenoor Suid-Afrkaanse vryheidsbewegings as gevallestudie om ‘n kwalitatiewe analise te maak op die bestaande literatuur asook om onderhoude te hê met senior deelnemers in Suid Afrika se verskeie vryheidsbewegings. ‘n Uitgebreide rekonstruksie van verhoudinge tussen 1959 en 1994, sowel as post-1994, openbaar diepgaande verhoudinge tussen Kuba en Suid-Afrikaanse vryheidsbewegings wat die Kubaanse staat en burgerlike samelewing behels. Die bevindinge in my navorsing sluit in ‘n oorsig van verhoudinge tussen Kuba en verskeie vryheidsbewegings op politiekeen militêre vlak asook die rol van Kubaanse burgerlike samelewing in areas soos opvoeding en die verstewiging van die rol van vroue in die vryheidstryd. Respondente openbaar dat verhoudinge tussen die twee sfere nie in een rigting geloop het nie, maar dat dit eintlik ‘n komplekse interaksie openbaar in wie die agentskap van die Suid-Afrikaanse vryheidsbewegings om die inhoud van die verhoudinge te bepaal ‘n sentrale deel speel. Deur buitelandse beleid te konseptualiseer deur gebruik te maak van ‘n v post-koloniale raamwerk kyk ek nie net bloot na die Kubaanse staat nie, maar ook na die rol van die Kubaanse burgerlike samelewing in die konstruksie en uitvoering van buitelandse beleid teenoor Suid- Afrikaanse vryheidsbewegings. Hierdie teoretiese raamwerk verwerp ‘n eng tweeledigheid tussen die buitelandse en binnelandse deur te kyk na die sosiale magte binne die staat sowel as die rol van ideologie in die binnelandse skepping van buitelandse beleid. Ten slote, die diepgaande verhoudinge tussen Kuba en Suid-Afrikaanse vryheidsbewegings wat my navorsing openbaar dui in die rigting van moontlike verdere teoretiese ondersoeke binne die vakgebied van Internasionale Betrekkinge vanaf ‘n perspektief van post-koloniale kritiek.
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Neunsinger, Silke. « Die Arbeit der Frauen – die Krise der Männer : Die Erwerbstätigkeit verheirateter Frauen in Deutschland und Schweden 1919–1939 ». Doctoral thesis, Uppsala University, Department of History, 2001. http://urn.kb.se/resolve?urn=urn:nbn:se:uu:diva-1301.

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In 1939 a law was passed in Sweden which forbade employers to dismiss female employees because of marriage or pregnancy. In Germany a law had been introduced already in 1932, which gave employers the right to dismiss a woman when she married. It also gave women right to end their employment for the same reason. The political decisions behind these legal changes were in both cases the result of an extended debate on the right of employment of married women. This debate occurred in most industrialised European countries in the interwar period.

The increasing participation of women on the labour market was by some groups interpreted as a cause of mass unemployment. Economic crisis contributed to a crisis of masculinity, which then led to attacks on the rights of married women to paid employment. In Sweden there was a state commission set up in 1936 with the task of investigating women’s employment. This commission, kvinnoarbetskommittén, managed to demonstrate that dismissing women would not lead to a lowering of the unemployment figures for men, a task they accomplished through detailed studies of several labour market areas. The report of the commission guided the decision of parliament, a decision taken when the economic depression had already turned to a boom period. The composition of the commission as well as its work was a consequence of the strong influence of the Swedish women’s movement.

In Germany the rights of women to paid employment was limited already in 1923 as the result of the financial crisis of the state. During the depression the attacks on married women’s right to employment became a political tool, which could be used both in foreign and domestic policy. Dismissing married women employed as civil servants was aimed to quash the demands of unemployed men. A prime target in the foreign policy was to convince the victors of World War I that reparations exceeded the ability of the German nation, a nation which had been badly stricken by economic crisis and unemployment. With this argument a solution of the unemployment issue was given second priority.

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Anafak, Lemofak Antoine Japhet. « La Belgique et l'Afrique centrale, diversification ou néocolonialisme ? dynamique de la politique de coopération belge au Cameroun et dans ses anciennes colonies, 1960-1990 ». Doctoral thesis, Universite Libre de Bruxelles, 2010. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/210145.

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Le travail de recherche intitulé :«La Belgique et l’Afrique centrale, diversification ou néocolonialisme ?Dynamique de la coopération belge au Cameroun et dans ses anciennes colonies (1960-1990) » s’interroge sur la mise en œuvre et le déploiement de la coopération belge en Afrique centrale principalement au Cameroun. Il développe cette politique au Cameroun sous un regard global des intérêts belges dans son pré carré c'est-à- dire dans ses anciennes colonies dans le contexte de guerre froide et de construction européenne. C’est également le contexte de la mise en place du marché commun, de la signature des accords de Yaoundé entre la CEE et EAMA (Etats Africains et Malgaches Associés). Les aspects analysés prennent aussi en compte la France autre ancienne métropole de la région.

Cette thèse insiste sur les éléments de mise en place et les fondements de la politique étrangère de la Belgique en Afrique centrale. Elle analyse sa présence depuis la colonisation du Congo, du Ruanda-Urundi et développe le processus de mutation de la Belgique dans la sous-région à la faveur des indépendances. Cette accession à la souveraineté des territoires leur attribuait le statut d’acteur de la communauté internationale. L’adaptation de la Belgique à cette nouvelle donne l’oblige à étendre son espace de captation d’intérêts par l’établissement des relations diplomatiques avec de nombreux pays de la région parmi lesquels le Cameroun. Le choix du Cameroun comme pays d'appui à la politique belge dans la région en dehors de ses colonies est le fait de nombreuses justifications que cette thèse démontre.

Ce travail insiste sur les rapports politiques entre le Cameroun et la Belgique notamment les éléments expliquant la coopération diplomatique et politique entre le Cameroun et la Belgique. Celle-ci était basée sur un soutien mutuel dans la lutte contre les mouvements rebelles procommunistes au Cameroun et au Congo dans les années 60. Cet ouvrage développe l'organisation de l’action conjointe de la Belgique et du Cameroun dans la lutte contre le communisme en Afrique centrale principalement au Congo en période de guerre froide, les éléments prouvant le soutien de la Belgique au Cameroun dans sa lutte contre les activistes nationalistes de l’UPC et réciproquement, les actions montrant la collaboration et la compréhension du Cameroun envers la Belgique dans la gestion des conflits d’après indépendance au Congo, au Rwanda et au Burundi.

De plus, cette thèse évoque la dynamique de la politique étrangère de la Belgique à partir de 1965 dans la région. Dans cette section marquée par l’arrivée de Mobutu au pouvoir et le coup d’Etat de Micombero au Burundi, ce travail détaille les éléments qui justifient le renforcement des relations politiques entre le Cameroun et la Belgique après 1965 par l’analyse du contexte national et international de mise en place de cette politique après 1967. Un contexte marqué par la réélection d’Ahmadou Ahidjo et le renforcement de son pouvoir et le départ du socialiste Paul-Henri Spaak, remplacé par le démocrate-chrétien Pierre Harmel. Ce dernier instaure une nouvelle politique dite de diversification et de distanciation envers le régime de Mobutu. Le constat est que cette diversification a profité au Cameroun, devenu progressivement un partenaire privilégié de la Belgique dans la région après la visite officielle d’Ahidjo de 1967 à Bruxelles.

Ce travail analyse les rapports qu’entretenaient la Belgique et le Cameroun dans les organisations internationales en rapport avec la situation interne de son pré-carré d’Afrique centrale, notamment les circonstances du soutien de la candidature du Zaïre à l’entrée dans l’Union Douanière et Economique d’Afrique Centrale (UDEAC) et plus tard dans la création de l’Union Economique d’Afrique Centrale (UEAC) en 1969. Le soutien mutuel des candidatures belges et camerounaises dans les instances internationales à partir des années septante, les incidences de l’entrée du Royaume-Uni de Grande Bretagne et l’Irlande du Nord au sein de la Communauté Economique Européenne (la convention de Lomé I) sur la politique étrangère belge menée par Renaat Van Elslande, les implications de la zaïrianisation sur les relations belgo-zaïroises, l’arrivée au pouvoir de Juvénal Habyarimana au Rwanda et la renégociation des accords d’indépendance entre le Cameroun et la France. La Belgique et ces pays souhaitaient une approche plus consensuelle des grandes questions internationales, notamment le nouvel ordre économique international, le conflit du proche orient, la question de la décolonisation des territoires portugais d’Afrique centrale, la généralisation des conflits armés et des assassinats politiques.

La présence militaire belge en Afrique centrale est un fait colonial. Un rappel nécessaire de cette présence militaire depuis la période coloniale nous a permis de nous interroger sur la gestion difficile du devenir de ces soldats après les indépendances du Congo, du Rwanda et du Burundi, notamment pendant la crise Katangaise. Ces difficultés rencontrées au Congo poussent la Belgique à trouver des dérivatifs pour se désengager militairement au Ruanda-Urundi après l’indépendance en 1962. La visite officielle de juin 1967 d’Ahmadou Ahidjo en Belgique marque le début d’une intense coopération militaire entre la Belgique et le Cameroun. Les deux pays coopèrent pour la livraison du matériel de guerre par la Fabrique d’Herstal à Liège, et dans la formation les officiers camerounais en Belgique. Plusieurs facteurs justifiant cette coopération avec le Cameroun sont énumérés dans cette thèse. De plus, ce travail retrace l’implication de la Belgique dans les guerres du Shaba et ses initiatives en faveur d’une paix globale dans la région autour les années 80.

Le troisième grand axe de cette thèse développe la présence de la Belgique en Afrique centrale dans le cadre de la Communauté Economique Européenne. Après avoir expliqué l'historique et l'évolution du FED, nous avons exploré le poids de la présence belge au sein du Fond Européen de Développement par rapport à la France et les autres Etats de la CEE pour constater sa faiblesse dans cette institution contrôlée par la France l’Allemagne. Ce qui justifie son choix de renforcer la coopération bilatérale dans la région. Enfin, ce thèse insiste sur ces relations économiques bilatérales de la Belgique en Afrique centrale, principalement au Cameroun en comparaison avec les anciennes colonies pour voir l'influence de la Belgique au Cameroun, au Congo, au Rwanda et au Burundi depuis les indépendances jusqu'aux années nonante.


Doctorat en Histoire, art et archéologie
info:eu-repo/semantics/nonPublished

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Maslowiec, Anna. « Sonorism and the Polish Avant-Garde 1958-1966 ». Phd thesis, Sydney Conservatorium of Music, 2008. http://hdl.handle.net/2123/8205.

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Dalin, Stefan. « Mellan massan och Marx : en studie av den politiska kampen inom fackföreningsrörelsen i Hofors 1917-1946 ». Doctoral thesis, Umeå University, Historical Studies, 2007. http://urn.kb.se/resolve?urn=urn:nbn:se:umu:diva-1450.

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The thesis concentrates on Hofors and a local trade union environment between 1917 and 1946, where important parts of the trade union’s power were held by parties to the left of the social democrats. The overall aim is to problemize and discuss the issue of what characterised and made possible this deviation from the usual picture of a trade union movement dominated by social democracy. What characterised the conditions in such a local trade union environment and to what extent can local norms and political culture be linked to the conditions and the development in the trade union movement in Hofors?

The factors behind the radicalism in Hofors can be found in the local union and political context. The investigation points out the following main reasons: the left-wing local council of the Social Democratic Party and its successors’ organisational lead, the local labour council’s working method being close to what has been considered “social democratic”, their representatives being highly trusted in the local community, and the growth of a local radical tradition.

The political culture and the norms that gradually developed were based on a left-wing social democratic tradition. The local council of the Social Democratic Party that left the party in 1917 to join the left-wing social democratic faction was the same local council, despite their names and change of parties in the 1920s and 1930s. It became the local labour movement’s bearer of traditions and represented the continuity in the local trade union environment, which contributed to the leftwing socialist project being long-lived in Hofors. The central aspects were the trade union work and the practical-concrete tradition that developed.

Primarily through successful trade union work, the local labour council and its trade union representatives gained strong and long-term support from a large proportion of the local trade union movement’s members and the population of Hofors.

Against this background it may be stated that, even though it was often impossible for the parties to the left of social democracy to maintain a local trade union and political power position that was stronger than that of the social democrats for a lengthy period of time, it was not entirely impossible. It may also be stated that for the trade union member as such, a communist or socialist party affiliation was not a real obstacle in the election of shop stewards. Their focus was primarily put on the would-be representatives’ personal qualities and ability to live up to the demands and expectations placed on them by the members, and not so much on their ideological persuasion.

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Khoojinian, Mazyar. « L'immigration, une main-d'oeuvre d'appoint temporaire ? Marché du travail, politiques étatiques et trajectoires des travailleurs turcs recrutés pour l'industrie charbonnière belge, 1956-1980 ». Doctoral thesis, Universite Libre de Bruxelles, 2014. http://hdl.handle.net/2013/ULB-DIPOT:oai:dipot.ulb.ac.be:2013/209171.

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Résumé :
L’objet principal de cette thèse porte sur l’immigration turque dans l’industrie charbonnière belge dans une séquence historique qui débute en 1956, année de la catastrophe du Bois-du-Cazier à Marcinelle (262 morts), de l’arrêt définitif de tout recrutement au départ de l’Italie pour ce secteur d’activité réputé pour sa dangerosité, de l’extension des bassins de prospection de l’industrie minière et de ses premières tentatives de recrutement en Turquie, et s’achève en 1980, année du rétablissement par les Etats membres du Benelux de l’obligation du visa d’entrée touristique pour les ressortissants turcs au lendemain de l’avènement d’un nouveau régime militaire en Turquie, annonciateur d’un nouvel afflux migratoire conséquent.

Plus largement, la thèse interroge la pertinence du postulat qui veut que les politiques migratoires conçues et mises en oeuvre par les pouvoirs publics, au cours des Golden Sixties, aient considéré les travailleurs migrants comme une main-d’oeuvre d’appoint temporaire.

La première partie de la thèse, qui porte sur la genèse de la politique d’immigration belge entre 1830 et 1960, recadre l’histoire de l’immigration turque dans l’industrie houillère belge et des politiques mises en oeuvre à son intention dans le contexte du double processus d’étatisation et de nationalisation des politiques migratoires au cours des XIXe et XXe siècles.

La seconde partie retrace la configuration des chaînes d’interdépendances qui relient les trajectoires migratoires des travailleurs migrants turcs recrutés par l’industrie charbonnière belge dans les années 1960 et 1970 aux dispositifs générés, séparément ou conjointement, par l’Etat belge, l’Etat turc, l’industrie charbonnière, les organisations syndicales et les services, associations et autres collectifs d’accueil et d’aide aux migrants pour organiser, stabiliser et intégrer cette immigration turque dans les régions minières du pays.

La troisième partie interroge le devenir de cette immigration turque au moment où les fermetures de charbonnages se succèdent et que de nouveaux besoins en main-d’oeuvre se font sentir dans les dernières sociétés charbonnières encore en activité. Elle esquisse en parallèle le processus d’étatisation des politiques d’intégration jusque-là principalement prises en charge par les modes de gestion paternalistes de l’industrie charbonnière.

Cette thèse aborde également, mais dans une moindre mesure, l’immigration originaire de Turquie avant 1960 et l’immigration turque qui se développe au cours des années 1960 et 1970, en marge de celle organisée en faveur de l’industrie charbonnière, à destination d’autres régions et secteurs d’activité du pays (Bruxelles, Anvers, Gand, Ardennes, etc.).

Son angle d’approche dépasse par ailleurs la seule immigration turque en Belgique et la seule politique migratoire belge. Elle s’intéresse ainsi, à travers des analyses comparées, au cas de l’immigration marocaine, qui lui est contemporain, ou encore à la politique migratoire néerlandaise, à l’origine d’un phénomène de désertion massive de l’industrie houillère belge par les ouvriers mineurs turcs.
Doctorat en Histoire, art et archéologie
info:eu-repo/semantics/nonPublished

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Delvaux, Denise. « The politics of humanitarian organizations : neutrality and solidarity : the case of the ICRC and MSF during the 1994 Rwandan genocide / ». Thesis, Rhodes University, 2005. http://eprints.ru.ac.za/146/.

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