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Tesi sul tema "Australasia"

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1

Rockell, Kim Forrester. "The Philippine rondalla: recreating musical heritage in contemporary Australasia". Thesis, University of Canterbury. Centre for Fine Arts, Music and Theatre, 2012. http://hdl.handle.net/10092/7313.

Testo completo
Abstract (sommario):
This thesis examines the Philippine rondalla, a plucked-string ensemble, in contemporary Australia and New Zealand. Recreations of a remembered heritage, rather than the continuance of a living tradition, these groups are motivated by notions of Philippine nationalism in the multicultural, Australasian environment. The establishment of rondallas in six locations is examined. Important paradigmatic differences which arise when Filipino rondallas begin to attract members from diverse ethnicities within multicultural Australia are identified. Particularly interesting is the role of aural transmission and rote learning, which have traditionally been important aspects of Philippine rondalla practice. In Australasia these processes become problematic when rondalla participants lack a formative exposure to Filipino music. Background chapters clearly identify the unique features of the Philippine rondalla by viewing the ensemble as one of the evolutions of the Spanish rondalla and placing it musically within the context of similar plucked chordophone ensembles in Spain and Latin America. This establishment of norms for the Philippine ensemble makes it possible to observe musical change in the Australasian rondallas. While Australasia remains the focus, the study also draws on wider field experiences in the present day Philippines, Spain, Singapore and Taiwan. This provides a broader view of the rondalla in its original setting and in the diaspora. Photographs and video documentation of performances, rehearsals, lessons and interviews are presented with the thesis.
Accompanied by 2 DVDs and a CD. Available via inter-library loan.
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2

Mundy, Alexandra. "Mapping Psychological Services for Child Welfare Clients in Australasia". Thesis, University of Canterbury. Health Sciences Centre, 2010. http://hdl.handle.net/10092/5333.

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Abstract (sommario):
Given the high prevalence rates of mental health difficulties among child welfare clients, this study attempted to map psychological services for such individuals in New Zealand and Australia. In conducting semi-structured interviews with Principal/Senior-Regional Psychologists and Directors from government departments and non-government organisations working alongside child welfare clients throughout Australasia, this study obtained information pertaining to the nature and scope of psychological services provided by such agencies. The most comprehensive data was obtained for New Zealand and New South Wales, while incomplete data described psychological services in Western Australia and Queensland. The findings of this study highlight the absence of a ‘best practice’ model among such services in addition to the disparities that exist between the number of care and protection notifications received by the government child welfare departments in New Zealand and New South Wales, and the development of psychological services within these departments. Furthermore, the lack of acknowledgement of the mental health needs of child welfare clients among both government child welfare departments and non-government organisations in these jurisdictions needs to be addressed before such services can be effectively delivered to these vulnerable children and young people.
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3

Smith, Helen Motum. "The systematics and biology of the genus Poltys (Araneae: Araneidae) in Australasia". Thesis, The University of Sydney, 2006. http://hdl.handle.net/2123/2058.

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Abstract (sommario):
The genus Poltys C.L. Koch is revised for Australia and partly examined for the wider Australasian region. Five of the ten species originally described from Australia are found to be synonymous with South East Asian species, a further three are synonymous with an Australian species and four which were previously overlooked are newly described, resulting in a total of eight current species recorded from Australia. Poltys coronatus Keyserling, P. keyserlingi Keyserling, P. multituberculatus Rainbow and P. penicillatus Rainbow are synonymised with P. illepidus C.L. Koch; P. microtuberculatus Rainbow is synonymised with P. stygius Thorell; P. bimaculatus Keyserling, P. mammeatus Keyserling and P. salebrosus Rainbow are synonymised with P. laciniosus Keyserling; P. sigillatus Chrysanthus from New Guinea is synonymised with P. frenchi Hogg. Five new species are described, four from Australia, P. grayi sp.nov., P. jujorum sp.nov., P. milledgei sp.nov. and P. noblei sp.nov., and P. timmeh sp.nov. from New Caledonia. A checklist of all Poltys types described from the region, including illustrations, is included. The delimitation of the Australian species is aided and confirmed by DNA sequencing. Sequences from two genes and morphological characters are used to reconstruct a phylogeny of the Australian species. The generic relationships of Poltys are examined in the context of the putative tribe Poltyini (Simon, 1895). No firm conclusions about the relationships of Poltys can be made, however the results indicate that the Poltyini is polyphyletic. The results of field studies are presented; these indicate that P. noblei is less likely to move between web sites than diurnal taxa referenced from other studies. Specimens were shown to sometimes occupy the same, or a closely adjacent web site, for over eight months. Spiders most often move during spring and summer but often remain in the same site throughout winter. Specimens of Poltys noblei are also shown to be unevenly distributed on trees and bushes in respect to aspect and position. It is suggested that these observations indicate the importance of camouflage to deter wasp and bird predators. Specimens of several Poltys species were reared from egg sacs, confirming male–female identification and showing the variation in abdominal shape between siblings. Growth data indicate that sibling males and females cannot normally interbreed; males mature after 2–4 moults, females after 8–11 moults. Field and cage observations of general aspects of Poltys biology are presented including preferred habitat, prey capture and handling, courtship and mating, competition and web construction.
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4

Smith, Helen Motum. "The systematics and biology of the genus Poltys (Araneae: Araneidae) in Australasia". University of Sydney, 2006. http://hdl.handle.net/2123/2058.

Testo completo
Abstract (sommario):
Doctor of Philosophy
The genus Poltys C.L. Koch is revised for Australia and partly examined for the wider Australasian region. Five of the ten species originally described from Australia are found to be synonymous with South East Asian species, a further three are synonymous with an Australian species and four which were previously overlooked are newly described, resulting in a total of eight current species recorded from Australia. Poltys coronatus Keyserling, P. keyserlingi Keyserling, P. multituberculatus Rainbow and P. penicillatus Rainbow are synonymised with P. illepidus C.L. Koch; P. microtuberculatus Rainbow is synonymised with P. stygius Thorell; P. bimaculatus Keyserling, P. mammeatus Keyserling and P. salebrosus Rainbow are synonymised with P. laciniosus Keyserling; P. sigillatus Chrysanthus from New Guinea is synonymised with P. frenchi Hogg. Five new species are described, four from Australia, P. grayi sp.nov., P. jujorum sp.nov., P. milledgei sp.nov. and P. noblei sp.nov., and P. timmeh sp.nov. from New Caledonia. A checklist of all Poltys types described from the region, including illustrations, is included. The delimitation of the Australian species is aided and confirmed by DNA sequencing. Sequences from two genes and morphological characters are used to reconstruct a phylogeny of the Australian species. The generic relationships of Poltys are examined in the context of the putative tribe Poltyini (Simon, 1895). No firm conclusions about the relationships of Poltys can be made, however the results indicate that the Poltyini is polyphyletic. The results of field studies are presented; these indicate that P. noblei is less likely to move between web sites than diurnal taxa referenced from other studies. Specimens were shown to sometimes occupy the same, or a closely adjacent web site, for over eight months. Spiders most often move during spring and summer but often remain in the same site throughout winter. Specimens of Poltys noblei are also shown to be unevenly distributed on trees and bushes in respect to aspect and position. It is suggested that these observations indicate the importance of camouflage to deter wasp and bird predators. Specimens of several Poltys species were reared from egg sacs, confirming male–female identification and showing the variation in abdominal shape between siblings. Growth data indicate that sibling males and females cannot normally interbreed; males mature after 2–4 moults, females after 8–11 moults. Field and cage observations of general aspects of Poltys biology are presented including preferred habitat, prey capture and handling, courtship and mating, competition and web construction.
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5

Holgate, Ben. "Porous borders : the amorphous nature of magical realist fiction in Asia and Australasia". Thesis, University of Oxford, 2016. https://ora.ox.ac.uk/objects/uuid:32abdfeb-baa7-40ee-b721-89b66bc74043.

Testo completo
Abstract (sommario):
This thesis aims to broaden the scope of magical realism by examining contemporary fiction in Asia and Australasia, regions which have been largely neglected in critical discussion of the narrative mode. My research seeks to modify and expand our collective conception of magical realism through key texts that challenge not only how we read the narrative mode, but also our expectations of it. My analysis involves a dual intervention in the fields of postcolonial studies and world literature. I supplement existing scholarship of magical realism with new paradigms of critical thought, such as epistemology, mythopoeia, ecocriticism, intertextuality and discourse on human rights. Each of the key authors - Indigenous Australian Alexis Wright, New Zealand Maoris Keri Hulme and Witi Ihimaera, Indian-born cosmopolitans Amitav Ghosh and Salman Rushdie, and Chinese Nobel laureate Mo Yan - subjects the narrative mode to differing intellectual, socio-cultural and historical frameworks, and in the process reinvents magical realism to serve their own artistic purposes. The authors' key texts demonstrate the need to recalibrate theory on magical realism in contexts such as Alexis Wright's depiction of ongoing colonisation of Australia's first inhabitants in a supposedly postcolonial country, and Mo Yan's critique of post-communist China. I argue that magical realism has porous borders, not only geographically and culturally, but also in the sense that the narrative mode frequently spills over into other, different generic kinds such that the distinctions between them are often blurred. In addition, magical realism's constant state of transformation makes it particularly difficult to define. Therefore, I propose a minimalist definition of the narrative mode and a flexible approach. However, underlying cultural elements and individual artistic expression in a text may sometimes limit magical realism's utility as a tool for literary analysis. Finally, I explore the notion of a genealogy of magical realism based on polygenesis, emerging in different cultures at different times.
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6

Cheng, Jing. "Humiliation, pride and identity in the digital age : unpacking Chinese online nationalism". Thesis, University of Nottingham, 2018. http://eprints.nottingham.ac.uk/50486/.

Testo completo
Abstract (sommario):
Nationalism has been an important issue for China in both domestic politics and international relations. In the Post-Tiananmen Era, the Chinese Communist Party (CCP) turned to nationalism as an ideological instrument to bolster the faith of the Chinese people and legitimise the Party’s rule. Meanwhile, the early 1990s also witnessed rapid developments in information and communications technologies (ICTs) in China, which have catalysed the emergence of online nationalism. Much of the existing literature focuses on either the external impact of Chinese nationalism on foreign policy or highlights the rise of popular nationalism as an independent force that makes the state fragile. There is, however, insufficient attention paid to the internal construct of Chinese nationalism. In the digital age, it also becomes increasingly evident that contemporary Chinese nationalism cannot be properly understood without reference to the role of digital communication. This thesis analyses the politics of Chinese nationalism through the lens of digital communicative practices. This offers an original and nuanced understanding of the political and social dynamics in contemporary China. The thesis focuses on two dimensions. First, it highlights the link between official nationalism and popular nationalism, revealing the changing dynamics within the construction of Chinese nationalism. Second, it focuses on Chinese online nationalism, illuminating the relationship between nationalism and technology. The thesis presents the first major work in examining both top-down construction and popular reception in Chinese nationalism studies from an ethnosymbolic approach. It highlights that the theoretical framework of ethno-symbolism is helpful in providing a more situated, nuanced understanding from a historical and cultural dimension. This thesis considers the (re)construction of China’s national myths of the Second Sino-Japanese War and examines the construction of national humiliation and national pride in the changing state-society dynamics. The study primarily focuses on discourse, in both textual and visual modes, relating to national humiliation and national pride that constitute the two key ingredients of Chinese nationalism. Accordingly, two cases are chosen for empirical investigation: the commemoration events for the Nanjing Massacre and the 2015 Victory Day Parade event. The study uses discourse analytical tools from Discourse Historical Approach and multimodal approach and highlights the importance of having a situated understanding of Chinese nationalism from historical and cultural perspective. It argues that Chinese online nationalism is (re)constructed by a multiplicity of discourses via digital practices, characterised by the evolving dynamics between state and society and situated in the wider political and cultural contexts. The thesis shows that digital communication has changed the means by which the landscape of Chinese nationalism is shaped, which is manifest in two ways. Firstly, national symbols and rituals, as an important means of patriotic education for the CCP, have been “relocated” from physical space, such as Nanjing and Tiananmen, to virtual cyberspace. By incorporating technology into its patriotic education framework, the CCP increasingly extends its discursive power in propagating patriotism, thereby making the Internet an institutionalised patriotic education venue. Secondly, online nationalist expressions and communication provide fertile ground for Chinese Internet users to explore their discursive space in political communication, allowing them to reshape the mythscape of the national past and reconstruct national identity.
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7

Sprivulis, Peter Carl. "Evaluation of the prehospital utilisation of the Australasian Triage Scale". University of Western Australia. Emergency Medicine Discipline Group, 2004. http://theses.library.uwa.edu.au/adt-WU2004.0055.

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Abstract (sommario):
[Truncated abstract] Background : Triage systems have evolved from battlefield casualty prioritisation tools to integral components of civilian emergency care systems over the last 50 years. There is significant variation in prehospital triage practices in Australia and little research has been undertaken to validate the triage systems used. There is considerable evidence to support the use of the Australasian Triage Scale (ATS) for triage in the emergency department setting and the ATS is used ubiquitously for emergency department triage in Australasia ... Conclusions : The findings of this thesis support integrating prehospital ATS allocations with emergency department triage processes. It is concluded that Paramedics apply the ATS similarly to nurses ... Allocations to ATS 1, 2 and 3 and most ATS 4 allocations by paramedics are valid when compared to nurse ATS allocations. Australasian Triage Scale category 5 is used inappropriately by paramedics and should be used rarely, if at all, by paramedics. The reliability of paramedic and nurse ATS allocations is sufficient to warrant a trial of the omission of retriage of ambulance presentations at Perth metropolitan emergency departments. However, early nursing assessment of a small proportion of ATS 3 patients may be required to ensure timely assessment for some mistriaged bone fide ATS 2 patients. Paramedic ATS allocations appear sufficiently reliable and valid to warrant a trial of their use as part of a two-tier trauma team activation system ... The implementation of standardised training between paramedics and nurses based on current Australasian College for Emergency Medicine guidelines is recommended. The implementation of paramedic triage audit, including comparison of paramedic ATS allocations with nurse ATS allocations may improve reliability between paramedics and nurses, and particularly the reliability of ATS 4 and ATS 5 allocations. Prehospital ATS allocations may prove useful in prehospital casemix analysis, the evaluation of prehospital service delivery and for prehospital research. Research opportunities include actual trials of the integration of prehospital use of ATS with emergency department triage and trauma system activation, and the evaluation of the ATS as a prehospital casemix and performance evaluation tool. Research into alternative triage tools to the ATS for use in the prehospital environment and into the impact of standardised triage training is also suggested.
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8

Brown, Graham K. "Civil society and social movements in an ethnically divided society : the case of Malaysia, 1981-2001". Thesis, University of Nottingham, 2004. http://eprints.nottingham.ac.uk/10929/.

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Abstract (sommario):
This thesis examines the relationship between civil society, social movements and the state in ethnically-divided countries, using the case study of Malaysia. The argument begins with the observation that the respective literatures on civil society and social movements occupy a broadly congruent paradigm, but the relationship between the two is poorly theorised. Through a critical discussion of existing approaches, a synthesis of civil society and social movements theory is produced, which argues for a dualistic interpretation that emphasises both institutional linkages and cultural and discursive relationships. It is further argued that this latter aspect is of particular importance in ethnically-divided countries, as cultural differences between groups may hamper the effective mobilisation of movements. Thus may exist a form of ‘slippage’ between civil society and movement mobilisation, unidentified in much of the literature that tends to view the two as dynamically homogenous. The empirical section of the thesis utilises this model to examine the trajectories of civil society and social movements in Malaysia, focussing on the two decades from 1981 to 2001. It is argued that the first half of the 1980s saw the expansion of a broadly middle class-led, multiethnic civil society but that successful movement mobilisation nonetheless remained rooted in ethnic concerns. Nonetheless, the decade saw in increasing challenge to the regime's hegemonic position. As internal relations within the government coalition fractured during the middle years of the decade, parties and factions within the regime lurched to more ethnicist positions, contributing to an increasing spiral of ethnic `outbidding' and social mobilisation. In October 1987, this was brought to an end by a widespread crackdown that brought social mobilisation to an abrupt halt. Combined with the continuing elite fracture, this effectively re-channelled the increased protest of the period into the political sphere, where a broad opposition coalition was formed to contest the 1990 elections. With the democratic system long since undermined, however, the government won and even maintained its two-third majority. In the late 1990s, the dynamics of state, civil society and social movement were again clearly visible following the dismissal of Anwar Ibrahim as deputy prime minister and the mass protest ‘reformasi’ movement it unleashed. The ‘reformasi’ movement attempted to cultivate new modes of mobilisation, such as the Internet, appropriate to its multiethnic aspirations, but also relied heavily on the existing mobilisational networks of the Islamic movement. This mobilisational bias was reflected in the degree of electoral support for the movement's political manifestation in the 1999 general elections and contributed to the quick demise of the electoral coalition it provoked. The slippage between a multiethnic civil society and the ethnic bases of movement mobilisation in Malaysia has thus hampered the emergence of effective opposition to the regime.
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9

Sullivan, Jonathan. "Negativity and information in campaign advertising". Thesis, University of Nottingham, 2010. http://eprints.nottingham.ac.uk/11138/.

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Abstract (sommario):
In many democracies election campaign advertising is an important form of communication between parties and candidates and voters. There is however an uncomfortable tension between what campaigns should achieve (according to democratic theories) and what they are like in reality. In Taiwan, political scientists have voiced concerns about the excessively negative tone of party and candidate advertising. Descriptive single-election accounts also suggest that campaign ads in Taiwan regularly fail to provide voters with the substantive information they need to make reasoned choices. These observations are cited as reason to conceive campaign advertising as deleterious to Taiwan’s new democracy. However, recent work in the US, suggests that negative advertising may in fact be a source of useful information to voters. By extension, the authors of these studies claim that negative ads make an important contribution to democratic political competition. The central objective of the thesis is to explore these claims in the Taiwan context. Are the theoretical arguments used to explain the content of negative advertising in the US supported by empirical evidence in the highly dissimilar Taiwanese context? Do negative ads in Taiwan, in spite of prior scholarly observations to the contrary, make a useful contribution to the information environment available to voters? In addressing these questions, the thesis aims to contribute a non-western case study to general research on campaign advertising. It also aims to provide the Taiwan studies field with a more systematic account of campaign communications than is currently available. To this end, the study analyzes more than 500 TV and newspaper ads from all four Presidential elections held to date.
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10

Özkurt, Fatma Zeynep. "The impact of EU conditionality on democratisation in Turkey : institutional transformation and policy (re)formation of minority rights, freedom of expression, the military and the judiciary". Thesis, University of Nottingham, 2013. http://eprints.nottingham.ac.uk/14376/.

Testo completo
Abstract (sommario):
This thesis focuses on the impact of EU conditionality on democratisation in Turkey. Built on the assumption that Turkey's democratisation process cannot be fully understood without taking the EU's Impact into account, this thesis argues that even if external actors (e.g., the EU) can create opportunities for domestic political change In target states (e.g., Turkey), these actors cannot impose democracy externally; instead, they can provide support, or encourage power holders towards a more open and democratic system. Ultimately, however, these efforts cannot produce democratisation unless there are sufficient pro-democracy pressures at the domestic level. Empirically, the study examines institutional transformation and policy (re)formation in Turkey in the course of Its EUaccession process by conducting cross-sectoral and cross-temporal analysis. The analysis involves four policy areas and three time periods. These areas include minority rights, freedom of expression, the military and the judiciary; the domestic changes in these policy areas are traced across three time periods: 1999-2002, 2002-2004, and 2005-2008. The study is motivated by an academic interest in the intricacy of Turkey's long-term association with the EU and seeks to explore the external and internal dynamics of Turkey's candidacy process by employing theoretical tools offered by Europeanisation research. Following a Europeanisation theoretical framework, as devised out of new institutionalist theories, the thesis traces and analyses the democratisation process of Turkey and examines Turkey's pre-accession process at two levels. It first looks Into EU-Ievel factors to explore how the EU influences domestic change In Turkey with respect to its conditionality strategy and influence mechanisms; and secondly, it examines the domestic factors that pertain to each policy area to assess how EU conditionality is translated into domestic policy responses. Drawing upon data derived from primary and secondary sources, the thesis has three main findings. First, the recent reforms in Turkey represent a substantively significant effort to consolidate Turkish democracy. Second, as the cross-sectoral analysis illustrates, Turkey's strong desire to accede to the EU played a triggering role in the institutional transformation and policy (re)formation of Turkey. Third, although EU conditionality greatly influenced the domestic political debate surrounding the recent political reforms, ultimately the internal political dynamics determined and shaped the policy outcomes in Turkey. The research also reveals that to fully understand the impact of EU conditionality on domestic change in Turkey, we need to draw on both the external incentives and the social learning models, since they explain different aspects of domestic change based on diverging international and domestic level factors. As a wider outlook, the thesis reflects on the role of international organisations in democracy promotion, relating it to wider academic debates on democratisation and Europeanisation and their implications for domestic transformations in target countries.
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11

Çevik, Kürşat. "Internationalisation of Turkish law enforcement : a study of anti-drug trafficking". Thesis, University of Nottingham, 2013. http://eprints.nottingham.ac.uk/14063/.

Testo completo
Abstract (sommario):
This thesis explains how policing has changed in Turkey between the late 1960s and 2012 and explores ways to explain the changes by looking at the enforcement anti-drug trafficking measures. Using a process tracing method, it argues that Turkey's formerly lax approach to drug control was gradually replaced by stronger enforcement, to the point that nowadays Turkey seems to see itself as a champion of international police cooperation. The thesis then demonstrates that this change can only be partially explained by theories focusing on external change drivers, such as the Americanization of global law enforcement or the Europeanization of Turkey in its bid for EU membership. It argues that change is best explained by analysing micro-processes of socialization within the Turkish National Police (TNP), which reveal the role of domestic factors unexplainable otherwise, such as the importance of protecting the reputation of Turkey and of the TNP among international partners, and the importance of personal career-oriented behaviour by officers of the TNP.
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12

Sandby-Thomas, Peter. "The legitimating logic of stability : analysing the CCP's stability discourse". Thesis, University of Nottingham, 2008. http://eprints.nottingham.ac.uk/13552/.

Testo completo
Abstract (sommario):
This thesis addresses the question of why the Chinese Communist Party (CCP) has remained in power since the Tiananmen Incident in 1989 by deploying the concept of political legitimacy. In this, the focus is not on whether the CCP is legitimate per se but rather on how the Party has legitimated its authority in this period. To that end, the Weberian conceptualisation of legitimation is situated within the Strategic-Relational Approach and, in so doing, allows, through the concept of "discursive selectivity", for legitimation to be reconceptualised as a dialectical relationship consisting of both material and ideational factors. The effect of this move is to provide a suitable framework in which to consider additional legitimating strategies that are employed by the CCP. Consequently, this paper moves beyond the conventional explanation of "economic performance + nationalism" to argue that the CCP's use of the stability discourse in the post-Tiananmen period has contributed to the regime's legitimation. In order to understand how this discourse has been used, a critical discourse analysis is performed on selected articles from the People's Daily published during the Beijing Spring, the "anti-Falun Gong" campaign and the "anti-Japan" demonstrations on the basis that these exceptional instances inform its usage in conventionalised slogans. This analysis found that the term "stability" took the form of an "empty signifier", making most use of positive argument schemes to project a negative Chinese future without CCP authority. Finally, this thesis concludes that, in terms of legitimation, the events in 1989 constituted a strategic moment in the formation of the stability discourse, in that the Party's hegemonic interpretation of these events allowed for this discourse to "resonate" with people in the period that has followed.
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13

Boni, Filippo. "Civil-military relations in Pakistan : an analysis of Sino-Pakistani ties, 2001-2016". Thesis, University of Nottingham, 2017. http://eprints.nottingham.ac.uk/43618/.

Testo completo
Abstract (sommario):
This thesis assesses the extent of military prerogatives in Pakistan’s domestic politics, by focusing on Sino-Pakistani relations in the post 9/11 period. The study departs from the coup-centric approach largely adopted in the literature on civil-military relations and develops a continuum of civil-military relations which identifies four different intensities of civilian control over the military. Such a scale is deployed to gauge empirically the military’s sway in four decision-making areas: internal security, foreign policy, economic policy and elite recruitment. This structure is used to analyse the three case studies presented in the thesis: 1) the development of the port of Gwadar; 2) the China-Pakistan Economic Corridor; and 3) Sino-Pakistani relations in the Afghan scenario. The empirical chapters are organised around elite interviews conducted during fieldwork in Pakistan and triangulated with primary and secondary sources. From the analysis conducted in the thesis emerges a new pattern of civil-military relations in Pakistan, a situation in which the civilians and the military are sharing power to the benefit of both parties. The military have found it in their interest to exercise power less overtly and to retain control of internal security and foreign policy behind the curtain of a democratic dispensation. The civilians, on their side, have managed to erode military influence in the areas of elite recruitment and economic policy, in their attempts to tackle the energy crisis and to win the 2018 general elections. Such a pattern starts taking shape in the 2008-2013 period, but it becomes more crystallised in the post-2013 time frame. The thesis assesses specifically military prerogatives in the context of Pakistan’s relations with China, but also extends the picture in the final chapter to the wider developments in civil-military relations in Pakistan, in order to provide a comprehensive and solid analysis of the issue under examination.
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14

Sarihan, Ali. "The role of the military in the Arab uprisings : the cases of Tunisia and Libya". Thesis, University of Nottingham, 2016. http://eprints.nottingham.ac.uk/34009/.

Testo completo
Abstract (sommario):
This thesis examines the role of the military in Tunisia and Libya during the 2010-2011 Arab uprisings by asking why the two states’ military forces chose to either defect from or defend the ruling administration. Using a comparative case study methodology, this study demonstrates that the joint configuration of energy capacity, military structure and the strength of protests led to the different outcomes in these two cases. The data indicates that one can understand the impact of these three factors using theories that focus on the correlation between rational action, institutional identity, economic inducements, and ideological stances. Thus, I employed approaches from rational choice and institutionalism as the theoretical framework for this study. This study shows that the actions of the Tunisian and Libyan military forces should be read through this theoretical framework. While informative, conclusions drawn from these cases do not allow for universal generalizations. Additionally, it is important to note that the three influential factors are not the only elements that influenced the variations in outcome during the Tunisian and Libyan conflicts. Moreover, I do not make a comparison in terms of the absolute values of the factors, but rather in terms of relative values.
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15

Dombroski, K. "Babies’ Bottoms for a Better World: Hygiene, Modernities, and Social Change in Northwest China and Australasia". Thesis, University of Canterbury. Geography, 2013. http://hdl.handle.net/10092/10210.

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Abstract (sommario):
This is a thesis about social change for a climate-changed world. I argue that in order to think more creatively about much-needed social change, we must explore the multiple possibilities for future worlds already present in experimental form. This thesis offers insight into the ways in which hybrid, experimental practices of infant care are developed and performed by mothers and others in their everyday lives. I take a place-based approach that draws on rich ethnographies and interviews with mothers and others in two field sites: the city of Xining and surrounding areas in the northwestern Chinese province of Qinghai, and a ‘virtual’ group of mothers from Australia and New Zealand. What results is effectively an ethnography of social change, where I describe how mothers and others respond to — and also contribute to — global changes through appropriating, resisting, and hybridising various mothering and caregiving practices. Through embodied ethnographic engagement, I explore the Chinese infant-toileting practice of baniao, and the hybrid infant-toileting practice of ‘elimination communication’. Through a collective process of knowledge production, I work with other mothers in experimenting with hybrid infant-toileting hygienes that are less about ‘killing germs’ and more about ‘guarding life’. This thesis thus takes the important step of exploring and understanding experimental social change through hybrid and collective research practices outside the academy, where people are already responding intelligently and creatively to environmental crisis.
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16

Hama, Yaseen. "Federalism and the challenges of ethnic conflict regulation in deeply divided society : the case of Iraq". Thesis, University of Nottingham, 2018. http://eprints.nottingham.ac.uk/51304/.

Testo completo
Abstract (sommario):
Bad governance of ethnic diversity exacerbates ethno-sectarian conflicts, and ethnic conflict management is a sensitive and fundamentally needed component of the contemporary world. This study assesses political models for managing ethno-sectarian diversity, focused on the deeply divided society of Iraq in relation to its ethnic conflict and political system, with federalism and partition being potential solutions explored in relation to stakeholders’ views, studied qualitatively using focus groups and interviews with procedure and analysis derived from grounded theory. Due to failed integration, Iraqi society since 2003 has undergone de facto territorial division in response to ethno-sectarian violence, creating a map between conflicting groups and identity politics. This thesis criticizes integrationist perspectives supporting a central unitary Iraq, and those proposing hard partition; federal-based soft partition, giving each cultural group control and autonomy in their territory, may achieve stability, whereas secession is impossible. This balances Shia desire for centralism and Kurdish demands for more autonomy or secession. In addition, it is not necessary to impose a single national identity in federal model; dual identity should be accepted to satisfy groups’ identity aspirations. The current impasse is due to authoritarian centralism imposing monolithic identity; Iraq should be a democratic multicultural state, avoiding sectarian policy and implementing civic characteristics to enhance Iraqi identity. This study contributes to existing research, analysing how inappropriate policies of ethnic diversity may escalate into ethnic conflicts. This thesis adds to the field of studies interested in ethnic conflict regulation, particularly Iraqi ethno-sectarian conflict, and provides suggestions for regulating it.
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17

Hoffman, Samantha R. "Programming China : the Communist Party's autonomic approach to managing state security". Thesis, University of Nottingham, 2017. http://eprints.nottingham.ac.uk/48547/.

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Abstract (sommario):
Programming China: The Communist Party’s Autonomic Approach to Managing State Security, introduces the new analytical framework called China's “Autonomic Nervous System” (ANS). The ANS framework applies complex systems management theory to explain the process the Chinese Communist Party calls “social management”. Through the social management process, the Party-state leadership interacts with both the Party masses and non-Party masses. The process involves shaping, managing and responding and is aimed at ensuring the People’s Republic of China’s systemic stability and legitimacy—i.e. (Party-) state security. Using the ANS framework, this thesis brings cohesion to a complex set of concepts such as “holistic” state security, grid management, social credit and national defence mobilisation. Research carried out for the thesis included integrated archival research and the author’s database of nearly 10,000 social unrest events. Through ANS, the author demonstrates that in the case of the People’s Republic of China we may be witnessing a sideways development, where authoritarianism is stabilised, largely through a way of thinking that both embodies and applies complex systems management and attempts to “automate” that process through technology designed based on the same concepts. The party's rule of China, thus, evolves away from traditional political scales like reform versus retrenchment or hard versus soft authoritarianism. The ANS framework should be seen not as an incremental improvement to current research of China’s political system but as a fundamentally different approach to researching and analysing the nature of Chinese politics.
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18

Bezci, Egemen B. "Turkey and Western intelligence cooperation, 1945-1960". Thesis, University of Nottingham, 2017. http://eprints.nottingham.ac.uk/44828/.

Testo completo
Abstract (sommario):
This thesis examines secret intelligence cooperation between three asymmetric partners – specifically the UK, US and Turkey – from the end of the Second World War until Turkey’s first military coup d'état on 27 May 1960. The thesis shows that our understanding of the Cold War as a binary rivalry between the two blocs is too simple an approach and obscures important characteristics of intelligence cooperation among allies. To reveal a more comprehensive analysis of intelligence cooperation, this thesis develops our understanding of it more broadly, by developing a model called ‘intelligence diplomacy’. This model explores a vital, if little understood, aspect of contemporary international relations given the prevalence of transnational threats today. Intelligence diplomacy involves negotiations and the exploitation of different aspects of joint intelligence activities, synchronized between diplomats and specialized intelligence officers. While such efforts often result in overlap between diplomats and intelligence liaison efforts, there is strong evidence that the acts of intelligence services vary from the instructions of their foreign ministries. The thesis also shows that a pragmatic approach offers states new opportunities to protect national interests, by conducting intelligence diplomacy to influence crucial areas such as nuclear weapons and to exploit cooperation in support of their own strategic imperatives. By doing so this thesis not only reveals previously-unexplored origins of secret intelligence cooperation between Turkey and the West, but also contributes to wider academic debates on the nature of the Cold War by highlighting the potential agency of weaker states in the Western Alliance.
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19

Mantki, Sangar Musheer. "The impact of ethnosectarianism on Iraqi power sharing democracy, 2003-2014". Thesis, University of Nottingham, 2017. http://eprints.nottingham.ac.uk/43635/.

Testo completo
Abstract (sommario):
Since the regime was brought down by coalition forces in 2003, Iraq has been undergoing the process of democratisation through some significant political changes, namely, relatively free and competitive elections, and the freedom to form political and civil organisations. However, it faced crucial challenges that undermined this process such as ethno-sectarian violence/conflict. This thesis examines the impact of ethnic and sectarian conflict on the failure of the power sharing democracy. The thesis covers the period from 2003 until April 2014. The main themes that the thesis analyses are societal security/ethnic and sectarian violence, ethnic and sectarian inclusion, proportionality, and power devolution/federalism. For the purposes of the thesis, the societal security dilemma (SSD) theory, which focuses mainly on the roles of elites and external actors in societies that experience a power vacuum or institutional collapse in divided societies, is adopted. This theory is used for two purposes: firstly, to examine why and how the ethno-sectarian behaviour of elites affects societal security and the failure to establish a stable democracy; and secondly, to examine the viability of consociational design for the Iraqi case with the existence of distrust, fear and uncertainty among identity groups. The thesis argues that, due to fear, distrust and grievance among groups, the implementation of ethnic regions that draw lines between groups and localise the armed and security forces under a locally elected government is one of the mechanisms for reducing identity based violence and ensuring an effective power sharing democracy.
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20

Kamburoğlu, İnanç. "Behind the change in Turkish foreign policy vis-à-vis Cyprus between 2002 and 2004 : the impact of leadership and the EU". Thesis, University of Nottingham, 2015. http://eprints.nottingham.ac.uk/28314/.

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Abstract (sommario):
This thesis attempts to explain the change in Turkey’s foreign policy regarding Cyprus between 2002 and 2004. It argues that the overriding factor in this policy change was a change in leadership, i.e., the coming to power of the Justice and Development Party (AKP), which developed a decidedly liberal outlook on foreign affairs following its split in 2001 from the anti-Western, Islamist Welfare Party. Other crucial determinants included the Europeanization of the Cyprus issue and selective support for interest groups within Turkey, both of which were affected to various degrees by the European Union and a propitious change in decision-making context. This thesis shows how constant policy failures during the 1980s and 1990s led to an identity crisis and the subsequent radical ideational transformation of the AKP whereby the party leadership renounced political Islamism and began to espouse an EU-oriented policy agenda and compatible rhetoric. The arguments presented in this thesis contribute to the literature on foreign policy analysis, political leadership and Europeanization. With regard to foreign policy analysis, this thesis shows that foreign policy change is a multi-causal phenomenon that can only be explained by a combination of various concepts. Moreover, it argues that despite the fact that no ready-made formula can account for all cases of foreign policy alterations, changes in leadership and a favourable decision-making composition appear to be indispensable determinants of any foreign policy shift. With regard to leadership, by applying a social-learning model to the analysis of the AKP leadership, this thesis follows the evolution of the Turkish Islamist Movement towards conservative democracy and an embracing of EU norms, which in turn resulted in a change in Turkey’s Cyprus policy. It is argued that Turkey’s new Cyprus policy was above all the consequence of a radical normative shift in the mindset of the new Turkish leadership. With regard to Europeanization, this thesis demonstrates how the change in Turkey’s foreign policy vis-à-vis Cyprus was bolstered by the Europeanization process. In this context, it can be understood that the EU militated in favour of a policy alteration by Europeanizing the Cyprus disagreement with the acceptance of the Republic of Cyprus into the EU in May 2004. The third essential determinant of Turkish foreign policy shift was the emergence of a propitious decision-making context within Turkey, which rendered such a policy shift possible.
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21

Saeed, Azhar. "The systematics and phylogeny of the genus Diolcogaster Ashmead (hymenoptera : braconidae : microgastrinae) with a revision of Australasian species". Title page, table of contents and summary only, 1996. http://web4.library.adelaide.edu.au/theses/09PH/09phs127.pdf.

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Abstract (sommario):
Corrigenda pasted on verso of leaf 267. Bibliography: leaves 239-253. This study focuses on the phylogenetic status of Diolcogaster within the Cotesia-complex. The Cotesia-complex is not resolved as a monophyletic group though most of the included genera are so resolved. Diolcogaster is revised for the Australasian region and recorded for the first time fron New Zealand. A total of 26 species are now known from Australasia.
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22

Celik, Melina Anouche. "Tracing the evolution of Australasian mammals: Integrating morphological, palaeontological and molecular data". Thesis, Queensland University of Technology, 2020. https://eprints.qut.edu.au/135716/1/Melina%20Anouche_Celik_Thesis.pdf.

Testo completo
Abstract (sommario):
Morphological data are crucial in evolutionary analyses for merging fossils into the tree of life, calibrating dating analyses and for enhancing inference of biological patterns and processes. Morphological phylogenetics is dominated by homoplastic characters, functional and developmental correlations, and also by highly subjective definitions of characters and their states, which in turn can mislead phylogeny reconstruction. A first study assessed the implications of biases among characters in Mesozoic mammals. Then, geometric morphometrics and molecular data were combined to study the systematics of kangaroos and wallabies. Finally, new methodologies using 3D morphometrics and multivariate statistical analyses were developed for phylogenetic inference.
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23

Bowles, Karl C., e n/a. "The cycling of mercury in Australasian aquatic systems". University of Canberra. School of Resource, Environmental & Heritage Sciences, 1998. http://erl.canberra.edu.au./public/adt-AUC20060609.144839.

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Abstract (sommario):
Methods were developed for the determination of methylmercury in natural waters and sediments based on steam distillation and aqueous phase ethylation followed by gas chromatography-atomic fluorescence spectrometry. The methods were shown to be free from measurable artefactual methylation of inorganic mercury and offered improved sample throughput over existing methods. Improvements were made to existing methods for the determination of total mercury in biota, sediments and natural waters and dissolved mercury species in natural waters. These methods were applied to the study of mercury cycling in two remote field sites. The cycling of mercury species was studied in Lake Murray in Western Province, Papua New Guinea, which has been historically noted as a region of high mercury concentrations in fish. Concentrations of methylmercury and total mercury in the water column were found to be variable and consistent with non-contaminated lake systems. Concentrations of methylmercury and total mercury in the sediments were also found to be low, except for in the south of the lake, which was influenced by an intermittent supply of water and sediments with elevated mercury concentrations from the Strickland River. Methylmercury concentrations in the sediments were generally higher in the backwater areas due to littoral processes. The low concentrations of methylmercury in the sediments and waters were inconsistent with other systems previously studied in the northern hemisphere, showing a link between high mercury concentrations in fish and high concentrations of methylmercury in waters or sediments. Therefore, the biota of Lake Murray were studied in order to account for the differences between this and other systems. A study was conducted of the stable isotope ratios of carbon and nitrogen in biota from Lake Murray to elucidate key food-web interactions. This study revealed that the dominant carbon source for fish in the lake is plankton, although algae and macrophytes may also be involved in the food-web. The methylmercury bioaccumulation factors between trophic levels were similar to those measured in temperate systems of the northern hemisphere. The high concentrations of methylmercury, observed in piscivorous fish, were shown to be a consequence of the complex food-web and the number of trophic levels in the food-chains. The cycling of mercury species was studied in Lake Gordon and Lake Pedder in southwest Tasmania, which has recently been identified as being in a region of high mercury concentrations in trout and eels. The concentrations of total mercury were found to be reasonably uniform in the waters of both lakes, spatially and temporally. The concentrations of methylmercury in the waters were seasonally variable, and were consistently lower in Lake Pedder than in Lake Gordon. Dilution of methylmercury concentrations by precipitation direct to the lake surface, probably accounts for the most of the difference in methylmercury concentrations between the lakes. Owing to the long residence time of water in Lake Gordon, this reservoir mixes inputs of water with varying methylmercury concentrations. Concentrations of total mercury and methylmercury in submerged soils were low and depth profiles of mercury species in the water column did not show evidence of a gradient of mercury concentrations due to releases from the sediments. The concentrations of methylmercury observed in the water column are consistent with the concentrations observed in the fish. A budget of the mercury inputs and outputs to Lake Gordon showed that in-lake processes and sources in the catchment areas both contributed significantly to the concentrations of methylmercury in the lake. The methylation of mercury in Lake Gordon appeared to mainly occur in the surface waters (< 10 m) and was not consistent with processes leading to the methylation of mercury at the oxic/anoxic boundary observed in seepage lakes in Wisconsin. The concentrations of total mercury and methylmercury in bogs in the catchment areas of Lakes Gordon and Pedder, were high and governed by the concentration of organic matter in the sediments. The processes involved in the supply of mercury species from the Lake Gordon and Lake Pedder catchments appear to be similar to those in drainage lakes in the temperate and boreal regions of the northern hemisphere. The formation of the Lake Gordon and Lake Pedder reservoirs appears to have had little impact on the mean annual concentrations of methylmercury released to the downstream environment.
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24

White, David Ian. "Trans-Tasman company tax horizons : why mutual recognition of company tax credits would create an inward looking investment area in Australasia". Thesis, The University of Sydney, 1997. https://hdl.handle.net/2123/27607.

Testo completo
Abstract (sommario):
At present, the New Zealand and Australian imputation systems for company tax each create a national preference for equity investment. It is only M company tax paid by a resident company that reduces a resident shareholder’s income tax liability on a dividend. Trans-Tasman business has proposed that each country should extend its imputation system to recognise the company tax credits of the other Tasman country. To some degree, this proposal would have the effect of turning these two national investment preferences into one Australasian investment preference. The level of this preference would depend upon the extent to which New Zealand and Australian resident companies repatriate profits from anywhere offshore by dividend and the extent to which these profits are then distributed to individual resident shareholders as dividends. One of the characteristics of recent successful trans-Tasman economic co-operation has been that it has been ‘outward looking.’ For instance, it has sometimes been part of a broad strategy that included contemporaneous or subsequent liberalising actions at the domestic, bilateral, regional or multilateral levels. This dissertation asks whether the international economic policy environment would allow New Zealand and Australia to develop a stepping stone strategy, in relation to the business proposal for mutual recognition of imputation credits, that began with a bilateral trans-Tasman arrangement and then was extended at the regional or multilateral levels. After examining the two countries’ multilateral and bilateral treaty obligations, the dissertation concludes that there are no legal impediments to establishing this trans-Tasman investment preference. It seems highly likely, however, that the two countries would soon come under pressure from major capital exporters, especially the USA, to extend some benefit of this liberalisation to them, often on a non-reciprocal basis. To determine when and how to extend reform benefits to third countries, the two Tasman countries would need to present the reform as a reciprocal CER free-trade agreement. Once set up as a flee-trade area measure, however, this investment preference would have little chance of being reduced through subsequent actions either at the multilateral or regional levels. At both these levels, there are no existing or likely arrangements on crossborder imputation that might supersede the trans-Tasman scheme. Secondly, in the Asia- Pacific region there are no potential partners to whom New Zealand and Australia could realistically expect to extend the scheme in the future. Indeed, the multilateral and regional environments for cross-border innovation on company tax are highly constrained for these two small player-nations in the South-West Pacific. As a consequence, the dissertation concludes that the business proposal for mutual recognition of company tax credits by New Zealand and Australia would create an ‘inward looking’ investment area in Australasia.
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25

Altinors, Gorkem. "Minarets and golden arches : state, capital and resistance in neoliberal Turkey". Thesis, University of Nottingham, 2016. http://eprints.nottingham.ac.uk/37869/.

Testo completo
Abstract (sommario):
The main purpose of this thesis is to critically analyse the convergence of political Islam and neoliberalism in Turkey. By doing so, the research aims to construct a Gramscian historical materialist account as opposed to the mainstream centre-periphery relations approach. The mainstream centre-periphery relations approach takes the state and civil society as antagonistic autonomous entities. This consideration brings us where the Turkish politics are perceived as a terrain of conflict between Islamists and secularists. The centre-periphery relations approach has four shortcomings. First, the state and society are considered separately. Second, the market and the state; and the economy and the politics are considered separately. Third, as considered separately, the theory takes civil society as automatically progressive. Fourth, the social relations of productions are neglected. This thesis argues that the Islamists versus secularists dichotomy is not sufficient enough to explain the complexity of contradictions in Turkish politics because of the given four shortcomings. Therefore, a more complex theory where the antagonism is considered within the class struggle is needed. Antonio Gramsci’s theory of hegemony, passive revolution and most importantly the integral state provides a new window in this respect. The Gramscian historical materialism offers a holistic understanding for the relationship between the state and society, the market and the state, and the economy and the political. As part of the hegemonic struggle, civil society can be on either side of the struggle therefore it is not considered as automatically progressive in Gramscian historical materialism. As a historical materialist approach, Gramscianism considers the social relations of production as the crucial element of the analysis. The pre-2002 periods (before the Justice and Development Party came into power) were already researched by Gramscian scholars. Therefore, the neoliberal restructuring in Turkey during the Justice and Development Party era is the focal period of this thesis. There will be a specific focus on the cases of urbanisation, education, and the mass media. The conceptual framework of state-society relations is the analytical basis of this study. Overall, this thesis offers an alternative reading of the rise of political Islam in Turkey.
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26

Parry, Megan Elisabeth. "Jean Baptiste Francois Pompallier, Thomas Arnold and Julian Edmund Tenison Woods and their contribution to the formation and development of Catholic schooling in Australasia". Thesis, Queensland University of Technology, 2013. https://eprints.qut.edu.au/61006/1/Megan_Parry_Thesis.pdf.

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Abstract (sommario):
Histories of Catholic education have received little attention by Church historians and are usually written by members of the Catholic clergy, with a strong emphasis placed on the spiritual and building accomplishments of the bishops. This thesis examines the provision of Catholic Education in Australasia, with a focus on the contribution of three men, Jean Baptiste Francois Pompallier, Thomas Arnold and Julian Edmund Tenison Woods. These men received support from the female religious orders in the regions where they worked, frequently with little recognition or praise by Catholic Church authorities. The tenets of their faith gave Pompallier and Woods strength and reinforced their determination to succeed. Arnold, however, possessed a strong desire to change society. All three believed in the desirability of providing Catholic schooling for the poor, with the curriculum facilitating the acquisition of socially desirable values and traits, including obedience, honesty, moral respectability and a strong adherence to Catholic religious values. The beneficiaries included society, future employers, the Church, the children and their parents. With the exception of promoting distinctly Catholic religious values, Roman Catholic schools and National schools in Australasia shared identical objectives. Historians have neglected the contributions of these men.
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27

Burcu, Oana. "The nature and construction of Chinese nationalism towards Japan, through the lens of the Diaoyu/Senkaku case study, 2010 and 2012". Thesis, University of Nottingham, 2017. http://eprints.nottingham.ac.uk/42940/.

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Abstract (sommario):
In the last two decades, against the backdrop of multiple anti-foreign protests in China, among which the anti-Japanese protests were prominent, debates emerged over the rise and meaning of Chinese nationalism. This thesis analyses the nature and formation of China’s nationalism towards Japan, with an emphasis on bottom-up manifestations of nationalism. The analysis compares the anti-Japanese demonstrations and boycotts of 2010 and 2012 triggered by disputes over the contested Diaoyu/Senkaku islands in the East China Sea. The current literature on Chinese nationalism is largely dominated by top-down perspectives which neglect the prospect of a nationalism separate from the state. This thesis argues that it is not only that bottom-up and top-down forces coexist, but that they interact in a dynamic and bidirectional process. This interaction, explained through Giddens’ structuration theory and Wendt’s constructivist theory, is significant in understanding how nationalism is shaped. In the detailed analysis of nationalism theories of instrumentalism, along with those of primordialism and ethnosymbolism are used. It is through these lenses that each step of the “nationalism” is studied - from history and triggers of nationalism to popular manifestations, current discussions of nationalism and its effect on China’s domestic and foreign policy. By placing China into the historical context of the last century, it is shown that anti-Japanese feelings in China are the result of embedded memories of war and a need of unifying the nation against Imperial Japan, rather than purely the result of a political machination. History, combined with threat perception and China’s development, led to large anti-Japanese manifestations over the Diaoyu/Senkaku islands in 2010 and 2012. The authorities employed a number of strategies in order to tone down these events domestically. Through interviews conducted with Chinese academics, researchers, protesters and activists, and discourse analysis applied to state media, it was identified that history, territorial sovereignty, mistrust and reactiveness to Japan’s actions frame the meaning of anti-Japanese nationalism in China. These shared themes brought together a wide spectrum of state and non-state actors, who put aside their dichotomous views over loyalty to the Party-state and loyalty to the nation, and showed their support for the Chinese government. The problematic effects of this type of “unified anti-Japanese nationalism” are that domestically it sets restrictive “standards” for what it means to be a “good nationalist” in China; internationally, it raises serious concerns over China’s foreign policy should a fatal Sino-Japanese accident in the East China Sea occur. The substance of Chinese nationalism may be indicative of the type of international power that China aspires to be and informs the domestic challenges that may influence its external behaviour. By understanding the substance of nationalism, China’s perceptions of itself and “the other”, as well as its intentions home and abroad are captured. Policymakers within China and abroad should not ignore the challenges nationalism poses at the domestic level; they should look into the intricate disputes and negotiations among state and non-state actors, driven not only by economic and political calculations, but by a shared past and emotions that contribute to the internal dynamic of Chinese nationalism.
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28

Lampkin, Veronica. "Mining the Archive: An Historical Study of Madame Weigel’s Paper Patterns and Their Relationship to the Fashion and Clothing Needs of Colonial Australasia during the Period 1877 to 1910". Thesis, Griffith University, 2013. http://hdl.handle.net/10072/366083.

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Abstract (sommario):
This thesis focused on the use of paper patterns for home dressmaking in colonial Australasia, and the pioneer of paper pattern manufacturing, Madame Weigel. Her pattern series, catalogue, and fashion journal were examined, and an investigative approach taken to deconstruct this archive. This established an evidential data set of paper patterns for the period from 1878 to 1910, providing an important new resource for the identification and dating of extant fashion and clothing artefacts from late nineteenth century Australasia. Using mainly primary resources, comparisons were drawn between Madame Weigel’s patterns and those produced by overseas manufacturers. As Madame Weigel drew on her own international background, she passed such influences on to her Australasian customers through her patterns and travelogues, published in her journal. Madame Weigel’s transnational experience, it is argued, influenced her publications, in turn disseminating the global view of fashion to her customers. Madame Weigel’s adaptive strategies were argued as necessarily derivative of overseas trends and influences. Within the global context of transnational fashion trends, Madame Weigel’s empathy with her antipodean location was apparent. The asynchronicity of the antipodean calendar, climate, and seasons was fundamental to her work, set in a time when adaptation was resisted and northern hemisphere influences still strong. Results showed that Weigel’s pattern series supported both high fashion garments and everyday clothing. Even though women were found to be sewing primarily for themselves and their daughters during this period, Madame Weigel’s pattern range was inclusive of all family members across the lifecycle. New, empirical sizing information revealed how women’s patterns increased in size over seven decades. A mixed method approach drew on material culture, everyday history, and transnational studies to investigate the context and meaning of Madame Weigel’s business and impact.
Thesis (PhD Doctorate)
Doctor of Philosophy (PhD)
Queensland College of Art
Arts, Education and Law
Full Text
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29

Ilbiz, Ethem. "The impact of the European Union on Turkish counter-terrorism policy towards the Kurdistan Workers Party". Thesis, University of Nottingham, 2014. http://eprints.nottingham.ac.uk/14280/.

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Abstract (sommario):
This study seeks to examine the impact of the EU on Turkish counter-terrorism policies towards the Kurdistan Workers Party (PKK). It analyses what impact it has had within three distinct periods: the pre-Helsinki European Council (1984-1999) period, the post-Helsinki European Council (1999-2004) period, and the post-Brussels European Council (2004-2013) period. It conceptualizes and empirically investigates the EU’s norm diffusion role by relying on the concept of “Rule Adoption”, and by utilising two norm diffusion mechanisms: the “Conditionality” and the “Socialization” mechanism, and their domestic and EU-level determinants. The thesis argues that when the EU has promoted democratisation in Turkey, it has also implicitly impacted on Turkey’s counter-terrorism policies. It argues for this thesis by generalizing from the following empirical findings: When the EU has provided a credible membership prospect to Turkey, and when the PKK attacks have been at a low-level, then the EU conditionality mechanism has been influential on Turkey’s adoption of EU promoted norms. However, when there has been no membership prospect and high levels of PKK violence, it has been the openness of Turkish political actors that has resulted in rule adoption, in which the social learning of the Turkish political actors has led to the adoption of EU promoted norms as an appropriate way to solve existing terrorism problems.
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30

Biehl, Lundberg Andrés. "Social policy and income inequality in the Southern Cone during the 20th century : a comparative perspective". Thesis, University of Oxford, 2015. http://ora.ox.ac.uk/objects/uuid:ce998341-6b28-41a7-9453-94a22174e47a.

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Abstract (sommario):
This dissertation compares the effects of progressive social reform on income inequality in the Southern Cone of South America, Scandinavia, and Australasia. These regions faced comparable economic challenges at the start of the 20th century, but experienced different trends of income inequality after they introduced progressive policies in this period. Australasia and Scandinavia converged on a downward trend while the Southern Cone remained comparatively more unequal. The dissertation concentrates on three areas that significantly predict inequality in contemporary research: labour markets, education, and taxation and spending policies. Existing explanations usually focus on supply-side aspects of policy reform: wage regulation, and increased taxation and spending on education and social insurance, are thought to bring inequality down in the long-run. These reforms are seen as the outcome of the relative power of working class groups over elites. Despite institutional variation, the three regions enacted progressive policies to address distributional conflict and protect their economies from global risks. I study the demand-side of policy reform; policies faced considerable collective action problems to promote compliance and cooperation in order to work in the long-time and include populations at large. The fact that most people were motivated to comply meant that labour markets generated formality and standard wages, education increased human capital, and spending became stable as the tax base increased in Scandinavia and the Antipodes. The opposite happened in the Southern Cone as social actors tried to link selectively with the state while state officials neglected the material constraints that limited access to welfare and education. Each chapter spells out the conditions through which policy addressed collective action problems to motivate cooperation with wage agreements, sending children to school, and compliance with taxation and spending policies. Behind comparable aggregate numbers in these areas, the underlying social processes differed as Australasians and Scandinavians fostered cooperation between state and social actors, while the Southern Cone did not.
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31

Decloedt, Andre. "Seeking common deviations from South Africa’s tax treaty policy: a comparative analysis identifying trends (regional or otherwise) in treaty practice in bi-lateral tax treaties with countries in Asia, Australasia, North America and South America". Master's thesis, Faculty of Commerce, 2018. http://hdl.handle.net/11427/31554.

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Abstract (sommario):
South Africa experienced an unprecedented growth in its tax treaty network since 1994 as a result of an increase in global trade. In concluding these bi-lateral tax treaties with other countries, South Africa depends primarily on its national model policy during its negotiations with other contracting states. The country’s national tax treaty policy was previously defined in one document, the publication of which has since been discontinued. Apart from Professor C West’s contribution to the global tax community, there is little research information available on the current tax treaty policy of South Africa. It is submitted that the OECD Model and its positions recorded in the commentaries are now widely accepted as the national tax treaty policy of South Africa. The findings of the comparative analysis between the previously documented tax treaty policy and this new widely accepted position of South Africa, suggested that the OECD Model and its recorded positions in the commentaries, subject to a few exceptions, is a fair reflection of South Africa’s national tax treaty policy. It is submitted that South Africa accepted common deviations from its national tax treaty policy when negotiating bi-lateral treaties with countries in the Americas, Asia and Australasia. Previous research failed to provide guidance in this aspect and in an attempt to seek common deviations from South Africa’s national tax treaty policy, a comparative analysis was conducted to identify trends (whether regional or otherwise) in tax treaties with a sample of countries in Asia, Australasia, North America and South America. The findings of this comparative analysis indicated that South Africa successfully applied its national tax treaty policy to a large extend, but does accept common deviations from the policy.
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32

Puslednik, Louise. "Systematics of the Australasian Lymnaeidae". Access electronically, 2006. http://www.library.uow.edu.au/adt-NWU/public/adt-NWU20060816.160222/index.html.

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33

McGrath, Frank Roland. "The intentions of the framers of the Commonwealth of Australia Constitution in the context of the debates at the Australasian Federation Conference of 1890, and the Australasian Federal Conventions of 1891 and 1897-8 The understanding of the framers of the Constitution as to the meaning and purpose of the provisions of the Constitution which they debated at these assemblies /". Connect to full text, 2000. http://hdl.handle.net/2123/850.

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Abstract (sommario):
Thesis (Ph. D.)--University of Sydney, 2001.
Title from title screen (viewed Apr. 24, 2008). Submitted in fulfilment of the requirements for the degree of Doctor of Philosophy to the Dept. of History, Faculty of Arts. Degree awarded 2001; thesis submitted 2000. Includes bibliography and of tables of cases. Also available in print form.
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34

Hess, Kurt. "Credit loss dynamics in Australasian banking". The University of Waikato, 2008. http://hdl.handle.net/10289/2649.

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Abstract (sommario):
The purpose of this thesis is to analyze the drivers and dynamics of credit losses in Australasian banking over an extended period of time in order to improve the means by which financial institutions manage their credit risks and regulatory bodies safeguard the stability and integrity of the financial system. The analysis is based on a specially constructed data base of credit loss and provisioning data retrieved from original financial reports published by Australian and New Zealand banks. The observation period covers 1980 to 2005, starting at the time when such information was published for the first time in bank financial statements. It moreover covers the time of major crises which occurred in both Australia and New Zealand in the late 1980s and early 1990s. The heterogeneity of reporting the data both amongst banks and through time requires the development of a reporting typology which allows data extraction with equivalent informational content. As a thorough study of credit risks requires long data series often not available from third party data providers, the method developed here will provide value to a range of researchers. Based on an evaluation of many alternative proxies which track a bank's credit loss experience (CLE), the thesis proposes a preferred model for impaired assets expense (as % of loans) as dependent variable, mainly because of its timely nature and good data availability. Explanatory variables include aggregate macro variables of which changes in unemployment and the return in the share markets are found to have the most significant influence on a bank's credit losses. Bank-specific control variables include a pre-provision earnings proxy whose significance points to the use of provisions for the purpose of income smoothing by Australasian banks. The model also controls for size and nature of lending as smaller, retail-oriented housing lenders, on average, exhibit lower loan losses. Clear results are found with regard to the effect of rapid expansion which appears to be followed by a surge of bad debt provisions 2 to 3 years later. Moreover, inefficient banks tend to suffer greater credit losses. An important part of the thesis looks at the characteristics of alternative CLE proxies such as stock of provisions, impaired assets and write-offs which have been used by earlier literature. Estimating the preferred model with such alternative CLE parameters confirms their peculiarities such as the memory character of stock of provisions and the delayed nature of write-offs. These measures correlate rather poorly amongst themselves which calls for caution in the comparative interpretation of earlier studies that use differing CLE proxies.
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35

Manson, Jennifer Margaret. "Person-job fit and its relationship with work attitudes: a study of Christian missionaries from Australasia : a thesis presented in partial fulfillment of the requirements for the degree of Master of Science in Psychology at Massey University, Albany, New Zealand". Massey University, 2007. http://hdl.handle.net/10179/998.

Testo completo
Abstract (sommario):
Do Christian missionaries who exhibit good person-job fit, (‘aligned’ with host nation colleagues and ‘in harmony’ with expatriate colleagues), experience more positive work attitudes? Personjob fit was conceptualized in terms of competencies. Perspectives on what competencies the role of missionary requires were obtained from 3 groups of subject matter experts: host nation colleagues, missionaries, and mission agency leaders. In Study I, subject matter experts (host nation colleagues, n=22, missionaries, n=25, and agency leaders, n=23) rated the ‘Universal Competency Framework’ (SHL) 20-level competencies. Host nation colleagues differed significantly on 3 of the competencies, suggesting that in this sample, the perspective of expatriates on the role of a missionary was not fully aligned with that of host nation colleagues. In Study 2, a sample of 130 current overseas missionaries self-assessed their performance and provided their own ratings of the importance of the competencies used in Study 1. Measures of Person-Job fit (Demands-Abilities fit, Supplies-Values fit and Perceived Performance) were regressed against outcome variables (job satisfaction, work engagement and satisfaction with life). Results indicated that a person’s fit with the job as described by both host nation colleagues (Alignment) and other expatriates (Harmonization) is positively associated with job satisfaction, work engagement and satisfaction with life. These results offer support for competencies as an effective method of describing missionary roles. Possible implications for enhancing the effectiveness and well-being of missionaries, and other aid and development workers, are discussed.
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36

Clarke, Stephen John History Australian Defence Force Academy UNSW. "Marching to their own drum : British Army officers as military commandants in the Australian colonies and New Zealand 1870-1901". Awarded by:University of New South Wales - Australian Defence Force Academy. School of History, 1999. http://handle.unsw.edu.au/1959.4/38659.

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Abstract (sommario):
Between 1870 and 1901, seventeen officers from the British army were appointed by the governments of the Australian colonies and New Zealand as commanders of their colonial military forces. There has been considerable speculation about the roles of these officers as imperial agents, developing colonial forces as a wartime reserve to imperial forces, but little in depth research. This thesis examines the role of the imperial commandants with an embryonic system of imperial defence and their contribution to the development of the colonial military forces. It is therefore a topic in British imperial history as much as Australian and New Zealand military history. British officers were appointed by colonial governments to overcome a shortfall in professional military expertise but increasingly came to be viewed by successive British administrations as a means of fulfilling an imperial defence agenda. The commandants as ???men-on-the-spot???, however, viewed themselves as independent reformers and got offside with both the imperial and colonial governments. This fact reveals that the commandants occupied a difficult position between the aspirations of London and the reality of the colonies. They certainly brought an imperial perspective to their commands and looked forward to the colonies playing a role on the imperial stage but generally did so in terms of a personal agenda rather than one set by London. This assessment is best demonstrated in the commandants??? independent stance at the outset of the South African War. The practice of appointing British commandants in Australasia was fraught with problems because of an inherent conflict in the goals of the commandants and their colonial governments. It resembles the Canadian experience of the British officers which reveals that the system of imperials military appointments as a whole was flawed. The problem remained that until a sufficient number of colonial officers had the prerequisite professional expertise for high command there was no alternative. The commandants were therefore the beginning rather than the end of a traditional reliance upon British military expertise. The lasting legacy of the commandants for the military forces of Australia and New Zealand was the development of colonial officers, transference of British military traditions, and the encouragement of a colonial military identity premised on the expectation of future participation in defence of the empire. The study provides a major revision to the existing historiography of imperial officers in the colonies, one which concludes that far from being ???imperial agents??? they were largely marching to their own drum.
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37

McGrath, Frank Roland. "Intentions of the Framers of the Commonwealth of Australia Constitution". Thesis, The University of Sydney, 2000. http://hdl.handle.net/2123/850.

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Abstract (sommario):
The thesis examines the speeches and debates in the Australasian Federation Conference of 1890, and the Australasian Federal Conventions of 1891 and 1897-8 for the purpose of establishing what the framers of the Commonwealth Constitution understood to be the meaning and purpose of the individual sections of the Constitution upon which they were called upon either to support or oppose. The particular matters involved in the examination are the manner and form in which the principles of responsible government were incorporated into the constitution, and the relationship of these principles to the powers of the Senate; the crisis in the 1891 Convention in relation to the powers of the Senate over money bills; the significance of the difference in composition of the Convention of 1891 compared with that of 1897-8; the significance of the classification of the Constitution as an indissoluble federation under the Crown; the principles of responsible government and the provisions of s.57 in the context of the deadlock over Supply in 1975; the meaning and purpose of s.41 preserving the rights of voters qualified to vote in State elections for the lower Houses, and the misconceptions in relation thereto the position of aborigines under the Constitution; the meaning and purpose of the special laws power in the light of the 1967 Constitutional referendum, and its interpretation bU the High Court in the Hindmarsh Island Bridge case; the relationship of the intentions of the framers of the Constitution to the interpretation bu the High Court of the Financial Clauses of the Constitution, and the provisions of s.92; and the meaning and purpose of the external affairs power, and the corporations power as understood bu the framers of the Constitution.
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38

Hobbs, Lisa Rose. "Australasian paramedic attitudes and perceptions about continuing professional development". Thesis, Queensland University of Technology, 2019. https://eprints.qut.edu.au/134081/1/Lisa%20Rose%20Hobbs%20Thesis_Redacted.pdf.

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Abstract (sommario):
This study utilised constructivist grounded theory to explore the attitudes, engagement and perception of current Australasian paramedics in relation to CPD. The study found paramedics have not significantly modified their engagement in CPD/LLL despite professional registration. There is, however some confusion surrounding what constitutes CPD. Furthermore, education appears to be a new form of hierarchical stigmatisation within the paramedic culture. The study facilitated the creation of a framework of paramedic CPD, which includes CPD models; PDP; reflective practices; and LLL. The framework acknowledges professional, industrial, social, personal, political, organisational and economic factors which influence or change paramedic engagement in CPD.
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39

Maxwell, Megan Amanda, e n/a. "PEX1 Mutations in Australasian Patients with Disorders of Peroxisome Biogenesis". Griffith University. School of Biomolecular and Biomedical Science, 2004. http://www4.gu.edu.au:8080/adt-root/public/adt-QGU20040219.100649.

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Abstract (sommario):
The peroxisome is a subcellular organelle that carries out a diverse range of metabolic functions, including the b-oxidation of very long chain fatty acids, the breakdown of peroxide and the a-oxidation of fatty acids. Disruption of peroxisome metabolic functions leads to severe disease in humans. These diseases can be broadly grouped into two categories: those in which a single enzyme is defective, and those known as the peroxisome biogenesis disorders (PBDs), which result from a generalised failure to import peroxisomal matrix proteins (and consequently result in disruption of multiple metabolic pathways). The PBDs result from mutations in PEX genes, which encode protein products called peroxins, required for the normal biogenesis of the peroxisome. PEX1 encodes an AAA ATPase that is essential for peroxisome biogenesis, and mutations in PEX1 are the most common cause of PBDs worldwide. This study focused on the identification of mutations in PEX1 in an Australasian cohort of PBD patients, and the impact of these mutations on PEX1 function. As a result of the studies presented in this thesis, twelve mutations in PEX1 were identified in the Australasian cohort of patients. The identified mutations can be broadly grouped into three categories: missense mutations, mutations directly introducing a premature termination codon (PTC) and mutations that interrupt the reading frame of PEX1. The missense mutations that were identified were R798G, G843D, I989T and R998Q; all of these mutations affect amino acid residues located in the AAA domains of the PEX1 protein. Two mutations that directly introduce PTCs into the PEX1 transcript (R790X and R998X), and four frameshift mutations (A302fs, I370fs, I700fs and S797fs) were identified. There was also one mutation found in an intronic region (IVS22-19A>G) that is presumed to affect splicing of the PEX1 mRNA. Three of these mutations, G843D, I700fs and G973fs, were found at high frequency in this patient cohort. At the commencement of these studies, it was hypothesised that missense mutations would result in attenuation of PEX1 function, but mutations that introduced PTCs, either directly or indirectly, would have a deleterious effect on PEX1 function. Mutations introducing PTCs are thought to cause mRNA to be degraded by the nonsense-mediated decay of mRNA (NMD) pathway, and thus result in a decrease in PEX1 protein levels. The studies on the cellular impact of the identified PEX1 mutations were consistent with these hypotheses. Missense mutations were found to reduce peroxisomal protein import and PEX1 protein levels, but a residual level of function remained. PTC-generating mutations were found to have a major impact on PEX1 function, with PEX1 mRNA and protein levels being drastically reduced, and peroxisomal protein import capability abolished. Patients with two missense mutations showed the least impact on PEX1 function, patients with two PTC-generating mutations had a severe defect in PEX1 function, and patients carrying a combination of a missense mutation and a PTC-generating mutation showed levels of PEX1 function that were intermediate between these extremes. Thus, a correlation between PEX1 genotype and phenotype was defined for the Australasian cohort of patients investigated in these studies. For a number of patients, mutations in the coding sequence of one PEX1 allele could not be identified. Analysis of the 5' UTR of this gene was therefore pursued for potential novel mutations. The initial analyses demonstrated that the 5' end of PEX1 extended further than previously reported. Two co-segregating polymorphisms were also identified, termed –137 T>C and –53C>G. The -137T>C polymorphism resided in an upstream, in-frame ATG (termed ATG1), and the possibility that the additional sequence represented PEX1 coding sequence was examined. While both ATGs were found to be functional by virtue of in vitro and in vivo expression investigations, Western blot analysis of the PEX1 protein in patient and control cell extracts indicated that physiological translation of PEX1 was from the second ATG only. Using a luciferase reporter approach, the additional sequence was found to exhibit promoter activity. When examined alone the -137T>C polymorphism exerted a detrimental effect on PEX1 promoter activity, reducing activity to half that of wild-type levels, and the -53C>G polymorphism increased PEX1 promoter activity by 25%. When co-expressed (mimicking the physiological condition) these polymorphisms compensated for each other to bring PEX1 promoter activity to near wild-type levels. The PEX1 mutations identified in this study have been utilised by collaborators at the National Referral Laboratory for Lysosomal, Peroxisomal and Related Genetic Disorders (based at the Women's and Children's Hospital, Adelaide), in prenatal diagnosis of the PBDs. In addition, the identification of three common mutations in Australasian PBD patients has led to the implementation of screening for these mutations in newly referred patients, often enabling a precise diagnosis of a PBD to be made. Finally, the strong correlation between genotype and phenotype for the patient cohort investigated as part of these studies has generated a basis for the assessment of newly identified mutations in PEX1.
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40

Mazur, Nicole. "Contextualising the role of zoos in conservation : an Australasian experience /". Title page, contents and abstract only, 1997. http://web4.library.adelaide.edu.au/theses/09PH/09phm4762.pdf.

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41

Sprivulis, Peter Carl. "Evaluation of the prehospital utilisation of the Australasian Triage Scale /". Connect to this title, 2003. http://theses.library.uwa.edu.au/adt-WU2004.0055.

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42

Maxwell, Megan Amanda. "PEX1 Mutations in Australasian Patients with Disorders of Peroxisome Biogenesis". Thesis, Griffith University, 2004. http://hdl.handle.net/10072/366184.

Testo completo
Abstract (sommario):
The peroxisome is a subcellular organelle that carries out a diverse range of metabolic functions, including the b-oxidation of very long chain fatty acids, the breakdown of peroxide and the a-oxidation of fatty acids. Disruption of peroxisome metabolic functions leads to severe disease in humans. These diseases can be broadly grouped into two categories: those in which a single enzyme is defective, and those known as the peroxisome biogenesis disorders (PBDs), which result from a generalised failure to import peroxisomal matrix proteins (and consequently result in disruption of multiple metabolic pathways). The PBDs result from mutations in PEX genes, which encode protein products called peroxins, required for the normal biogenesis of the peroxisome. PEX1 encodes an AAA ATPase that is essential for peroxisome biogenesis, and mutations in PEX1 are the most common cause of PBDs worldwide. This study focused on the identification of mutations in PEX1 in an Australasian cohort of PBD patients, and the impact of these mutations on PEX1 function. As a result of the studies presented in this thesis, twelve mutations in PEX1 were identified in the Australasian cohort of patients. The identified mutations can be broadly grouped into three categories: missense mutations, mutations directly introducing a premature termination codon (PTC) and mutations that interrupt the reading frame of PEX1. The missense mutations that were identified were R798G, G843D, I989T and R998Q; all of these mutations affect amino acid residues located in the AAA domains of the PEX1 protein. Two mutations that directly introduce PTCs into the PEX1 transcript (R790X and R998X), and four frameshift mutations (A302fs, I370fs, I700fs and S797fs) were identified. There was also one mutation found in an intronic region (IVS22-19A>G) that is presumed to affect splicing of the PEX1 mRNA. Three of these mutations, G843D, I700fs and G973fs, were found at high frequency in this patient cohort. At the commencement of these studies, it was hypothesised that missense mutations would result in attenuation of PEX1 function, but mutations that introduced PTCs, either directly or indirectly, would have a deleterious effect on PEX1 function. Mutations introducing PTCs are thought to cause mRNA to be degraded by the nonsense-mediated decay of mRNA (NMD) pathway, and thus result in a decrease in PEX1 protein levels. The studies on the cellular impact of the identified PEX1 mutations were consistent with these hypotheses. Missense mutations were found to reduce peroxisomal protein import and PEX1 protein levels, but a residual level of function remained. PTC-generating mutations were found to have a major impact on PEX1 function, with PEX1 mRNA and protein levels being drastically reduced, and peroxisomal protein import capability abolished. Patients with two missense mutations showed the least impact on PEX1 function, patients with two PTC-generating mutations had a severe defect in PEX1 function, and patients carrying a combination of a missense mutation and a PTC-generating mutation showed levels of PEX1 function that were intermediate between these extremes. Thus, a correlation between PEX1 genotype and phenotype was defined for the Australasian cohort of patients investigated in these studies. For a number of patients, mutations in the coding sequence of one PEX1 allele could not be identified. Analysis of the 5' UTR of this gene was therefore pursued for potential novel mutations. The initial analyses demonstrated that the 5' end of PEX1 extended further than previously reported. Two co-segregating polymorphisms were also identified, termed –137 T>C and –53C>G. The -137T>C polymorphism resided in an upstream, in-frame ATG (termed ATG1), and the possibility that the additional sequence represented PEX1 coding sequence was examined. While both ATGs were found to be functional by virtue of in vitro and in vivo expression investigations, Western blot analysis of the PEX1 protein in patient and control cell extracts indicated that physiological translation of PEX1 was from the second ATG only. Using a luciferase reporter approach, the additional sequence was found to exhibit promoter activity. When examined alone the -137T>C polymorphism exerted a detrimental effect on PEX1 promoter activity, reducing activity to half that of wild-type levels, and the -53C>G polymorphism increased PEX1 promoter activity by 25%. When co-expressed (mimicking the physiological condition) these polymorphisms compensated for each other to bring PEX1 promoter activity to near wild-type levels. The PEX1 mutations identified in this study have been utilised by collaborators at the National Referral Laboratory for Lysosomal, Peroxisomal and Related Genetic Disorders (based at the Women's and Children's Hospital, Adelaide), in prenatal diagnosis of the PBDs. In addition, the identification of three common mutations in Australasian PBD patients has led to the implementation of screening for these mutations in newly referred patients, often enabling a precise diagnosis of a PBD to be made. Finally, the strong correlation between genotype and phenotype for the patient cohort investigated as part of these studies has generated a basis for the assessment of newly identified mutations in PEX1.
Thesis (PhD Doctorate)
Doctor of Philosophy (PhD)
School of Biomolecular and Biomedical Sciences
Full Text
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43

com, rosalea cameron@gmail, e Rosalea Cameron. "The ecology of “Third Culture Kids”:The experiences of Australasian adults". Murdoch University, 2003. http://wwwlib.murdoch.edu.au/adt/browse/view/adt-MU20041014.111617.

Testo completo
Abstract (sommario):
The ecology of human development has been shown to be different for different cultures and sub-cultures within a particular culture, and to play a significant part in shaping the outcome traits or character profile exhibited by individuals who experience a given ecology. This is the case for members of that sub-culture of children who spend childhood years abroad; who expect to eventually repatriate to their passport country. Those who experience the phenomenon have been called Third Culture Kids or TCKs, and the outcome profile for those with a North American background has been identified. However, no literature on children in the Australasian context exists. A progressive naturalistic study, using both qualitative and quantitative methodology, was undertaken providing foundational data on the experience of adult Australasians (Australians and New Zealanders) who had experienced such a childhood ecology. The Australasian self-reported reflections were compared with descriptions of the North American and international experience presented in existing literature. Further, accepted models of human development were merged and adapted to produce a TCK-specific model of human development. This model was a significant product of this research project. Components of particular importance to development that nurtured the outcome profile traits were identified and represented in the model. The study incorporated three phases: phase 1 involved the in-depth interview of 3 respondents who had experienced the TCK ecology on three different continents, phase 2 involved data collection on the demographics of the broader Australasian TCK population asking questions about family choices, education, and career trajectories (N=50), and phase 3 collected in-depth descriptions of the childhood TCK ecology through voluntary response to an extensive written survey and asked for comparison with the imagined alternative ecology had respondents remained in their passport country (N=45). In both phases 1 and 3 respondents were asked to describe character traits they believed they manifested as a direct result of immersion in the TCK ecology and then suggest traits they might otherwise have manifested had the imagined alternative ecology been the nurturing environment. Tabulation of the emerging data allowed comparison and contrast with the North American outcome profile traits that have been described in literature. In both tabulations many outcome profile traits were identified as being in polar contrast with each other; the TCK could manifest either or both of the apparently opposing traits. Manifestation was dependent upon the immediate context within which the TCK was functioning. There was shown to be a significant overlap in the outcome profile for Australasians and North Americans. However, in this study Australasians presented stronger in their self-report of altered relational patterns and traits related to resourcefulness and practical abilities than was described in the North American literature. In comparing outcome profile traits of the real TCK ecology and those that were associated with the imagined alternative ecology respondents reported that they would have been more confident and more socially competent, but less tolerant and less globally aware had they been raised in the passport country. The self-reported outcome traits or profile were linked to the developmental ecology by exploring the processes and tensions that were at work. It was shown that dynamic tensions emerged and increased in valence as the individual gradually developed polarised traits that manifested according to engagement in the multiple contexts the TCK was required to manage. The results of this study have implications for those who deploy families abroad, as well as those who educate, and nurture the social potential of TCKs. This study has served to extend understanding of the phenomenon at the international level and laid a foundation for specific understanding of the Australasian context.
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44

Cameron, Rosalea. "The ecology of third culture kids: the experiences of Australasian adults". Thesis, Cameron, Rosalea (2003) The ecology of third culture kids: the experiences of Australasian adults. PhD thesis, Murdoch University, 2003. https://researchrepository.murdoch.edu.au/id/eprint/498/.

Testo completo
Abstract (sommario):
The ecology of human development has been shown to be different for different cultures and sub-cultures within a particular culture, and to play a significant part in shaping the outcome traits or character profile exhibited by individuals who experience a given ecology. This is the case for members of that sub-culture of children who spend childhood years abroad; who expect to eventually repatriate to their passport country. Those who experience the phenomenon have been called Third Culture Kids or TCKs, and the outcome profile for those with a North American background has been identified. However, no literature on children in the Australasian context exists. A progressive naturalistic study, using both qualitative and quantitative methodology, was undertaken providing foundational data on the experience of adult Australasians (Australians and New Zealanders) who had experienced such a childhood ecology. The Australasian self-reported reflections were compared with descriptions of the North American and international experience presented in existing literature. Further, accepted models of human development were merged and adapted to produce a TCK-specific model of human development. This model was a significant product of this research project. Components of particular importance to development that nurtured the outcome profile traits were identified and represented in the model. The study incorporated three phases: phase 1 involved the in-depth interview of 3 respondents who had experienced the TCK ecology on three different continents, phase 2 involved data collection on the demographics of the broader Australasian TCK population asking questions about family choices, education, and career trajectories (N=50), and phase 3 collected in-depth descriptions of the childhood TCK ecology through voluntary response to an extensive written survey and asked for comparison with the imagined alternative ecology had respondents remained in their passport country (N=45). In both phases 1 and 3 respondents were asked to describe character traits they believed they manifested as a direct result of immersion in the TCK ecology and then suggest traits they might otherwise have manifested had the imagined alternative ecology been the nurturing environment. Tabulation of the emerging data allowed comparison and contrast with the North American outcome profile traits that have been described in literature. In both tabulations many outcome profile traits were identified as being in polar contrast with each other; the TCK could manifest either or both of the apparently opposing traits. Manifestation was dependent upon the immediate context within which the TCK was functioning. There was shown to be a significant overlap in the outcome profile for Australasians and North Americans. However, in this study Australasians presented stronger in their self-report of altered relational patterns and traits related to resourcefulness and practical abilities than was described in the North American literature. In comparing outcome profile traits of the real TCK ecology and those that were associated with the imagined alternative ecology respondents reported that they would have been more confident and more socially competent, but less tolerant and less globally aware had they been raised in the passport country. The self-reported outcome traits or profile were linked to the developmental ecology by exploring the processes and tensions that were at work. It was shown that dynamic tensions emerged and increased in valence as the individual gradually developed polarised traits that manifested according to engagement in the multiple contexts the TCK was required to manage. The results of this study have implications for those who deploy families abroad, as well as those who educate, and nurture the social potential of TCKs. This study has served to extend understanding of the phenomenon at the international level and laid a foundation for specific understanding of the Australasian context.
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45

Cameron, Rosalea. "The ecology of "third culture kids" : the experiences of Australasian adults /". Cameron, Rosalea (2003) The ecology of third culture kids: the experiences of Australasian adults. PhD thesis, Murdoch University, 2003. http://researchrepository.murdoch.edu.au/498/.

Testo completo
Abstract (sommario):
The ecology of human development has been shown to be different for different cultures and sub-cultures within a particular culture, and to play a significant part in shaping the outcome traits or character profile exhibited by individuals who experience a given ecology. This is the case for members of that sub-culture of children who spend childhood years abroad; who expect to eventually repatriate to their passport country. Those who experience the phenomenon have been called Third Culture Kids or TCKs, and the outcome profile for those with a North American background has been identified. However, no literature on children in the Australasian context exists. A progressive naturalistic study, using both qualitative and quantitative methodology, was undertaken providing foundational data on the experience of adult Australasians (Australians and New Zealanders) who had experienced such a childhood ecology. The Australasian self-reported reflections were compared with descriptions of the North American and international experience presented in existing literature. Further, accepted models of human development were merged and adapted to produce a TCK-specific model of human development. This model was a significant product of this research project. Components of particular importance to development that nurtured the outcome profile traits were identified and represented in the model. The study incorporated three phases: phase 1 involved the in-depth interview of 3 respondents who had experienced the TCK ecology on three different continents, phase 2 involved data collection on the demographics of the broader Australasian TCK population asking questions about family choices, education, and career trajectories (N=50), and phase 3 collected in-depth descriptions of the childhood TCK ecology through voluntary response to an extensive written survey and asked for comparison with the imagined alternative ecology had respondents remained in their passport country (N=45). In both phases 1 and 3 respondents were asked to describe character traits they believed they manifested as a direct result of immersion in the TCK ecology and then suggest traits they might otherwise have manifested had the imagined alternative ecology been the nurturing environment. Tabulation of the emerging data allowed comparison and contrast with the North American outcome profile traits that have been described in literature. In both tabulations many outcome profile traits were identified as being in polar contrast with each other; the TCK could manifest either or both of the apparently opposing traits. Manifestation was dependent upon the immediate context within which the TCK was functioning. There was shown to be a significant overlap in the outcome profile for Australasians and North Americans. However, in this study Australasians presented stronger in their self-report of altered relational patterns and traits related to resourcefulness and practical abilities than was described in the North American literature. In comparing outcome profile traits of the real TCK ecology and those that were associated with the imagined alternative ecology respondents reported that they would have been more confident and more socially competent, but less tolerant and less globally aware had they been raised in the passport country. The self-reported outcome traits or profile were linked to the developmental ecology by exploring the processes and tensions that were at work. It was shown that dynamic tensions emerged and increased in valence as the individual gradually developed polarised traits that manifested according to engagement in the multiple contexts the TCK was required to manage. The results of this study have implications for those who deploy families abroad, as well as those who educate, and nurture the social potential of TCKs. This study has served to extend understanding of the phenomenon at the international level and laid a foundation for specific understanding of the Australasian context.
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46

Baverstock, P. R. "Studies in the adaptation and evolution of the Australasian fauna : a collection /". Title page, introduction and index only, 1987. http://web4.library.adelaide.edu.au/theses/09SD/09sdb353.pdf.

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Abstract (sommario):
Thesis (D. Sc.)--University of Adelaide, 1988.
Collection of previously published articles. Includes Allozyme electrophoresis / B.J. Richardson, P.R. Baverstock and M. Adams (1986). Includes bibliographical references.
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47

French, Nicole. "Identity stressors associated with the reintegration experiences of Australasian undercover police officers". Thesis, Queensland University of Technology, 2003. https://eprints.qut.edu.au/15906/1/Nicole_French_Thesis.pdf.

Testo completo
Abstract (sommario):
This dissertation investigated a very specialised, highly sensitive and complex research area in policing known as undercover policing or covert policing operations. This is the first examination to be conducted in the Australasian policing context and the only known research to explore, empirically, undercover operatives' experiences of returning to mainstream police duties after completing their covert duties.----- There were two main research objectives in this dissertation. The first was to develop research methodology specific for use with undercover police officers. The second main objective was to conduct an empirical investigation to identify the psychological processes associated with the reintegration or re-assimilation of undercover police officers into mainstream policing environments. Social identity theory was applied to deconstruct undercover police officers' reintegration experiences.----- Given the closed and protected nature of covert policing, careful consideration to methodological and ethical issues required high priority in the development of research practices. Addressing these considerations in research practices protected the anonymity and security of those involved in the research. Tailoring research methods to suit the officers' circumstances and satisfy police managements' security concerns improved the practical application of research methods and research relations with police members and, therefore, the quality of the findings.----- In developing a research methodology for specific use with undercover police officers, a multi-method approach was adopted. Data triangulation with the use of a variety of data sources and methodological triangulation with the use of multiple methods and multiple indicators were employed. This technique proved constructive in creating a more holistic perspective of undercover policing and officers' experiences of re-assimilation.----- In theoretical terms, the major issue under investigation is of negotiating dual memberships or multiple identities. Three studies are reported. The first study is a field study, in which the researcher spent more than 18 months in the covert policing context, as a participant observer. Through field research, the researcher was able to learn about the Australasian covert policing context; obtain in-house police documents; define research issues and hypotheses; understand methodological considerations; identify a psychological theoretical framework; and examine "the fit " between theory and the social dynamics of covert policing. Other benefits of becoming immersed in the working life of undercover police officers and the police organisation included understanding the ways of proceeding and the social and organisational structure that exists among covert personnel.----- The second study interviewed 20 former covert police personnel, from two police jurisdictions, who had been reintegrated for more than three years. The majority of officers found returning to mainstream police duties a difficult experience and two separate profiles of reintegration experiences emerged from the data. This study identified the presence of more than one police identity among former operatives. It found that some officers internalise aspects of the undercover policing norms and use these police norms to define aspects of the self both as a police officer and as an individual. That is, role-playing the undercover police persona became an extension of the officer as an individual and contributed positively to their personal self-worth. It was noted that the majority of officers expressed cognitive confusion over how to behave in the mainstream policing environment after covert duties had ceased.----- The other profile to emerge from the data was of officers who characterised their undercover policing experiences as being more integrated into their overall police persona. Officers interviewed in this study employed different identity decision-making strategies to restructure their police identities. In sum, this study found that the extent, to which the undercover and mainstream memberships were integrated cognitively, influenced officers' experiences of reintegration.----- The third study is a cross-sectional design using survey methods. Thirty-eight trainees, 31 currently operational and 38 former undercover operatives from four police jurisdictions took part in this study. A group of mainstream police officers matched according to former operatives' age, gender and years of policing experience was also included. This study found that police identities change over the phases of undercover police work and that changes in former operatives' mainstream police identity were a function of covert police work. Cross-sectional comparisons revealed that former operatives' undercover police identity had declined since covert policing, however, officers' mainstream police identity had not significantly increased. Failure to increase identification with mainstream police after undercover police work has ceased has a number of implications in terms of predicting re-assimilation. Operatives most likely to experience difficulties were those who resisted the mainstream police identification and reported difficult relations with their mainstream peers. Trends analysis revealed that despite the physical change, 'cognitive' re-assimilation actually commences in the second year of the operatives' reintegration. These exploratory analyses revealed that following return to the mainstream policing environment, identity stressors were mostly likely to be experienced in the first year of reintegration.----- To determine psychological adjustment since undercover police work, the person-environment fit was also investigated in the study. Operatives' current perceptions of working in the mainstream context were reported using a number of behavioural and organisational indicators. Overall, this study found that former operatives remain committed to their policing profession, however, those who experienced identity stress during the re-assimilation process were less satisfied with their current work duties and failed to find their work interesting, tended to perceive undercover duties as having been detrimental to their career, and expressed greater intentions to leave the service within 12 months of the survey. Overall former operatives' satisfaction and commitment levels were not significantly different from mainstream officers. Mainstream police, however, reported being under greater pressure and felt more overworked in the mainstream context than former operatives. In summary, these organisational indicators revealed that the difficulties of re-assimilation and intentions to leave the service are more related to the stress of modifying officers' police identity during this period than the workload characteristics of mainstream policing.----- Overall these studies demonstrated that the process of negotiating police identities is an important psychological dynamic present in undercover operatives' reintegration experiences. The identity stress experienced during this period was shown to have a number of organisational-behavioural consequences, such as problematic intergroup relations and greater intentions to leave the police service after undercover police work. Based on findings from this research a number of practical recommendations are made and suggestions for the direction of future research are outlined. Contributions to theory are also discussed.
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48

French, Nicole. "Identity stressors associated with the reintegration experiences of Australasian undercover police officers". Queensland University of Technology, 2003. http://eprints.qut.edu.au/15906/.

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Abstract (sommario):
This dissertation investigated a very specialised, highly sensitive and complex research area in policing known as undercover policing or covert policing operations. This is the first examination to be conducted in the Australasian policing context and the only known research to explore, empirically, undercover operatives' experiences of returning to mainstream police duties after completing their covert duties.----- There were two main research objectives in this dissertation. The first was to develop research methodology specific for use with undercover police officers. The second main objective was to conduct an empirical investigation to identify the psychological processes associated with the reintegration or re-assimilation of undercover police officers into mainstream policing environments. Social identity theory was applied to deconstruct undercover police officers' reintegration experiences.----- Given the closed and protected nature of covert policing, careful consideration to methodological and ethical issues required high priority in the development of research practices. Addressing these considerations in research practices protected the anonymity and security of those involved in the research. Tailoring research methods to suit the officers' circumstances and satisfy police managements' security concerns improved the practical application of research methods and research relations with police members and, therefore, the quality of the findings.----- In developing a research methodology for specific use with undercover police officers, a multi-method approach was adopted. Data triangulation with the use of a variety of data sources and methodological triangulation with the use of multiple methods and multiple indicators were employed. This technique proved constructive in creating a more holistic perspective of undercover policing and officers' experiences of re-assimilation.----- In theoretical terms, the major issue under investigation is of negotiating dual memberships or multiple identities. Three studies are reported. The first study is a field study, in which the researcher spent more than 18 months in the covert policing context, as a participant observer. Through field research, the researcher was able to learn about the Australasian covert policing context; obtain in-house police documents; define research issues and hypotheses; understand methodological considerations; identify a psychological theoretical framework; and examine "the fit " between theory and the social dynamics of covert policing. Other benefits of becoming immersed in the working life of undercover police officers and the police organisation included understanding the ways of proceeding and the social and organisational structure that exists among covert personnel.----- The second study interviewed 20 former covert police personnel, from two police jurisdictions, who had been reintegrated for more than three years. The majority of officers found returning to mainstream police duties a difficult experience and two separate profiles of reintegration experiences emerged from the data. This study identified the presence of more than one police identity among former operatives. It found that some officers internalise aspects of the undercover policing norms and use these police norms to define aspects of the self both as a police officer and as an individual. That is, role-playing the undercover police persona became an extension of the officer as an individual and contributed positively to their personal self-worth. It was noted that the majority of officers expressed cognitive confusion over how to behave in the mainstream policing environment after covert duties had ceased.----- The other profile to emerge from the data was of officers who characterised their undercover policing experiences as being more integrated into their overall police persona. Officers interviewed in this study employed different identity decision-making strategies to restructure their police identities. In sum, this study found that the extent, to which the undercover and mainstream memberships were integrated cognitively, influenced officers' experiences of reintegration.----- The third study is a cross-sectional design using survey methods. Thirty-eight trainees, 31 currently operational and 38 former undercover operatives from four police jurisdictions took part in this study. A group of mainstream police officers matched according to former operatives' age, gender and years of policing experience was also included. This study found that police identities change over the phases of undercover police work and that changes in former operatives' mainstream police identity were a function of covert police work. Cross-sectional comparisons revealed that former operatives' undercover police identity had declined since covert policing, however, officers' mainstream police identity had not significantly increased. Failure to increase identification with mainstream police after undercover police work has ceased has a number of implications in terms of predicting re-assimilation. Operatives most likely to experience difficulties were those who resisted the mainstream police identification and reported difficult relations with their mainstream peers. Trends analysis revealed that despite the physical change, 'cognitive' re-assimilation actually commences in the second year of the operatives' reintegration. These exploratory analyses revealed that following return to the mainstream policing environment, identity stressors were mostly likely to be experienced in the first year of reintegration.----- To determine psychological adjustment since undercover police work, the person-environment fit was also investigated in the study. Operatives' current perceptions of working in the mainstream context were reported using a number of behavioural and organisational indicators. Overall, this study found that former operatives remain committed to their policing profession, however, those who experienced identity stress during the re-assimilation process were less satisfied with their current work duties and failed to find their work interesting, tended to perceive undercover duties as having been detrimental to their career, and expressed greater intentions to leave the service within 12 months of the survey. Overall former operatives' satisfaction and commitment levels were not significantly different from mainstream officers. Mainstream police, however, reported being under greater pressure and felt more overworked in the mainstream context than former operatives. In summary, these organisational indicators revealed that the difficulties of re-assimilation and intentions to leave the service are more related to the stress of modifying officers' police identity during this period than the workload characteristics of mainstream policing.----- Overall these studies demonstrated that the process of negotiating police identities is an important psychological dynamic present in undercover operatives' reintegration experiences. The identity stress experienced during this period was shown to have a number of organisational-behavioural consequences, such as problematic intergroup relations and greater intentions to leave the police service after undercover police work. Based on findings from this research a number of practical recommendations are made and suggestions for the direction of future research are outlined. Contributions to theory are also discussed.
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49

Leggat, Peter A. "Travellers' health and the provision of travel health advice in the Australasian context /". St. Lucia, Qld, 2002. http://www.library.uq.edu.au/pdfserve.php?image=thesisabs/absthe17361.pdf.

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50

Sweeney, Mary Denise. "The Hibernian Australasian Catholic Benefit Society : Brisbane branches 1879-1906 : a heritage study". [St. Lucia, Qld.], 2005. http://www.library.uq.edu.au/pdfserve.php?image=thesisabs/absthe18984.pdf.

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