964 resultados para Romanticism in Germany.


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In recent years, public discourse about German national identity has increasingly focussed on the large foreign population within Germany's borders. Whilst right-wing politicians such as Edmund Stoiber foster fears of identity loss ('Überfremdung'), more liberal observers, and indeed the ruling red-green coalition, acknowledge that multiethnicity has by now become an integral part of this identity. The debate experienced its provisional climax in late 2000 and early 2001. Friedrich Merz, then parliamentary leader of the CDU party, introduced the term 'Leitkultur' into the political discourse. The notion suggests the existence of a clearly identifiable spectrum of German cultural values and proposes that foreigners who wished to live in Germany should adhere to these values. Merz's proposal triggered a wave of highly controversial comments which have been evaluated for the purpose of this paper. It draws on roughly 350 newspaper articles and interviews and aims to introduce the English-speaking reader to the complex range of arguments. The Leitkultur debate is taken as symptomatic of the current state of public discourse about foreigners and national identity in Germany.

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This thesis examines the influence of non-state actors on Polish-German relations by considering foreign policy-making towards Poland in Germany and vice versa. The approach chosen for this thesis is interdisciplinary and takes into consideration literature from domestic politics (Area Studies), Foreign Policy Analysis and International Relations (IR). The thesis argues that IR, by purely looking into the quality of inter-state relations, too often treats these relations as a result of policies emanating from the relevant governments, without considering the policies’ background. Therefore, the thesis argues that it is necessary to engage with the domestic factors which might explain where foreign policies come from. It points out that non-state actors influence governments’ choices by supplying resources, and by cooperating or competing with the government on an issue at stake. In order to determine the degree of influence that non-state actors can have on foreign policymaking two variables are examined: the institutionalisation of the state relations in question; and the domestic structures of the relevant states. Specifically, the thesis examines the institutionalisation of Polish-German relations, and examines Germanys and Poland’s domestic structures and their effect on the two states’ foreign policy-making in general. Thereafter, the thesis uses case studies in order to unravel the influence of non-state actors on specific foreign policies. Three case studies are examined in detail: (i) Poland’s EU accession negotiations with regard to the free movement of capital chapter of the acquis communautaire; (ii) Germanys EU 2004 Eastern Enlargement negotiations with regard to the free movement of workers chapter of the acquis communautaire; and (iii) Germanys decision to establsh a permanent exhibition in Berlin that will depict the expulsions of millions of Germans from the East following WWII.

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This paper examines changes in the drivers of productivity in Germany over the period 1997-2012. We start by comparing the performance of German firms and inward investors before and during the recovery from the recent global financial crisis of 2008 across a range of sectors, and subsequently examine the channels through which different firms are able to generate productivity. Our results show that foreign investors are more productive than German MNEs and purely domestic firms, with the gap narrowing in the manufacturing sector, but growing in the service sector during the recovery period. We also contrast those firms for whom productivity growth is related to greater use of intangible assets, compared with those for whom productivity is linked to cash flow. Productivity of inward investors is driven by cash flow rather than intangible assets, these being limited to high-technology investors from the EU and the USA.

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This study is a comparative study of the Turkish Islamist movement Milli Görüş (IGMG) in Germany and the Netherlands. It is a qualitative and a quantitative inquiry about the nature (whether it is moderate or radical) of the Milli Görüş movement in these two countries. The central research questions are: what is the reason for the rise of Islamism among Turks living in two different countries in Europe? What is the reason for the difference in the radicalization levels? Islamism refers to an ideology that turns traditional Islam into a sustained and systematic program that includes social, political, and economic affairs (Pipes 1998). The movements within the framework of Islamism range from moderate to radical. Based on the data collected during the field research conducted in Germany and the Netherlands between the years of 2004-2007, this study suggests that Islamism is a response to social marginalization which is defined as “an external social position, of isolation of the individual or groups, with a limited access to economical, political, educational and communicational resources of the community” (Contained in the law adopted by the Romanian Parliament in 28 February 2002, www.hurriyetim.com, November 25, 2004). It is hypothesized that as the level of social marginalization increases, so does the level of radicalization.

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The work of Russell Dalton has undoubtedly played a seminal role in the study of the relation between political sophistication and partisan dealignment. We furthermore acknowledge the presence of a consensus on the occurrence of lower levels of partisanship in Germany. Using panel data as well as pooled cross-sectional observations, however, it is clear that generational replacement is not the sole driving force of partisan dealignment, but that period effects should also be taken into account. While on an aggregate level rising levels of political sophistication have occurred simultaneously with decreasing partisanship, individual level analysis suggests clearly that the least sophisticated are most likely to feel alienated from the party system. We close with some very specific suggestion on how to address the democratic consequences of declining levels of partisanship.

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Party identification traditionally is seen as an important linkage mechanism, connecting voters to the party system. Previous analyses have suggested that the level of party identity is in decline in Germany, and in this article, we first expand previous observations with more recent data. These suggest that the erosion of party identity continues up to the present time. An age-period-cohort analysis of the panel data of the SOEP panel suggests that period effects are significantly negative. Furthermore, it can be observed that throughout the 1992-2009 observation period, education level and political interest have become more important determinants of party identity. Contrary to some of the literature, therefore, it can be shown that the loss of party identity is concentrated among groups with lower levels of political sophistication, indicating that the socio-economic profile of the group with a sense of party identification has become more distinct compared to the population as a whole. In the discussion, we investigate the theoretical and democratic consequences of this trend.

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In the 1990s, competition among public health insurance funds (‘sickness funds’) was introduced in Germany. As one means of competition, free choice of initial health funds and subsequent switching between them was made available to all insured. Since then, the number of funds has decreased substantially, and funds have had to engage in competitive strategies to remain in the market. In this paper, we want to analyse the funds' advertising activities in the face of the changed competitive environment. This has not been possible to date due to a lack of data. We use two new datasets to get a first insight into the potential effects of competition on funds' advertising strategies; one of the volume and cost of advertisements and one of their contents. Our results suggest that competition has been associated with an increase in the amount of advertising. As to the adverts themselves, we find that there was a decrease in the share of advertisements of a ‘general’ content in favour of advertisements of a more ‘fund-specific’ content. The data therefore indicate that once the market was open to switching of funds by the insured, funds' advertising efforts changed to differentiating their own perceived strengths from those of competitor funds. These observations allow us to draw some tentative conclusions about the relevance of (attempts of) risk selection by health funds via advertisements and about the general success of the pro-competitive legislation.

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Estimation of absolute risk of cardiovascular disease (CVD), preferably with population-specific risk charts, has become a cornerstone of CVD primary prevention. Regular recalibration of risk charts may be necessary due to decreasing CVD rates and CVD risk factor levels. The SCORE risk charts for fatal CVD risk assessment were first calibrated for Germany with 1998 risk factor level data and 1999 mortality statistics. We present an update of these risk charts based on the SCORE methodology including estimates of relative risks from SCORE, risk factor levels from the German Health Interview and Examination Survey for Adults 2008-11 (DEGS1) and official mortality statistics from 2012. Competing risks methods were applied and estimates were independently validated. Updated risk charts were calculated based on cholesterol, smoking, systolic blood pressure risk factor levels, sex and 5-year age-groups. The absolute 10-year risk estimates of fatal CVD were lower according to the updated risk charts compared to the first calibration for Germany. In a nationwide sample of 3062 adults aged 40-65 years free of major CVD from DEGS1, the mean 10-year risk of fatal CVD estimated by the updated charts was lower by 29% and the estimated proportion of high risk people (10-year risk > = 5%) by 50% compared to the older risk charts. This recalibration shows a need for regular updates of risk charts according to changes in mortality and risk factor levels in order to sustain the identification of people with a high CVD risk.

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Dieser Datensatz beinhaltet 70 Pollenprofile und begleitende sedimentologische Daten aus 30 Seen in Deutschland, die im Verlauf der 70er und 80er Jahre vom NlfB gekernt und analysiert wurden. Der Datenatz wurde im Rahmen des im folgenden beschriebenen Teilprojektes des DFG-Schwerpunktprogrammes "Wandel der Geo-Biosphäre" von Prof. Dr. Josef Merkt der wissenschaftlichen Gemeinschaft zur Verfügung gestellt. Im Projekt "Laminierte Seesedimente als Archive für Untersuchungen der Änderungen von Umweltbedingungen während Spätglazial und Holozän" wurden die laminierten Abschnitte von Sedimentprofilen aus oberschwäbischen, nordschweizerischen und norddeutschen Seen, die die letzten 15 000 Jahre umfassten, mikroskopisch ausgewertet. Ziel war es für Deutschland eine jahrgenaue Chronologie nach Kalenderjahren aufzustellen. Poster: Kleinmann, A, Merkt, J, Müller, H, Küster, H (1998) Holocene lake-level changes in Germany. Institute of Geobotany, University Hannover & Geological Survey of Lower Saxony, Hannover. (pdf hdl:10013/epic.31687.d001 280kB) Einführung: Die meisten Seen in Deutschland bestehen seit mehr als 15 000 Jahren und sind seit Jahrtausenden attraktiv für menschliche Besiedlung. In den Seeablagerungen ist die Geschichte der Umwelt nahezu ungestört und hoch aufgelöst konserviert. Pflanzliche und tierische Reste, wie z. B. Blütenstaub, Birkenfrüchte, Bucheckern, Algen, Wasserflöhe, Käfer, Muschelkrebse und Rädertierchen können Auskunft über die Entwicklung der Flora und Fauna, über Wärme- und Kälteperioden seit der letzten Eiszeit bis heute geben. Weitere Zeugen sind z.B. klastischer Eintrag (wie Sand), vulkanische Aschen, chemische Ausfällungen und eine jahreszeitliche Schichtung, die nur unter Sauerstoffausschluß entsteht. Ist der Seegrund belüftet, leben dort Tiere, die die oberen Zentimeter des Seebodens zur Nahrungssuche durchwühlen und dabei diese Schichtung zerstören. Ist der Seegrund ganzjährig unbelüftet, bleiben die klastischen Partikel, die organischen Reste, die chemischen Fällungen wie Siderit und Kalzit in der Reihenfolge liegen wie sie abgesunken sind. Die Reihenfolge spiegelt den Ablauf der Jahreszeiten wider: Goldalgen fallen im Frühjahr und die Mehrheit der Kieselalgen im Frühsommer und Sommer auf den Seeboden. Eisenkarbonat und Kalk werden im Sommer ausgeschieden, die klastischen und organischen Partikel sedimentieren im Winter. Die Jahresschichten liefern das zeitliche Gerüst in dem sich Klimaumschwünge, Seespiegeltiefstände und andere Ereignisse der Paläoumwelt jahrgenau fassen lassen. Auch die Landnutzung durch den Menschen ist aus Seeablagerungen abzulesen, wie z. B. erster Ackerbau, Rodungshochphasen in der Römerzeit und im Mittelalter, Aufforstung Anfang des 19. Jahrhunderts, bronzezeitliche und jüngere Erzverhüttungen, Industrialisierung, sogar Atombombentests und das Reaktorunglück von Tschernobyl 1986. Diese deuten das umwelt-wissenschaftliche Potential der Seesedimente an. Wesentliche Antworten, die in Seesedimenten stecken und entschlüsselt werden, sind die auf Fragen nach Klimaänderungen und ihren Folgen. Neben den bekannten vulkanischen Aschenlagen Laacher Tuff aus der Eifel, Saksunarvatn Tuff aus Island und Kilian/Vasset Tuff aus dem Massif Central werden weitere gesucht, da sie trennscharfe Leithorizonte sind und zur absoluten zeitlichen Korrelation von See zu See dienen. Daneben können regional unterschiedliche Vegetationsentwicklungen über isochrone Tephralagen einander zugeordnet werden. Mit der Erfassung möglichst vieler Sedimentparameter können Kriterien gefunden werden, mit denen die natürlichen von den anthropogenen Umweltveränderungen zu unterscheiden sind. Klimatisch unruhige Zeitabschnitte wie der Übergang Alleröd/Jüngere Tundrenzeit vor 12700 Kalenderjahren, der Übergang Spätglazial/Holozän vor 11560 Kalenderjahren und die 120 Jahre später einsetzende vorübergehende Abkühlung, die Rammelbeekphase, wurden analysiert, um Dauer, Verlauf und Folgeerscheinungen kennenzulernen. Als Methoden wurden eingesetzt: Mikrofaziesanalyse mit Dünnschliffen, Pollenanalyse, Mikrofaunauntersuchungen, anorganisch und organisch geochemische Analysen, Isotopenanalyse (delta13C, delta18O, AMS an terrestrischen Makroresten).

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This paper looks at expectations people have of informal justice mechanisms through a rich empirical dataset of 2775 recent ombudsman users in Germany and the United Kingdom. In a cross-cultural comparison the ombudsman, as a model of justice is explored. Not much is known about people’s expectations towards the ombudsman model; this paper starts to fill the gap. Four roles became apparent as cross-cultural narratives in the dataset; people who interact with ombudsmen expect them to be interpreters, advocates, allies and instruments. The identified roles are largely common to both countries, but in some aspects they show national specificities. These national specificities are seen mainly in the use of language; in Germany it is more legalistic in comparison to the UK. I argue that this might be related to what has been described as the general legal culture of each country and the institutional set-up.

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Widespread flooding in June 2013 caused damage costs of €6 to 8 billion in Germany, and awoke many memories of the floods in August 2002, which resulted in total damage of €11.6 billion and hence was the most expensive natural hazard event in Germany up to now. The event of 2002 does, however, also mark a reorientation toward an integrated flood risk management system in Germany. Therefore, the flood of 2013 offered the opportunity to review how the measures that politics, administration, and civil society have implemented since 2002 helped to cope with the flood and what still needs to be done to achieve effective and more integrated flood risk management. The review highlights considerable improvements on many levels, in particular (1) an increased consideration of flood hazards in spatial planning and urban development, (2) comprehensive property-level mitigation and preparedness measures, (3) more effective flood warnings and improved coordination of disaster response, and (4) a more targeted maintenance of flood defense systems. In 2013, this led to more effective flood management and to a reduction of damage. Nevertheless, important aspects remain unclear and need to be clarified. This particularly holds for balanced and coordinated strategies for reducing and overcoming the impacts of flooding in large catchments, cross-border and interdisciplinary cooperation, the role of the general public in the different phases of flood risk management, as well as a transparent risk transfer system. Recurring flood events reveal that flood risk management is a continuous task. Hence, risk drivers, such as climate change, land-use changes, economic developments, or demographic change and the resultant risks must be investigated at regular intervals, and risk reduction strategies and processes must be reassessed as well as adapted and implemented in a dialogue with all stakeholders.

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Malnutrition, nutritional deficiency, or undernutrition is an imbalanced nutritional status resulting from insufficient intake of nutrients to meet normal physiologic requirements. Malnutrition in childhood has both short-term consequences and long-term consequences on mental and physical health as well as the overall health development of children. Of all regions in the world, the Asia and the Pacific region has achieved the fastest rate of economic growth. There is no evidence that this rapid economic growth translates into a decline in malnutrition of children in Asian countries such as India.

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David Phillips: The German Example, English Interest in Educational Provision in Germany Since 1800, London / New York: Continuum 2011 (230 S.; ISBN 978-1-44114-130-9; 70,00 EUR)

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Over recent years, it became widely accepted that alternative, renewable energy may come at some risk for wildlife, for example, when wind turbines cause large numbers of bat fatalities. To better assess likely populations effects of wind turbine related wildlife fatalities, we studied the geographical origin of the most common bat species found dead below German wind turbines, the noctule bat (Nyctalus noctula). We measured stable isotope ratios of non-exchangeable hydrogen in fur keratin to separate migrants from local individuals, used a linear mixed-effects model to identify temporal, spatial and biological factors explaining the variance in measured stable isotope ratios and determined the geographical breeding provenance of killed migrants using isoscape origin models. We found that 72% of noctule bat casualties (n = 136) were of local origin, while 28% were long-distance migrants. These findings highlight that bat fatalities at German wind turbines may affect both local and distant populations. Our results indicated a sex and age-specific vulnerability of bats towards lethal accidents at turbines, i.e. a relatively high proportion of killed females were recorded among migratory individuals, whereas more juveniles than adults were recorded among killed bats of local origin. Migratory noctule bats were found to originate from distant populations in the Northeastern parts of Europe. The large catchment areas of German wind turbines and high vulnerability of female and juvenile noctule bats call for immediate action to reduce the negative cross-boundary effects of bat fatalities at wind turbines on local and distant populations. Further, our study highlights the importance of implementing effective mitigation measures and developing species and scale-specific conservation approaches on both national and international levels to protect source populations of bats. The efficacy of local compensatory measures appears doubtful, at least for migrant noctule bats, considering the large geographical catchment areas of German wind turbines for this species.