Дисертації з теми "Colonies of New South Wales"

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1

Elliott, Jane E. "The colonies clothed : a survey of consumer interests in New South Wales and Victoria, 1787-1887 /." Title page, contents and introduction only, 1988. http://web4.library.adelaide.edu.au/theses/09PH/09phe462.pdf.

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2

Huf, Benjamin. "Making Things Economic: Theory and Government in New South Wales, 1788-1863." Phd thesis, Canberra, ACT : The Australian National University, 2018. http://hdl.handle.net/1885/154253.

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This thesis is a study of the invention and consolidation of a domain of knowledge and government we today denominate as the ‘economic’ in the particular context of the British colonisation of New South Wales. Two lines of argument are pursued. The first recovers the idea of British imperialism in New South Wales as an ‘economic’ project, in which phenomena that have been typically assumed as essential to colonial development – convict work, land settlement, wool growing, migration and their impact on Aboriginal societies – came to be classified, organised and administered as distinctly economic problems. As imperial and colonial authorities increasingly appropriated the ‘constitutive metaphors’ of Ricardian political economy in their reports, inquiries and correspondence, they re-narrated these phenomena from discrete problems of state to integrated dynamics of production, distribution and wealth-accumulation. This economic project is studied in distinction from, even as it intersected with, the paradigms of democratisation, settler colonialism and legal-positivist statism with which historians have tended to frame the colony’s political and intellectual history in the first half of the nineteenth century. Its legacies, in the identities it forged and projects it legitimated, have been as enduring as the colonial constitution but less closely assessed. The second line of argument, arising from this reading of colonial history, revises the significance of nineteenth-century political economy as an emergent political vocabulary in a nascent Australian political culture, and in English-speaking Anglophone culture more generally. In appropriating political economy as an official discourse, imperial authorities not only helped insulate the ‘economic’ as a domain of knowledge, but consolidated a new, reductive framework for interpreting, governing and debating social interaction, regulated by the imperatives of supply and demand, profits and wages. Together, these two lines of argument are offered as a critical exercise in recovering and recognising the historical functioning of economic language in official, public and everyday speech. They provide a fresh perspective on aspects of the colonial past, and recover legacies which continue to shape our world today.
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3

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

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Between 1870 and 1901, seventeen officers from the British army were appointed by the governments of the Australian colonies and New Zealand as commanders of their colonial military forces. There has been considerable speculation about the roles of these officers as imperial agents, developing colonial forces as a wartime reserve to imperial forces, but little in depth research. This thesis examines the role of the imperial commandants with an embryonic system of imperial defence and their contribution to the development of the colonial military forces. It is therefore a topic in British imperial history as much as Australian and New Zealand military history. British officers were appointed by colonial governments to overcome a shortfall in professional military expertise but increasingly came to be viewed by successive British administrations as a means of fulfilling an imperial defence agenda. The commandants as ???men-on-the-spot???, however, viewed themselves as independent reformers and got offside with both the imperial and colonial governments. This fact reveals that the commandants occupied a difficult position between the aspirations of London and the reality of the colonies. They certainly brought an imperial perspective to their commands and looked forward to the colonies playing a role on the imperial stage but generally did so in terms of a personal agenda rather than one set by London. This assessment is best demonstrated in the commandants??? independent stance at the outset of the South African War. The practice of appointing British commandants in Australasia was fraught with problems because of an inherent conflict in the goals of the commandants and their colonial governments. It resembles the Canadian experience of the British officers which reveals that the system of imperials military appointments as a whole was flawed. The problem remained that until a sufficient number of colonial officers had the prerequisite professional expertise for high command there was no alternative. The commandants were therefore the beginning rather than the end of a traditional reliance upon British military expertise. The lasting legacy of the commandants for the military forces of Australia and New Zealand was the development of colonial officers, transference of British military traditions, and the encouragement of a colonial military identity premised on the expectation of future participation in defence of the empire. The study provides a major revision to the existing historiography of imperial officers in the colonies, one which concludes that far from being ???imperial agents??? they were largely marching to their own drum.
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4

McIntyre, Julie Ann. "A 'civilized' drink and a 'civilizing' industry: wine growing and cultural imagining in colonial New South Wales." University of Sydney, 2009. http://hdl.handle.net/2123/5763.

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Doctor of Philosophy (PhD)
My starting point for this thesis was the absence of a foundation history of Australian wine growing conducted by an historian rather than researchers in other disciplines or the media. I have used existing work on wine history in New South Wales from 1788 to 1901 alongside a significant body of new research to create an historical argument suitable for incorporation into more broadly-themed narratives of Australian history and to inform studies of wine growing in other academic fields. My main argument is that although wine growing proved of little economic value in colonial primary production compared with nation-building commodities - such as pastoralism, wheat growing and gold - advocates of the cultivation of wine grapes believed wine growing embodied beneficial, even transformative, cultural value so they persisted in attempting to create a ‘civilizing’ industry producing a ‘civilized’ drink despite lacklustre consumption of their product and very modest profits. Several times, from 1788 to 1901, these advocates spoke out or wrote about wine and wine growing as capable of creating order in a wild or ‘savage’ landscape and within a settler society shaped culturally by shifting adaptations to both imported and ‘native’ influences in agriculture as well as alcohol production, consumption and distribution. While the methodological framework employed here falls mainly within cultural and economic history, sociological theories have contributed to findings on causation. The result is a comprehensive narrative of colonial wine growing in New South Wales enriched by links to key developments in Australian colonial history and with reference to wine growing in other British colonies or former territories.
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5

Laidlaw, Zoe. "Networks, patronage and information in colonial governance : Britain, New South Wales and the Cape Colony, 1826-1843." Thesis, University of Oxford, 2001. http://ethos.bl.uk/OrderDetails.do?uin=uk.bl.ethos.365506.

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6

McIntyre, J. A. "A 'civilized' drink and a 'civilizing' industry wine growing and cultural imagining in colonial New South Wales /." Connect to full text, 2008. http://hdl.handle.net/2123/5763.

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Thesis (Ph. D.)--University of Sydney, 2009.
Title from title screen (viewed December 9, 2009) Submitted in fulfilment of the requirements for the degree of Doctor of Philosophy to the Dept. of History, Faculty of Arts. Degree awarded 2009; thesis submitted 2008. Includes bibliographical references and appendices. Also available in print form.
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7

Hardwick, Joseph. "Anglican Church expansion and colonial reform politics in Bengal, New South Wales and the Cape Colony, c. 1790-1850." Thesis, University of York, 2008. http://etheses.whiterose.ac.uk/9935/.

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8

Griffiths, Philip Gavin, and phil@philgriffiths id au. "The making of White Australia: Ruling class agendas, 1876-1888." The Australian National University. Faculty of Arts, 2007. http://thesis.anu.edu.au./public/adt-ANU20080101.181655.

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This thesis argues that the colonial ruling class developed its first White Australia policy in 1888, creating most of the precedents for the federal legislation of 1901. White Australia was central to the making of the Australian working class, to the shaping of Australian nationalism, and the development of federal political institutions. It has long been understood as a product of labour movement mobilising, but this thesis rejects that approach, arguing that the labour movement lacked the power to impose such a fundamental national policy, and that the key decisions which led to White Australia were demonstrably not products of labour movement action. ¶ It finds three great ruling class agendas behind the decisions to exclude Chinese immigrants, and severely limit the use of indentured “coloured labour”. Chinese people were seen as a strategic threat to Anglo-Australian control of the continent, and this fear was sharpened in the mid-1880s when China was seen as a rising military power, and a necessary ally for Britain in its global rivalry with Russia. The second ruling class agenda was the building of a modern industrial economy, which might be threatened by industries resting on indentured labour in the north. The third agenda was the desire to construct an homogenous people, which was seen as necessary for containing social discontent and allowing “free institutions”, such as parliamentary democracy. ¶ These agendas, and the ruling class interests behind them, challenged other major ruling class interests and ideologies. The result was a series of dilemmas and conflicts within the ruling class, and the resolution of these moved the colonial governments towards the White Australia policy of 1901. The thesis therefore describes the conflict over the use of Pacific Islanders by pastoralists in Queensland, the campaign for indentured Indian labour by sugar planters and the radical strategy of submerging this into a campaign for North Queensland separation, and the strike and anti-Chinese campaign in opposition to the use of Chinese workers by the Australasian Steam Navigation Company in 1878. The first White Australia policy of 1888 was the outcome of three separate struggles by the majority of the Anglo-Australian ruling class—to narrowly restrict the use of indentured labour in Queensland, to assert the right of the colonies to decide their collective immigration policies independently of Britain, and to force South Australia to accept the end of Chinese immigration into its Northern Territory. The dominant elements in the ruling class had already agreed that any serious move towards federation was to be conditional on the building of a white, predominantly British, population across the whole continent, and in 1888 they imposed that policy on their own societies and the British government.
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9

Rowling, Jill. "Cave Aragonites of New South Wales." University of Sydney. Geosciences, 2004. http://hdl.handle.net/2123/694.

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Abstract Aragonite is a minor secondary mineral in many limestone caves throughout the world. It has been claimed that it is the second-most common cave mineral after calcite (Hill & Forti 1997). Aragonite occurs as a secondary mineral in the vadose zone of some caves in New South Wales. Aragonite is unstable in fresh water and usually reverts to calcite, but it is actively depositing in some NSW caves. A review of current literature on the cave aragonite problem showed that chemical inhibitors to calcite deposition assist in the precipitation of calcium carbonate as aragonite instead of calcite. Chemical inhibitors work by physically blocking the positions on the calcite crystal lattice which would have otherwise allowed calcite to develop into a larger crystal. Often an inhibitor for calcite has no effect on the aragonite crystal lattice, thus aragonite may deposit where calcite deposition is inhibited. Another association with aragonite in some NSW caves appears to be high evaporation rates allowing calcite, aragonite and vaterite to deposit. Vaterite is another unstable polymorph of calcium carbonate, which reverts to aragonite and calcite over time. Vaterite, aragonite and calcite were found together in cave sediments in areas with low humidity in Wollondilly Cave, Wombeyan. Several factors were found to be associated with the deposition of aragonite instead of calcite speleothems in NSW caves. They included the presence of ferroan dolomite, calcite-inhibitors (in particular ions of magnesium, manganese, phosphate, sulfate and heavy metals), and both air movement and humidity. Aragonite deposits in several NSW caves were examined to determine whether the material is or is not aragonite. Substrates to the aragonite were examined, as was the nature of the bedrock. The work concentrated on Contact Cave and Wiburds Lake Cave at Jenolan, Sigma Cave, Wollondilly Cave and Cow Pit at Wombeyan and Piano Cave and Deep Hole (Cave) at Walli. Comparisons are made with other caves. The study sites are all located in Palaeozoic rocks within the Lachlan Fold Belt tectonic region. Two of the sites, Jenolan and Wombeyan, are close to the western edge of the Sydney Basin. The third site, Walli, is close to a warm spring. The physical, climatic, chemical and mineralogical influences on calcium carbonate deposition in the caves were investigated. Where cave maps were unavailable, they were prepared on site as part of the study. %At Jenolan Caves, Contact Cave and Wiburds Lake Cave were examined in detail, %and other sites were compared with these. Contact Cave is located near the eastern boundary of the Late Silurian Jenolan Caves Limestone, in an area of steeply bedded and partially dolomitised limestone very close to its eastern boundary with the Jenolan volcanics. Aragonite in Contact Cave is precipitated on the ceiling as anthodites, helictites and coatings. The substrate for the aragonite is porous, altered, dolomitised limestone which is wedged apart by aragonite crystals. Aragonite deposition in Contact Cave is associated with a concentration of calcite-inhibiting ions, mainly minerals containing ions of magnesium, manganese and to a lesser extent, phosphates. Aragonite, dolomite and rhodochrosite are being actively deposited where these minerals are present. Calcite is being deposited where minerals containing magnesium ions are not present. The inhibitors appear to be mobilised by fresh water entering the cave as seepage along the steep bedding and jointing. During winter, cold dry air pooling in the lower part of the cave may concentrate minerals by evaporation and is most likely associated with the ``popcorn line'' seen in the cave. Wiburds Lake Cave is located near the western boundary of the Jenolan Caves Limestone, very close to its faulted western boundary with Ordovician cherts. Aragonite at Wiburds Lake Cave is associated with weathered pyritic dolomitised limestone, an altered, dolomitised mafic dyke in a fault shear zone, and also with bat guano minerals. Aragonite speleothems include a spathite, cavity fills, vughs, surface coatings and anthodites. Calcite occurs in small quantities at the aragonite sites. Calcite-inhibitors associated with aragonite include ions of magnesium, manganese and sulfate. Phosphate is significant in some areas. Low humidity is significant in two areas. Other sites briefly examined at Jenolan include Glass Cave, Mammoth Cave, Spider Cave and the show caves. Aragonite in Glass Cave may be associated with both weathering of dolomitised limestone (resulting in anthodites) and with bat guano (resulting in small cryptic forms). Aragonite in the show caves, and possibly in Mammoth and Spider Cave is associated with weathering of pyritic dolomitised limestone. Wombeyan Caves are developed in saccharoidal marble, metamorphosed Silurian Wombeyan Caves Limestone. Three sites were examined in detail at Wombeyan Caves: Sigma Cave, Wollondilly Cave and Cow Pit (a steep sided doline with a dark zone). Sigma Cave is close to the south east boundary of the Wombeyan marble, close to its unconformable boundary with effusive hypersthene porphyry and intrusive gabbro, and contains some unmarmorised limestone. Aragonite occurs mainly in a canyon at the southern extremity of the cave and in some other sites. In Sigma Cave, aragonite deposition is mainly associated with minerals containing calcite-inhibitors, as well as some air movement in the cave. Calcite-inhibitors at Sigma Cave include ions of magnesium, manganese, sulfate and phosphate (possibly bat origin), partly from bedrock veins and partly from breakdown of minerals in sediments sourced from mafic igneous rocks. Substrates to aragonite speleothems include corroded speleothem, bedrock, ochres, mud and clastics. There is air movement at times in the canyon, it has higher levels of CO2 than other parts of the cave and humidity is high. Air movement may assist in the rapid exchange of CO2 at speleothem surfaces. Wollondilly Cave is located in the eastern part of the Wombeyan marble. At Wollondilly Cave, anthodites and helictites were seen in an inaccessible area of the cave. Paramorphs of calcite after aragonite were found at Jacobs Ladder and the Pantheon. Aragonite at Star Chamber is associated with huntite and hydromagnesite. In The Loft, speleothem corrosion is characteristic of bat guano deposits. Aragonite, vaterite and calcite were detected in surface coatings in this area. Air movement between the two entrances of this cave has a drying effect which may serve to concentrate minerals by evaporation in some parts of the cave. The presence of vaterite and aragonite in fluffy coatings infers that vaterite may be inverting to aragonite. Calcite-inhibitors in the sediments include ions of phosphate, sulphate, magnesium and manganese. Cave sediment includes material sourced from detrital mafic rocks. Cow Pit is located near Wollondilly Cave, and cave W43 is located near the northern boundary of the Wombeyan marble. At Cow Pit, paramorphs of calcite after aragonite occur in the walls as spheroids with minor huntite. Aragonite is a minor mineral in white wall coatings and red phosphatic sediments with minor hydromagnesite and huntite. At cave W43, aragonite was detected in the base of a coralloid speleothem. Paramorphs of calcite after aragonite were observed in the same speleothem. Dolomite in the bedrock may be a source of magnesium-rich minerals at cave W43. Walli Caves are developed in the massive Belubula Limestone of the Ordovician Cliefden Caves Limestone Subgroup (Barrajin Group). At the caves, the limestone is steeply bedded and contains chert nodules with dolomite inclusions. Gypsum and barite occur in veins in the limestone. At Walli Caves, Piano Cave and Deep Hole (Deep Cave) were examined for aragonite. Gypsum occurs both as a surface coating and as fine selenite needles on chert nodules in areas with low humidity in the caves. Aragonite at Walli caves was associated with vein minerals and coatings containing calcite-inhibitors and, in some areas, low humidity. Calcite-inhibitors include sulfate (mostly as gypsum), magnesium, manganese and barium. Other caves which contain aragonite are mentioned. Although these were not major study sites, sufficient information is available on them to make a preliminary assessment as to why they may contain aragonite. These other caves include Flying Fortress Cave and the B4-5 Extension at Bungonia near Goulburn, and Wyanbene Cave south of Braidwood. Aragonite deposition at Bungonia has some similarities with that at Jenolan in that dolomitisation of the bedrock has occurred, and the bedding or jointing is steep allowing seepage of water into the cave, with possible oxidation of pyrite. Aragonite is also associated with a mafic dyke. Wyanbene cave features some bedrock dolomitisation, and also features low grade ore bodies which include several known calcite-inhibitors. Aragonite appears to be associated with both features. Finally, brief notes are made of aragonite-like speleothems at Colong Caves (between Jenolan and Wombeyan), a cave at Jaunter (west of Jenolan) and Wellington (240\,km NW of Sydney).
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10

Keogh, Andrew James, of Western Sydney Hawkesbury University, Faculty of Science and Technology, and School of Applied and Environmental Sciences. "Systems management of Glenbrook Lagoon, New South Wales." THESIS_FST_AES_Keogh_A.xml, 1996. http://handle.uws.edu.au:8081/1959.7/423.

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Glenbrook Lagoon, an 8 hectare lake receiving rainfall runoff from a residential catchment, is experiencing nutrient enrichment problems expressed as excessive aquatic plant presence. This study aims to assess the relative nutrient contribution of the total system compartments, including catchment loading, water column, aquatic plants and surface sediment. This information is utilised in the formulation of management strategies which may produce a sustainable nutrient reduction and general improvement in the system. The total nutrient content of the aquatic system was determined to be high in comparison with the present nutrient loading from the catchment. The ideal management case considers nutrient reduction of the surface sediment compartment firstly, followed by the aquatic plant community, with the water column and catchment influence as relatively low priority compartments. Various strategies for managing these are proposed. The total system benefits of the ideal management case are reductions in nutrients, aquatic plant biovolume and suspended solid loading. Unavoidable constraints placed upon the ideal management case include the excessive aquatic plant presence restricting accessability to the surface sediment for dredging. The resulting best management case requires aquatic plant eradication prior to sediment management, with the total system benefits associated with the ideal management case being retained.
Master of Science (Hons)
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11

Elliott, Malcolm Gordon, of Western Sydney Hawkesbury University, and Faculty of Environmental Management and Agriculture. "Grass tetany of cattle in New South Wales." THESIS_FEMA_xxx_Elliott_M.xml, 2000. http://handle.uws.edu.au:8081/1959.7/7.

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Over the last 60 years, grass tetany has been recognised as a significant lethal condition in sheep and cattle.Outcomes from this study include documentation of the likely precursors to grass tetany, ways to recognise these precursors, and long term practices that will enable producers to minimise livestock deaths. The benefit of this research to beef producers is that the environmental circumstances thought to be associated with outbreaks of grass tetany have been identified, along with remedial action that can be taken to prevent deaths occurring.Recommendations to industry on best practice to be adopted by leading producers to minimise outbreaks of grass tetany are made.This study provides an alternate strategy for the management of grass tetany in beef cattle, to the more clinical approaches previously recommended. It is suggested that losses from this economically important metabolic disease can be minimised if management practices of beef cattle producers in eastern Australia can incorporate a more holistic approach to farm management, which takes account of the soil/plant/animal/climate inter-relationships.
Master of Science (Hons)
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12

Wood, Susan, and s2000093@student rmit edu au. "Creative embroidery in New South Wales, 1960 - 1975." RMIT University. Architecture and Design, 2006. http://adt.lib.rmit.edu.au/adt/public/adt-VIT20070206.160246.

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In the years between 1960 and 1975 in NSW there emerged a loosely connected network of women interested in modern or creative embroidery. The Embroiderers' Guild of NSW served as a focus for many of these women, providing opportunities for them to exhibit their work, and to engage in embroidery education as teachers or as learners. Others worked independently, exhibited in commercial galleries and endeavoured to establish reputations as professional artists. Some of these women were trained artists and wanted embroidery to be seen as 'art'; others were enthusiastic amateurs, engaged in embroidery as a form of 'serious leisure'. They played a significant role in the development of creative embroidery and textile art in NSW and yet, for the most part, their story is absent from the narratives of Australian art and craft history. These women were involved in a network of interactions which displayed many of the characteristics of more organised art worlds, as posite d by sociologist Howard Becker. They produced work according to shared conventions, they established co-operative links with each other and with other organisations, they organised educational opportunities to encourage others to take up creative embroidery and they mounted exhibitions to facilitate engagement with a public audience. Although their absence from the literature suggests that they operated in isolation, my research indicates that there were many points of contact between the embroidery world, the broader craft world and the fine art community in NSW. This thesis examines the context in which creative embroiderers worked, discusses the careers of key individuals working at this time, explores the interactions between them, and evaluates the influence that they had on later practice in embroidery and textiles in NSW.
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13

Franklin, Richard Charles. "Epidemiology of Farm Injuries in New South Wales." University of Sydney, 2007. http://hdl.handle.net/2123/1930.

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Doctor of Philosophy (PhD)
Injuries to people living and working on farms in New South Wales continue to be a significant burden on the health system, Workers’ Compensation system, agricultural industries and farming families. Strategies to reduce the number and severity of injuries suffered by farmers and people working on farms rely on accurate information. Unfortunately there is no one dataset available to describe the circumstances surrounding farm injuries and the size of this burden in Australia. Hence, a number of different data sources are required to provide a picture of farm injuries. To date, there has been very little critical examination of what value each of these datasets provides to describing farm injuries. This Thesis aimed to: • Undertake surveillance of injuries occurring to people on farms or during agricultural production in NSW using data from an Emergency Department, NSW Hospital Separations information, NSW Workers’ Compensation Claims, and ABS Deaths data. • Critically examine the utility of Emergency Department, Hospital, Workers’ Compensation, and ABS Deaths Data for the surveillance of farm injuries in NSW. • Critically examine data classification systems used in Emergency Department, Hospital, Workers’ Compensation, and ABS Deaths data collections to describe the breadth of farm injuries in NSW. • Define the priority areas for farm injury prevention initiatives in NSW based on the information obtained from the examination of the data from Emergency Department, Hospital, Workers’ Compensation, and ABS Deaths. • Evaluate the effectiveness of the NSW Rollover Protective Structure (ROPS) rebate scheme and examine the utility of the data currently available in NSW to measure the performance of the program. Four datasets, Tamworth Emergency Department, Hospital Separations, Workers’ Compensation and the Australian Bureau of Statistics (ABS) Deaths data were used to provide information on the surveillance of farm injuries, describe the breadth of classifications used to describe farm injuries, and define priorities for the prevention of farm injuries. There were 384 farm-related injuries which presented to the Emergency Department at the Tamworth Base Hospital between 1 September 1997 and 31 August 1998. Emergency Department data collected in this study used the Farm Injury Optimal Dataset (FIOD) for classification, which allowed for a comprehensive picture of the circumstances surrounding the injury event. The three most common external causes of injury were related to horses, motorcycles, and animals. Commonly people were working at the time of injury. Children represented 21% of the people injured. The average number of injuries per 100 farms per annum was 34.7. An examination of hospital discharge data for NSW was undertaken for the period 1 July 1992 to 30 June 2000 where the location of the injury was a farm. Classification of cases in this dataset conformed to the International Classification of Disease (ICD) versions 9 and 10. There were 14,490 people who were injured on a farm during the study period. The three most common external causes of injury were motorcycles, animals being ridden and agricultural machinery. Children represented 17% of all farm injury cases. The rate per 1,000 farms ranged from 19 to 42 per annum. An examination of Workers’ Compensation claims for agricultural industries in NSW between 1 July 1992 and 30 June 2001 was undertaken. The ‘Type of Occurrence’ classification system was used to code the claims. There were 24,332 claims of which the majority were males (82%). The incidence of injury / disease in agriculture per annum varied from 37 per 1,000 workers to 73 per 1,000 workers. The rate per 1,000 agricultural establishments varied from 54 to 76. The average cost of a claim was $10,880 and the average time lost per claims was 9.2 weeks. There were 81 deaths and 3,158 permanent disabilities. The three most common agents were sheep / goats (5%), ferrous and non-ferrous metals (5%), crates / cartons / boxes / etc (5%). Using ABS deaths data to examine the deaths of people working and living on farms was limited to males whose occupation was recorded as ‘farmer and farm manager’ and ‘agricultural labourer and related worker’. There were 952 deaths over the period 1 January 1991 and 31 December 2000. The information provided a consistent series of cases over time. Areas where prevention should be directed included motor vehicle accidents; falls; agricultural machinery; other machinery; firearms; poisoning; and drowning. Using any one of the datasets alone to examine people injured on farms not only underestimates the number of people injured, but also misses particular types of agents involved in farm injuries. Each of the datasets used in this Thesis provides a different perspective of farm injury in NSW. By examining the information together, there are a number of areas which are consistently represented in each dataset such as falls and agricultural machinery. While no one dataset provided all the information that would be useful for the prevention of injuries, the available information does provide direction for the development of prevention strategies. The overall weakness of the information provided is that it misses a number of risk factors that contribute to farm injuries such as fatigue and training. The lack of appropriate denominator information also makes it difficult to directly compare the datasets and estimate the size of the problem. There are a number of additional coding categories that could be included in each dataset that would provide a better understanding of the different groups at risk of sustaining an injury on a farm or during agricultural work. These coding categories include activity at time of injury, admission to hospital, and occupation. An example of the use of data to determine the effectiveness of a farm injury prevention program is the ‘NSW Rollover Protective Structure (ROPS) Rebate Scheme’ evaluation. Tractor rollover deaths have been identified as an issue for prevention by Farmsafe Australia; however, such deaths were not identified in any of the datasets used in this Thesis due to coding limitations in the ABS data. In this Thesis information about the evaluation of the ‘NSW ROPS Rebate Scheme’ is presented. The scheme was successful in fitting 10,449 ROPS to tractors and the following lessons were learnt: when providing a rebate, the administration (i.e. sending the cheque) needs to be done well; advertising is important and should be co-ordinated, increase the awareness of the risk(s) the intervention is aiming to prevent and effectiveness of subsequent solution (s); the program should ensure there is an increased awareness of the outcome the intervention is aiming to prevent; if regulation is part of the program, enforcement needs to undertaken; and should address any barriers to uptake. The information provided in this Thesis highlights the substantial burden that farm injury places on the agricultural and rural sector of NSW. While there is no one data source that can describe the circumstances and the burden of farm injuries, the currently available datasets do provide an insight into the circumstances of farm injuries and the burden these injuries place on health, Workers’ Compensation, agricultural industries and farming families.
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14

Keogh, Andrew James. "Systems management of Glenbrook Lagoon, New South Wales /." View thesis View thesis, 1996. http://library.uws.edu.au/adt-NUWS/public/adt-NUWS20030519.153643/index.html.

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15

Elliott, Malcolm Gordon. "Grass tetany of cattle in New South Wales /." View thesis View thesis, 2000. http://library.uws.edu.au/adt-NUWS/public/adt-NUWS20030424.150628/index.html.

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16

Decker, Frank. "The emergence of money in convict New South Wales." Marburg Metropolis-Verl, 2009. http://d-nb.info/1001248597/04.

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17

Smith, Anthony Russell. "Gender in the Fifty-first New South Wales Parliament." University of Sydney, 2002. http://hdl.handle.net/2123/2562.

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Анотація:
Doctor of Philosophy
Responsible Government began in New South Wales in 1856. Direct participation by women began 70 years later in 1925 with the election of Millicent Preston-Stanley. Her first speech questioned whether Parliament was a fit place for women. Another significant milestone was reached after another 70 years when female MLAs in the Fifty-first Parliament constituted 15% of the Legislative Assembly and female MLCs made up 33% of the Legislative Council. In the 1990s there was no formal barrier to the participation of persons on the basis of their sex but no scholarly study had addressed the question of whether the Parliament’s culture was open to all gender orientations. This study examines the hypothesis that the Parliament informally favoured some types of gender behaviour over others. It identifies ‘gender’ as behaviour rather than a characteristic of persons and avoids the conflation of gender with sex, and particularly with women exclusively. The research used interviews, observation and document study for triangulation. The thesis describes the specific context of New South Wales parliamentary politics 1995-1999 with an emphasis on factors that affect an understanding of gender. It explores notions of representation held by MPs, analyses their personal backgrounds and reports on gender-rich behaviours in the chambers. The study concludes that gender was a significant factor in the behaviour of Members of the Parliament. There were important differences between the ways that male and female MPs approached their roles. Analysis of the concept of gender in the Parliament shows that some behaviours are more likely to bring political success than are others. The methodology developed here by adapting literature from other systems has important strengths. The data suggest that there is a need for many more detailed studies of aspects of gender in parliaments.
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18

Rutland, Suzanne D. "The Jewish Community In New South Wales 1914-1939." University of Sydney, 1990. http://hdl.handle.net/2123/6536.

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19

Smith, A. R. "Gender in the Fifty-first New South Wales Parliament." Connect to full text, 2002. http://hdl.handle.net/2123/2562.

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Анотація:
Thesis (Ph. D.)--University of Sydney, 2003.
Title from title screen (viewed Apr. 8, 2009) Degree awarded 2003; thesis submitted 2002. Submitted in fulfilment of the requirements for the degree of Doctor of Philosophy to the Dept. of Government and International Relations, Faculty of Arts. Includes bibliographical references. Also available in print form.
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20

Kariminia, Azar Public Health &amp Community Medicine Faculty of Medicine UNSW. "Death among a cohort of prisoners in New South Wales Australia ??? a data linkage study." Awarded by:University of New South Wales. School of Public Health and Community Medicine, 2007. http://handle.unsw.edu.au/1959.4/32476.

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This thesis examines mortality rates among adults who experienced full-time imprisonment in New South Wales between January 1988 and December 2002, by record linkage to the Australian National Death Index. The cohort included 76383 men and 8820 women. Over a mean follow-up of 7.7 years, 5137 deaths (4724 men, 423 women) were identified. Three hundred and three deaths (295 men, eight women) occurred in custody. The median age at death was 36.6 years for men and 32.7 years for women. The prominent causes of death were drug overdose, suicide, accidental and cardiovascular disease. The crude mortality rate was 797 per 100000 person-years for men and 685 per 100000 person-years for women. Risk of mortality was 3.7 times greater in male and 7.8 times greater in female prisoners than the standard population. The excess mortality was substantially raised following release from prison in both men (standardised mortality ratio 4.0 vs 1.7) and women (standardised mortality ratio 8.2 vs 2.1). The period of highest risk of death was the first two weeks after release. Drug overdose was the main cause of death, responsible for 68% of the deaths in the first two weeks for men and for 90% of the deaths in this period for women. In men, there was also a clustering of suicide directly after release. Prisoners admitted to prison psychiatric hospital, repeat offenders and those in the early stage of followup were at increased risk of mortality. Violent offenders were overrepresented in suicide figures and property offenders in death from overdose. Minority groups, in particular men, had a lower risk of death than white people. The above findings reinforce how disadvantaged prisoners are, measured by mortality as the most fundamental scale of human wellbeing. Prison represents a potential opportunity for treatment and public health intervention to address some of the health problems underlying the high mortality found in this study. The key challenge is, however, to provide a continuum of care between the prison and community.
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21

Sotiri, Melinda Social Sciences &amp International Studies Faculty of Arts &amp Social Sciences UNSW. "Punishment and imprisonment in New South Wales: towards a conceptual analysis of purpose." Awarded by:University of New South Wales, 2003. http://handle.unsw.edu.au/1959.4/38574.

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This research conducts a conceptual and qualitative investigation into the practices, rationales and functions of imprisonment in NSW. A specific system of imprisonment, in this case the prisons operated by the NSW Department of Corrective services, is explored in order to examine the practices, processes and justifications for incarceration. The various purposes, theories, rhetorics, practices and contradictions of the prison system in NSW and the ways in which the people who are responsible for the administration of this system make sense of its operations and its incoherencies, are central to this analysis. This research utilises a hybrid methodology involving aspects of content analysis and grounded theory. At the centre of this research are eight interviews with senior NSW Corrective Services staff. This analysis is supplemented by interview with ex-prisoners, and other people familiar with, but not working for Corrective Services. In addition a documentary analysis of both Corrective Services documents, and external literature examining NSW prison is carried out. The findings of these analyses are then explored with reference to both their internal coherency, as well as their relationship to a range of theoretical frameworks. The thesis connects abstract and philosophical questions of punishment and penalty with the logistics of running the prison system in NSW. This research found a diversity of practices, understandings and justifications of imprisonment which connected to particular cultural, social philosophical and structural trends. These included victimary discourses, the rhetoric of progress, the influence of managerialism, the faith in ???objective??? professionals, the increasing emphasis on empiricism, the conflicts between coercive practices and individual responsibility, the construction of prisoners as dangerous, and an ongoing struggle for purpose. Imprisonment in NSW was found to be characterised by discrepancies between the intentions of its administrators and pragmatics of its practice, conflicts between internal explanations of its purpose, as well as contradictions between internal Corrective Services accounts and external expectations about the roles, functions and practices of imprisonment. Theoretical perspectives explaining why these characterise imprisonment in NSW were developed. These perspective include the ???ought/is??? confusion of penal administrators, the inhumanity of humane containment, the myth of technocratic amorality, and the sedimentation of purpose.
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22

Fanning, Patricia C. "Beyond the divide: a new geoarchaeology of Aboriginal stone artefact scatters in Western NSW, Australia." Australia : Macquarie University, 2002. http://hdl.handle.net/1959.14/45010.

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Thesis (PhD)--Macquarie University, Division of Environmental & Life Sciences, Graduate School of the Environment, 2002.
Includes bibliographical references: p. 228-232.
Geomorphology, archaeology and geoarchaeology: introduction and background -- Surface stone artefact scatters: why can we see them? -- Geomorphic controls on spatial patterning of the surface stone artefact record -- A temporal framework for interpreting surface artefact scatters in Western NSW -- Synthesis: stone artefact scatters in a dynamic landscape.
Surface scatters of stone artefacts are the most ubiquitous feature of the Australian Aboriginal archaeological record, yet the most underutilized by archaeologists in developing models of Aboriginal prehistory. Among the many reasons for this are the lack of understanding of geomorphic processes that have exposed them, and the lack of a suitable chronological framework for investigating Aboriginal 'use of place'. This thesis addresses both of these issues. -- In arid western NSW, erosion and deposition accelerated as a result of the introduction of sheep grazing in the mid 1800s has resulted in exposure of artefact scatters in some areas, burial in others, and complete removal in those parts of the landscape subject to concentrated flood flows. The result is a patchwork of artefact scatters exhibiting various degrees of preservation, exposure and visibility. My research at Stud Creek, in Sturt National Park in far western NSW, develops artefact and landscape survey protocols to accommodate this dynamic geomorphic setting. A sampling strategy stratified on the basis of landscape morphodynamics is presented that allows archaeologists to target areas of maximum artefact exposure and minimum post-discard disturbance. Differential artefact visibility at the time of the survey is accommodated by incorporating measures of surface cover which quantify the effects of various ephemeral environmental processes, such as deposition of sediments, vegetation growth, and bioturbation, on artefact count. -- While surface stone artefact scatters lack the stratigraphy usually considered necessary for establishing the timing of Aboriginal occupation, a combination of radiocarbon determinations on associated heat-retainer ovens, and stratigraphic analysis and dating of the valley fills which underlie the scatters, allows a two-stage chronology for huntergatherer activity to be developed. In the Stud Creek study area, dating of the valley fill by OSL established a maximum age of 2,040±100 y for surface artefact scatters. The heatretainer ovens ranged in age from 1630±30 y BP to 220±55 y BP. Bayesian statistical analysis of the sample of 28 radiocarbon determinations supported the notion, already established from analysis of the artefacts, that the Stud Creek valley was occupied intermittently for short durations over a relatively long period of time, rather than intensively occupied at any one time. Furthermore, a gap in oven building between about 800 and 1100 years ago was evident. Environmental explanations for this gap are explored, but the paiaeoenvironmental record for this part of the Australian arid zone is too sparse and too coarse to provide explanations of human behaviour on time scales of just a few hundred years. -- Having established a model for Stud Creek of episodic landscape change throughout the late Pleistocene and Holocene, right up to European contact, its veracity was evaluated in a pilot study at another location within the region. The length of the archaeological record preserved in three geomorphically distinct locations at Fowlers Gap, 250 km south of Stud Creek, is a function of geomorphic dynamics, with a record of a few hundred years from sites located on channel margins and low terraces, and the longest record thus far of around 5,000 years from high terrace surfaces more remote from active channel incision. But even here, the record is not continuous, and like Stud Creek, the gaps are interpreted to indicate that Aboriginal people moved into and out of these places intermittently throughout the mid to late Holocene. -- I conclude that episodic nonequilibrium characterizes the geomorphic history of these arid landscapes, with impacts on the preservation of the archaeological record. Dating of both archaeological and landform features shows that the landscape, and the archaeological record it preserves, are both spatially and temporally disjointed. Models of Aboriginal hunter-gatherer behaviour and settlement patterns must take account of these discontinuities in an archaeological record that is controlled by geomorphic activity. -- I propose a new geoarchaeological framework for landscape-based studies of surface artefact scatters that incorporates geomorphic analysis and dating of landscapes, as well as tool typology, into the interpretation of spatial and temporal patterns of Aboriginal huntergatherer 'use of place'.
Mode of access: World Wide Web.
vii, 232 p. ill., maps
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23

Millar, Nance Marie School of Sociology &amp Anthropology UNSW. "???Through the looking glass ?????? from comfort and conformity to challenge and collaboration: changing parent involvement in the catholic education of their children through the twentieth century." Awarded by:University of New South Wales. School of Sociology and Anthropology, 2006. http://handle.unsw.edu.au/1959.4/32262.

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This sociological investigation examines the changing role of parents in the education of their children in Catholic schools in New South Wales over the twentieth century. Catholic Church documents specifically state primary parental responsibility for their children???s religious education. Catholic schools were established to inculcate faith, and assist parents??? role. This thesis asks, to what extent that role has been realised? It unravels the processes that determined and defined the changing role of Catholic parents during this period, and identifies significant shifts in institutional thinking and practices related to parents and resultant shifts in cultural and social perceptions. After half a century of conformity and comfort, a significant era followed as the Australian Church responded to challenges, including financial crisis for Catholic schools, reform in the Australian education system, and the impact of the Second Vatican Council. Cohorts from three generations were selected. Interviews and focus groups elicited memories that were recorded and analysed, in terms of the integral questions; the role and involvement of parents in Catholic schools. Participants recalled their own childhood in Catholic schools and, where applicable, as parents educating their own children, or as religious teachers. The analysis was theoretically informed by the work of Durkheim, Greeley, Coleman and Bourdieu. A review of Church documents and commentaries through the twentieth century, bearing on the education of children, showed the official Church position. Despite numerous rhetorical statements issued by Catholic authorities, emphasising the role of parents as ???primary educators???, the practical responses ranged from active encouragement to dismissal. Teachers in Catholic schools and related bureaucracies were, seemingly, reluctant to initiate a more inclusive partnership role. Gradually, and in a piecemeal fashion, the Catholic Church and its schools have been responding to growing parental consciousness of their role and responsibilities. A significant shift was signalled by the New South Wales Bishops in establishing the Council of Catholic School Parents, to be supported by a full-time, salaried Executive Officer, in 2003. But any accommodation to new understandings of parent/teacher, or family/school relation is complex and not to be oversimplified as a simple sharing, or ceding of authority.
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24

Amin, Janaki Public Health &amp Community Medicine Faculty of Medicine UNSW. "Hepatitis B and C associated cancer and mortality: New South Wales, 1990-2002." Awarded by:University of New South Wales. School of Public Health and Community Medicine, 2006. http://handle.unsw.edu.au/1959.4/27338.

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This thesis examines cancer and mortality rates among people diagnosed with hepatitis B (HBV) and C (HCV) infection in New South Wales (NSW) from 1990 through 2002, by linking hepatitis notifications with the NSW Central Cancer Registry (CCR) and National Death Index. Of the 39101 HBV, 75834 HCV and 2604 HBV/HCV co-infection notifications included 1052, 1761 and 85 were linked to cancer notifications and 1233, 4008 and 186 were linked to death notifications respectively. Of 2072 hepatocellular carcinoma (HCC) notifications to the CCR 323, 267 and 85 were linked to HBV, HCV and HBV/HCV co-infection notifications. Incidence of HCC was 6.5, 4.0 and 5.9 per 1000 person years for HBV, HCV and HBV/HCV co-infected groups. Risk of HCC in those diagnosed with hepatitis was 20 to 30 times greater than the standard population. There was a marginally statistically significant increased risk of immunoproliferative malignancies associated with HCV infection (SIR=5.6 95% CI 1.8 ???17.5). Risk of death for those with hepatitis was significantly greater, 1.5 to 5 fold, than the general population with the greatest risk among those with HBV/HCV co-infection. The primary cause of HBV deaths was liver related, particularly HCC, whereas in the HCV groups drug related deaths were most frequent. Among people with HCV, risk of dying from drug related causes was significantly greater than from liver related causes (p=0.012), with the greatest increased risk in females age 15- 24 years (SMR 56.9, 95%CI 39.2???79.9). Median age at diagnosis of HCC varied markedly by country of birth and hepatitis group: HBV 66, 63 and 57years ; HCV 51, 68 and 71 years; unlinked 69, 70 and 64 years for Australian, European, and Asian-born groups, respectively (P<0.0001 for all groups). While the risk of cancer, particularly HCC, is elevated among people with HBV and HCV infection, the absolute risk remains low. Young people with HCV face a higher mortality risk from continued drug use than from liver damage related to their HCV infection. The influence of IDU in the epidemiology of HCC in New South Wales was possibly reflected in the varying distributions of age and country of birth.
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25

Wilton, Kylee Margaret, and res cand@acu edu au. "Coastal Wetland Habitat Dynamics in Selected New South Wales Estuaries." Australian Catholic University. School of Arts and Sciences, 2002. http://dlibrary.acu.edu.au/digitaltheses/public/adt-acuvp29.29082005.

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Intertidal wetland habitats in southeastern Australia have changed significantly during the past sixty years. Mangrove habitats have expanded both seawards and landwards, the latter being at the expense of saltmarsh habitats. This relatively common phenomenon is generally suggested to be an outcome of sea-level rise. Several factors potentially responsible for this change are examined, including changes in mean sealevel during the past 50 to 100 years, changes in climate, population growth, catchment landuse, and estuary type. A protocol for mapping estuarine habitats was developed and implemented, incorporating the application of geographic information systems. Spatial and temporal coastal wetland habitat changes at nine sites along the New South Wales coast are illustrated. These habitat dynamics were shown to not correlate between sites. The results demonstrate that sea-level rise in this region cannot solely account for the extent of change during the past sixty years. With the exception of one site (Careel Bay), there have been no correlations between contemporary mean sea-level rise and mangrove incursion of the saltmarsh habitats at the study sites, or with rainfall patterns, at the scale of observation in this study, which was largely decadal. The only correlations determined during this study have been between population growth and coastal wetland habitat dynamics in some sites. In spite of saltmarsh habitat loss being a regional phenomenon, local factors appear to have a profound bearing on the rates of change. Neither contemporary mean sea-level rise, rainfall patterns, estuary type, catchment landuse, catchment natural cover nor population pressure can account solely for the patterns in the spatial and temporal dynamics of the coastal wetlands of New South Wales. It seems apparent that regional factors create preconditions favourable for mangrove incursion, but that localised conditions have been responsible for the extent of these incursions from site to site. That is, despite higher sea-level and greater rainfall, the extent of change has been determined by the unique characteristics of each site. The results have important implications for current estuary management practices in the state of New South Wales. The lack of spatial and temporal trends in coastal wetland habitat dynamics point to the need for management to be conducted on a localised, rather than regional scale. Additionally, anthropogenic influences must be carefully managed, since the extent of mangrove habitat expansion into saltmarsh areas is unlikely to be a natural occurrence.
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26

Mildren, Suzanne. "Exploring sustainability management systems for landfills in New South Wales." Thesis, Mildren, Suzanne (2013) Exploring sustainability management systems for landfills in New South Wales. Masters by Coursework thesis, Murdoch University, 2013. https://researchrepository.murdoch.edu.au/id/eprint/21291/.

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In this thesis I explore the emerging concept of and existing approaches for, Sustainability Management Systems (SMS), and consider their relevance and potential application to the context of landfill facilities in New South Wales. The methods I employ for this research are literature review and analysis supported by an illustrative desktop case study. The first part of my literature review provides an understanding of universal sustainability characteristics, including the three widely recognised dimensions of sustainability: environmental protection, social or community well-being, and economic viability; along with stakeholder engagement, intra and inter-generational equity, and innovation. The literature review then explores existing approaches for developing SMS, and the context of landfills in New South Wales. Through the review and analysis of existing SMS approaches in light of the New South Wales landfill context, I identify the ‘Expansion of Environmental Management Systems (EMS)’ approach as the most appropriate to follow. I develop a SMS framework based on the ‘Expansion of EMS’ approach specifically for landfills in New South Wales. The framework follows the Plan, Do, Check, Act continual improvement cycle utilised by EMS and expands the typical scope of an environmental management system at each stage of the cycle to include sustainability characteristics identified earlier through the literature review. In applying my SMS framework to a real-life New South Wales landfill in a desktop case study I provide an example of how the framework can be interpreted to design and develop a landfill sustainability management system. Overall my study demonstrates that the emerging field of SMS is indeed relevant to landfills in New South Wales and provides a framework and guidance to the waste management industry for SMS design and development.
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27

Cockrell, Deborah Jane. "Rural clinical placements for dental students : an action research study." University of Sydney, 2005. http://hdl.handle.net/2123/4662.

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Анотація:
Doctor of Philosophy
This work was digitised and made available on open access by the University of Sydney, Faculty of Dentistry and Sydney eScholarship . It may only be used for the purposes of research and study. Where possible, the Faculty will try to notify the author of this work. If you have any inquiries or issues regarding this work being made available please contact the Sydney eScholarship Repository Coordinator - ses@library.usyd.edu.au
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28

Webb, Garry Anthony. "The effects of logging on populations of small ground-dwelling vertebrates in montane eucalypt forest in South-Eastern New South Wales." Thesis, Canberra, ACT : The Australian National University, 1991. http://hdl.handle.net/1885/140692.

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29

Hunter, David, and n/a. "Conservation Management of Two Threatened Frog Species in South-Eastern New South Wales, Australia." University of Canberra. Applied Science, 2007. http://erl.canberra.edu.au./public/adt-AUC20081020.142239.

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The decline and extinction of amphibian species over the past three decades is widely acknowledged as one of the greatest biodiversity crises of modem time. Providing convincing data to support hypotheses about these declines has proved difficult, which has greatly restricted the development and implementation of management actions that may prevent further amphibian declines and extinctions from occurring. In this thesis, I present research that was undertaken as part of the recovery programs for the southern corroboree frog (Pseudophryne corroboree), and the Booroolong frog (Litoria booroolongensis); two species that underwent very rapid declines in distribution and abundance during the 1980's. More specifically, I investigated potential causal factors in the declines of both species using experimental and correlative studies, and examined the mechanisms by which one threatening process (chytridiomycosis) may be causing continued decline and extinction in P. corroboree. I also examined the implications of population dynamics for monitoring L. booroolongensis, and suggest a possible monitoring strategy that may reliably facilitate the implementation of recovery objectives for this species. I also tested one possible reintroduction technique aimed at preventing the continued decline and extinction of P. corroboree populations. In Chapters 2 and 3, I present the results from a series of experiments in artificial enclosures designed to examine whether the tadpoles of L. booroolongensis are susceptible to predation by co-occurring introduced predatory fish species; brown trout (Salmo trutta), rainbow trout (Oncorhynchus mykiss), European carp (Cyprinus carpio), redfin perch (Percafluviatilis), and mosquito fish (Gambusia holbrooki). I demonstrated that the tadpoles of L. booroolongensis, and a closely related species Litoria lesueuri, were palatable to non-native trout species, but not to two native predatory fish species, Gadopsis bispinosus and Galaxias olidus. A pond breeding frog species included in this experiment, Limnodynastes tasmaniensis, was palatable to both the native and non-native fish species. In a separate experiment I also demonstrated that the tadpole of L. booroolongensis is palatable to the three other introduced fish species examined in this study; C. carpio, P. fluviatilis, and G. holbrooki. In three of the experiments, the provision of rock within enclosures as a potential refuge habitat did not afford protection to L. booroolongensis tadpoles from predation by any of the five introduced fish species examined. While all the introduced fish species tested here did consume L. booroolongensis tadpoles, the results also suggested that chemical unpalatability might afford some level of protection against some of these fish species. Firstly, the addition of alternative prey items in one of the experiments reduced the proportion of tadpoles consumed, suggesting that L. booroolongensis may not be a preferred prey item. Secondly, the proportion of tadpoles consumed varied greatly among the different fish species examined, suggesting differing levels of palatability. Overall, this study supports previous research in suggesting that chemical unpalatability may be an important strategy for the tadpoles of riverine frog species in south-eastern Australia to avoid predation by native fish species, and that this strategy is less effective against introduced fish species. While L. booroolongensis currently persists in streams inhabited by a number of introduced fish species, this study supports the likelihood that these species are having a negative impact on populations of L. booroolongensis in the wild. In Chapter 4, I present the results of a study aimed at examining potential monitoring techniques for L. booroolongensis. The results of a mark-recapture exercise demonstrated that L. booroolongensis may exhibit large fluctuations in abundance from one year to the next, and through a prospective power analysis approach, I demonstrated that it would be difficult to confidently identify population trends of interest using either indices or estimates of abundance for this species. An assessment of the capacity to identify the presence or absence of L. booroolongensis using nighttime spotlight surveys demonstrated the high detectability of this species using this technique, at both the scale of 300-meter sections of stream and individual breeding areas (typically less than 10-meters of stream). This study suggests that the monitoring objectives of the L. booroolongensis recovery program would be most effectively achieved using presence/absence surveys at different scales. In Chapter 5, I present the results of a field survey aimed at determining the current distribution and habitat requirements of L. booroolongensis in the South West Slopes region of New South Wales. Of the 163 sites I surveyed across 49 streams,I located L. booroolongensis along 77 of these sites from 27 streams. Based on population and habitat connectivity, this study identified 18 populations of L. booroolongensis that are likely to be operating as independent populations. Twelve of these populations are not represented in conservation reserves, but rather occur along streams that flow through the agricultural landscape. A broad scale habitat analysis identified a positive relationship between extent of rock structures along the stream and the occurrence of L. booroolongensis, and a negative relationship between the proportion of canopy cover and this species' occurrence. At the breeding habitat scale, this study identified a positive relationship between the presence of breeding males and; number of rock crevices in the aquatic environment, extent of emergent rocks, and proportion pool. This analysis also detected a negative relationship between occupancy and water depth. These results confirm previous work suggesting the importance of rocky stream habitats to the persistence of L. booroolongensis, but also suggest how disturbance processes, such as increasing sedimentation and weed invasion, may reduce the suitability of rocky structures as breeding sites. In Chapter 6, I investigated current levels of amphibian chytrid fungus (Batrachochytrium dendrobatidis) infection in corroboree frog populations, and used retrospective screening of museum specimens to assess the possibility that this pathogen was implicated in the initial decline of the corroboree frogs. Using histology, I did not detect any B. dendrobatidis infections in corroboree frog populations prior to their decline, however using the same technique, moderate levels of infection were detected in post-decline populations of both species. Real-time PCR screening of skin swabs identified much higher overall infection rates in post-decline populations of P. corroboree (between 44% and 59%), while significantly lower rates of infection were observed in P. pengilleyi populations (14%). These results suggest that the initial and continued decline of the corroboree frogs may well be attributed to the emergence of B. dendrobatidis in populations of these species. In Chapter 7, I investigated how B. dendrobatidis may be causing the continued decline of P. corroboree through the presence of an abundant reservoir host for this pathogen. I found that populations of adult C. signifera in sub-alpine bogs carry high B. dendrobatidis infection rates (86%), but appear unaffected by this infection. An experiment involving the release of P. corroboree tadpoles into 15 natural pools resulted in metamorphs from seven of these pools testing positive for B. dendrobatidis, with all these individuals dying soon after metamorphosis. These results support the possibility that B. dendrobatidis infection in P. corroboree populations is being facilitated by the presence of large numbers of infected C. signifera in the shared environment. Chapter 8 presents the results of a population augmentation study for P. corroboree. I investigated the extent to which increasing recruitment to metamorphosis may result in population recovery in this species. This was undertaken by harvesting eggs from the field and rearing them through to mid stage tadpoles over the winter period prior to being released back to their natal ponds in spring. While I was able to increase recruitment to metamorphosis by an average of 20 percent, this did not result in a noticeable influence on the subsequent adult population size, as both manipulated and non-manipulated sites declined over the course of this study by an average of 80 percent. I observed a positive relationship between natural recruitment to a late tadpole stage and subsequent adult male population size, however there was considerable variation associated with this relationship. The relationship between recruitment and subsequent population size at the augmentation sites was consistent with the relationship observed at the non-manipulated sites. These results suggest that recruitment to metamorphosis may not be the most important life stage restricting the population recovery of P. corroboree, but that mortality during post-metamorphic stages may be more important in regulating current population size. Hence, further attempts to use captive rearing to increase P. corroboree populations in the wild should focus on the release of post-metamorphic frogs. Overall, this thesis demonstrates the value of quantitative research to the implementation and progress of threatened species recovery programs. While this research will specifically contribute to the recovery programs for L. booroolongensis and P. corroboree, it more broadly contributes to the understanding and capacity to respond to the concerning levels of amphibian extinctions currently occurring throughout the world.
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30

Hunter, David. "Conservation management of two threatened frog species in South-Eastern New South Wales, Australia /." full text via ADT, 2007. http://erl.canberra.edu.au/public/adt-AUC20081020.142239/index.html.

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31

Nicholls, David John School of Biological Science UNSW. "Eutrophication and excessive Macroalgal growth in Lake Macquarie, New South Wales." Awarded by:University of New South Wales. School of Biological Science, 1999. http://handle.unsw.edu.au/1959.4/17219.

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In response to concern that excessive macroalgal growth and accumulation was occurring in some inshore areas of Lake Macquarie, the distribution, abundance and seasonality of macroalgae was investigated in relation to nutrient input and power station cooling water. Macroalgal dry weight biomass was measured at ten sites on a monthly basis for two years, with an analysis of community structure conducted using Multi-Dimensional Scaling. The macroalgal community in Lake Macquarie was typical of those found in other New South Wales coastal lagoons, exhibiting considerable spatial and temporal variation. A close similarity was observed in macroalgal community structure at sites affected by urban nutrient input, these being characterised by a high biomass often attributable to only one or two species. These nuisance macroalgae were mostly green algae, which were almost entirely absent from other sites. Biomass at sites affected by urban nutrient input was generally within the range documented for eutrophic estuaries elsewhere. Analysis of macroalgal community structure showed no evidence of large-scale changes macroalgal communities attributable to the effects of power station cooling water except within 500m of the outfall. At sites affected by a 1-2??C temperature increase, community structure and the magnitude of the biomass were similar to sites deemed as being relatively free of human impact. A reduction in species diversity occurred only within the immediate discharge zone, where water temperatures were approximately 6??C above ambient temperatures. Excessive growth of nuisance macroalgal species was not observed at any of the sites influenced by power station cooling water. There were no distinct patterns in seasonality of macroalgal growth in this study, though the greatest biomass appeared to occur in spring. The irregular temporal variation in macroalgal growth suggests that the most significant factors affecting growth occur on a time scale of weeks to months. It is therefore likely nutrient input to the nearshore through surface runoff is an important influence on the distribution and abundance of macroalgae in Lake Macquarie. This emphasises the need to reduce nitrogen and phosphorus input from urban sources in Lake management.
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32

Wahl, Douglas E., and n/a. "The management of flying foxes (Pteropus spp.) in New South Wales." University of Canberra. Resource, Environmental & Heritage Sciences, 1994. http://erl.canberra.edu.au./public/adt-AUC20061113.152804.

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Throughout their world distribution, fruit bats (Chiroptera: Pteropodidae) play an extremely important role in forest ecology through seed dispersal and pollination. However, the recognition of their role in maintaining forest ecological diversity has been largely overshadowed by the fact that fruit bats are known to cause damage to a wide variety of cultivated fruits and, as a result, significant effort is undertaken to control fruit bat numbers in areas where crop damage frequently occurs. In Australia, fruit bats of the genus Pteropus (or flying foxes) are well known for their role in destroying valuable fruit crops, particularly along the east coast from Cairns to Sydney. Historical evidence suggests that flying foxes have been culled as an orchard pest in large numbers for the past 80 years. Uncontrolled culling both on-farm and in roosts coupled with extensive habitat destruction in the past century, has resulted in noticeable declines both in flying fox distribution and local population numbers. In New South Wales, flying foxes have been 'protected' under the National Parks and Wildlife Act (1974) since 1986. From that time, fruitgrowers have been required to obtain a licence (referred to as an occupier's licence) from the National Parks and Wildlife Service (NPWS) to cull flying foxes causing damage to fruit crops. However, despite the 'protected' status of the species, flying foxes continue to be culled in large numbers as an orchard pest. An examination of the management of flying foxes in NSW, has shown that, between 1986-1992, fifteen NSW National Parks and Wildlife Service Districts issued a combined total of 616 occupier's licences to shoot flying foxes with an total allocation of over 240,000 animals. In addition, most flying foxes are culled when the female is carrying her young under wing or when the young remain in the camp but continue to be dependent on her return for survival. Further evidence on the extent of culling includes a widely distributed fruitgrower survey with responses indicating that as few as 50% of the fruitgrowers shooting flying foxes in NSW obtain the required licence from the National Parks and Wildlife Service. While the NPWS has undertaken research into the role of flying foxes in seed dispersal and pollination, management effort largely continues to focus on resolving conflicts between fruitgrowers and flying foxes primarily by issuing culling permits to fruitgrowers. At present, there is no NPWS policy on the management of flying foxes in NSW to guide the administration of the permit system. As a result, the process of issuing permits for flying foxes is largely inconsistent between NPWS Districts. The absence of comprehensive goals and objectives for the management of flying foxes has resulted in the current situation where large numbers of flying foxes are being culled both legally and illegally in the absence of any data on the impacts of unknown culling levels on local flying fox populations. The NPWS has a statutory obligation to manage flying foxes consistent with the 'protected' status of the species in NSW and several well known principles of wildlife management. However, current management of flying foxes in indicates that the Service may be in violation of the requirement to 'protect' and 'conserve' flying foxes as required under the National Parks and Wildlife Act (1974). This study recommends that licences issued to fruitgrowers to cull flying foxes be discontinued immediately and that adequate enforcement be engaged to reduce illegal shooting. This action should continue until such time that research on flying fox populations is able to demonstrate that the culling of flying foxes will not lead populations into decline. Furthermore, management effort should focus on the development of alternative strategies to reduce crop damage by flying foxes and provide incentives for growers to utilize existing control strategies such as netting.
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33

Taylor, Peter John Medical Sciences Faculty of Medicine UNSW. "Molecular genetic analysis of a New South Wales muscular dystrophy cohort." Publisher:University of New South Wales. Medical Sciences, 2008. http://handle.unsw.edu.au/1959.4/43309.

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Duchenne muscular dystrophy (DMD) is an X-linked lethal condition associated with high morbidity and mortality. There is currently no cure for this disease. Several gene-based therapeutic approaches for treating DMD are currently under development but all are dependent on the knowledge of the causative dystrophin gene mutation. A combined mutation detection approach consisting of a quantitative PCR based analysis and DNA sequencing of the dystrophin gene resulted in a mutation etection rate of 96% in the New South Wales (NSW) DMD cohort. The proportion of exon duplication mutations was twice that generally reported for similar patient opulations. The clinical utility of the combined mutation protocol for DMD carrier testing clarified the carrier status of an additional one-third (33%) of female relatives compared to a conventional approach of biochemical, pedigree and linkage studies. The generally accepted view that two-thirds of mothers of isolated cases of DMD are themselves mutation carriers is challenged. Although this assumption is valid for duplication and DNA sequence mutations, it is not valid for deletion mutations in the NSW cohort. The incidence of new cases of DMD in the New South Wales population was educed from approximately 1 in 3594 live male births to 1 in 6022 live male births over a 25 year period, indicative of a significant effect of the combination of genetic counselling and improved methods of carrier detection over that period. In a study of a cohort of boys with DMD, who had both psychological and mutational analysis, it was shown that mutations affecting the shorter, C-terminal isoforms of dystrophin are associated with decreased mean intellectual function. A hypothesis is presented that mutations within the long 5' untranslated region of the Dp140 isoform are unlikely to significantly affect expression of this brain-expressed isoform. During the course of studying the NSW DMD cohort a family was identified which exhibited X-linkage and a unique clinical presentation involving episodes of severe and prolonged muscle weakness. A novel variant in the pyruvate dehydrogenase E1 alpha subunit (PDHA 1) was identified. The phenotypic effect of this variant is not proven but a body of evidence implicates this as likely to be causative of the observed phenotype.
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34

Ashton, Clare. "KARITANE’S CONTRIBUTION TO PUBLIC HEALTH IN NEW SOUTH WALES 1923-2000." University of Sydney, 2010. http://hdl.handle.net/2123/6101.

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Master of Philosophy in Public Health
This thesis is about the substantial service Karitane provided in the teaching of mothercraft to guide parents in the care of their young children in New South Wales. At first called the Australian Mothercraft Society, it emerged in New South Wales as a voluntary organisation in 1923, closely allied to New Zealand’s Plunket Society founded in 1907 by Sir Truby King. Karitane was at its most active in the 1940s when it provided over a quarter of Sydney’s residential mothercraft services. Its beginnings were overshadowed by conflict and the New South Wales Department of Public Health did not acknowledge Karitane until the 1960s. Until then Karitane was absent from the public record of services for mother and baby in NSW. Sydney’s Eastern Suburbs community and the Karitane Products Society in New Zealand supported Karitane before it integrated into New South Wales’ government supported health services. Throughout it delivered on its aims of teaching mothers ways of caring for infants, disseminating knowledge about the care of young children and preparing specialist nurses. The main theme of this thesis is the ‘moving frontier’ that is the boundary between the voluntary providers of health services and governmental provision of health services. Karitane’s development has depended on the politics of health care at Commonwealth, State and local levels. The secondary themes derive from the competition for scarce resources amongst the professional groups involved; doctors, nurses and health service administrators. Karitane’s experience has not been unique; it has followed a trajectory common to voluntary organizations providing personal care services through the twentieth century and it has conformed to trends in public health. Sometimes Karitane led the trends and sometimes it trailed; it adapted to circumstances but it retains a degree of independence. Shining through all the problems with resources are the human experiences of appreciative mothers who used Karitane’s services and the dedicated staff and supporters who provided mothercentred help with the care of infants. The mother/infant relationship continues to be a central concern for public health. This study of Karitane gives a longitudinal perspective on the contribution of a small band of skilled people with a clear mission to provide services to assist mothers with their babies and young children.
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35

Bell, Jane Caroline. "The epidemiology of colorectal cancers in New South Wales, 1972-1991 /." Title page, abstract and contents only, 1996. http://web4.library.adelaide.edu.au/theses/09MPM/09mpmb433.pdf.

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36

Taylor, Louise Westall. "Recovering lives : 15 convicts in New South Wales." Phd thesis, 2015. http://hdl.handle.net/1885/110682.

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While individual biographies of convict lives have appeared in the literature of Australian colonial history - albeit in truncated form - an aggregate study of convicts selected from a homogeneous group has appeared less often. Thus an opportunity has been missed to examine the commonalities as well as differences of such individuals over time - both before and after their punishment. My thesis examines the lives of 15 convicts who had worked during their bondage at the Australian Agricultural Company in New South Wales. Although the primary purpose is to use the method of micro-prosopography to seek the commonalities, differences and idiosyncrasies of these convicts' experiences, as well as their aggregate, the biographies are important in themselves. By compiling portraits of their lives I have sought to rescue them from what E.P. Thompson famously called 'the enormous condescension of posterity'. Although gaps in the biographies inevitably appear, and more information about some than others has been found, all biographies reveal enough information to highlight broader themes in colonial history - criminality and punishment, alcohol, and economic outcomes - which have been explored extensively. By tracing, where possible, the trajectory of the lives of their families I have also examined the legacy of convicts in the later history of Australia.
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37

Elliott, Jane E. "The colonies clothed : a survey of consumer interests in New South Wales and Victoria, 1787-1887 / J. Elliott." Thesis, 1988. http://hdl.handle.net/2440/18785.

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38

Ritter, Ann Leonora. "William and Mary Windeyer in colonial New South Wales simultaneous bearers of two traditions /." 1995. http://hdl.handle.net/2123/4994.

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Thesis (Ph. D.)--University of Sydney, 1996.
Submitted in fulfilment of the requirements for the degree of Doctor of Philosophy to the Department of History, Faculty of Arts. Degree awarded 1996; thesis submitted 1995. Includes bibliography. Also available in print form.
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39

O'Donnell, Ruan. "Marked for Botany Bay : the Wicklow United Irishmen and the development of political transportation from Ireland, 1791-1806." Phd thesis, 1996. http://hdl.handle.net/1885/144446.

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'Marked for Botany Bay' examines the Irish penal transportation system from its origins in the 1780s to its wide utilisation in the aftermath of the 1798 Rebellion. The selection of New South Wales as the principal site for the exile of political prisoners is placed in its proper context. Alternative modes of late Eighteenth century prisoner disposal are also considered in order to highlight the specific characteristics of rebel convictism and transportation policies. The large and militant Wicklow United Irish organization has been chosen as a case study group to chart the transportation process as it evolved in the face of the revolutionary challenges of the 1790s. Salient law and order issues such as Eighteenth century views on exemplary and summary justice are detailed to yield insights into the changing status of political prisoners from 1791-1805. Underused and new sources have been consulted to assess Government, convict, international and colonial perspectives on transportation from Ireland. This has generated a much fuller picture of the convict experience than hitherto available throwing fresh light on the mechanisms and nature of transportation. Matters arising from United Irish structures and their modus operandi at home and abroad are also discussed in depth to facilitate a fuller understanding of convict militancy in exile.
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40

Rosen, Sue Maria, University of Western Sydney, College of Arts, and School of Humanities and Languages. "That den of infamy, the No. 2 Stockade Cox's River : an historical investigation into the construction, in the 1830's, of the Western Road from Mt. Victoria to Bathurst by a convict workforce." 2006. http://handle.uws.edu.au:8081/1959.7/29869.

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The overarching question under investigation in this thesis is the extent to which the ideals of penal management as espoused by both British and Colonial authorities were implemented in the day to day administration and management of a convict work force. The focus of the examination is the construction of Major Thomas Mitchell’s line of road between Mt. Victoria and Bathurst in the 1830’s. Specifically the thesis documents the various sites on the line of road with a particular emphasis on the administrative centre and principal facility, No. 2 Stockade Cox’s River, to explain the dynamic interaction of the network and its role in the penal repertoire of New South Wales. In bringing together a large range of sources the thesis has enabled the first thorough reading of the convict sites associated with the Western road. This has led to a multi-dimensional understanding of the place, its people, and the process of its construction. It provides a basis for future scholarship on this neglected network, located almost at the doorstep of greater Sydney, on the western fringe of the Blue Mountains.
Doctor of Philosophy (PhD)
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41

Roach, Brian Norman. "Edward Christopher Merewether, a study of patronage and benevolence in Colonial New South Wales, 1842–1893." Thesis, 2019. http://hdl.handle.net/1959.13/1406449.

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Research Doctorate - Doctor of Philosophy (PhD)
For centuries, patronage served as a tool for those holding power in their respective undertakings. How, when and where it operated, who sought it and the challenges faced by clients, are explored in this thesis to reveal the nature of Sydney’s, and by wider implication, Australia’s colonial society and its patronage use. This thesis examines the nineteenth century British and colonial system as it governed the lifetime of Edward Christopher Merewether as well as the manner in which he offered patronage in elite, colonial, New South Wales from 1842 to 1893 when he died. It will uncover the role and practice of patronage in the New South Wales civil service as he progressed through increasing levels of promotion; it will reveal the role and practice of patronage during his business career with the Australian Agricultural Company between 1860 and 1875 with special attention to his relations with his Stock Supervisor on Warrah Station, the Company’s rural arm; it will also reveal his benevolence through the contributions he made to individuals as well as to the general public In accomplishing these things it will also inform on colonial class structures, networks and elites’ stances regarding their position in colonial society. This knowledge will facilitate a clearer picture of the life, interests and experiences of but one of colonial NSW’s prominent citizens.
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42

Roberts, David Andrew. ""Binjang" or the "Second Vale of Tempe": the frontier at Wellington Valley, New South Wales, 1817-1851." Thesis, 2000. http://hdl.handle.net/1959.13/1312936.

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Research Doctorate - Doctor of Philosophy (PhD)
Between 1817-1851, Wellington Valley was a pivotal location in the westward expansion of the British colony of NSW. Both practically and perceptually it marked the most westerly fringe of a swelling colony. Explorers defined it as an outer margin of hospitable land and administrators designated it as a periphery of legal settlement. Government made it a remote outpost, the furthest reach of its influence and authority, and made it a base for military detachments, police fores, magistrates and commissioners. It was a destination for travellers, a launching pad for explorers and a field of labour for missionaries. As an important service centre, a foothold to the interior, it became a floodgate through which the agents of a thriving pastoral industry poured during the squatting boom. During the first three decades of European occupation it was inhabited by all the quintessential characters of the Australian frontier: Aborigines, convicts, commandants, gentlemen settlers and pauper emigrants, bushrangers, missionaries, soldiers and mounted policemen. In short, Wellington Valley appears an excellent vantage point fro which to view the passing of the frontier in colonial Australia. This thesis is a frontier history, studying the first stages of colonial expansion into an already-inhabited domain.. It is a local study, examining a broader process in one particular, geographic location. I bring the sweeping themes of colonisation and contact under the microscope of a local context, illuminating the processes through which he colonists created and constructed frontiers in NSW and assessing the impact on the indigenous inhabitants. I also deal with the remembrance and presentation of the past on a local basis, in which respect this thesis also concerns the field of local history.
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43

Wells, Andrew David. "A Marxist reappraisal of Australian capitalism : the rise of Anglo-Colonial finance capital in New South Wales and Victoria, 1830-1890." Phd thesis, 1985. http://hdl.handle.net/1885/121712.

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This thesis investigates aspects of the formation and evolution of capitalism in colonial New South Wales. Four principal themes are addressed throughout the discussion: first, the role of British imperialism in establishing and shaping colonial capitalism; second, the role of the British and colonial states in expanding commodity relations; third, the dominant areas and agents involved in capital accumulation, and last, the nature of the class relations and property connections that underpinned these processes. The structure and dynamics of class relations, especially the relations of production, are both the premise and conclusion of this study. The approach adopted to realise these objects is both theoretical and empirical. The study proceeds through three major parts. The first part is a critical investigation of the historiography pertinent to my principal themes and the specification of the problems discussed in the subsequent parts. Here, the rudiments of marxist historiography are introduced and a sustained critical discussion of Australian economic historiography is presented. By the close of Part One, the approach to be pursued, the themes to be investigated, the departures from non-marxist historiography and the sequence of empirical analyses are made explicit. Part Two of the thesis is concerned with the formation of colonial capitalism. Capitalism depends on the commodification of economic relations: thus this process of commodification is examined in the context of the land, labour and capital markets. Because the initial process of securing capitalist relations of production is as much political as economic, and consequently as much imperial as colonial, the forms of political or state power are discussed. The dominant relations of production before 1860 are defined as ascendant, though contradictory, Anglo-colonial merchant capital. Part Three investigates three dimensions of colonial capitalist development. These investigations pre-suppose the dominance of commodity relations and pursue their intensification and expansion into colonial landed property, the transformation of colonial pastoralism and the forms and directions of public economic activity. In all these cases the focus remains on the four major themes identified above. Part Three closes with an analysis of dominant class relations, a demonstration of the fundamental argument advanced throughout the thesis concerning the prominence that should be given to Anglo-colonial finance capital. Between 1860 and 1890 the major economic relations and class structure were shaped by Anglo-colonial finance capital. The thesis concludes with an assessment of the implications of this study for Australian historiography, including marxist historiography, and indicates possible directions for future investigations.
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44

Johns, Leanne. "Women in colonial commerce 1817-1820 : the window of understanding provided by the Bank of New South Wales ledger and minute books." Master's thesis, 2001. http://hdl.handle.net/1885/146545.

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45

Vaughan, Priya. "Pay Attention: Aboriginal Art in NSW." Phd thesis, 2017. http://hdl.handle.net/1885/148402.

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Despite extensive academic focus on Indigenous Australian art, sustained engagement, particularly in the discipline of anthropology, has largely focused on artists and artworks from the central, northern and western regions of Australia. Academic works examining art-making in the south east of Australia, particularly New South Wales (NSW), are relatively few, despite news articles, exhibition catalogues and monographs penned by artists and curators providing evidence of vibrant communities of Aboriginal artists and solo practitioners working across NSW. In light of this, this thesis addresses the relative academic silence around Aboriginal art-making in NSW. It asks, broadly, what kind of art is being made in NSW and why? Drawing on fieldwork undertaken across NSW – including interviews with 65 artists, curators, arts workers and others – and on primary analysis of several data sets – including material from the Australian Art Sales Digest and Parliament of NSW Aboriginal Art Prize catalogues – this thesis seeks to pay attention to Aboriginal artists working across NSW in order to document the work they make, the technical, creative and social processes through which they create art, their experiences of the art-world, particularly the art market, and their motivations for making. As a result of this attention, this thesis focuses on various themes, issues and topics. The history of intellectual and commercial engagement with Aboriginal art produced in NSW since British colonisation is canvassed in order to contextualise and make sense of the concerns and creative interests of research participants. Participant use of art to represent, affirm and constitute diverse personal, cultural and professional identities is explored and it is demonstrated that identity-focused works reveal that Aboriginality is conceptualised, by artists, in overwhelmingly non-essentialist ways, although the nature of this non-essentialism is varied. Diverse art practices undertaken by Aboriginal artists in NSW are described, including detailed analysis of two visual forms (south eastern designs and dots) and two styles or genres (urban art and contemporary art) which are commonly created, or are felt to be significant, by participants. These forms/genres are positioned by artists and others as traditional and non-traditional to NSW, sometimes simultaneously. Analysis of engagement with these forms reveals the ways participants conceive of culture especially as it pertains to tradition, authenticity, change and continuity. Finally, consideration of the sale of art in various art market spheres illustrates that selling work is significant for artists, and confers meaning upon artworks offered for sale.
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46

Griffiths, Philip Gavin. "The making of White Australia: Ruling class agendas, 1876-1888." Phd thesis, 2006. http://hdl.handle.net/1885/47107.

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This thesis argues that the colonial ruling class developed its first White Australia policy in 1888, creating most of the precedents for the federal legislation of 1901. White Australia was central to the making of the Australian working class, to the shaping of Australian nationalism, and the development of federal political institutions. It has long been understood as a product of labour movement mobilising, but this thesis rejects that approach, arguing that the labour movement lacked the power to impose such a fundamental national policy, and that the key decisions which led to White Australia were demonstrably not products of labour movement action. ¶ It finds three great ruling class agendas behind the decisions to exclude Chinese immigrants, and severely limit the use of indentured “coloured labour”. ...
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47

Wagner, Rex. "Dryland salinity in the south-east region, New South Wales." Master's thesis, 2001. http://hdl.handle.net/1885/9985.

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Dryland salinity is claimed to be potentially the nation's greatest environmental problem. In NSW, it occurs mainly in the upland areas in the south-east of the State. This region is part of the Murray-Darling Basin and has the potential to contribute to its worsening salinity. This thesis examines the nature of its occurrence in this area, and the implications for its remediation. There are two opposing models of the causes of dryland salinity. The first, a more long held view, is that salinisation is localised, restricted to particular soils and landforms, restricted in its spread, episodic in its development, and responsive to mitigation measures within its own local catchment or recharge area. A more recent view is that the problem is one of regional dimension, driven by rising regional groundwater systems, progressive in its spread, and having the potential to degrade large areas with serious off-site consequences, principally as a result of increasing stream salinity. Here, the genesis of the problem is seen as the widespread clearing of timber in regional recharge areas following European settlement. The chief remedy proposed is to restore tree cover; with up to 50 percent of the higher rainfall zone in the Murray-Darling Basin being replanted to trees. The opposing models differ greatly in their conception of the magnitude of the problem, and its potential for expansion. They present widely different management and policy options for its mitigation. The social and economic impacts of any programs proposed similarly differ. This thesis uses aerial photography, site inspections, and farmer interviews to trace the development of dryland salinity in the south-east region of NSW. The findings are compared with the expectations from the two models. It was found that dryland salinity across the region was not a recent phenomenon. One site developed before 1900 and there were episodic periods of expansion in the 1930s and 1950s to 1960s, with most sites reaching their maximum extent by the early 1970s. Most sites occurred as isolated outbreaks, associated with local landscape features and soil types. Their development appeared to be closely related to changes in rainfall patterns, to past land use and management of the affected sites themselves, and their local recharge areas. There was no evidence of continued expansion in the last two decades, and little evidence of any progressive spread, either spatially or temporally, as projected from regional watertable modeling. However the conditions that predispose lands to dryland salinity still exist, and there could be an extension of the problem in the future. In a limited number of cases, rehabilitation of former saline areas has been achieved at the local property level. Here the landholders had broader objectives than solely controlling salinity. Their primary objectives were to develop more productive and sustainable farming systems. The improved practices introduced also overcame other associated land degradation problems. These measures, at a local recharge level, were effective within a reasonably short time. Although long term regional programs may be needed, the study showed that many of the incidences of local salinity development appear to be associated with local factors. Successful treatment at a local property level appears to confirm this. Such treatments have the potential to reduce salt flushes from farm lands to streams. The success of these treatments is not consistent with the regional groundwater model. Tree planting on the scale proposed from this model, may not be necessary; and the development and adoption of more sustainable farming systems widely across landscapes may largely redress the situation. These systems in themselves would include more trees. This approach would not require the huge capital investment necessary with tree or engineering solutions. The necessary treatments would be more within the reach of individual landholders, and would be much less disruptive to the existing agricultural infrastructure and community life than the massive tree planting programs proposed, and may ensure a better allocation of resources overall. More support at the local community level should also be achievable. Dryland salinity is a symptom as well as the result of unsustainable land use and management. It is concluded that reduction in the hazard does not depend on a singular approach such as tree planting, but principally on the development and adoption of more sustainable and productive farming systems. Technology is being developed that could provide the basis for such systems. Means also must be developed to foster their wider adoption.
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48

Evans, Robert George. "Paediatrics in New South Wales, 1945 TO 1965." Thesis, 2000. http://hdl.handle.net/1959.13/24901.

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Paediatrics became a viable medical specialty in Australia and New South Wales between 1945 and 1965. Paediatricians took possession of occupational spaces previously claimed by other medical groups and created their own new spaces. They argued that children were still growing and differed physically and emotionally from adults. Their special needs warranted the formation of a new division in medicine. Paediatricians adopted the new knowledge, technology and therapeutics that became available in the post-war period and demonstrated that they were capable of following the scientific medicine paradigm, the prevailing standard in internal medicine. Access to the children's hospital was essential for paediatricians as a workshop for their professional development, to treat their seriously ill patients, to support their claims for occupational space and for their authority and status as specialists in medicine.. Scientific medicine demanded more of the time of the paediatricians and in RAHC they elected to continue working in an honorary capacity. In another children's hospital, RCH in Melbourne, paediatricians were employed in a version of the full-time system. The different approaches to staffing illustrate the conflicts of interest found in specialty development in Australia and the pervasive influence of medico-political issues. As members of a privileged autonomous profession paediatricians in RAHC owed a duty to the people of NSW, and in their honorary positions, to the hospital. They had responsibilities to their patients, both private and public. They were committed to their own professional development and they had to make a living in private practice. By retaining the honorary system paediatricians in RAHC were obliged to give priority to their interests outside the hospital so that scientific medicine expanded only slowly. In RCH service development and research were enhanced because the conflicts of interest were reduced and paediatricians could devote more of their time to the hospital without compromising their other roles. The development of a new specialty required the acquisition by members of professional power, authority and status. This process was assisted by the formation of a professional association, but paediatricians had difficulty in creating an independent body that they controlled. For professional authority and status paediatricians in RAHC were strongly dependent on maintaining their dominant position in the hierarchy of the hospital. Although children were central to the development of paediatrics, their place at the bottom of the institutional hierarchy meant they were disempowered and unable to influence the development of the specialty.
PhD Doctorate
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49

Evans, Robert George. "Paediatrics in New South Wales, 1945 TO 1965." 2000. http://hdl.handle.net/1959.13/24901.

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Paediatrics became a viable medical specialty in Australia and New South Wales between 1945 and 1965. Paediatricians took possession of occupational spaces previously claimed by other medical groups and created their own new spaces. They argued that children were still growing and differed physically and emotionally from adults. Their special needs warranted the formation of a new division in medicine. Paediatricians adopted the new knowledge, technology and therapeutics that became available in the post-war period and demonstrated that they were capable of following the scientific medicine paradigm, the prevailing standard in internal medicine. Access to the children's hospital was essential for paediatricians as a workshop for their professional development, to treat their seriously ill patients, to support their claims for occupational space and for their authority and status as specialists in medicine.. Scientific medicine demanded more of the time of the paediatricians and in RAHC they elected to continue working in an honorary capacity. In another children's hospital, RCH in Melbourne, paediatricians were employed in a version of the full-time system. The different approaches to staffing illustrate the conflicts of interest found in specialty development in Australia and the pervasive influence of medico-political issues. As members of a privileged autonomous profession paediatricians in RAHC owed a duty to the people of NSW, and in their honorary positions, to the hospital. They had responsibilities to their patients, both private and public. They were committed to their own professional development and they had to make a living in private practice. By retaining the honorary system paediatricians in RAHC were obliged to give priority to their interests outside the hospital so that scientific medicine expanded only slowly. In RCH service development and research were enhanced because the conflicts of interest were reduced and paediatricians could devote more of their time to the hospital without compromising their other roles. The development of a new specialty required the acquisition by members of professional power, authority and status. This process was assisted by the formation of a professional association, but paediatricians had difficulty in creating an independent body that they controlled. For professional authority and status paediatricians in RAHC were strongly dependent on maintaining their dominant position in the hierarchy of the hospital. Although children were central to the development of paediatrics, their place at the bottom of the institutional hierarchy meant they were disempowered and unable to influence the development of the specialty.
PhD Doctorate
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50

Besold, Jutta. "Language recovery of the New South Wales South Coast Aboriginal languages." Phd thesis, 2012. http://hdl.handle.net/1885/10133.

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The recent years have witnessed an increase in revisiting language descriptions of the ‘sleeping’ traditional languages of south-east Australia from available historic material. The languages of south-east New South Wales have thus far been largely neglected and this thesis fills a gap in the contemporary language work that has and still is being undertaken on traditional New South Wales languages. This research study investigates the traditional Aboriginal languages of the New South Wales South Coast. The languages presented here are Dharrawal, Dharumba, Dhurga and Djirringanj, which were spoken from the southern parts of Sydney and Botany Bay down along the coast, close to the Victorian border. The language material used for the analysis consists entirely of archival material that was collected by various people between ca. 1834 and 1902. Although previous work on the New South Wales South Coast languages (see Capell (n.d.) and Eades’ (1976)) offered insight into the structure of the languages, the available archival material has not been exhaustively utilised until now. Part B of this thesis presents the seventeen previously unanalysed texts transcribed by Andrew Mackenzie and Robert Hamilton Mathews during the latter half of the 19th Century. These texts supply a significant amount of additional morphological and syntactical information, and insights into narrative and discourse features; as well as mythologies of the South Coast people. Throughout the thesis, issues of working from archival material are appropriately discussed to clarify interpretation of the material and to introduce the reader to the stages and processes involved in working from historic material. This work is ultimately produced as a tool for local Aboriginal communities and community members to assist in current and future language reclamation and revitalisation projects, and to allow for projects to aim for higher language proficiency than has previously been possible.
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