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Artigos de revistas sobre o assunto "Government policy on agriculture (Australia)"

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Mulyadi, Martin Surya, Maya Safira Dewi, Yunita Anwar e Hanggoro Pamungkas. "Indonesian And Australian Tax Policy Implementation In Food And Agriculture Industry". International Journal of Finance & Banking Studies (2147-4486) 3, n.º 1 (21 de janeiro de 2014): 75–84. http://dx.doi.org/10.20525/ijfbs.v3i2.170.

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Tax policy is one of the most important policy in consideration of investment development in certain industry. Research by Newlon (1987), Swenson (1994) and Hines (1996) concluded that tax rate is one of the most important thing considered by investors in a foreign direct investment. One of tax policy could be used to attract foreign direct investment is income tax incentives. The attractiveness of income tax incentives to a foreign direct investment is as much as the attractiveness to a domestic investment (Anwar and Mulyadi, 2012). In this paper, we have conducted a study of income tax incentives in food and agriculture industry; where we conduct a thorough study of income tax incentives and corporate performance in Indonesian and Australian food and agriculture industry. Our research show that there is a significant influence of income tax incentives to corporate performance. Based on our study, we conclude that the significant influence of income tax incentives to Indonesian corporate performance somewhat in a higher degree than the Australian peers. We have also concluded that Indonesian government provide a relatively more interesting income tax incentives compare to Australian government. However, an average method of net income –a method applied in Australia– could be considered by Indonesian government to avoid a market price fluctuation in this industry.
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Mulyadi, Martin Surya, Maya Safira Dewi, Yunita Anwar e Hanggoro Pamungkas. "Indonesian And Australian Tax Policy Implementation In Food And Agriculture Industry". International Journal of Finance & Banking Studies (2147-4486) 3, n.º 1 (19 de janeiro de 2016): 75. http://dx.doi.org/10.20525/ijfbs.v3i1.170.

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<p>Tax policy is one of the most important policy in consideration of investment development in certain industry. Research by Newlon (1987), Swenson (1994) and Hines (1996) concluded that tax rate is one of the most important thing considered by investors in a foreign direct investment. One of tax policy could be used to attract foreign direct investment is income tax incentives. The attractiveness of income tax incentives to a foreign direct investment is as much as the attractiveness to a domestic investment (Anwar and Mulyadi, 2012). In this paper, we have conducted a study of income tax incentives in food and agriculture industry; where we conduct a thorough study of income tax incentives and corporate performance in Indonesian and Australian food and agriculture industry. Our research show that there is a significant influence of income tax incentives to corporate performance. Based on our study, we conclude that the significant influence of income tax incentives to Indonesian corporate performance somewhat in a higher degree than the Australian peers. We have also concluded that Indonesian government provide a relatively more interesting income tax incentives compare to Australian government. However, an average method of net income –a method applied in Australia– could be considered by Indonesian government to avoid a market price fluctuation in this industry.</p>
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Hamman, Evan, Felicity Deane, Amanda Kennedy, Anna Huggins e Zoe Nay. "Environmental Regulation of Agriculture in Federal Systems of Government: The Case of Australia". Agronomy 11, n.º 8 (25 de julho de 2021): 1478. http://dx.doi.org/10.3390/agronomy11081478.

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The regulation of environmental impacts from agriculture can take place at various scales. In some nations, with federal systems of government, the multiscale nature of regulatory interventions can be confusing for farmers, not to mention costly and time-consuming to navigate. Regulatory overlap contributes to inefficiency and wastage in governance efforts, reduced trust in government action and can preclude positive environmental outcomes across the landscape. In this article, we explore how Australia’s national-level law has been applied to agricultural land use. We canvas the concepts of regulatory complexity and ambiguity, and argue for a more integrated and flexible policy mix that rewards positive behaviour and stewardship of natural capital. This model would provide financial and other personal gains for those who can demonstrate objectives are being met. Further empirical research on fine-tuning that policy mix, again across scale, is warranted.
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Buttery, Alan, e Rick Tamaschke. "Marketing Decision Support Systems and Australian Businesses: A Queensland Case Study and Implications Towards 2000". Journal of Management & Organization 3, n.º 1 (janeiro de 1997): 51–58. http://dx.doi.org/10.1017/s183336720000599x.

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AbstractLittle is known about the extent to which the Marketing Decision Support System (MDSS) technology is currently used in Australia, or about the scope for the technology in Australia towards the year 2000. This paper reports the results of recent survey research into MDSS in Queensland by industry sector (agriculture and mining, manufacturing, construction, and services). The results suggest that there is an urgent need to boost the pace of MDSS development in all industry sectors, and that this should be given a high priority in government policy initiatives to enhance Australia's competitive advantage. It is possible, otherwise, that the present gap in information usage between Australia and its competitors will widen, with consequent negative implications for the nation's current account deficit, foreign debt and unemployment.
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Buttery, Alan, e Rick Tamaschke. "Marketing Decision Support Systems and Australian Businesses: A Queensland Case Study and Implications Towards 2000". Journal of the Australian and New Zealand Academy of Management 3, n.º 1 (janeiro de 1997): 51–58. http://dx.doi.org/10.5172/jmo.1997.3.1.51.

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AbstractLittle is known about the extent to which the Marketing Decision Support System (MDSS) technology is currently used in Australia, or about the scope for the technology in Australia towards the year 2000. This paper reports the results of recent survey research into MDSS in Queensland by industry sector (agriculture and mining, manufacturing, construction, and services). The results suggest that there is an urgent need to boost the pace of MDSS development in all industry sectors, and that this should be given a high priority in government policy initiatives to enhance Australia's competitive advantage. It is possible, otherwise, that the present gap in information usage between Australia and its competitors will widen, with consequent negative implications for the nation's current account deficit, foreign debt and unemployment.
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Radcliffe, John C. "Policy issues impacting on crop production in water-limiting environments". Australian Journal of Agricultural Research 56, n.º 11 (2005): 1303. http://dx.doi.org/10.1071/ar05072.

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Policy issues have impacted on cropping since the earliest days of European colonial settlement. Following emigration to Australia, secure land titles were required, with the Torrens title system being progressively introduced from 1858. This provided the basis for landholders to be able to borrow to develop land. Closer settlement policies were adopted, underpinned by the development of transport infrastructure. The demand for education resulted in Agricultural Colleges in the colonies from the 1880s, with Departments of Agriculture soon afterwards. Federation of the colonies into the Commonwealth of Australia and the creation of the states resulted in a separation of powers, with the Commonwealth assuming responsibility for external powers including overseas marketing, import quarantine, health and quality standards of exports and credit and financial powers. Natural resource management matters and education were among those remaining with the states. Regular intergovernmental meetings were held to discuss research from 1927 and a broader range of agricultural issues from 1935. The Great Depression in the 1930s, poor commodity prices and serious land degradation led to government support for debt reconstruction and the introduction of soil conservation services. Realising the need for innovation to successfully compete on world markets, farmers, led by cereal growers, petitioned for the establishment of statutory research programs with joint grower/government funding from the 1950s. These have been remarkably successful, with the uptake of new technologies contributing to an average multifactor productivity growth of Australian grain farms by 3.3% per year between 1977–78 and 2001–02. With community and policy recognition of the need to conserve natural resources, the Commonwealth Government is playing an increasing role in this area. Farmers are required to meet standards for the use of agricultural chemicals and for occupational safety, welfare and environmental protection. The states have taken a conservative stand against the growing of genetically modified food crops in the name of protecting overseas markets. New water management regimes are coming into place with the separation of water titles from land. Market-based instruments are being introduced to encourage more sustainable production systems and saleable ecosystem services. Research and innovation along with complementary policy initiatives will continue to underpin farmers’ adaptive management skills to ensure dryland crop producers have sustainable production systems while remaining competitive in world markets.
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Sarker, Arif, Janet Bornman e Dora Marinova. "A Framework for Integrating Agriculture in Urban Sustainability in Australia". Urban Science 3, n.º 2 (3 de maio de 2019): 50. http://dx.doi.org/10.3390/urbansci3020050.

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Rapid urbanisation all over the world poses a serious question about urban sustainability in relation to food. Urban agriculture can contribute to feeding city dwellers as well as improving metropolitan environments by providing more green space. Australia is recognised as one of the most urbanised countries in the world, and achieving urban sustainability should be high on the policy and planning agenda. A strong consensus exists among policymakers and academics that urban agriculture could be a tenable way of enhancing urban sustainability, and therefore, it should be a vital part of planning processes and urban design as administered by local and state governments. However, in recent decades, planning has overlooked and failed to realise this opportunity. The most significant constraints to urban agriculture are its regulatory and legal frameworks, including access to suitable land. Without direct public policy support and institutional recognition, it would be difficult to make urban agriculture an integral part of the development and planning goals of Australian cities. Developing and implementing clear planning policies, laws and programs that support urban agriculture can assist in decreasing competing land demands. This study analyses the policy and planning practices that can support integrating urban agriculture into city land-use planning. It examines current practices and identifies existing opportunities and constraints. An integration framework for urban agriculture for Australian cities is presented. If implemented, such a conceptual framework would allow improved sustainability of cities by bringing together the advantages of growing food within a greener urban environment.
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Carey, Rachel, Martin Caraher, Mark Lawrence e Sharon Friel. "Opportunities and challenges in developing a whole-of-government national food and nutrition policy: lessons from Australia’s National Food Plan". Public Health Nutrition 19, n.º 1 (15 de junho de 2015): 3–14. http://dx.doi.org/10.1017/s1368980015001834.

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AbstractObjectiveThe present article tracks the development of the Australian National Food Plan as a ‘whole of government’ food policy that aimed to integrate elements of nutrition and sustainability alongside economic objectives.DesignThe article uses policy analysis to explore the processes of consultation and stakeholder involvement in the development of the National Food Plan, focusing on actors from the sectors of industry, civil society and government. Existing documentation and submissions to the Plan were used as data sources. Models of health policy analysis and policy streams were employed to analyse policy development processes.SettingAustralia.SubjectsAustralian food policy stakeholders.ResultsThe development of the Plan was influenced by powerful industry groups and stakeholder engagement by the lead ministry favoured the involvement of actors representing the food and agriculture industries. Public health nutrition and civil society relied on traditional methods of policy influence, and the public health nutrition movement failed to develop a unified cross-sector alliance, while the private sector engaged in different ways and presented a united front. The National Food Plan failed to deliver an integrated food policy for Australia. Nutrition and sustainability were effectively sidelined due to the focus on global food production and positioning Australia as a food ‘superpower’ that could take advantage of the anticipated ‘dining boom’ as incomes rose in the Asia-Pacific region.ConclusionsNew forms of industry influence are emerging in the food policy arena and public health nutrition will need to adopt new approaches to influencing public policy.
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Morgan, Shaughn. "Safeguarding the future". APPEA Journal 55, n.º 2 (2015): 436. http://dx.doi.org/10.1071/aj14071.

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The present climate of coal seam gas (CSG) production in east coast Australia illustrates the importance of consultation and engagement with the government and stakeholders. This extends particularly to agricultural and community groups, and the impact they have on government policy decisions and in some instances, knee-jerk reactions based on emotion rather than science. Farmers are (and have been) strong environmental managers who want to ensure that the protection of prime agricultural land is safeguarded for future generations—however, so do petroleum companies and working side-by-side for a successful outcome is achievable. For instance, AGL Energy has invested in the agricultural sector from vineyards to growing cattle, allowing the company to engage in the sector directly. On the ground early engagement strategies increasingly need to be implemented with agriculture, which reassures the government and provides a win-win outcome by diffusing anti-groups and community divisions by bringing opportunities for sustainable economic benefit. One of the critical questions is how can this be done successfully without it being seen by the government and community as corporate spin. Particular reference will be made to NSW and the relationship that AGL Energy has built with agriculture organisations, such as Dairy Connect NSW and community groups such as Advance Gloucester. This extended abstract will illustrate that the opportunities for growth for CSG, agriculture and the community are only limited by narrow views of what is achievable and what is drawn from real-life experiences from AGL Energy operations in NSW.
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Hartwell, John. "2009 Release of offshore petroleum exploration acreage". APPEA Journal 49, n.º 1 (2009): 463. http://dx.doi.org/10.1071/aj08030.

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John Hartwell is Head of the Resources Division in the Department of Resources, Energy and Tourism, Canberra Australia. The Resources Division provides advice to the Australian Government on policy issues, legislative changes and administrative matters related to the petroleum industry, upstream and downstream and the coal and minerals industries. In addition to his divisional responsibilities, he is the Australian Commissioner for the Australia/East Timor Joint Petroleum Development Area and Chairman of the National Oil and Gas Safety Advisory Committee. He also chairs two of the taskforces, Clean Fossil Energy and Aluminium, under the Asia Pacific Partnership for Clean Development and Climate (AP6). He serves on two industry and government leadership groups delivering reports to the Australian Government, strategies for the oil and gas industry and framework for the uranium industry. More recently he led a team charged with responsibility for taking forward the Australian Government’s proposal to establish a global carbon capture and storage institute. He is involved in the implementation of a range of resource related initiatives under the Government’s Industry Action Agenda process, including mining and technology services, minerals exploration and light metals. Previously he served as Deputy Chairman of the Snowy Mountains Council and the Commonwealth representative to the Natural Gas Pipelines Advisory Committee. He has occupied a wide range of positions in the Australian Government dealing with trade, commodity, and energy and resource issues. He has worked in Treasury, the Department of Trade, Department of Foreign Affairs and Trade and the Department of Primary Industries and Energy before the Department of Industry, Science and Resources. From 1992–96 he was a Minister Counsellor in the Australian Embassy, Washington, with responsibility for agriculture and resource issues and also served in the Australian High Commission, London (1981–84) as the Counsellor/senior trade relations officer. He holds a MComm in economics, and Honours in economics from the University of New South Wales, Australia. Prior to joining the Australian Government, worked as a bank economist. He was awarded a public service medal in 2005 for his work on resources issues for the Australian Government.
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Teses / dissertações sobre o assunto "Government policy on agriculture (Australia)"

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Parsons, Kelly. "Constructing a national food policy : integration challenges in Australia and the UK". Thesis, City, University of London, 2018. http://openaccess.city.ac.uk/19680/.

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Calls for an integrated food policy to tackle the new fundamentals of the food system have been regularly made by academics, policymakers, the food industry and civil society for over a decade in many countries but, despite some changes, much of the old policy framework remains entrenched. This gap raises questions about why policy innovation has proved so difficult. This study responded to that research problem through a qualitative, interpretivist comparative study of how two countries attempted to improve their policy integration, via two specific policy integration projects: the UK’s Food Matters/Food 2030 process (2008-2010) and Australia’s (2010-2013) National Food Plan. It applied a conceptual framework fusing historical institutionalism and the public policy integration literature, focusing on the policy formulation stage. Fieldwork was conducted in both countries, including interviews with key informants; and publically-available documents about the policy projects and broader policy systems were analysed. The findings suggest the two policy projects represent a food policy shift from single-domain ‘policy taker’, towards multiple domain ‘policy maker’, but both fell short of what might be classed as ‘integration’ in the literature. The research identifies how tensions between domains are sidestepped, and makes broader propositions around how multiple values and goals co-exist in this contested policy space, and the need for improved value agreement capacity. It also highlights a general lack of focus on integration as a process. It explores how the legacy of historical fragmented approaches, plus political developments and decisions around institutional design, and a more general trend of hollowing out of national government, impact on how integrated food policy can be formulated in a particular country setting. It therefore proposes an emerging ‘institutionalist theory of food policy integration’, conceptualising the dimensions of integration, and multiple institutional influences on integration attempts.
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Wallace, Gary E., of Western Sydney Hawkesbury University e Faculty of Environmental Management and Agriculture. "Governance for sustainable rural development : a critique of the ARMCANZ-DPIE structures and policy cycles". THESIS_FEMA_XXX_Wallace_G.xml, 1998. http://handle.uws.edu.au:8081/1959.7/263.

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The focus of the thesis is a critique of the form and function of the federal institutions governing the development of Rural Australia. In undertaking this study two cycles of a systemic action research were followed, the first to explore the policy development environment and the second to validate and expand on findings of the first cycle of enquiry. The thesis follows the historical development of policy institutions and the deliberations of poicy actors that have lead to normative, strategic and program change within these institutions. These institutional changes have then been critiqued from theoretical perspective of governance for sustainable development. Conclusions from this critique indicate that that the pace of policy change is very slow and after 20 years from the Rural Policy green paper of 1974 the federal institutions have taken on board a rhetoric of sustainable rural development that encapsulates much of the principles espoused in the Green Paper.This includes principles that aim to empower rural communities to find local solutions to their natural resource management and local economic development problems. The downside is found in institutional conflict over resource dependencies and spheres of responsibility and an apparent lack of community economic development facilitation skills within the service organisations of rural institutions.
Master of Science (Hons)
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Wallace, Gary E. "Governance for sustainable rural development : a critique of the ARMCANZ-DPIE structures and policy cycles". Thesis, [Richmond, N.S.W.] : Faculty of Environmental Management and Agriculture, University of Western Sydney - Hawkesbury, 1998. http://handle.uws.edu.au:8081/1959.7/263.

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The focus of the thesis is a critique of the form and function of the federal institutions governing the development of Rural Australia. In undertaking this study two cycles of a systemic action research were followed, the first to explore the policy development environment and the second to validate and expand on findings of the first cycle of enquiry. The thesis follows the historical development of policy institutions and the deliberations of poicy actors that have lead to normative, strategic and program change within these institutions. These institutional changes have then been critiqued from theoretical perspective of governance for sustainable development. Conclusions from this critique indicate that that the pace of policy change is very slow and after 20 years from the Rural Policy green paper of 1974 the federal institutions have taken on board a rhetoric of sustainable rural development that encapsulates much of the principles espoused in the Green Paper.This includes principles that aim to empower rural communities to find local solutions to their natural resource management and local economic development problems. The downside is found in institutional conflict over resource dependencies and spheres of responsibility and an apparent lack of community economic development facilitation skills within the service organisations of rural institutions.
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Risely, Melissa. "The politics of precaution : an eco-political investigation of agricultural gene technology policy in Australia, 1992-2000". Title page, contents and abstract only, 2003. http://web4.library.adelaide.edu.au/theses/09PH/09phr5953.pdf.

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Babidge, Sally. "Family affairs an historical anthropology of state practice and Aboriginal agency in a rural town, North Queensland /". Click here for electronic access to document: http://eprints.jcu.edu.au/942, 2004. http://eprints.jcu.edu.au/942.

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Thesis (Ph.D.) - James Cook University, 2004.
Thesis submitted by Sally Marie Babidge, BA (Hons) UWA June 2004, for the Degree of Doctor of Philosophy in the School of Anthropology, Archaeology and Sociology, James Cook University. Bibliography: leaves 283-303.
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Carne, Kerry Ann. "Fiscal Policy Rules and Public Capital Formation in Australia". Thesis, Griffith University, 2007. http://hdl.handle.net/10072/365753.

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Subsequent to the abandonment of the Bretton-Woods agreement, many governments experienced worsening fiscal outcomes and subsequent heightening debt levels over several decades. Many have recently adopted rules-based fiscal policy regimes in an attempt to correct this. The experience of capital formation by Australian national and sub-national governments is therefore examined before and after their adoption of fiscal policy rules. Applying non-parametric and parametric methods to data drawn from public policy documents, the degree to which the examined governments complied with the constraints imposed on fiscal measures by adoption of fiscal policy rules was ascertained. The Australian governments have generally, though not always, met fiscal constraints imposed by their fiscal policy rules. The absence of penalties for non-compliance may have contributed to the occasional exceptions to this high level of compliance. However, intentionality of compliance where observed cannot be ascertained due to the virtually simultaneous adoption of accrual-based financial reporting frameworks, and resulting informational effect, and other possible causal factors. The degree of compliance varied with the type of fiscal policy rule. In order, constraints imposed by net debt, followed by net worth and budgetary balance rules were most frequently met. Possible causes include the significantly enhanced information set available to governments after adoption of accrual-based financial reporting networks and the significance attributed by governments to their credit ratings. Attention was then focused on the experience of public capital formation and whether it changed at the date of adoption of net worth fiscal policy rules. The Commonwealth, Victorian, Queensland and Western Australian Governments increased the level, growth rate or output elasticity of their investment when they adopted a fiscal policy rule requiring, at a minimum, that they maintain their net worth. The Victorian Government’s experience showed the effects of unique infrastructure financing arrangements. The investment experience of the New South Wales Government cannot be modelled effectively in this way due to its practice of transfer of assets to other levels of government during the period of the study. One potential implication of the research findings reported in this thesis is that the usual macroeconomic assumption of exogeneity of government expenditures may be too strong in circumstances where governments have adopted such fiscal policy rules. Specifically, it appears necessary to review the general assumption that only certain elements of government expenditures, those that are related to automatic stabilisers, are business cycle dependent. That is, other government expenditures, those usually considered to be independent of levels of economic activity, may no longer be able to be considered to be so when certain institutional arrangements, such as fiscal policy rules, exist. Instead, constraints imposed by adoption of fiscal policy rules appear likely to assume the position of determining upper or lower bounds on certain fiscal measures. Further, consistent with the literature on supply-side effects of public capital formation, the jurisdictions experiencing increased growth of public capital formation subsequent to adoption of fiscal policy rules are those which have experienced higher growth rates than other jurisdictions. This indicates the existence of a number of interesting directions for further research.
Thesis (PhD Doctorate)
Doctor of Philosophy (PhD)
Department of Accounting, Finance and Economics
Griffith Business School
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Nguyen, Lan T. "Australian Private Health Insurance: Industry Performance, Market Failure and Government Policy". Thesis, Griffith University, 2021. http://hdl.handle.net/10072/403643.

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Australia has a mixed public–private health system. The core of its funding is universal public health insurance supplemented by voluntary private health insurance (PHI), which despite being smaller, remains critical to the sustainability of the health system. In addition to injecting funding into the health system and thereby increasing capacity, PHI offers choice for consumers and enhances the responsibility of individuals for good health. Nonetheless, in common with many other developed countries around the world, there are several challenges currently facing the Australian health system, including an ageing population, increased chronic disease conditions, and ever more costly medical technologies. To cope with these pressures, the improvement of all sectors within the health care system is necessary. The Australian PHI industry is currently under pressure due to constantly rising premiums and the declining affordability of insurance. Questions have long been raised, not only about the long-term profitability and sustainability of many insurers and the industry, but also whether the mixed public–private healthcare system can continue in its existing form and still meet its wider policy objectives. To address this, this thesis examines three separate yet related dimensions of the performance, sustainability, and stability of the Australian PHI industry using three different empirical analyses. The first analysis investigates the efficiency and productivity growth of Australian private health insurers during the period 2010–2017. The findings suggest that the adoption of innovation and technologies in operations would help insurers to improve their productivity. In addition, there is significant scope for regulatory reform and structural change in this industry to improve the efficiency and productivity of the sector overall. The second analysis examines the phenomenon of adverse selection in the private health insurance, testing whether unhealthy people are more likely to hold hospital PHI. The findings indicate that while adverse selection remains high, it has decreased over time because of government policy, industry conditions and the heterogeneous preferences and risk aversion of individual and potential policyholders. The results also document the emergence of a tendency for advantageous rather than adverse selection in the insured pool. The third and final analysis considers moral hazard in policyholder behaviour. As both adverse selection and moral hazard are examples of market failure, there is the potential for loss of wellbeing for consumers, taxpayers, and citizens. While the approach considers just a single specific aspect of healthcare, namely, dental services, it is by far the largest ancillary healthcare service covered by PHI in Australia. The analysis employs a simultaneous equation framework to examine the relationship between PHI cover and the frequency of dental visits. The findings indicate the existence of moral hazard and the level of moral hazard in PHI has been quite stable over the longer term. The thesis contributes to industry practice and government policy in several ways. First, the current crisis in the Australian PHI industry has pressured all stakeholders to find solutions to cope with the steadily increasing premiums and to provide affordable PHI. Higher levels of efficiency and productivity within this industry would certainly reduce some of the pressure on premiums. The analysis identifies the most and least efficient and productive insurers, and this helps identify firm- and industry-level factors likely to affect insurer and industry performance. The analysis also reveals the nature of the economies of scale within this industry and the prospects for structural reform. Second, adverse selection is a serious problem in determining PHI cover participation, especially among young and healthy members likely to drop their policies when insurers equalize premiums between members not based on individual health risks. Adverse selection death spiral drives insurers to raise premiums even further to cover for the higher healthcare costs of aged and unhealthy insured members, thereby threatening the stability of the PHI system. This thesis addresses this by providing comprehensive evidence of adverse selection and its trend overtime. Third, the thesis documents the existence of moral hazard in dental services, the largest component of ancillary healthcare treatment in Australia. The analysis considers moral hazard using a unique and comprehensive dataset, reflecting the insured’s behaviour pattern over time, which is useful to understand factors contributing to currently rising premiums.
Thesis (PhD Doctorate)
Doctor of Philosophy (PhD)
Dept Account,Finance & Econ
Griffith Business School
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McMaster, Don. "Detention, deterrence, discrimination : Australian refugee policy /". Title page, abstract and contents only, 1999. http://web4.library.adelaide.edu.au/theses/09PH/09phm167.pdf.

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Welsh, Mary, e n/a. "Promoting quality schooling in Australia : Commonwealth Government policy-making for schools (1987-1996)". University of Canberra. Education, 2000. http://erl.canberra.edu.au./public/adt-AUC20061110.123723.

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Promoting the quality of school education has been an issue of international, national and local significance in Australia over the past three decades. Since 1973 the pursuit of quality in school education has been embedded in the rhetoric of educational discourse and framed by the wider policy context. This study focuses on the Commonwealth (federal) government's policy agenda to promote the quality of schooling between 1987 and 1996. During this ten year period, successive Labor governments sought to promote quality through a range of policy initiatives and funding programs. Through extensive documentary research, fifty semi-structured interviews and one focus group with elite policy makers and stakeholders, the study examines how the Commonwealth government's 'quality agenda' was constructed and perceived. An analysis of relevant government reports and ministerial statements provides documentary evidence of this agenda, both in terms of stated policy intentions and the actual policy initiatives and funding programs set in place in the period 1987-1996. Set against this analysis are elite informants' perspectives on Commonwealth policy-making in this period - how quality was conceptualised as a policy construct and as a policy solution, the influences on Commonwealth policies for schools, whether there was a 'quality agenda' and how that agenda was constructed and implemented. Informants generally perceived quality as a diffuse, but all-encompassing concept which had symbolic and substantive value as a policy construct. In the context of Commonwealth schools' policies, quality was closely associated with promoting equity, outcomes, accountability, national consistency in schooling and teacher quality. Promoting the quality of 'teaching and learning' in Australian schools took on particular significance in the 1990s through a number of national policy initiatives brokered by the Commonwealth government. An exploration of policy processes through interview data reveals the multi-layered nature of policy-making in this period, involving key individuals, intergovernmental and national forums. In particular, it highlights the importance of a strong, reformist Commonwealth Minister (John Dawkins), a number of 'policy brokers' within and outside government and national collaboration in constructing and maintaining the Commonwealth's 'quality agenda' for schools. While several Australian education ii policy analysts have described policy-making in this period in terms of 'corporate federalism' (Lingard, 1991, 1998; Bartlett, Knight and Lingard, 1991; Lingard, O'Brien and Knight, 1993), a different perspective emerges from this study on policymaking at the national level. Despite unprecedented levels of national collaboration on matters related to schooling in this period, this research reveals an apparent ambivalence on the part of some elite policy makers towards the Commonwealth's policy agenda and its approach to schools' policy-making within the federal arena. Policy coherence emerged as a relevant issue in this study through analysis of interview data and a review of related Australian and international policy literature. Overall, informants perceived the Commonwealth's quality agenda to be relatively coherent in terms of policy intentions, but much less coherent in terms of policy implementation. Perceptions of Commonwealth domination, state parochialism, rivalry, delaying tactics and a general lack of trust and cooperation between policy players and stakeholders were cited as major obstacles to 'coherent' policy-making. An analysis of informants' views on policy-making in this period highlights features of coherent policy-making which have theoretical and practical significance in the Australian context. This research also demonstrates the benefits of going beyond the study of written policy texts to a richer analysis of recent policy history based on elite interviewing. The wide range of views offered by elite policy makers and stakeholders in this study both confirms and challenges established views about policy-making in the period 1987-1996. Elite interviewing lent itself to a grounded theory approach to data collection and analysis (Glaser and Strauss, 1967; Strauss and Corbin, 1998). This approach was significant in that it allowed relevant issues to emerge in the process of research, rather than relying on 'up front' theoretical frameworks for the analysis of data.
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Frawley, Patsie, e timpat@pacific net au. "Participation in Government Disability Advisory Bodies in Australia: An Intellectual Disability perspective". La Trobe University. School of Social Work and Social Policy, 2008. http://www.lib.latrobe.edu.au./thesis/public/adt-LTU20090122.114029.

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This qualitative study examined the participatory experiences of people with an intellectual disability as members of government disability advisory bodies in Australia. These forums are one of the strategies adopted by governments to enable people with an intellectual disability to participate in the formulation of social policy. Such opportunities have arisen from progressive policy that frames people with an intellectual disability as full citizens with equal rights to inclusion and participation in society. Little research has considered how people with an intellectual disability experience the participatory opportunities that have grown from this recognition of their rights. This reflects the more traditional focus on their status and participation as consumers and service users. The central question of this study is how people with an intellectual disability experience participation in government advisory bodies, and how such forums can be inclusive and meaningful. This study positions people with an intellectual disability as the experts about their own experiences by relying primarily on their first person accounts of their experiences. Ethnographic and case study methods were employed including in-depth interviews with the central participants, document analysis, observation of the work of the advisory bodies and interviews with others involved in advisory bodies. Analysis led to the development of a typology of participation that describes the political and personal orientations people have to participation. The study found that structures and the processes used by advisory bodies can mediate people�s experiences; however more significantly, the experiences of people with intellectual disability are shaped by their perception of how they are regarded by others. Central to this is the efficacy of support based on the development of collegiate relationships, similar to the notion of civic friendship described by Reinders (2002), rather than support that is solely focussed on tangible accommodations The study concludes that citizen participation bodies have not fully recognised the personal and political potential of members with an intellectual disability. It presents evidence that people with an intellectual disability are capable of this form of participation, can provide legitimate and informed perspectives on policy and can engage meaningfully, given full recognition of their capacity to participate as well as structures and processes that enable this.
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Livros sobre o assunto "Government policy on agriculture (Australia)"

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Reeve, Ian. Sustainable agriculture: Ecological imperative or economic impossibility? : a review of overseas government policy & implications for Australian agriculture. Armidale: Rural Development Centre, University of New England, 1990.

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Office, General Accounting. Canada, Australia, and New Zealand: Potential ability of agricultural state trading enterprises to distort trade : report to Congressional requesters. Washington, D.C: The Office, 1996.

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Farm policy in Australia. St. Lucia [Brisbane]: University of Queensland Press, 1985.

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4

H, Chisholm Anthony, Dumsday Robert e Land Degradation and Public Policy Workshop (1985 : Australian National University), eds. Land degradation: Problems and policies. Cambridge [Cambridgeshire]: Cambridge University Press, 1987.

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5

Business and government in Australia. South Melbourne: Macmillan Co. of Australia, 1990.

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Windschuttle, Keith. The white Australia policy. Sydney: Macleay Press, 2004.

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Glyn, Davis, ed. Public policy in Australia. Sydney: Allen & Unwin, 1988.

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Stuart, Harris. Agricultural trade and Australian foreign policy in the 1990s. Canberra: Dept. of International Relations, Research School of Pacific Studies, Australian National University, 1989.

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Australia, the terrorist connection. South Melbourne: Sun Books, 1986.

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Stretton, Hugh. Australia fair. Canberra: Academy of the Social Sciences in Australia, 2001.

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Capítulos de livros sobre o assunto "Government policy on agriculture (Australia)"

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Pawson, Hal, Vivienne Milligan e Judith Yates. "Home Ownership and the Role of Government". In Housing Policy in Australia, 135–75. Singapore: Springer Singapore, 2019. http://dx.doi.org/10.1007/978-981-15-0780-9_5.

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Hill, Berkeley. "Government policy for agriculture and rural areas." In An introduction to economics: concepts for students of agriculture and the rural sector, 194–221. 5a ed. Wallingford: CABI, 2021. http://dx.doi.org/10.1079/9781800620063.0010.

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Abstract This chapter deals with the problems agriculture and the rural economy faces and the policies used to tackle them. Following an introduction to the various steps in the policy process, specific problems and policies as they affect agriculture are discussed. These fall into two groups. First, there are policies of government to tackle general problems and which use agriculture in an instrumental way to achieve a policy aim. Second, there are policies to deal with problems arising from the economic characteristics of the agricultural industry itself - the intrinsic problems of agriculture.
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van Acker, Elizabeth. "Australia — Government Shifts in Supporting Marriage and Relationship Education". In Governments and Marriage Education Policy, 93–119. London: Palgrave Macmillan UK, 2008. http://dx.doi.org/10.1057/9780230227576_5.

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Slade, Christine. "Institutional Capacity of Local Government to Embed Food Security into Policy". In Food Security in Australia, 63–77. Boston, MA: Springer US, 2012. http://dx.doi.org/10.1007/978-1-4614-4484-8_5.

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Thomson, Sue. "Australia: PISA Australia—Excellence and Equity?" In Improving a Country’s Education, 25–47. Cham: Springer International Publishing, 2020. http://dx.doi.org/10.1007/978-3-030-59031-4_2.

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AbstractAustralia’s education system reflects its history of federalism. State and territory governments are responsible for administering education within their jurisdiction and across the sector comprising government (public), Catholic systemic and other independent schooling systems. They collaborate on education policy with the federal government. Over the past two decades the federal government has taken a greater role in funding across the education sector, and as a result of this involvement and the priorities of federal governments of the day, Australia now has one of the highest rates of non-government schooling in the OECD. Funding equity across the sectors has become a prominent issue. Concerns have been compounded by evidence of declining student performance since Australia’s initial participation in PISA in 2000, and the increasing gap between our high achievers and low achievers. This chapter explores Australia’s PISA 2018 results and what they reveal about the impact of socioeconomic level on student achievement. It also considers the role of school funding and the need to direct support to those schools that are attempting to educate the greater proportion of an increasingly diverse student population including students facing multiple layers of disadvantage.
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Paudel, Upendra R., e Monzur A. Imteaz. "Spatial Variability of Reasonable Government Rebates for Rainwater Tank Installation: A Case Study for Adelaide, Australia". In Sustainability Perspectives: Science, Policy and Practice, 273–85. Cham: Springer International Publishing, 2019. http://dx.doi.org/10.1007/978-3-030-19550-2_13.

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Brown, Trent D. "Australian Government Policy on Sport and Health Promotion: A Look at ‘Active Australia’". In Sport and Physical Activity, 282–96. London: Macmillan Education UK, 2007. http://dx.doi.org/10.1007/978-1-137-06127-0_20.

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Lynch, Gordon. "Flawed Progress: Criticisms of Residential Institutions for Child Migrants in Australia and Policy Responses, 1939–1945". In UK Child Migration to Australia, 1945-1970, 55–90. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-69728-0_3.

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AbstractThe positive view of child migration held by UK Government officials in the inter-war period was not based on any regular system of inspections of the institutions in Australia to which children were sent. During the Second World War, UK Government officials became more of reported problems at several of these institutions, relating to standards of accommodation, management, care, training and after-care. This chapter traces the growing awareness of these problems and the UK Government’s response to them. Whilst policy-makers’ positive assumptions about child migration were challenged, and specific issues and institutions were known to require significant improvement, overall confidence in the value of child migration remained. Despite evidence of organisational failings in Australia, Australian welfare professionals were trusted to address these problems, and suggestions about the need for greater control from the United Kingdom were seen as a backward-looking attempt to limit the autonomy of Britain’s Dominions.
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Lynch, Gordon. "‘Avoiding Fruitless Controversy’: UK Child Migration and the Anatomy of Policy Failure". In UK Child Migration to Australia, 1945-1970, 299–317. Cham: Springer International Publishing, 2021. http://dx.doi.org/10.1007/978-3-030-69728-0_8.

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AbstractThis concluding chapter explores why it was that post-war child migration to Australia was allowed to resume and continue by the UK Government despite known failings in these schemes. It is argued that one factor was the sheer administrative complexity of a multi-agency programme operating over different national jurisdictions and large distances which made control and oversight of conditions for British child migrants harder to achieve. Despite concerns that the post-war welfare state would be a powerful, centralised mechanism, the history of these programmes demonstrates British policy-makers’ sense of the limits of their powers—limits arising from lack of resource, the perceived need to avoid unproductive conflict with powerful stakeholders, the wish to respect boundaries of departmental policy remits and assumptions about the value of following policy precedents. The chapter concludes by considering how fine-grained analyses of such policy failures can contribute to public debates about suitable redress.
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Su, Chunmeizi. "Regulating Chinese and North American Digital Media in Australia: Facebook and WeChat as Case Studies". In Palgrave Global Media Policy and Business, 173–90. Cham: Springer International Publishing, 2022. http://dx.doi.org/10.1007/978-3-030-95220-4_9.

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AbstractAs the Australian government has legislated for a ‘News Media and Digital Platforms Mandatory Bargaining Code’ to compel Google and Facebook to pay for news content, platform regulation in Australia has prompted a heated discussion worldwide. Questionable business practices have incited issues such as anti-competition behaviour, online harms, disinformation, algorithmic advertising, trade of data, privacy breaches and so on. Consequently, these technology tycoons are reinscribing industries and societies alike, posing a threat to digital democracy. This chapter examines how Facebook and WeChat are (or should be) regulated in Australia, the current regulatory frameworks, and the overall effectiveness of self-regulation. Through the lenses of comparative research, this study is focused on infrastructuralisation, techno-nationalism (censorship), and civil society (media diversity), to identify distinct features and common themes in platform regulation and explore possible solutions to regulating global platforms in Australia.
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Trabalhos de conferências sobre o assunto "Government policy on agriculture (Australia)"

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Ningsih, Suria, Erna Herlinda e Agusmidah Agusmidah. "Government Policy on Legal Protection of Household Workers". In Proceedings of the 1st International Conference on Education, Humanities, Health and Agriculture, ICEHHA 2021, 3-4 June 2021, Ruteng, Flores, Indonesia. EAI, 2021. http://dx.doi.org/10.4108/eai.3-6-2021.2310826.

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Bharoto, Raden Mahendra Haryo, Iin Indrayanti e Nursahidin Nursahidin. "Beggars, Homeless, and Displaced People: Psycho-Social Phenomena and the Implementation of Local Government Policy". In International Conference on Agriculture, Social Sciences, Education, Technology and Health (ICASSETH 2019). Paris, France: Atlantis Press, 2020. http://dx.doi.org/10.2991/assehr.k.200402.052.

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Fan, Qiuyan. "A Research Model for Examining the Influence of Government Policy on Broadband Internet Access: the Case of Australia". In 2007 6th Conference on Telecommunication Techno-Economics. IEEE, 2007. http://dx.doi.org/10.1109/ctte.2007.4389901.

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Kordej-De Villa, Željka, e Sunčana Slijepčević. "LIVING ON CROATIAN ISLANDS – PERCEPTIONS AND REALITIES OF ISLAND DEVELOPMENT POLICY". In Fourth International Scientific Conference ITEMA Recent Advances in Information Technology, Tourism, Economics, Management and Agriculture. Association of Economists and Managers of the Balkans, Belgrade, Serbia, 2020. http://dx.doi.org/10.31410/itema.s.p.2020.47.

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The Croatian islands make the second-largest archipelago in the Mediterranean. There are 1244 islands (78 islands, 524 islets, and 642 rocks and rocks awash) that are situated in a range of 450 km along the eastern coast of the Adriatic Sea. The total area covers 3300 km2 (about 5.8 % of Croatian mainland territory) and the length of their coast is 4057 km. Twenty of these islands occupy an area larger than 20 km2 each, and the other 58 ones have a surface from 1 km2 to 20 km2. There are 47 islands that are permanently inhabited. Administratively, islands belong to seven coastal counties and 51 island towns/municipalities. Several small islands are in the jurisdiction of seven coastal cities. By the Constitution, islands are considered as a region of special protection and unique value. Islands specificities require development policy that takes account of demographic, economic, environmental, and other island issues. In the situation of the COVID-19 pandemic, island development policy becomes even more challenging and complex. This paper aims to analyse the attitudes and perceptions of the islanders about the living conditions on the island and the impact of public policies on island development. Identifying the problems from the local perspective helps us to evaluate the success of island development policy. Effective island policy increases the quality of life of the islanders while respecting island specifics. For this purpose, the results of a survey conducted on a sample of the inhabitants of Croatian islands conducted in 2020 are used. The surveys were conducted using the online tool LimeSurvey. The results indicate that 42 percent of the islanders think that living conditions on the islands are not improving. Most of the islanders think that government policy does not encourage island development. The paper also identifies factors that are responsible for differences in attitudes and perceptions of islanders.
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OGRYZEK, Marek, e Krzysztof RZĄSA. "THE SOCIAL ASPECTS OF RURAL DEVELOPMENT POLICY". In RURAL DEVELOPMENT. Aleksandras Stulginskis University, 2018. http://dx.doi.org/10.15544/rd.2017.153.

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The rural development policy of the Agricultural Property Stock of the State Treasury in Poland (APS) is conducted by The Agricultural Property Agency – APA (since 1.09.2017 – The National Centre for Agriculture Support). The property managed by the APA includes agricultural land, forests, farm buildings, residential buildings as well as equipment and devices that are part of the social, technical, production, commercial and service infrastructure. The aim of research was to proof the influence of the gratuitous transfer of land from the APS to local government units, to engage them in social activities. The main methods used for it were: the analyse of legal acts in Poland, the analyse of reports and statistic data from APA and method of cartographic presentation – quantitative, cartogram. This article focuses on the social aspects of the APA’s operations, based on an analysis of the data supplied by the Regional Branch of the Agricultural Property Agency in Olsztyn. The results of the analyses were presented in table format. The rural development policy concerning the performance of public purposes in rural areas was analysed. The obtained information and materials were analysed to identify social investments carried out on agricultural land donated to local authorities from Agricultural Property Stock of the State Treasury. The results were used to analyse and describe the social aspects of the APA’s operations in rural area in Poland. Rural areas require various types of social assistance services. The Agricultural Property Agency has successfully fostered social development in rural areas, and it has the required resources and experience to continue that mission.
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Frischknecht, Bart D., e Kate Whitefoot. "Defining Technology-Adoption Indifference Curves for Residential Solar Electricity Generation Using Stated Preference Experiments". In ASME 2011 International Design Engineering Technical Conferences and Computers and Information in Engineering Conference. ASMEDC, 2011. http://dx.doi.org/10.1115/detc2011-48007.

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Success in achieving environmental goals is intrinsically dependent on policy decisions, firm decisions, and consumer decisions. Understanding how consumer product adoption jointly depends on policy incentives and firm design decisions is necessary for both firms and governments to make optimal decisions. This paper demonstrates a methodology for assessing the linkage between policy incentives and firm decisions on the level of consumer adoption of a particular technology. A policy optimization is formulated and technology-adoption indifference curves are constructed to allow firms to identify the most profitable direction for product development given the policy environment, and similarly to allow government organizations to set policies that maximize technology adoption given firm decisions. As an example we use the residential solar electricity industry in New South Wales, Australia. Consumer choice is modeled using a mixed logit choice model estimated with hierarchical Bayes techniques from stated preference experiment data.
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Christensen, David, e Andrew Re. "Is Australia Prepared for the Decommissioning Challenge? A Regulator's Perspective". In SPE Symposium: Decommissioning and Abandonment. SPE, 2021. http://dx.doi.org/10.2118/208483-ms.

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Abstract The National Offshore Petroleum Safety and Environmental Management Authority (NOPSEMA) is Australia's independent expert regulator for health and safety, structural (well) integrity and environmental management for all offshore oil and gas operations and greenhouse gas storage activities in Australian waters, and in coastal waters where regulatory powers and functions have been conferred. The Australian offshore petroleum industry has been in operation since the early 1960s and currently has approximately 57 platforms, 11 floating facilities, 3,500km of pipelines and 1000 wells in operation. Many offshore facilities are now approaching the end of their operational lives and it is estimated that over the next 50 years decommissioning of this infrastructure will cost more than US$40.5 billion. Decommissioning is a normal and inevitable stage in the lifetime of an offshore petroleum project that should be planned from the outset and matured throughout the life of operations. While only a few facilities have been decommissioned in Australian waters, most of Australia's offshore infrastructure is now more than 20 years old and entering a phase where they require extra attention and close maintenance prior to decommissioning. When the NOGA group of companies entered liquidation in 2020 and the Australian Government took control of decommissioning the Laminaria and Corallina field development it became evident that there were some fundamental gaps in relation to decommissioning in the Australian offshore petroleum industry. There are two key focus areas that require attention. Firstly, regulatory reform including policy change and modification to regulatory practice. Secondly, the development of visible and robust decommissioning plans by Industry titleholders. The purpose of this paper is to highlight the importance and benefit of adopting good practice when planning for decommissioning throughout the life cycle of a petroleum project. Whilst not insurmountable, the closing of these gaps will ensure that Australia is well placed to deal with the decommissioning challenge facing the industry in the next 50 years.
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Cuellar, Amanda D., e Michael E. Webber. "An Updated Estimate for Energy Use in U.S. Food Production and Policy Implications". In ASME 2010 4th International Conference on Energy Sustainability. ASMEDC, 2010. http://dx.doi.org/10.1115/es2010-90179.

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In this work we estimate the amount of energy required to produce the food consumed in the United States in 2002 and 2007. Data from government sources and the scientific literature were used to calculate the energy intensity of food production from agriculture, transportation, manufacturing, food sales, storage and preparation. Most data were from 2002; consequently we scaled all data from other years to 2002 by using ratios of total energy consumption in 2002 to total energy consumption in the year data were reported. We concluded that food production required at least 7,880±733 trillion BTU in 2002 and 8,080±752 trillion BTU of energy in 2007, over a third of which came from food handling in homes, restaurants and grocery stores. The energy used to produce food represents approximately 8% of energy consumption. Our estimate is for the energy required to produce the food consumed in the United States and takes into account food imports and exports. To account for net food exports in the agriculture sector we calculated values for the energy intensity of ten food categories and then used the mass of domestic food consumption in each category to calculate the energy embedded in the food consumed in the United States. The amount of energy required to produce the food consumed in the United States has policy implications because it is a substantial fraction of total energy consumption and is responsible for a commensurate amount of greenhouse gas emissions. There are many opportunities for decreasing the energy intensity of food production at all steps of the food system. Education of the public and policy measures that promote energy efficiency in the food sector have the potential for decreasing food waste and the energy intensity of the food system.
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Atak, Şermin, Sibel Tan e Ümran Şengül. "The Role in the Rural Development of Organic Agriculture Potential in Turkey: The Case of Gökçeada". In International Conference on Eurasian Economies. Eurasian Economists Association, 2014. http://dx.doi.org/10.36880/c05.01012.

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Organic agriculture in Turkey has been put on the agenda in accordance with external demands since 1980. These demands initially started with traditional products such as raisin and fig and then the number of requested products has increased rapidly. Including the transition process, approximately 24,354 farmers produced 665.550 tons organic products in 251.899-hectare field in Turkey. Gökçeada, becoming an organic island, is a region where significant projects are implemented. With a total of 101 varieties of organic products, Gökçeada has a potential of up to 50% of the number of varieties in Turkey. On the other hand, 390 producers carry out organic agricultural activity on the island. Gökçeada has 1.35% of the organic agriculture land of in Turkey and 1.47% of the production. The positive effects of organic agriculture on rural poverty reduction and on the environment and its effect on tourism potential will be examined by using field studies conducted on the island as a method in this study. In the light of the findings, policy and strategy recommendations on the development of Gökçeada with organic agriculture will be conveyed. In this study, the institutional structure of organic agriculture in Turkey and Gökçeada, government policies towards organic agriculture, the importance of the organic agriculture in terms of the projects conducted and rural development will be examined. Results of the study Gökçeada going to have rural development strategies about future.
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Çevik, Savaş, Ahmet Ay e Mahamane Moutari Abdou Baoua. "Natural Resources Revenue, Fiscal Policy and Economic Growth: Panel Data Analysis for Sub-Saharan Africa Countries". In International Conference on Eurasian Economies. Eurasian Economists Association, 2017. http://dx.doi.org/10.36880/c09.02005.

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The main purpose of this study is to examine the relationship between natural resources revenue, fiscal policy and economic growth for 35 selected Sub-Saharan African countries. The panel data covering the periods of 1986-2014 was analyzed by using the fixed/random effect model estimation and the panel causality test. We also performed the panel unit root test in order to insure that our variables are stationary. The empirical results indicate that there is insignificant negative effect of natural resources revenue and bad fiscal policy on the economic growth. However, there is significant positive effect of capital formation on economic growth. We also found a bidirectional causality relationship between Natural resources rents and economic growth. There is also unidirectional causality link from government final consumption expenditure to Natural resources revenue and from Natural resources revenue to capital formation. These empirical results mean that Sub-Saharan African countries apply bad fiscal policy to improve the natural resource sector which does not efficiently contribute to the economic growth. This study suggests that countries of Sub-Saharan Africa must apply improved fiscal policy in order to add tax revenue to their total revenue; and they must also use the natural resources revenue in order to invest in other sectors such as education, manufacturing and agriculture.
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Relatórios de organizações sobre o assunto "Government policy on agriculture (Australia)"

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Dy, Cecilia. Policy Brief: Socioeconomic impacts of FMD at the household level in Cambodia. O.I.E (World Organisation for Animal Health), janeiro de 2014. http://dx.doi.org/10.20506/standz.2783.

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Funded by the Australian Government through the Stop Transboundary Animal Diseases and Zoonoses (STANDZ) Programme managed by the OIE SRR-SEA, the study was conducted by the Centre for Development Oriented Research in Agriculture and Livelihood Systems (CENTDOR) in 12 villages of Kampong Speu and Takeo provinces in September 2013.
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Cavaille, Charlotte, Federica Liberini, Michela Redoano, Anandi Mani, Vera E. Troeger, Helen Miller, Ioana Marinescu et al. Which Way Now? Economic Policy after a Decade of Upheaval: A CAGE Policy Report. Editado por Vera E. Troeger. The Social Market Foundation, fevereiro de 2019. http://dx.doi.org/10.31273/978-1-910683-41-5.

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Most, if not all advanced economies have suffered gravely from the 2008 global financial crisis. Growth, productivity, real income and consumption have plunged and inequality, and in some cases poverty, spiked. Some countries, like Germany and Australia, were better able to cope with the consequences but austerity has taken its toll even on the strongest economies. The UK is no exception and the more recent period of economic recovery might be halted or even reversed by the political, economic, and policy uncertainty created by the Brexit referendum. This uncertainty related risk to growth could be even greater if the UK leaves the economic and legal framework provided by the EU. This CAGE policy report offers proposals from different perspectives to answer the overarching question: What is the role of a government in a modern economy after the global financial crisis and the Brexit vote? We report on economic and social challenges in the UK and discuss potential policy responses for the government to consider. Foreword by: Lord O’Donnell of Clapham.
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Gattenhof, Sandra, Donna Hancox, Sasha Mackay, Kathryn Kelly, Te Oti Rakena e Gabriela Baron. Valuing the Arts in Australia and Aotearoa New Zealand. Queensland University of Technology, dezembro de 2022. http://dx.doi.org/10.5204/rep.eprints.227800.

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The arts do not exist in vacuum and cannot be valued in abstract ways; their value is how they make people feel, what they can empower people to do and how they interact with place to create legacy. This research presents insights across Australia and Aotearoa New Zealand about the value of arts and culture that may be factored into whole of government decision making to enable creative, vibrant, liveable and inclusive communities and nations. The COVID-19 pandemic has revealed a great deal about our societies, our collective wellbeing, and how urgent the choices we make now are for our futures. There has been a great deal of discussion – formally and informally – about the value of the arts in our lives at this time. Rightly, it has been pointed out that during this profound disruption entertainment has been a lifeline for many, and this argument serves to re-enforce what the public (and governments) already know about audience behaviours and the economic value of the arts and entertainment sectors. Wesley Enoch stated in The Saturday Paper, “[m]etrics for success are already skewing from qualitative to quantitative. In coming years, this will continue unabated, with impact measured by numbers of eyeballs engaged in transitory exposure or mass distraction rather than deep connection, community development and risk” (2020, 7). This disconnect between the impact of arts and culture on individuals and communities, and what is measured, will continue without leadership from the sector that involves more diverse voices and perspectives. In undertaking this research for Australia Council for the Arts and Manatū Taonga Ministry for Culture & Heritage, New Zealand, the agreed aims of this research are expressed as: 1. Significantly advance the understanding and approaches to design, development and implementation of assessment frameworks to gauge the value and impact of arts engagement with a focus on redefining evaluative practices to determine wellbeing, public value and social inclusion resulting from arts engagement in Australia and Aotearoa New Zealand. 2. Develop comprehensive, contemporary, rigorous new language frameworks to account for a multiplicity of understandings related to the value and impact of arts and culture across diverse communities. 3. Conduct sector analysis around understandings of markers of impact and value of arts engagement to identify success factors for broad government, policy, professional practitioner and community engagement. This research develops innovative conceptual understandings that can be used to assess the value and impact of arts and cultural engagement. The discussion shows how interaction with arts and culture creates, supports and extends factors such as public value, wellbeing, and social inclusion. The intersection of previously published research, and interviews with key informants including artists, peak arts organisations, gallery or museum staff, community cultural development organisations, funders and researchers, illuminates the differing perceptions about public value. The report proffers opportunities to develop a new discourse about what the arts contribute, how the contribution can be described, and what opportunities exist to assist the arts sector to communicate outcomes of arts engagement in Australia and Aotearoa New Zealand.
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Kaleagasi, Bartu, Sean McCarthy e Peter Beaumont. Geospatial Public Policy: Global Best Practices for Harnessing the Potential of Satellite Technologies and Applications. Inter-American Development Bank, setembro de 2022. http://dx.doi.org/10.18235/0004484.

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This publication presents six case studies of public policies that promote the development and use of geospatial technologies and applications, which can be categorized in five layers: institutions, tools, data, skills and industry. The evolution of these technologies and applications over the past decade has been driven by the understanding that where people and things are located is central to smart decision making. As a result of low-cost launch vehicles, increasing numbers of satellites in orbit, new sensor technologies, machine learning algorithms, advances in cloud computing, and the emergence of other technologies such as drones and high-altitude platforms, the geospatial economy is now expanding into many new geographies and sectors. This expansion calls for the development of innovative applications that benefit government in areas such as agriculture, environment, energy, aviation, maritime, transport, health, education, business, and society.
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Solaun, Kepa, Chiquita Resomardono, Katharina Hess, Helena Antich, Gerard Alleng e Adrián Flores. State of the Climate Report: Suriname: Summary for Policy Makers. Inter-American Development Bank, julho de 2021. http://dx.doi.org/10.18235/0003415.

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Several factors contribute to Surinames particular vulnerability to the effects of climate change. It is dependent on fossil fuels, has forests liable to decay, fragile ecosystems, and its low-lying coastal area accounts for 87% of the population and most of the countrys economic activity. Many sectors are at risk of suffering losses and damage caused by gradual changes and extreme events related to climate change. For Suriname to develop sustainably, it should incorporate climate change and its effects into its decision-making process based on scientific- evidence. The State of the Climate Report analyzes Surinames historical climate (1990-2014) and provides climate projections for three time horizons (2020-2044, 2045-2069, 2070-2094) through two emissions scenarios (intermediate/ SSP2-4.5 and severe/ SSP5-8.5). The analysis focuses on changes in sea level, temperature, precipitation, relative humidity, and winds for the seven subnational locations of Paramaribo, Albina, Bigi Pan MUMA, Brokopondo, Kwamalasamutu, Tafelberg Natural Reserve, and Upper Tapanahony. The Report also analyzes climate risk for the countrys ten districts by examining the factors which increase their exposure and vulnerability on the four most important sectors affected by climate change: infrastructure, agriculture, water, and forestry, as well as examining the effects across the sectors. The State of the Climate provides essential inputs for Suriname to develop and update its climate change policies and targets. These policies and targets should serve as enablers for an adequate mainstreaming of climate change adaptation and resilience enhancement into day-to-day government operations.
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Marshall, Amber, Krystle Turner, Carol Richards, Marcus Foth, Michael Dezuanni e Tim Neale. A case study of human factors of digital AgTech adoption: Condamine Plains, Darling Downs. Queensland University of Technology, dezembro de 2021. http://dx.doi.org/10.5204/rep.eprints.227177.

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As global agricultural production methods and supply chains have become more digitised, farmers around the world are adopting digital AgTech such as drones, Internet of Things (IoT), remote sensors, blockchain, and satellite imagery to inform their on-farm decision-making. While early adopters and technology advocates globally are spruiking and realising the benefits of digital AgTech, many Australian farmers are reluctant or unable to participate fully in the digital economy. This is an important issue, as the Australian Government has said that digital farming is essential to meeting its target of agriculture being a $100billion industry by 2030. Most studies of AgTech adoption focus on individual-level barriers, yielding well-documented issues such as access to digital connectivity, availability of AgTech suppliers, non-use of ICTs, and cost-benefit for farmers. In contrast, our project took an ‘ecosystems’ approach to study cotton farmers in the Darling Downs region in Queensland, Australia who are installing water sensors, satellite imagery, and IoT plant probes to generate data to be aggregated on a dashboard to inform decision-making. We asked our farmers to map their local ecosystem, and then set up interviewing different stakeholders (such technology providers, agronomists, and suppliers) to understand how community-level orientations to digital agriculture enabled and constrained on-farm adoption. We identified human factors of digital AgTech adoption at the macro, regional and farm levels, with a pronounced ‘data divide’ between farm and community level stakeholders within the ecosystem. This ‘data divide’ is characterised by a capability gap between the provision of the devices and software that generate data by technology companies, and the ability of farmers to manage, implement, use, and maintain them effectively and independently. In the Condamine Plains project, farmers were willing and determined to learn new, advanced digital and data literacy skills. Other farmers in different circumstances may not see value in such an undertaking or have the necessary support to take full advantage of the technologies once they are implemented. Moreover, there did not seem to be a willingness or capacity in the rest of the ecosystem to fill this gap. The work raises questions about the type and level of new, digital expertise farmers need to attain in the transition to digital farming, and what interventions are necessary to address the significant barriers to adoption and effective use that remain in rural communities. By holistically considering how macro- and micro-level factors may be combined with community-level influences, this study provides a more complete and holistic account of the contextualised factors that drive or undermine digital AgTech adoption on farms in rural communities. This report provides insights and evidence to inform strategies for rural ecosystems to transition farms to meet the requirements and opportunities of Agriculture 4.0 in Australia and abroad.
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McLean, Karen, Celine Chu, Julianna Mallia e Susan Edwards. Developing a national Playgroup statement : Stakeholder consultation strategy. Australian Catholic University, 2021. http://dx.doi.org/10.24268/acu.8ww69.

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[Extract] In 2019 Playgroup Australia established a National Advisory Group, including representatives from government, not-for-profit, community and research sectors, to support the development of a National Playgroup Statement. The forthcoming statement is intended to provide a unifying voice for playgroup provision in practice, research and policy nationwide. Two core strategies were recommended by the National Advisory Group to support the development of the Playgroup Statement. These were: a) a literature review canvassing the existing evidence base of outcomes and benefits of playgroup participation for children and families; and b) a stakeholder consultation strategy to capture children’s and families’ experiences and perspectives of playgroup participation, and the impact of playgroup participation on their lives. This report details the findings from the stakeholder consultation strategy.
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Olwande, John, Miltone Ayieko, John Mukundi e Nicholas Odhiambo. A Multi-Phase Assessment of the Effects of COVID-19 on Food Systems and Rural Livelihoods in Kenya. Institute of Development Studies (IDS), dezembro de 2021. http://dx.doi.org/10.19088/apra.2021.037.

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Kenya confirmed its first case of COVID-19 on 12 March 2020. Like many governments across the world, the Kenyan government implemented various measures aimed at slowing down local spread of the virus and cushioning the population against the negative economic effects of the pandemic and the associated policy restrictions. International organisations and researchers postulated that the measures would negatively affect economic activities and livelihoods, with undesirable implications for poverty and food insecurity. Particularly vulnerable would be populations in developing countries such as Kenya, where many people depend on food systems for their livelihoods, and the majority of those are smallholder farmers who often have low economic power. The objective of this rapid assessment was to investigate the impact of COVID-19 on the food system and the sub-set of the population largely dependent on agriculture in Kenya to inform actions that can assure protection of rural livelihoods and continued access to adequate and affordable food of acceptable quality to the population. This report presents results of that rapid assessment.
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Kimhi, Ayal, Barry Goodwin, Ashok Mishra, Avner Ahituv e Yoav Kislev. The dynamics of off-farm employment, farm size, and farm structure. United States Department of Agriculture, setembro de 2006. http://dx.doi.org/10.32747/2006.7695877.bard.

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Objectives: (1) Preparing panel data sets for both the United States and Israel that contain a rich set of farm attributes, such as size, specialization, and output composition, and farmers’ characteristics such as off-farm employment status, education, and family composition. (2) Developing an empirical framework for the joint analysis of all the endogenous variables of interest in a dynamic setting. (3) Estimating simultaneous equations of the endogenous variables using the panel data sets from both countries. (4) Analyzing, using the empirical results, the possible effects of economic policies and institutional changes on the dynamics of the farm sector. An added objective is analyzing structural changes in farm sectors in additional countries. Background: Farm sectors in developed countries, including the U.S. and Israel, have experienced a sharp decline in their size and importance during the second half of the 20th century. The overall trend is towards fewer and larger farms that rely less on family labor. These structural changes have been a reaction to changes in technology, in government policies, and in market conditions: decreasing terms of trade, increasing alternative opportunities, and urbanization pressures. As these factors continue to change, so does the structure of the agricultural sector. Conclusions: We have shown that all major dimensions of structural changes in agriculture are closely interlinked. These include farm efficiency, farm scale, farm scope (diversification), and off-farm labor. We have also shown that these conclusions hold and perhaps even become stronger whenever dynamic aspects of structural adjustments are explicitly modeled using longitudinal data. While the results vary somewhat in the different applications, several common features are observed for both the U.S. and Israel. First, the trend towards the concentration of farm production in a smaller number of larger farm enterprises is likely to continue. Second, at the micro level, increased farm size is negatively associated with increased off-farm labor, with the causality going both ways. Third, the increase in farm size is mostly achieved by diversifying farm production into additional activities (crops or livestock). All these imply that the farm sector converges towards a bi-modal farm distribution, with some farms becoming commercial while the remaining farm households either exit farming altogether or continue producing but rely heavily on off-farm income. Implications: The primary scientific implication of this project is that one should not analyze a specific farm attribute in isolation. We have shown that controlling for the joint determination of the various farm and household attributes is crucial for obtaining meaningful empirical results. The policy implications are to some extent general but could be different in the two countries. The general implication is that farm policy is an important determinant of structural changes in the farm sector. For the U.S., we have shown the different effects of coupled and decoupled (direct) farm payments on the various farm attributes, and also shown that it is important to take into account the joint farm-household decisions in order to conduct a meaningful policy analysis. Only this kind of analysis explains the indirect effect of direct farm payments on farm production decisions. For Israel, we concluded that farm policy (or lack of farm policy) has contributed to the fast structural changes we observed over the last 25 years. The sharp change of direction in farm policy that started in the early 1980s has accelerated structural changes that could have been smoother otherwise. These accelerated structural changes most likely lead to welfare losses in rural areas.
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Nicholson, Claire, Jonathan Wastling, Peter Gregory e Paul Nunn. FSA Science Council Working Group 6 Food Safety and Net Zero Carbon July 2022 Interim Report. Food Standards Agency, julho de 2022. http://dx.doi.org/10.46756/sac.fsa.vxz377.

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The UK has a legal commitment to reach net zero carbon (NZC) emissions by 2050. This is a topic that has recently been building momentum, with clean growth being one of the four Grand Challenges set out by the UK Government. The ways we grow, process and transport food are major contributors to climate change, accounting for more than a quarter of all greenhouse gas emissions. Reducing this will require substantial changes in agriculture, manufacturing, and transport. Consequently, the Science Council and FSA Chief Scientific Adviser (CSA) agreed that a deeper understanding of the potential implications of achieving net zero on food systems, together with identification of areas of uncertainty, would be of considerable value to FSA in pre-empting future policy and evidence needs in this area. In early discussions to scope the work required, Defra indicated to the FSA Science Council Secretariat that there are many new developments and changes to activity in primary production aimed at achieving net zero. The Science Council agreed, therefore, to concentrate its first investigations on changes expected in primary food production. Primary production is the production of chemical energy in organic forms by living organisms. The main source of this energy is sunlight. For the purposes of this review, primary food production includes the growing and harvesting of plants as food for humans or feed for animals, and the rearing and slaughter of animals including livestock, fish and a wide variety of aquatic and marine organisms. A Science Council Working Group 6 (WG6) began work in summer 2021, led by Science Council members Mrs Claire Nicholson (WG6 Chair) and Prof Jonathan Wastling (WG6 Deputy Chair). The brief for WG6 is to investigate the potential food safety implications arising from changes to primary food production practices and technologies that reduce carbon emissions in the next 10 years. The work programme (described in this report) covers 4 phases, with phases 1 and 2 now complete. The work so far has drawn diverse, wide-ranging, sometimes slightly conflicting, views and opinions from across academia, the FSA, Defra, industry bodies and individual food producers. This interim report summarises: The work undertaken to date (phases 1 and 2) What has been learnt including changes to practice already underway or imminent Issues arising from the changes that the FSA should be aware of Further work planned by WG6 to understand the nature of the risks in more depth (phases 3 and 4) The Science Council aims to complete its investigations by the end of 2022 and present its findings to the FSA Board as soon as possible afterwards.
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