963 resultados para History, 1946-1969


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Includes index.

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Mode of access: Internet.

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Mode of access: Internet.

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One previously unrecognised feature of the history of the political relationship between Australia and Korea is the role played by Australia as a member of the United Nations Organization in respect to the so-called Korea Question. Drawing on source documents from UN Resolutions and Australian Archives this article examines the changing positions of Australia as the Korea Question developed in the UN General Assembly. This spanned a period from the beginnings of the UN Organization until the time when both Koreas were admitted as members in 1991. The article proposes the Australian positions as responses to changing domestic and international political contexts.

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This work conducts a comprehensive historical review and analysis of the legislative principles for mandatory reporting of child sexual abuse in each State and Territory of Australia. The research traces and explains all the significant changes in the development of the laws in each jurisdiction since their inception in 1969 to the year 2013. The research also identifies why the legislation changed in each jurisdiction, covering research into publicly available records, focusing on significant government inquiries and law reform reports, and parliamentary debates. The research is situated within a treatment of the modern discovery of child sexual abuse as a widespread phenomenon of significant public health concern.

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Between 1935 and 1970 the state-funded Irish Folklore Commission (Coimisiún Béaloideasa Éireann) assembled one of the great folklore collections of the world under the direction of Séamus Ó Duilearga (James Hamilton Delargy). The aim of this study is to recount and assess the work and achievement of this commission. The cultural, linguistic, political and ideological factors that had a bearing on the establishment and making permanent of the Commission and that impinged on many aspects of its work are here elucidated. The genesis of the Commission is traced and the vision and mission of Séamus Ó Duilearga are outlined. The negotiations that preceded the setting up of the Commission in 1935 as well as protracted efforts from 1940 to 1970 to place it on a permanent foundation are recounted and examined at length. All the various collecting programmes and other activities of the Commission are described in detail and many aspects of its work are assessed. This study also deals with the working methods and conditions of employment of the Commission s field and Head Office staff as well as with Séamus Ó Duilearga s direction of the Commission. In executing this work extensive use has been made of primary sources in archives and libraries in Ireland, Sweden, Finland, Estonia, and North America. This is the first major study of this world-famous institute, which has been praised in passing in numerous publications, but here for the first time its work and achievement are detailed comprehensively and subjected to scholarly scrutiny. This study should be of interest not only to students of Irish oral tradition but to folklorists everywhere. The history of the Irish Folklore Commission is a part of a wider history, that of the history of folkloristics in Europe and North America in particular. Moreover, this work has relevance for many areas of the developing world today, where conditions are not dissimilar to those that pertained in Ireland in the 1930's when this great salvage operation was funded by the young, independent Irish state. It is also hoped that this work will be of practical assistance to scholars and the general public when utilising these collections, and that furthermore it will stimulate research into the assembling of other national collections of folklore as well as into the history of folkloristics in other countries, subjects which in recent years are beginning to attract more and more scholarly attention.

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Tutkielma käsittelee viime sotien jälkeisiä sosiaalisia ongelmia niin sanotun pinnarilain kautta. Laki työtä vieroksuvien henkilöiden määräämisestä työhön tai erikoistyölaitokseen oli voimassa 1946–1948. Tutkielma selvittää, miten viranomaiset sovelsivat pinnarilakia Helsingissä ja avaa työnvieroksunta-käsitteen sisältöä ja määrittelyä. Tutkielman näkökulma pohjautuu kontekstikonstruktivismiin. Erilaisuuden ja sosiaalisten ongelmien määrittely on jatkuvan keskustelun ja kiistelyn alainen aihepiiri, sillä kyseisissä ilmiöissä ja niiden hallinnassa törmäävät erilaiset intressit ja tavoitteet. Sosiaalisen ongelman määrittely on tulosta aktiivisesta kollektiivisesta määrittelyprosessista, johon osallistuu useita toimijoita. Koska itse laki määritteli työnvieroksunta-käsitteen ja rajasi lain soveltamisalan hyvin väljästi, paikalliset viranomaiset saivat laajat toimintavaltuudet. Tämän vuoksi on tärkeä tutkia, millaiset henkilöt koettiin ongelmallisiksi, ”häiritsevän erilaisiksi”. Tärkein lähdemateriaali työssä on kunnallisen työasiainlautakunnan laatimat henkilöaktit työnvieroksujina käsitellyistä henkilöistä. Henkilöaktit sisältävät lautakunnan omien merkintöjen lisäksi poliisin huolto-osaston, huoltolautakunnan ja lääkäreiden asiakirjoja. Systemaattisen otannan avulla akteista on koottu noin 350 henkilöaktin otos. Nämä henkilöt on jaettu neljään ryhmään sen perusteella, mitkä syyt ovat johtaneet henkilön päätymiseen pinnarikäsittelyyn. Näin muodostuneen neljän ryhmän nimet ovat rikolliset, alkoholiongelmaiset, irtolaisnaiset ja ”kunnon kansalaiset”. Ryhmiä analysoidaan vertailun ja tilastollisten menetelmien avulla. Pinnarilaki oli yhtä aikaa työmarkkina-, sosiaali- ja kontrollipolitiikkaa. Sen soveltamisessa tulivat ilmi valtion työvoimapoliittiset intressit jälleenrakentavassa ja työvoimapulasta kärsivässä maassa. Työnvieroksujien joukkoon päätyi niin yhteiskunnan syrjässä roikkuvia moniongelmaisia kuin työkyvyttömyydestä tai työn puutteesta kärsiviä tavallisia kansalaisia. Pinnarilaki sai sovellettaessa ”kaatoluokka”-luonteen: sen avulla viranomaisten kynnys puuttua epäilyttävinä pitämiensä henkilöiden elämään madaltui, sillä esimerkiksi alkoholisti- ja irtolaislainsäädännön soveltamisala oli rajatumpi. Sotatoimien päätyttyä viranomaiset kävivät taistoon yhteiskunnan sisäisiä vihollisia, kohonnutta rikollisuutta, muuttuneita moraalikäsityksiä ja lisääntynyttä päihteidenkäyttöä, vastaan. Tässä taistelussa pinnarilaki oli viranomaisten tärkein ase ja kontrollikeino.

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The coherence of the Soviet bloc was seriously tested at the turn of the 1970s, as the Soviet Union and its allies engaged in intensive negotiations over their relations with the European Communities (EC). In an effort to secure their own national economic interests many East European countries began independent manoeuvres against the wishes of their bloc leader. However, much of the intra-bloc controversy was kept out of the public eye, as the battle largely took place behind the scenes, within the organisation for economic cooperation, the Council for Mutual Economic Assistance (CMEA). The CMEA policy-making process vis-à-vis the EC is described in this study with reference to primary archival materials. This study investigates the negotiating positions and powers of the CMEA member states in their efforts to deal with the economic challenge created by the progress of the EC, as it advanced towards the customs union. This entails an analysis of the functioning principles and performance of the CMEA machinery. The study traces the CMEA negotiations that began in 1970 over its policy toward the EC. The policy was finally adopted in 1974, and was followed by the first official meeting between the two organisations in early 1975. The story ends in 1976, when the CMEA s efforts to enter into working relations with the EC were seemingly frustrated by the latter. The first major finding of the study is that, contrary to much of the prior research, the Soviet Union was not in a hegemonic position vis-à-vis its allies. It had to use a lot of its resources to tame the independent manoeuvring of its smaller allies. Thus, the USSR was not the kind of bloc leader that the totalitarian literature has described. Because the Soviet Union had to spend so much attention on its own bloc-politics, it was not able to concentrate on formulating a policy vis-à-vis the EC. Thus, the Soviet leadership was dependent on its allies in those instances when the socialist countries needed to act as a bloc. This consequently opened up the possibility for the USSR s allies to manoeuvre. This study also argues that when the CMEA did manage to find a united position, it was a force that the EC had to reckon with in its policy-making. This was particularly the case in the implementation of the EC Common Commercial Policy. The other main finding of the study is that, although it has been largely neglected in the previous literature on the history of West European integration, the CMEA did in fact have an effect on EC decision-making. This study shows how for political and ideological reasons the CMEA members did not acknowledge the EC s supranational authority. Therefore the EC had no choice but to refrain from implementing its Common Commercial Policy in full.

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(PDF contains 15 pages)

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Elkhorn Slough was first exposed to direct tidal forcing from the waters of Monterey Bay with the construction of Moss Landing Harbor in 1946. Elkhorn Slough is located mid-way between Santa Cruz and Monterey close to the head of Monterey Submarine Canyon. It follows a 10 km circuitous path inland from its entrance at Moss Landing Harbor. Today, Elkhorn Slough is a habitat and sanctuary for a wide variety of marine mammals, fish, and seabirds. The Slough also serves as a sink and pathway for various nutrients and pollutants. These attributes are directly or indirectly affected by its circulation and physical properties. Currents, tides and physical properties of Elkhorn Slough have been observed on an irregular basis since 1970. Based on these observations, the physical characteristics of Elkhorn Slough are examined and summarized. Elkhorn Slough is an ebb-dominated estuary and, as a result, the rise and fall of the tides is asymmetric. The fact that lower low water always follows higher high water and the tidal asymmetry produces ebb currents that are stronger than flooding currents. The presence of extensive mud flats and Salicornia marsh contribute to tidal distortion. Tidal distortion also produces several shallow water constituents including the M3, M4, and M6 overtides and the 2MK3 and MK3 compound tides. Tidal elevations and currents are approximately in quadrature; thus, the tides in Elkhorn Slough have some of the characters of a standing wave system. The temperature and salinity of lower Elkhorn Slough waters reflect, to a large extent, the influence of Monterey Bay waters, whereas the temperature and salinity of the waters of the upper Slough (>5 km from the mouth) are more sensitive to local processes. During the summer, temperature and salinity are higher in the upper slough due to local heating and evaporation. Maximum tidal currents in Elkhorn Slough have increased from approximately 75 to 120 cm/s over the past 30 years. This increase in current speed is primarily due to the change in tidal prism which has increased from approximately 2.5 to 6.2 x 106 m3 between 1956 and 1993. The increase in tidal prism is the result of both 3 rapid man-made changes to the Slough, and the continuing process of tidal erosion. Because of the increase in the tidal prism, the currents in Elkhorn Slough exhibit positive feedback, a process with uncertain consequences. [PDF contains 55 pages]

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A study of possible causes for extensive mortality of oysters in the Upper Chesapeake Bay was taken on by year-round monitoring of conditions during a two-year period.