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1

Stephenson, Peta. "Beyond black and white : Aborigines, Asian-Australians and the national imaginary /". Connect to thesis, 2003. http://repository.unimelb.edu.au/10187/1708.

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This thesis examines how Aboriginality, ‘Asianness’ and whiteness have been imagined from Federation in 1901 to the present. It recovers a rich but hitherto largely neglected history of twentieth century cross-cultural partnerships and alliances between Indigenous and Asian-Australians. Commercial and personal intercourse between these communities has existed in various forms on this continent since the pre-invasion era. These cross-cultural exchanges have often been based on close and long-term shared interests that have stemmed from a common sense of marginalisation from dominant Anglo-Australian society. At other times these cross-cultural relationships have ranged from indifference to hostility, reflecting the fact that migrants of Asian descent remain the beneficiaries of the dispossession of Aboriginal and Torres Strait Islander peoples. (For complete abstract open document)
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2

Tindall, Alexis. "Creating Australia : cultural representations and national identity in contemporary Australian literature /". Title page, contents and conclusion only, 1999. http://web4.library.adelaide.edu.au/theses/09AR/09art588.pdf.

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3

Macduff, Anne. "Advance Australia Fair? Citizenship Law, Race and National Identity in Contemporary Australia". Phd thesis, Canberra, ACT : The Australian National University, 2017. http://hdl.handle.net/1885/133589.

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Although the ‘White Australia policy’ was officially rejected over 40 years ago, this thesis argues that it continues to influence notions of belonging in Australia today. While racial exclusion from the national community was once achieved through discretionary mechanisms embedded in migration laws and policy, today, it is achieved through Australian citizenship laws and policy. This thesis critically examines the package of law reforms introduced in 2007, which subsequently became the Australian Citizenship Act 2007 (Cth) (‘ACA’). It explores the extent to which Australian citizenship law enables or limits culturally diverse expressions of belonging in a liberal, multicultural and democratic nation. The thesis is underpinned by a critical race theory approach, which understands the relationship between law and culture as mutually constitutive. That is, it sees the law as not only reflecting social norms but participating in their production and reinforcement. The thesis draws out ways that Australian citizenship laws mobilise narratives of belonging which construct a racialised Australian national imaginary. Using a range of interdisciplinary approaches (including legal analysis, Critical Discourse Analysis and critical legal geography), the thesis identifies and analyses narratives about belonging circulating in three significant fields of public discourse; legal, political and media discourse. It argues that these public discourses articulate the meaning of the legal status of citizenship through racially exclusionary narratives about Australian values and an ‘Australian way of life’. The thesis argues that Australian citizenship law is an increasingly important site used to produce and sustain a racially exclusionary national imaginary. It analyses how narratives about Australian citizenship status are increasingly articulated in opposition to migrants generally, but the Muslim Other in particular. These racialised narratives of belonging are conveyed through decisions made under the ACA. Having identified how the law mobilises narratives which produce and sustain a White national imaginary, Judith Butler’s theory of performativity is used to identify some possible citizenship counter-narratives. It concludes that, contrary to official statements, Australian citizenship status does not facilitate an inclusive notion of national belonging. Instead, it is a mechanism that produces and sustains a White national imaginary.
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4

Hall, Frederick Leonard. "Australians in a corporate culture the national characteristics, are they intrinsic? : a study of cultural behaviour of Australian employees in a multi national [sic] corporation : a measure of change of national culture over time and it's relevance to corporate culture in Australia /". Master's thesis, Australia : Macquarie Universityc, 1989. http://hdl.handle.net/1959.14/23256.

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Thesis (MA)--Macquarie University, Graduate School of Management, 1989.
Introduction -- Values and culture -- The four dimensions -- Australia survey 1984/85 -- Methodological debate -- Literature reviews -- Outcome in terms of our national culture -- Transition to corporate culture -- Results of survey 1984/85 -- Appendix.
Bibliography: final [7] leaves (Appendix 4).
Mode of access: World Wide Web.
49 leaves ill. +
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5

Hayes, Anna-Lisa. "Aborigines, tourism and Central Australia : national visions disarticulated from local realities". Thesis, Macquarie University, 1994. http://hdl.handle.net/1885/281585.

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Thinking about Aborigines and tourism has a short but dynamic history. Twenty years ago Aboriginal presence was seen as an intrusion on white enjoyment of geological formations and wildlife in an unpeopled landscape
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6

Maher, Simon. "The 'citizens' and 'citizenship' debates 'vernacular citizenship' and contemporary Australian politics and society /". Access electronically, 2006. http://www.library.uow.edu.au/adt-NWU/public/adt-NWU20070821.160030/index.html.

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7

Fort, Carol S. "Developing a national employment policy : Australia 1939-45 /". Title page, contents and abstract only, 2000. http://web4.library.adelaide.edu.au/theses/09PH/09phf736.pdf.

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8

Smaill, Belinda 1972. "Amidst a nation's cultures : documentary and Australia's Special Broadcasting Service Television". Monash University, Centre for Comparative Literature and Cultural Studies, 2001. http://arrow.monash.edu.au/hdl/1959.1/8644.

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9

Hoyle, Maxwell Bruce, e mikewood@deakin edu au. "Australia and East Timor: elitism, pragmatism and the national interest". Deakin University, 2000. http://tux.lib.deakin.edu.au./adt-VDU/public/adt-VDU20050915.110809.

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For over two decades the issue of East Timor's right to self-determination has been a ‘prickly’ issue in Australian foreign policy. The invasion by Indonesian forces in 1975 was expected, as Australian policy-makers had been well informed of the events leading up to the punitive action being taken. Indeed, prior discussions involving the future of the territory were held between the Australian Prime Minister and the Indonesian President in 1974. In response to the events unfolding in the territory the Australian Labor Government at the time was presented with two policy options for dealing with the issue. The Department of Defence recommended the recognition of an independent East Timor; whereas the Department of Foreign Affairs proposed that Australia disengage itself as far as possible from the issue. The decision had ramifications for future policy considerations especially with changes in government. With the Department of Foreign Affairs option being the prevailing policy what were the essential ingredients that give explanation for the government's choice? It is important to note the existence of the continuity and cyclical nature of attitudes by Labor governments toward Indonesia before and after the invasion. To do so requires an analysis of the influence ‘Doc’ Evatt had in shaping any possible Labor tradition in foreign policy articulation. The support given by Evatt for the decolonisation of the Netherlands East Indies (Indonesia) gave rise to the development of a special relationship-so defined. Evidence of the effect Evatt had on future Labor governments may be found in the opinions of Gough Whitlam. In 1975 when he was Prime Minister, Whitlam felt the East Timor issue was merely the finalisation of Indonesia's decolonisation honouring Evatt's long held anti-colonialist tradition existing in the Australian Labor Party. The early predisposition toward Indonesia's cohesiveness surfaced again in the Hawke and Keating Labor governments of later years. It did not vary a great deal with changes in government The on-going commitment to preserving and strengthening the bilateral relationship meant Indonesia's territorial integrity became the focus of the Australian political elites’ regional foreign policy determinations. The actions taken by policy-makers served to promote the desire for a stable region ahead of independence claims of the East Timorese. From a realist perspective, the security dilemma for Australian policy-makers was how to best promote regional order and stability in the South East Asian region. The desire for regional cohesiveness and stability continues to drive Australian political elites to promote policies that gives a priority to the territorial integrity of regional states. Indonesia, in spite of its diversity, was only ever thought of as a cohesive unitary state and changes to its construct have rarely been countenanced. Australia's political elite justifications for this stance vacillate between strategic and economic considerations, ideological (anti-colonialism) to one of being a pragmatic response to international politics. The political elite argues the projection of power into the region is in Australia’s national interest. The policies from one government to the next necessarily see the national interest as being an apparent fixed feature of foreign policy. The persistent fear of invasion from the north traditionally motivated Australia's political elite to adopt a strategic realist policy that sought to ‘shore up’ the stability, strength and unity of Indonesia. The national interest was deemed to be at risk if support for East Timorese independence was given. The national interest though can involve more than just the security issue, and the political elite when dealing with East Timor assumed that they were acting in the common good. Questions that need to be addressed include determining what is the national interest in this context? What is the effect of a government invoking the national interest in debates over issues in foreign policy? And, who should participate in the debate? In an effort to answer these questions an analysis of how the ex-foreign affairs mandarin Richard Woolcott defines the national interest becomes crucial. Clearly, conflict in East Timor did have implications for the national interest. The invasion of East Timor by Indonesia had the potential to damage the relationship, but equally communist successes in 1975 in Indo-China raised Australia's regional security concerns. During the Cold War, the linking of communism to nationalism was driving the decision-making processes of the Australian policy-makers striving to come to grips with the strategic realities of a changing region. Because of this, did the constraints of world politics dominated by Cold War realities combined with domestic political disruption have anything to do with Australia's response? Certainly, Australia itself was experiencing a constitutional crisis in late 1975. The Senate had blocked supply and the Labor Government did not have the funds to govern. The Governor-General by dismissing the Labor Government finally resolved the impasse. What were the reactions of the two men charged with the responsibility of forming the caretaker government toward Indonesia's military action? And, could the crisis have prevented the Australian government from making a different response to the invasion? Importantly, and in terms of economic security, did the knowledge of oil and gas deposits thought to exist in the Timor Sea influence Australia's foreign policy? The search for oil and gas requires a stable political environment in which to operate. Therefore for exploration to continue in the Timor Sea Australia must have had a preferred political option and thoughts of with whom they preferred to negotiate. What was the extent of each government's cooperation and intervention in the oil and gas industry and could any involvement have influenced the Australian political elites’ attitude toward the prospect of an independent East Timor? Australia's subsequent de jure recognition that East Timor was part of Indonesia paved the way for the Timor Gap (Zone of Cooperation) Treaty signing in 1989. The signing underpinned Australia's acceptance of Indonesian sovereignty over East Timor. The outcome of the analysis of the issues that shaped Australia's foreign policy toward East Timor showed that the political elite became locked into an integration model, which was defended by successive governments. Moreover, they formed an almost reflexive defence of Indonesia both at the domestic and international level.
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10

Mead, Jonathan, e mikewood@deakin edu au. "The Australia-Indonesia security relationship". Deakin University. School of International and Political Studies, 2004. http://tux.lib.deakin.edu.au./adt-VDU/public/adt-VDU20051017.144017.

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11

Venn, Darren Peter. "A changing cultural landscape Yanchep National Park, Western Australia /". Connect to thesis, 2008. http://portalapps.ecu.edu.au/adt-public/adt-ECU2008.0012.html.

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12

Venn, Darren P. "A changing cultural landscape: Yanchep National Park, Western Australia". Thesis, Edith Cowan University, Research Online, Perth, Western Australia, 2008. https://ro.ecu.edu.au/theses/28.

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This study depicts the changing landscape of Western Australia's Yanchep National Park as it has evolved in response to natural processes and human activities. The study also serves to evaluate the level of input Indigenous people have in the management of Australian natural and cultural heritage. The Park was examined by utilising a methodology that combined a cultural geography approach with Structuration Theory. Yanchep National Park is highly suited to this type of investigation because of its close proximity to a major urban centre ( Perth ) and because of the importance of the area to Indigenous people, resulting in a highly visible cultural heritage within the Park.
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13

Schroeder, Jacqueline. "Aboriginal cultural tourism : Uluru-Kata Tjuta National Park". Thesis, University of Sydney, 1995. http://hdl.handle.net/1885/276115.

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14

Wyndham, Diana Hardwick. "Striving for National Fitness: Eugenics in Australia 1910s to 1930s". University of Sydney, History, 1996. http://hdl.handle.net/2123/402.

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Eugenics movements developed early this century in more than 20 countries, including Australia. However, for many years the vast literature on eugenics focused almost exclusively on the history of eugenics in Britain and America. While some aspects of eugenics in Australia are now being documented, the history of this movement largely remained to be written. Australians experienced both fears and hopes at the time of Federation in 1901. Some feared that the white population was declining and degenerating but they also hoped to create a new utopian society which would outstrip the achievements, and avoid the poverty and industrial unrest, of Britain and America. Some responded to these mixed emotions by combining notions of efficiency and progress with eugenic ideas about maximising the growth of a white population and filling the "empty spaces". It was hoped that by taking these actions Australia would avoid "racial suicide" or Asian invasion and would improve national fitness, thus avoiding "racial decay" and starting to create a "paradise of physical perfection". This thesis considers the impact of eugenics in Australia by examining three related propositions: 1. that from the 1910s to the 1930s, eugenic ideas in Australia were readily accepted because of concerns about declining birth rate; 2. that, while mainly derivative, Australian eugenics had several distinctive Australian qualities; 3. that eugenics has a legacy in many disciplines, particularly family planning and public health. This examination of Australian eugenics is primarily from the perspective of the people, publications and organisations which contributed to this movement in the first half of this century. In addition to a consideration of their achievements, reference is also made to the influence which eugenic ideas had in such diverse fields as education, immigration, law, literature, politics, psychology and science.
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15

Wyndham, Diana. "Striving for national fitness eugenics in Australia 1910s to 1930s /". Connect to full text, 1996. http://hdl.handle.net/2123/402.

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Thesis (Ph. D.)--University of Sydney, 1997.
Title from title screen (viewed Apr. 15, 2008). Submitted in fulfilment of the requirements for the degree of Doctor of Philosophy to the Dept. of History, Faculty of Arts. Degree awarded 1997; thesis submitted 1996. Includes bibliography. Also available in print form.
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16

Saltmarsh, David L. W. (David Lloyd William). "National review of nursing education : student expectations of nursing education". Canberra, A.C.T. : Commonwealth Department of Education, Science and Training, 2001. http://www.dest.gov.au/highered/nursing/pubs/student_expect/1.htm.

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17

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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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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18

Hunter, Sri Mulyati. "The "changing dimensions" of the Australia-Indonesia bilateral relationship from 1996 to October 2002 in the defence and security context /". Diss., Title page, contents and introduction only, 2002. http://web4.library.adelaide.edu.au/theses/09AR/09arh947.pdf.

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19

Honka, Agnes. "Writing an alternative Australia : women and national discourse in nineteenth-century literature". Master's thesis, Universität Potsdam, 2007. http://opus.kobv.de/ubp/volltexte/2008/1650/.

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In this thesis, I want to outline the emergence of the Australian national identity in colonial Australia. National identity is not a politically determined construct but culturally produced through discourse on literary works by female and male writers. The emergence of the dominant bushman myth exhibited enormous strength and influence on subsequent generations and infused the notion of “Australianness” with exclusively male characteristics. It provided a unique geographical space, the bush, on and against which the colonial subject could model his identity. Its dominance rendered non-male and non-bush experiences of Australia as “un-Australian.” I will present a variety of contemporary voices – postcolonial, Aboriginal, feminist, cultural critics – which see the Australian identity as a prominent topic, not only in the academia but also in everyday culture and politics. Although positioned in different disciplines and influenced by varying histories, these voices share a similar view on Australian society: Australia is a plural society, it is home to millions of different people – women, men, and children, Aboriginal Australians and immigrants, newly arrived and descendents of the first settlers – with millions of different identities which make up one nation. One version of national identity does not account for the multitude of experiences; one version, if applied strictly, renders some voices unheard and oppressed. After exemplifying how the literature of the 1890s and its subsequent criticism constructed the itinerant worker as “the” Australian, literary productions by women will be singled out to counteract the dominant version by presenting different opinions on the state of colonial Australia. The writers Louisa Lawson, Barbara Baynton, and Tasma are discussed with regard to their assessment of their mother country. These women did not only present a different picture, they were also gifted writers and lived the ideal of the “New Women:” they obtained divorces, remarried, were politically active, worked for their living and led independent lives. They paved the way for many Australian women to come. In their literary works they allowed for a dual approach to the bush and the Australian nation. Louisa Lawson credited the bushwoman with heroic traits and described the bush as both cruel and full of opportunities not known to women in England. She understood women’s position in Australian society as oppressed and tried to change politics and culture through the writings in her feminist magazine the Dawn and her courageous campaign for women suffrage. Barbara Baynton painted a gloomy picture of the Australian bush and its inhabitants and offered one of the fiercest critiques of bush society. Although the woman is presented as the able and resourceful bushperson, she does not manage to survive in an environment which functions on male rules and only values the economic potential of the individual. Finally, Tasma does not present as outright a critique as Barbara Baynton, however, she also attests the colonies a fascination with wealth which she renders questionable. She offers an informed judgement on colonial developments in the urban surrounds of the city of Melbourne through the comparison of colonial society with the mother country England. Tasma attests that the colonies had a fascination with wealth which she renders questionable. She offers an informed judgement on colonial developments in the urban surrounds of the city of Melbourne through the comparison of colonial society with the mother country England and demonstrates how uncertainties and irritations emerged in the course of Australia’s nation formation. These three women, as writers, commentators, and political activists, faced exclusion from the dominant literary discourses. Their assessment of colonial society remained unheard for a long time. Now, after much academic excavation, these voices speak to us from the past and remind us that people are diverse, thus nation is diverse. Dominant power structures, the institutions and individuals who decide who can contribute to the discourse on nation, have to be questioned and reassessed, for they mute voices which contribute to a wider, to the “full”, and maybe “real” picture of society.
Das heutige Australien ist eine heterogene Gesellschaft, welche sich mit dem Vermächtnis der Vergangenheit – der Auslöschung und Unterdrückung der Ureinwohner – aber auch mit andauernden Immigrationswellen beschäftigen muss. Aktuelle Stimmen in den australischen Literatur-, Kultur- und Geschichtswissenschaften betonen die Prominenz der Identitätsdebatte und weisen auf die Notwendigkeit einer aufgeschlossenen und einschließenden Herangehensweise an das Thema. Vor diesem Hintergrund erinnern uns die Stimmen der drei in dieser Arbeit behandelten Schriftstellerinnen daran, dass es nicht nur eine Version von nationaler Identität gibt. Die Pluralität einer Gesellschaft spiegelt sich in ihren Texten wieder, dies war der Fall im neunzehnten Jahrhundert und ist es heute noch. So befasst sich die vorliegende Arbeit mit der Entstehung nationaler Identität im Australien des späten neunzehnten Jahrhunderts. Es wird von der Prämisse ausgegangen, dass nationale Identität nicht durch politische Entscheidungen determiniert wird, sondern ein kulturelles Konstrukt, basierend auf textlichen Diskurs, darstellt. Dieser ist nicht einheitlich, sondern mannigfaltig, spiegelt somit verschiedene Auffassungen unterschiedlicher Urheber über nationale Identität wider. Ziel der Arbeit ist es anhand der Texte australischer Schriftstellerinnen aufzuzeigen, dass neben einer dominanten Version der australischen Identität, divergierende Versionen existierten, die eine flexiblere Einschätzung des australischen Charakters erlaubt, einen größeren Personenkreis in den Rang des „Australiers“ zugelassen und die dominante Version hinterfragt hätten. Die Zeitschrift Bulletin wurde in den 1890ern als Sprachrohr der radikalen Nationalisten etabliert. Diese forderten eine Loslösung der australischen Kolonien von deren Mutterland England und riefen dazu auf, Australien durch australische Augen zu beschreiben. Dem Aufruf folgten Schriftsteller, Maler und Künstler und konzentrierten ihren Blick auf die für sie typische australische Landschaft, den „Busch“. Schriftsteller, allen voran Henry Lawson, glorifizierten die Landschaft und ihre Bewohner; Pioniere und Siedler wurden zu Nationalhelden stilisiert. Der australische „bushman“ - unabhängig, kumpelhaft und losgelöst von häuslichen und familiären Verpflichtungen - wurde zum „typischen“ Australier. Die australische Nation wurde mit männlichen Charaktereigenschaften assoziiert und es entstand eine Version der zukünftigen Nation, die Frauen und die Australischen Ureinwohner als Nicht-Australisch propagierte, somit von dem Prozess der Nationsbildung ausschloss. Nichtsdestotrotz verfassten australische Schriftstellerinnen Essays, Romane und Kurzgeschichten, die alternative Versionen zur vorherrschenden und zukünftigen australischen Nation anboten. In dieser Arbeit finden Louisa Lawson, Barbara Baynton und Tasma Beachtung. Letztere ignoriert den australischen Busch und bietet einen Einblick in den urbanen Kosmos einer sich konsolidierenden Nation, die, obwohl tausende Meilen von ihrem Mutterland entfernt, nach Anerkennung und Vergleich mit diesem durstet. Lawson und Baynton, hingegen, präsentieren den Busch als einen rechtlosen Raum, der vor allem unter seinen weiblichen Bewohnern emotionale und physische Opfer fordert.
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20

Gwatkin, Jan. "Investigating the viability of a national accreditation system for Australian piano teachers". University of Western Australia. School of Music, 2009. http://theses.library.uwa.edu.au/adt-WU2009.0099.

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The Federal education system has 12 nationally accredited and portable qualifications issued by the Australian Qualifications Framework (AQF) which cover three sectors; Higher Education, Vocational Education and Training (VET) and Schools. A mandatory minimum bachelor qualification together with education units, state registration and ongoing professional development is imposed for all classroom music teachers. In direct contrast, however, Australian studio piano teachers and school instrumental teachers may or may not have formal qualifications, registration with professional associations, or ongoing professional development. All teachers must be registered with State registration boards for Working With Children (WWC) but no monitoring controls exist for studio teachers. Qualifications are available from public examination boards, private enterprises and state Music Teacher Associations (MTAs) but these are not recognised within the national system and consequently have no status or portability, although they are used and recommended within the industry and higher education institutions as course prerequisites. The aim of the current study was to investigate whether a National Accreditation System (NAS) for Australian studio piano teachers could be a viable system, adding unprecedented professionalism to the field and drawing upon the existing systems of government, private industry and educational institutions. In the thesis, current systems of accreditation, education and training available for classroom music teachers, school instrumental music teachers and other recognised professions such as lawyers, engineers, accountants, health professionals and sports coaches were reviewed as a comparative basis upon which to assess similar contexts for studio piano teachers. Results are combined with a survey of Australian piano teachers' perceptions, from which the study ascertained the extent to which studio piano teachers' needs were being catered for and met in available systems of accreditation and training.
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21

Burns, Kathryn E. "This other Eden exploring a sense of place in twentieth-century reconstructions of Australian childhoods /". Connect to full text, 2006. http://hdl.handle.net/2123/1691.

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Thesis (Ph. D.)--University of Sydney, 2007.
Title from title screen (viewed 25 March 2008). Submitted in fulfilment of the requirements for the degree of Doctor of Philosophy to the Dept. of English, Faculty of Arts. Degree awarded 2007; thesis submitted 2006. Includes bibliographical references. Also available in print form.
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22

Oppenheimer, Melanie. "Volunteering the Australian experience /". [Australia] : Melanie Oppenheimer, 2007. http://www.naa.gov.au/Images/oppenheimer-paper-2007_tcm2-9196.pdf.

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Thesis (PhD) - Marketing and International Studies, Faculty of Business and Enterprise, Swinburne University of Technology, 2008.
"Public lecture for the National Archives of Australia, presented in Canberra ... 15 May 2007."-t.p. Includes bibliographical references (p. 174-215).
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23

Tham, Poh Weng Electrical Engineering &amp Telecommunications Faculty of Engineering UNSW. "Managing market risks in the Australian national electricity market". Awarded by:University of New South Wales. School of Electrical Engineering & Telecommunications, 2005. http://handle.unsw.edu.au/1959.4/20834.

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The restructuring of many national and state electricity industries over the last two decades has created new sets of laws and regulations, market design and participants. Along with those changes, industry risks have also been transformed significantly. Prior to restructuring, government-owned or carefully regulated monopoly private utilities would manage most of these industry risks. With restructuring, however, both the government, through their market regulators, and industry participants need to manage a range of previous,, yet also now new, risks. While the government???s risk management strategy is focused on the industry as a whole, participants are naturally more concerned with their individual risks. The Australian National Electricity Market (NEM) is one of the many electricity markets that were formed through the restructuring process underway worldwide. It created a number of new types of market participants facing different sets of risks. The main objective of this thesis is to examine the management of market risk by these different NEM participants. The methodology used in the thesis involves developing a fundamental understanding of electricity restructuring, the NEM and the various risks faced by the different NEM participants. Data on NEM spot prices, ancillary costs and forward prices are analysed to gain a better understanding of its relationship with market activities. Different risk management strategies, both proactive and reactive, that can be taken by the participants are discussed This thesis has highlighted some of the complexities involved in managing risks in a restructured electricity industry. Risks are never static and changes in market conditions alter the risk exposure of the participants. Therefore, participants will need to constantly monitor their risk exposure and update their risk management strategies. The Cash-Flow-at-Risk methodology is introduced as a possible tool to measure risk and analyse risk management options for different NEM participants.
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24

Hjafta, Corneels, e n/a. "Implementing national competency standards in the professions in Australia : lessons for Namibia". University of Canberra. Education, 1998. http://erl.canberra.edu.au./public/adt-AUC20060725.095855.

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This study originated from a professional interest of the researcher in competency standards and their implementation in the professions. The study was conducted with the aim of informing policy development and implementation in Namibia in this area by drawing lessons from the Australian experience. It set out to identify the factors that influenced the implementation of this policy in Australia, the importance of these factors and the strategies employed by implementors to enhance successful implementation. The study is grounded in policy implementation theory. Twenty professions have been involved in developing and implementing competency standards in Australia under the guidance and with the support of a national government organisation called the National Office of Overseas Skills Recognition (NOOSR). The main objectives of the Australian government in implementing this policy were the improvement of migrant skills recognition and the achievement of recognition for professional qualifications across state and territory borders. Time and budgetary constraints would not allow the involvement of all the professional groups in this study, so four groups were selected based on their size and progress made in developing and implementing the standards. The groups ranged from a very large professional group (more than 250 000 members) to a very small professional group (approximately 3 500 members). Eleven respondents from NOOSR and the professional groups participated in the study. Data was gathered by structured interview, a rating schedule and document analysis. The study found that there were seventeen factors that influenced this process as perceived by the respondents. These factors were classified into five categories: technical, political, economic, administrative and political, and then placed on a matrix with the levels at which they exerted their greatest pressure: external, internal to the professional body, and on the steering group. This classification of factors gave indications of the types of strategies and the level of intervention which may address implementation problems best. The study compiled a list of the factors in order of importance as rated by the respondents. This ranking showed that leadership was the most important factor, followed by experience and expertise of the steering group and the need for and appropriateness of the standards for the professions. The study also found that the Australian government employed inducement, capacity building and facilitation strategies to enhance the successful vii implementation of the standards, while the professional bodies employed mainly staff development and training as strategies. The study concluded that Namibian policy makers and implementors can draw the following lessons from the Australian experience: 1. there is a need for a balance between pressure and support from government; 2. there is a role for a national implementation plan; 3. the main attraction of national competency standards is still the many uses it can be put to and the many purposes it serves for different organisations; 4. assessment strategies need to be considered from the beginning; 5. the methodology of using a representative steering group to lead standards development is one of the best features of the Australian approach; 6. Over time, the original objectives of the policy became low priority for NOOSR and the government; 7. the classification matrix can be used as a planning tool; and 8. the ranking of the factors indicates the importance of organisational, technical and economic factors.
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25

au, C. Palmer@murdoch edu, e Carlysle Sian Holyoake. "A National Study of Gastrointestinal Parasites Infecting Dogs and Cats in Australia". Murdoch University, 2008. http://wwwlib.murdoch.edu.au/adt/browse/view/adt-MU20090617.152058.

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Despite the popularity of companion animal ownership in Australia, recent and comprehensive information with regard to the prevalence, epidemiology and public health significance associated with gastrointestinal parasites of pet dogs and cats in Australia is largely lacking. The primary aims of this study were to close this knowledge gap and to evaluate the veterinarian’s perception, awareness and knowledge of GI parasites in their locality, from a veterinary and public health stand-point. This included sourcing information with regard to commonly recommended deworming protocols. The awareness of pet owners regarding parasitic zoonoses and the degree of education provided to them by veterinarians was also determined. A total of 1400 canine and 1063 feline faecal samples were collected from veterinary clinics and refuges from across Australia. The overall prevalence of gastrointestinal parasites in dogs and cats was 23.9% (CI 21.7-26.1) and 18.4% (CI 16.1-20.7), respectively. Overall Giardia duodenalis was the most prevalent parasite in dogs (9.3%, CI 7.8-10.8) followed by hookworm (6.7%, CI 5.4-8.0). Isospora felis was the most prevalent parasite in cats (5.6%, CI 4.2-7.0), followed by Toxocara cati (3.2%, CI 2.1-4.3). A highly sensitive and species-specific PCR-RFLP technique was utilized to differentiate the various hookworm species which can infect dogs and cats directly from eggs in faeces. Ancylostoma ceylanicum was detected for the first time in Australia in 10.9% of the dogs found positive for hookworm. This was a significant finding in terms of the zoonotic risk associated with this parasite. The zoonotic potential of Giardia and Cryptosporidium was investigated by genetically characterising isolates recovered from dogs and cats. All but one of the Giardia isolates successfully genotyped were host specific, indicating a low zoonotic risk. It was hypothesized that the lack of zoonotic Giardia Assemblages was a consequence of there being a low prevalence of Giardia in the human population. The Cryptosporidium recovered from dogs and cats was determined to be Cryptosporidium canis and Cryptosporidium felis respectively, a finding which supports growing evidence that Cryptosporidium in companion animals is of limited public health significance to healthy people. Very few of the veterinarians surveyed in the study routinely discussed the zoonotic potential of pet parasites with clients. Most of the veterinarians recommended the regular prophylactic administration of anthelmintics throughout a pet’s life. The low national prevalence of GI parasites reported is most likely a consequence of the widespread use of anthelmintics by pet owners. There is an over-reliance on anthelmintics by veterinarians to prevent and control parasites and their zoonotic risk. This has resulted in veterinarians becoming complacent about educating pet owners about parasites. A combination of routinely screening faecal samples for parasites, strategic anthelmintic regimes and improved pet owner education is recommended for the control of GI parasites in pet dogs and cats in Australia.
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26

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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27

Conway, Vivienne. "Website accessibility in Australia and the national transition strategy: Outcomes and findings". Thesis, Edith Cowan University, Research Online, Perth, Western Australia, 2014. https://ro.ecu.edu.au/theses/1405.

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In the most recent statistics, published by the Australian Bureau of Statistics in 2012, it was reported that slightly under one in five people stated they had a disability. A further twenty-one percent of the population (4.7 million people) reported that they had a long-term health condition that did not restrict their everyday activities. This total group of people who suffer either a disability or a long-term health condition numbers 8.9 million people, or over thirty-nine percent of the Australian population. Of the people reporting a disability, 3.7 million or eighty-eight percent of that group experienced limitations in the activities of self-care, mobility or communication, or were restricted in their education or employment. (W3C, 2013c) In 2010, the Australian Government Information Management Office (AGIMO) reported that an estimated one in five Australians or 3.95 million people experienced long term impairment. Of this figure, 2.6 million, or roughly fifteen percent of the population, of people with long term impairments are under the age of 65. At that time it was stated that eighty-six percent report that they experience a core limitation, which involves their mobility or communication and may restrict either their schooling or employment. (Australian Bureau of Statistics, 2010; Begbie, 2010) According to these figures, it would appear that the number of people with disabilities that restrict their daily lives has grown in line with population growth. In June 2010,the Australian Government released the Web Accessibility National Transition Strategy (NTS) (Australian Government Information Management Office (AGIMO), 2010a). This document outlines the plan for the adoption and implementation of the Web Content Accessibility Guidelines (WCAG) Version 2.0 (W3C, 2008d). This plan provides a strategy for all government websites to conform to WCAG 2.0 Priority Level A by December 2012 and Australian Government sites to WCAG 2.0 Priority Level AA by December 2014. In Australia, the Australian Human Rights Commission (AHRC) is responsible for administering the Disability Discrimination Act of 1992 (DDA) (Australian Government, 2013a) In order to assist organisations in complying with the DDA, the AHRC has produced the World Wide Web Access: Disability Discrimination Act Advisory Notes Version 4.0 (Advisory Notes). (Australian Human Rights Commission, 2010). These Advisory Notes reinforce the NTS, but also advise all non-government website holders to ensure their websites are compliant to WCAG 2.0 (W3C, 2008d). New non-government websites must adhere to WCAG 2.0 AA, and existing website owners have until December 31, 2013 to comply with this same level. (Australian Human Rights Commission, 2010) Australians have clearly embraced using the Web as their preferred method of dealing with the various levels of government. It is estimated that there are over 4600 registered domains in the gov.au space, with more than 4.2 million documents. Australians enter the federal government web space through ‘www.australia.gov.au’ which has led the transition to WCAG 2.0 by declaring their site compliant to WCAG 2.0 AA, with some elements complying with the AAA level. (Australian Government Information Management Office (AGIMO), 2009). The purpose of this research was to determine whether such a mandated approach by way of a federal government strategy would accomplish the goal of achieving compliance with WCAG 2.0. In order to accomplish this research goal, a selection of websites from government websites was assessed on a regular basis to observe their accessibility changes during the period of the NTS. In addition, this study included websites from non-government sites in order to observe their accessibility changes and also to compare these results with the government website results. The websites were selected in a targeted sample approach in an attempt to choose websites that would enable comparison of the accessibility results. For instance, the same category of websites from each state was selected including the state library, health, disability services, job search, emergency services and business development. Federal government websites were chosen to reflect these same categories plus additional websites with which it was considered Australians had the most contact, including but not limited to broadcasting, tax, health, and information services. The not-for-profit websites chosen represented those considered most well-known, while those selected for the government-affiliated category included a university from each state plus two utilities. The corporate website category included representatives from large corporations such as banks, airlines, mining companies and major shopping as well as representatives selected from organisations such as telecommunications, travel, public transportation, telecommunications and multimedia. In the local government category, the capital city and next largest city in terms of population was chosen from each state. The selection of websites was done in consultation with academic supervisors, members of the W3C as well as in consultation with staff at the Australian Government Information Management Office. Barriers in achieving compliance with WCAG 2.0 and critical success factors for those organisations which achieved the greatest level of compliance were identified both through the evaluation data and also through the surveys conducted throughout the research. The lack of a unified methodology for testing the websites for accessibility was highlighted as an area which needs to be addressed if the Government is to be able to conduct checks on agencies to monitor their progress toward achieving compliance with these accepted standards. The results of this research demonstrate that very few organisations succeeded in meeting even Level A of WCAG by the deadline of December 31, 2012. It is clear however that the government websites achieved greater compliance scores than non-government. In particular, the federal government websites both started as the most accessible and retained that position to the end of the data collection period. While very few websites in this research were successful in achieving compliance with WCAG 2.0 to even Level A, the NTS was successful in the raising of awareness of the issues and requirements of website accessibility, particularly for government agencies. Conversely, this means that the gap between the accessibility of government and non-government websites has widened which is clearly demonstrated by the results of this research.
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28

Holyoake, Carlysle Sian. "A national study of gastrointestinal parasites infecting dogs and cats in Australia". Thesis, Holyoake, Carlysle Sian (2008) A national study of gastrointestinal parasites infecting dogs and cats in Australia. PhD thesis, Murdoch University, 2008. https://researchrepository.murdoch.edu.au/id/eprint/703/.

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Despite the popularity of companion animal ownership in Australia, recent and comprehensive information with regard to the prevalence, epidemiology and public health significance associated with gastrointestinal parasites of pet dogs and cats in Australia is largely lacking. The primary aims of this study were to close this knowledge gap and to evaluate the veterinarian’s perception, awareness and knowledge of GI parasites in their locality, from a veterinary and public health stand-point. This included sourcing information with regard to commonly recommended deworming protocols. The awareness of pet owners regarding parasitic zoonoses and the degree of education provided to them by veterinarians was also determined. A total of 1400 canine and 1063 feline faecal samples were collected from veterinary clinics and refuges from across Australia. The overall prevalence of gastrointestinal parasites in dogs and cats was 23.9% (CI 21.7-26.1) and 18.4% (CI 16.1-20.7), respectively. Overall Giardia duodenalis was the most prevalent parasite in dogs (9.3%, CI 7.8-10.8) followed by hookworm (6.7%, CI 5.4-8.0). Isospora felis was the most prevalent parasite in cats (5.6%, CI 4.2-7.0), followed by Toxocara cati (3.2%, CI 2.1-4.3). A highly sensitive and species-specific PCR-RFLP technique was utilized to differentiate the various hookworm species which can infect dogs and cats directly from eggs in faeces. Ancylostoma ceylanicum was detected for the first time in Australia in 10.9% of the dogs found positive for hookworm. This was a significant finding in terms of the zoonotic risk associated with this parasite. The zoonotic potential of Giardia and Cryptosporidium was investigated by genetically characterising isolates recovered from dogs and cats. All but one of the Giardia isolates successfully genotyped were host specific, indicating a low zoonotic risk. It was hypothesized that the lack of zoonotic Giardia Assemblages was a consequence of there being a low prevalence of Giardia in the human population. The Cryptosporidium recovered from dogs and cats was determined to be Cryptosporidium canis and Cryptosporidium felis respectively, a finding which supports growing evidence that Cryptosporidium in companion animals is of limited public health significance to healthy people. Very few of the veterinarians surveyed in the study routinely discussed the zoonotic potential of pet parasites with clients. Most of the veterinarians recommended the regular prophylactic administration of anthelmintics throughout a pet’s life. The low national prevalence of GI parasites reported is most likely a consequence of the widespread use of anthelmintics by pet owners. There is an over-reliance on anthelmintics by veterinarians to prevent and control parasites and their zoonotic risk. This has resulted in veterinarians becoming complacent about educating pet owners about parasites. A combination of routinely screening faecal samples for parasites, strategic anthelmintic regimes and improved pet owner education is recommended for the control of GI parasites in pet dogs and cats in Australia.
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29

Holyoake, Carlysle Sian. "A national study of gastrointestinal parasites infecting dogs and cats in Australia". Holyoake, Carlysle Sian (2008) A national study of gastrointestinal parasites infecting dogs and cats in Australia. PhD thesis, Murdoch University, 2008. http://researchrepository.murdoch.edu.au/703/.

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Despite the popularity of companion animal ownership in Australia, recent and comprehensive information with regard to the prevalence, epidemiology and public health significance associated with gastrointestinal parasites of pet dogs and cats in Australia is largely lacking. The primary aims of this study were to close this knowledge gap and to evaluate the veterinarian’s perception, awareness and knowledge of GI parasites in their locality, from a veterinary and public health stand-point. This included sourcing information with regard to commonly recommended deworming protocols. The awareness of pet owners regarding parasitic zoonoses and the degree of education provided to them by veterinarians was also determined. A total of 1400 canine and 1063 feline faecal samples were collected from veterinary clinics and refuges from across Australia. The overall prevalence of gastrointestinal parasites in dogs and cats was 23.9% (CI 21.7-26.1) and 18.4% (CI 16.1-20.7), respectively. Overall Giardia duodenalis was the most prevalent parasite in dogs (9.3%, CI 7.8-10.8) followed by hookworm (6.7%, CI 5.4-8.0). Isospora felis was the most prevalent parasite in cats (5.6%, CI 4.2-7.0), followed by Toxocara cati (3.2%, CI 2.1-4.3). A highly sensitive and species-specific PCR-RFLP technique was utilized to differentiate the various hookworm species which can infect dogs and cats directly from eggs in faeces. Ancylostoma ceylanicum was detected for the first time in Australia in 10.9% of the dogs found positive for hookworm. This was a significant finding in terms of the zoonotic risk associated with this parasite. The zoonotic potential of Giardia and Cryptosporidium was investigated by genetically characterising isolates recovered from dogs and cats. All but one of the Giardia isolates successfully genotyped were host specific, indicating a low zoonotic risk. It was hypothesized that the lack of zoonotic Giardia Assemblages was a consequence of there being a low prevalence of Giardia in the human population. The Cryptosporidium recovered from dogs and cats was determined to be Cryptosporidium canis and Cryptosporidium felis respectively, a finding which supports growing evidence that Cryptosporidium in companion animals is of limited public health significance to healthy people. Very few of the veterinarians surveyed in the study routinely discussed the zoonotic potential of pet parasites with clients. Most of the veterinarians recommended the regular prophylactic administration of anthelmintics throughout a pet’s life. The low national prevalence of GI parasites reported is most likely a consequence of the widespread use of anthelmintics by pet owners. There is an over-reliance on anthelmintics by veterinarians to prevent and control parasites and their zoonotic risk. This has resulted in veterinarians becoming complacent about educating pet owners about parasites. A combination of routinely screening faecal samples for parasites, strategic anthelmintic regimes and improved pet owner education is recommended for the control of GI parasites in pet dogs and cats in Australia.
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Shaharyar, Muhammad. "A GIS inventory of trails in John Forrest National Park Western Australia". Thesis, Shaharyar, Muhammad (2016) A GIS inventory of trails in John Forrest National Park Western Australia. Masters by Coursework thesis, Murdoch University, 2016. https://researchrepository.murdoch.edu.au/id/eprint/34859/.

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Protected areas are facing serious threat due to direct and indirect impacts of human activities. Official and vistor created trails monitored and investigated for management and protection purpose. Geospatial tools are highly implacable in impact assessment and inventory research. GIS inventory was conducted to understand the spatial distribution of formal and informal trails in the study area. We estimated that the linear distribution of trails is 151km of which 52% are informal trails. We have explored that the minimum width along user created trails is 0.6 meters, and the maximum width is 3 meters with a mean value of 2.3m. The inventory estimated the trail footprint covers an area of 69ha in the national park (out of 2676). User activity is an important aspect of trail inventory by analysing trails attributes (width, slope, TTF) off track activities have been identified as well. Flatter and wider trails are an indictaion of ORV and management vehicles driving on trails. Hotspots such as vandalism, TTFs, and informal boundary intersections were mapped as well, clearing vegetation on an area of 138ha in the study area. We observed that approximately 197ha of vegetation been lost due to planned, unplanned trails and hotspots. Trail slope is significant for impact assessment can be used to estimate erosion potential and hazard assessment. Slope distribution models (with 0 to 25 interval) were developed for formal, informal trails in the national park. Steeper slope, lower width is an indication of bike riding and walking on user created trails. We verified trail parameters and user related issues (Trail technical features, width, length, activity, vandalism, informal boundary intersects, ORV, bike riding on both planned and unplanned tracks) while ground-truthing survey (appendix figure 2). Comparing our inventory results with investigations conducted around the world accuracy were found around 75% to 78% (varying with a spatial and spectral resolution of available data). We concluded that GIS and remote sensing is capable of conducting inventory, efficiency can be improved by using higher spatial resolution data and then integrating inventory with field survey. We recommend that park management should involve users (bike riders) in data collection process as to educate them and understand their behaviour.
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Drake, Paul L. "Drought traits of Eucalyptus gomphocephala in Yalgorup National Park". Thesis, Edith Cowan University, Research Online, Perth, Western Australia, 2008. https://ro.ecu.edu.au/theses/188.

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Isohydric and anisohydric regulation of plant water status has been observed over several decades of field, glasshouse and laboratory studies, yet the functional significance and mechanism of both remain obscure. W e studied the seasonal trends in plant water status and hydraulic properties in a natural stand of Eucalyptus gomphocephala through cycles of varying environmental moisture (rainfall, groundwater depth, evaporative demand ) in order to test for isohydry and to provide physiological information for the mechanistic interpretation of seasonal trends in plant water status. Over a 16-month period of monitoring, spanning two summers, midday leaf water potential correlated with pre-dawn leaf water potential, which was correlated with water table depth below f:,>rnund level, which in tum was correlated with total monthly rainfall. Eucalyptus gomphocephala was therefore not isohydric. Despite strong stomatal downregulation of transpiration rate in response to increasing evaporative demand, this was insufficient to prevent midday leaf water potential from falling to levels below -2. 0 MPa in the driest month, well into the region likely to induce significant xylem air embolisms. However, even though midday leaf water potential varied by over 1 .2 MPa across seasons, the hydrodynamic plant water potential gradient (delta psi plant), inferred as the difference between pre-dawn and midday leaf water potential, was relatively constant across seasons, averaging about 0.6 MPa. This unusual pattern of hydraulic regulation, referred to here as isohydrodynamic, is predicted by a hydromechanical stomatal control model, but only when plant hydraulic conductance is dependent on transpiration rate. We observed a correlation between midday transpiration rate and whole-plant hydraulic conductance that was consistent with this requirement, although conditions did not allow dependence of one on the other to be established . The accuracy of the model is improved slightly with the addition of a root-shoot signal allowing guard cell osmotic pressure to decline in response to soil water potential. The implications of the observed pattern of hydraulic regulation are discussed in the context of mechanistic requirements in the stomatal control system, and its possible function in related physiological processes .
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32

Baughen, G. A. K. "The place of New Zealand as a security partner for Australia". Thesis, Canberra, ACT : The Australian National University, 1990. http://hdl.handle.net/1885/112132.

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Until recent years it was common for commentators on either side of the Tasman to speak of the congruence of the security outlooks of Australia and New Zealand. This view was founded not just on geostrategic considerations, or on the formal alliance dating from 1944, but on a range of perceived similarities between the two countries, historical, ethnic, cultural, economic, political. It was cemented by a tradition of intimate military co-operation, and the associated Anzac mythology. Nevertheless, Australia and New Zealand have never had identical security outlooks, as has lately become better appreciated. The catalyst has been the policy of the Lange and Palmer Governments in New Zealand towards nuclear defence, and specifically towards visits of nuclear armed or powered ships and aircraft in New Zealand. However, this is only the clearest expression of the dissimilarities between Australia and New Zealand which have existed as a counterpoint to the trans- Tasman security relationship. The relationship endures, but its shape is changing as the two nations develop in sometimes divergent directions.
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Economou, Nicholas. "Greening the Commonwealth : the Australian Labor Party government's management of national environmental politics, 1983-1996 /". Connect to thesis, 1998. http://eprints.unimelb.edu.au/archive/00000333.

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Webb, Kenneth G. "Managing asymmetric threats to national security - terrorist information operations". Thesis, Edith Cowan University, Research Online, Perth, Western Australia, 2007. https://ro.ecu.edu.au/theses/284.

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To determine an appropriate methodological approach for managing asymmetric threats to national security, this study investigates factors affecting Australia's national security from the information operations of terrorist groups and their use of such to conduct Information warfare. This is because personal observations and discussion with those operating In the national security arena alert to the need for research into this area. The reasoning examined provides the merit and purpose for conducting the research, and support from a myriad of parties allows it happen. This research's fundamental concept is the social constructs of meaning from interview participants using a constructivist ontology, interpretlvlst epistemology and qualitative approach paradigm. Selection of the constructivist ontology occurs due to the research aim and for understanding the perceptions of interview participants. The interpretivist approach gives the framework for interpreting meaning of the perceptions in an appropriate context and a qualitative approach using soft systems methodology allows this to happen.
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Gore, James Michael. "Representations of history and nation in museums in Australia and Aotearoa New Zealand : the National Museum of Australia and the Museum of New Zealand, Te Papa Tongarewa /". [Australia] : J. Gore, 2002. http://eprints.unimelb.edu.au/archive/00000320.

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Zainudin, Wan Nur Rahini Aznie Binti. "Essays on Australian wholesale electricity price spikes and the Australian pre-dispatch process". Thesis, University of Manchester, 2014. https://www.research.manchester.ac.uk/portal/en/theses/essays-on-australian-wholesale-electricity-price-spikes-and-the-australian-predispatch-process(7e41cd18-2bf7-49bd-aeb7-c7c5f1b567fa).html.

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In the first essay I examine whether the occurrences of the extreme price events display any regularities that can be captured using an econometric model. Here I treat these price events as point processes and apply Hawkes and Poisson autoregressive models to model the dynamics in the intensity of this process. I use load and meteorological information to model the time variation in the intensity of the process. The models are applied to data from the Australian wholesale electricity market, and a forecasting exercise illustrates both the usefulness of these models and their limitations when attempting to forecast the occurrence of extreme price events. In the second essays I explain that in the past doubts have been raised as to whether the pre-dispatch process in Australia Electricity Market is able to give market participants and market operator good and timely quantity and price information. It is the purpose of the second essay to introduce a framework to analyse whether the pre-dispatch process is delivering biased predictions of the actual wholesale spot price outcomes. Here I investigate the bias by comparing the actual wholesale market spot price outcome to pre-dispatch sensitivity prices established the day before dispatch and on the day of dispatch. I observe a significant bias (mainly indicating that the pre-dispatch process tends to underestimate spot price outcomes) and I further establish the seasonality features of the bias across seasons and/or trading periods. I also establish changes in bias across the years in our sample period (1999 to 2007). In the formal setting of an ordered probit model I establish that there are some exogenous variables that are able to explain increased probabilities of over- or under-predictions of the spot price. It transpires that meteorological data, expected pre-dispatch prices and information on past over- and under-predictions contribute significantly to explaining variation in the probabilities for over- and under-predictions. The results allow me to conjecture that some of the bids and re-bids provided by electricity generators are not made in good faith. Finally, the third essay investigates whether information from this pre-dispatch process can be useful when predicting next-day price spikes. In a preliminary analysis I establish the effect of pre-dispatch prices on the quantiles of the spot price distribution. A Quantile regression approach reveals that higher pre-dispatch prices signal only to a certain extent an increased probability of higher spot price outcomes. They also signal a higher uncertainty about the resulting spot price outcomes. I further establish whether the inclusion of information from the pre-dispatch process can significantly improve the predictability of price spikes when these are modelled as a point process (as in the first essay). The models used here are Hawkes and Poisson autoregressive models which allow for time variation (correlated to exogenous information) in the intensity process that governs the occurrence of price spikes. It transpires that the pre-dispatch process of the Australian Electricity Market does not provide any information that can be used in a systematic manner to help predicting on what days price spikes are more likely to occur.
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Phillips, Kristen. "Immigration detention, containment fantasies and the gendering of political status in Australia". Curtin University of Technology, School of Communication and Cultural Studies, Faculty of Media Culture and Creative Arts, 2009. http://espace.library.curtin.edu.au:80/R/?func=dbin-jump-full&object_id=129031.

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This thesis is about border politics, in more than one sense. It looks at the recent period of anxiety about the control of Australian national borders (approximately, from the late 1990s until the 2007 Federal election), and attempts to understand how certain assumptions about women as potential reproductive bodies permeated biopolitical discourses in Australian national culture during this period. I employ the term ‘containment’ in order to make sense of this cultural moment. With reference to the work of theorists of modernity such as Michel Foucault and Zygmunt Bauman, I argue that containment is a key discourse in modern cultures—a way of thinking and speaking about confinement, control, management and order. It structures how we think about the management of populations and is a central part of the justification for the confinement of problem populations by modern political authorities. As such, then, it describes the ways in which the use of immigration detention for unlawful non-citizen asylum seekers has been thought about and accepted as reasonable in Australian national culture.
However, a discourse of containment has also been central to the thinking about gendered bodies in modernity, in particular to assumptions about the control of women’s bodies. The assumptions about the containment of women in the modern gender order are directly linked to ideas about political status, citizenship and sovereignty in modern nation-states. Drawing on Giorgio Agamben’s notion of ‘bare life’—the life that is excluded from the protections of citizenship and thus left unprotected from violence—I attempt to make sense of the connections between the immigration detention camp as a site where the modern state exerts control over the life of the nation, and that modern state’s attempts to control reproductive and reproducing bodies. The reducing of certain people to the status of bare life is, then, a gendered process. Women and men are stripped of political status in different ways because they are assumed to have, or potentially have, different kinds of political status.
I therefore consider how ideas about women as reproductive bodies were integral to the discourse and practices of containment which underpinned the use of immigration detention in Australia. These ideas were important at a number of levels. Firstly, ideas about women as reproductive bodies infused the thinking about national borders, border control and the management of national reproduction. Secondly, a racially inflected discourse about ‘women and children’ was of central importance in shaping the ways in which male and female asylum seekers in immigration detention were treated. In the techniques used to control and manage gendered asylum-seeking bodies, key modern assumptions about women as reproductive bodies, the family, sovereignty and violence are revealed. Furthermore, I argue that many popular culture texts which attempt to make sense of, or critique, Australian national border politics have reinforced the same gendered ideas about containment, the same naturalised assumptions about the reproduction of the nation, which underpinned exclusionist border politics and the use of immigration detention. Examining the intersection of gendered and national discourses of containment in national border politics reveals the gendered violence which infuses the modern social order.
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Wang, Ying. "Representations of obesity in national newspapers: A comparative study between China and Australia". Thesis, Edith Cowan University, Research Online, Perth, Western Australia, 2020. https://ro.ecu.edu.au/theses/2367.

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Nearly two-thirds of Australians and up to half of all Chinese are overweight. Global obesity figures have tripled since 1975 (WHO, 2018b), which demonstrates that obesity is a major global health problem. It is critical to examine how print media represent obesity because they influence public understanding of the problem. It is also essential to determine ways to improve health journalism and health outcomes. While there is a significant body of literature that has examined representations of obesity in the Australian press through mixed approaches, there is a deficit of media research into how China’s press has represented this issue. This study investigated how obesity was represented in two national newspapers—China Daily and The Australian—between 2013 and 2018. Content analysis was performed to reveal the types and frequency of obesity-related news items regarding causes, determinants, impacts, solutions and sources. Additionally, discourse analysis was undertaken to qualitatively reveal the framing of obesity based on findings from the content analysis. China Daily was selected because it is China’s largest-selling national daily English-language newspaper, while The Australian is Australia’s largest daily national newspaper. More than 1000 news items on obesity published in the two newspapers between 2013 and 2018 were retrieved through Factiva. Content analysis uncovered that obesity was under-presented in both newspapers. Individual causes and solutions were the most prominent news items in both newspapers, whereas genetic and biological determinants were less likely to be presented. For childhood obesity, parental determinants appeared more often than social determinants. Findings from the discourse analysis found three prominent frames—legitimation, responsibility and stereotype—in which individual responsibility was highlighted, while social responsibility was backgrounded. Individual responsibility and blaming were the dominant discourses in both newspapers. Further, stereotypes, weight stigma and the thin ideal discourse were mentioned in the news items. Framing analysis revealed that news items on obesity tended to shift health costs onto individuals rather than highlight the responsibility of the food and drink industries. The presence of stereotype frames was greater in China Daily than The Australian.
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Walsh, Fiona Jane. "To hunt and to hold : Martu Aboriginal people's uses and knowledge of their country, with implications for co-management in Karlamilyi (Rudall River) National Park and the Great Sandy Desert, Western Australia". University of Western Australia. School of Plant Biology, 2009. http://theses.library.uwa.edu.au/adt-WU2009.0127.

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[Truncated abstract] This ethnoecological study examines land uses by modern Martu Aboriginal people on their country. They occupy very remote settlements—Parnngurr, Punmu and Kunawarritji—in the Great and Little Sandy Deserts. In 1990, their country included Crown Lands and Rudall River National Park. The study investigated the proposition that the knowledge and practices of Martu were of direct relevance to ecosystem processes and national park management. This research commenced in the wider Australian research context of the late 1980s – early 90s when prevailing questions were about the role of customary harvest within contemporary Aboriginal society (Altman 1987; Devitt 1988) and the sustainability of species-specific harvests by Australian indigenous people (Bomford & Caughley 1996). Separately, there was a national line of enquiry into Aboriginal roles in natural resource and protected area management (Williams & Hunn 1986; Birckhead et al. 1992). The field work underpinning this study was done in 1986–1988 and quantitative data collected in 1990 whilst the researcher lived on Martu settlements. Ethnographic information was gathered from informal discussions, semi-structured interviews and participant observation on trips undertaken by Martu. A variety of parameters was recorded for each trip in 1990. On trips accompanied by the researcher, details on the plant and animal species collected were quantified. Martu knowledge and observations of Martu behaviour are interpreted in terms of the variety of land uses conducted and transport strategies including vehicle use; the significance of different species collected; socio-economic features of bush food collection; spatio-temporal patterns of foraging; and, the 'management' of species and lands by Martu. The research found that in 1990, hunting and gathering were major activities within the suite of land uses practiced by Martu. At least 40% of trips from the settlements were principally to hunt. More than 43 animal species and 37 plant food species were reported to be collected during the study; additionally, species were gathered for firewood, medicines and timber artefacts. Customary harvesting persisted because of the need for sustenance, particularly when there were low store supplies, as well as other reasons. The weight of bush meats hunted at least equalled and, occasionally, was three times greater than the weights of store meats available to Parnngurr residents. ... Paradoxically, hunting was a subject of significant difference despite it being the principal activity driving Martu expertise and practice. There is potential for comanagement in the National Park but it remains contingent on many factors between both Martu and DEC as well as external to them. The dissertation suggests practical strategies to enhance co-management.
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Littlefair, Carolyn Joy, e n/a. "The Effectiveness of Interpretation in Reducing the Impacts of Visitors in National Parks". Griffith University. School of Environmental and Applied Science, 2004. http://www4.gu.edu.au:8080/adt-root/public/adt-QGU20050324.085357.

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With visitation to natural areas increasing, the appropriate management of these areas is important. There are a number of management tools available which endeavour to minimise environmental impacts of visitors. One such management tool is interpretation. Interpretation is widely used as a management tool because: it is perceived to be the most cost effective method; it is a light-handed approach and allows visitors the freedom of choice; and it enhances visitor experiences and satisfaction. However, the ability of interpretation to bring about a reduction in the impacts of visitors to natural areas, has rarely been quantified. This study was designed to determine the extent to which an interpretive program reduced the environmental impacts of visitors to national parks. Fieldwork was undertaken in Lamington National Park, where 41 guided walks were examined. To measure the actual behaviour or resulting impacts of visitors in a national park, three appropriate environmental indicators were chosen: shortcutting of corners, picking up litter already on the track, and noise levels. Five interpretive programs were created, each with a different combination of environmental interpretation, role modelling and verbal appeals. For the shortcutting results, the interpretive program with the combination of environmental interpretation, role modelling by the guide and verbal appeals from the guide, was always the most effective in reducing shortcutting. Visitors in this interpretive program were always, statistically, less likely to shortcut than visitors on all the other interpretive programs. The programs with only environmental interpretation or no environmental interpretation, were always least effective in reducing shortcutting. The interpretive programs with environment interpretation plus role modelling, or verbal appeals, were always in the middle of these extremes. They were more effective than having neither role modelling or verbal appeals, but less effective than having both. Results for the amount of litter picked up found that the inclusion of verbal appeals in an interpretive program was the only factor that influenced whether visitors picked up litter. In addition, there was no difference in the amount of litter picked up, by the interpretive program with environmental interpretation only, and the program with no environmental interpretation. Results for the noise levels of visitors, found that no interpretive program reduced the amount of shouting and talking loudly of visitors. Although not statistically significant, it did appear that there were lower proportions of shouting and talking loudly, following a verbal appeal and/or role modelling. Additionally, there was no influence of the interpretive program on the proportion of time visitors were talking, or quiet, during their walk. Overall, this research found that interpretation can be an effective management tool in reducing visitor impacts. Interpretation is most effective in reducing impacts when those impacts are specifically addressed through verbal appeals, combined with positive role modelling of appropriate behaviours. However, interpretation did not reduce all the impacts studied and therefore is not the solution to all problems. Implications of this study are that those using interpretation as a means of reducing visitor impacts, must ensure that they have a high standard of interpretation, which specifically addresses the impacts that need to be reduced. It also highlights the importance of the role of the guide, and that those employed should be well trained and competent in their position.
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Deas, Megan Elizabeth. "Imagining Australia: Community, participation and the 'Australian Way of Life' in the photography of the Australian Women's Weekly, 1945-1956". Phd thesis, Canberra, ACT : The Australian National University, 2018. http://hdl.handle.net/1885/148424.

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While the cultural history and practices of press photography in Australia have gained scholarly attention in recent years, the contribution of other forms of photography published in magazines—including editorial, advertising and readers’ photographs—to burgeoning concepts of nationhood has been largely overlooked. This thesis examines the role of photography in visualising a post-war ‘imagined community’ in a study of The Australian Women’s Weekly magazine, the highest-circulating weekly publication in the country, between the end of the Second World War in 1945 and the introduction of television in 1956. In its examination of these photographs, the thesis asks: What narratives of national identity were evident in the photographs? What subject matter and framing techniques were frequently employed to construct a national photographic language? And what does this reveal about the values the Weekly’s publisher and editors attached to being Australian? I argue that the Weekly was not passively depicting or reflecting a national community and its ‘Way of Life’, but that it actively constructed an Australian identity through the thousands of photographs it published, while simultaneously instructing its readers what good citizenship looked like—and how to perform their belonging to the nation. Visual analysis of over 200 photographs highlights the predominant narratives during the period, including an emphasis on the practice of family photography to reinforce ideals of urban, family life as centred within the modern home. Representations of immigration and Aboriginal Australians, the repetition of photographs of families participating in community events, and a valorisation of the rural worker’s relationship with the land were intertwined with the concepts of ordinariness and of the ‘Australian Way of Life’. These core ideals were deployed to enable multiple and potentially oppositional narratives to coexist on the pages of the magazine. Analysis of a series of readers’ colour travel photographs published in the later years of the study foregrounds the Weekly’s encouragement of its readers as collaborators by providing them with an opportunity to demonstrate their performance of national identity. The magazine thus became a platform through which readers contributed to the visual narrative of Australianness, via the medium of photography as a form of participatory citizenship. The thesis foregrounds the implementation of a high-speed printing press in 1950 as a turning point at which readers saw a significant increase in the publication of colour photographs of native flora and fauna, and specifically photographs of ordinary Australians within the landscape. I argue that Alice Jackson and Esme Fenston, the Weekly’s editors during the period of study, positioned it as the mediator of knowledge about Australia, and constructed a relationship with readers based on notions of intimacy and authority. Situated within the multidisciplinary field of visual culture, and drawing from photography studies, visual anthropology, cultural history and media studies, the thesis highlights the cultural work of photography in the process of imaging, and imagining, post-war Australia.
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42

Encel, John Daniel. "National factions in the Australian Labor Party". Phd thesis, 2002. http://hdl.handle.net/1885/148652.

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Briggs, Justin. "Australian Citizenship: a genealogy tracing the descent of discourse 1946 - 2007". 2009. http://hdl.handle.net/2100/882.

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This thesis is a genealogy which traces changes to the discourse of Australian citizenship. These changes were traced in the Australia Day (i.e., January 26) and January 27 editions of The Sydney Morning Herald (SMH) and The Sun Herald (SH) from 1946 – 2007. The dissertation used Foucault’s (1980; 1991a; 1991d; 1991e; 1998; 2002a; 2006b) genealogy supplemented with his archaeological method to provide an analysis of the discourse of Australian citizenship. The analysis was conducted by creating an archive of newspaper texts that related to Australian citizenship discourse. This archive represents the body of knowledge about citizenship as published in the specified print media and reflects the systems of thought that circulated the discourse at particular points in time. The archived newspaper texts related to Australian citizenship discourse contain traces of the social, political, cultural and economic beliefs and values of Australian citizens. The analysed texts were found in headlines, reports, editorials, opinion pieces, annotated photographs and letters to the editor that made-up the day-to-day history of the Australia Day editions. The texts that were produced in this narration in the SMH have provided data in the form of specific language use that defines the discourse of citizenship over the 62 year period. The language of these texts as reported in the print media represents the understandings of citizenship at particular times and also the discursive responses to contingent factors conditioning citizenship discourse including globalisation, localisation and neo-liberalism. The research links with Foucault’s (1980; 1991a; 1991d; 1991e; 1998; 2002a; 2006b) findings that the analysis of discourse is fundamental for understanding the nature of reality. This reality reported in this dissertation indicates a discourse that has changed and transformed over the analysed period of time. The discourse of citizenship has developed through the flow of rules and regulations that prohibit and permit what can and cannot be said, thought or spoken about citizenship at particular points in time. This form of normative thought, action and speech is culturally constructed and has been traced in the discourse through a mapping of specific language use related to understandings of citizenship. These types of knowledge constructions are artefacts of culture and reinforce existing power relations. This study has attempted to unmask these relations of power to question the rationality of the practices and experiences of Australian citizenship. The genealogical method allows for the distillation of citizenship discourse as a history of social and political truths as seen in the print media from 1946 – 2007. The genealogy of Australian citizenship presented in this dissertation lays bare the characteristic forms of power/knowledge manifested in the discourse over the post-World War Two period of Australian history to show systems of thought pertaining to citizenship. By doing so it shows that current citizenship practices are not the result of historical inevitabilities but rather the result of the interplay of contingencies. By emphasising citizenship in this way the thesis offers insights into how it can be refashioned to offer greater individual freedom through an understanding of the games of truth that are played throughout all levels of society. The manifestation of power/knowledge in the discourse is further evidence that citizens exist in relations of power. These manifestations produced five distinct thematic discursivities. I labelled them as, ‘The silencing of Aboriginal concerns 1946 – 1969, Authorised voices question the acceptance of poverty and racism 1969 – 1980, Relations of power between Aboriginal Australians and whites 1981 – 1988, Relations of power between Asian immigrants and whites 1989 – 1996, The struggle of cultural dominations 1997 – 2007’. In particular, a discontinuity was identified during the period Relations of power between Aboriginal Australians and whites 1981 – 1988. From this time in the discourse Indigenous Australians were permitted to criticise their treatment by whites. Subsequently this permission has become embedded in systems of thought. This thesis gives details of the products of the genealogical method related to the discourse of citizenship. It pinpoints the moments when individuals and social, cultural, economic and political groups played roles in the production, reproduction and transmission of truth from 1946 - 2007. Based on the products of the research it creates recommendations for minimising the potential dominations of social and political truths. It also suggests ways to re-think Australian citizenship to afford greater freedoms for individual thought, speech and action.
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Lin, Tzun-Han, e 林宗漢. "National Security Strategy of Australia , 1991~2004". Thesis, 2005. http://ndltd.ncl.edu.tw/handle/20379995387980537989.

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碩士
國立中山大學
中山學術研究所
93
Australia, a country of Oceania, was one of the British colonies. Therefore, the relationship among Australia, European countries and American is closer than with Asia countries in aspects of politics, economy, diplomacy and culture. Basically, from the geographical strategic point of view, Australia locates near the Asia-Pacific Zone that impels Australia greatly depends on its neighboring countries. Especially the national security and economical benefit of Australia relies on the stability and development of the Southeast Asia countries. After WWII, the economy in Southeast Asia grows significantly which forced Australia to enhance its communication with the countries of Asia Pacific Zone to sustain its national security and economical benefit. From post Cold-War period to 2004, in order to respond the change of international situation, the security and strategy of Australia under the instructions of the Defense White Paper and the Foreign Trade Policy White Paper are as the following: (1)Maintain strong military capability which is able to defend Australia;(2)Maintain and reinforce the traditional alliance with Europe and America;(3)vigorously maintain the security and stability of the neighboring countries;(4)Support multilateral regional security mechanism in Asia-Pacific region;(5)Participate in the UN. Therefore, according to the papers, the Australia national security strategy can be categorized into two principal axises. First, maintain the security alliance with the United Stated, to acquire various resources from the United States. In hence, Australia would become a great country in the region. Secondly, build a buffer zone of Australia by maintaining the stability of the region and the completion of Indonesia territory, avoiding the turbulent of neighboring region and evade it becoming the hotbed of terrorists.
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Sewell, Bon. ""Australia full : Asians out! White supremacists in!" : a study of the dynamics of the Australian National Action Movement in Australia". Thesis, 1995. https://vuir.vu.edu.au/32990/.

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My rationale for tackling this particular issue for my thesis work stems from the immense fascination in the rhetoric, appearance and rationale of extremist right-wing and ultra-nationalist pohtical organizations I have personally experienced. I desired to determine whether an Australian national racist organization, namely Australian National Action (NA), could in the future be a force to be reckoned with, or whether they will forever remain as an insignificant and languishing fringe group. To explore this possibiUty, I had hoped to delve into the dynamics of this organization via the utilisation and answering of several probing and pivotal questions.
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Fort, Carol S. (Carol Susan). "Developing a national employment policy : Australia 1939-45". 2000. http://web4.library.adelaide.edu.au/theses/09PH/09phf736.pdf.

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Bibliography: leaves 378-400. Studies the development of national employment policy in wartime Australia. This experience encouraged the establishment of a centrally controlled employment service as a lynch pin of Australian federal government's post-war reconstruction policy.
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Hay, David Andrew. "Military manoeuvres : national service in Australia 1945-1972". Phd thesis, 2003. http://hdl.handle.net/1885/151741.

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Hansen, GS. "History curatorship in Australia : case studies from the National Museum of Australia 1991-2008". Thesis, 2009. http://hdl.handle.net/10453/33281.

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University of Technology, Sydney. Faculty of Arts and Social Sciences.
The main argument of this thesis is that history curatorship in Australia does not, as yet, possess a mature critical culture. While there is a growing literature in the academy about museums, there is surprisingly little material written by practising history curators. History curatorship, as such, lacks a tradition of critical writing about its professional practice. All too often curators move from one project to the next with little time to reflect on the way they work. While some curators have written about their work the impression emerges that history curators are still struggling to define what it is they do and how they do it. In this thesis I explore the relationship between theory and practice, or praxis, in relation to history curatorship. In most exhibitions curators seek to apply a theoretical framework to the subject matter they are working on. In some instances this is a self conscious process and in others it is implicit in their work. I will explore a series of case studies from projects I have completed at the NMA to explore this relationship in my own work. As such the thesis is designed to be an interrogation of my own professional practice. Reflecting on the work I have completed provides some valuable insights into the practice of history curatorship.
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Frederick, Ursula. "Drawing in differences : changing social contexts of rock art production in Watarrka (Kings Canyon) National Park, Central Australia". Master's thesis, 1997. http://hdl.handle.net/1885/150334.

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Beer, Chris. "Imagining and practising a national capital city : political geographies of Canberra". Phd thesis, 2008. http://hdl.handle.net/1885/151330.

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