968 resultados para MENSAJE POLITICO


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En vertu de l’expertise qu’il détient, l’agent public contribue à la réflexion du politique. L’acteur public est en quelque sorte un outil d’aide à la décision. Le paradigme classique en théorie des organisations assume que le bureaucrate est un acteur programmé dont les actions sont guidées par la règlementation et la codification juridico-légale entourant sa pratique. Quant à elle, l’École de la nouvelle gestion publique suppose que l’agent public doit opérer librement selon les indicateurs de la sphère privée ; il doit viser l’efficacité au moindre coût et prioriser la culture du résultat. De plus, dans des conditions respectant l’environnement où se dessine le partage de renseignements, les chercheurs ne s’entendent pas sur le principe de l’allié qui postule conventionnellement que des préférences similaires favorisent la transmission optimale de l’information entre le politique et la fonction publique. Quel modèle prévaut au Québec ? Sous quelles formes s’opérationnalise-t-il en contexte de transfert ? La thèse d’une compatibilité préférentielle est-elle garante d’une translation informationnelle améliorée ? En usant du modèle canonique principal-agent, ce mémoire confronte la croyance répandue voulant que l’État québécois soit foncièrement webérien en adressant certaines des plus importantes conclusions théoriques dans la discipline. Les résultats démontrent que l’appareil d’État est issu d’un croisement entre les deux principaux paradigmes reconnus dans la littérature. Aussi, le mémoire fait état d’une similarité entre l’interprétation traditionnelle de l’ally principle et la réalité empirique retrouvée dans la relation entre le haut fonctionnaire et le législateur québécois. Ultimement, l’étude démontre que l’administrateur d’État est stratégique dans certaines situations qu’il sait instrumentaliser et où il peut occuper un espace discrétionnaire suffisant pour valoriser ses intérêts professionnels et ceux de son organisation.

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Este trabalho tem por objetivo o mapeamento temático das faixas de fronteira localizadas entre o município de Corumbá (Brasil) e os países vizinhos, Bolívia e Paraguai. A partir da abordagem cartográfica de temas do meio físico, biótico, socioeconômico e ambiental vêm se revelando peculiaridades e novas interpretações a respeito deste espaço fronteiriço. No município de Corumbá a linha demarcatória internacional possui  517 quilômetros de extensão, desde a foz do rio Nabileque até o marco norte da lagoa Gaíva. Ao longo desta linha estendem-se faixas de território instituídas pela legislação destes três países, sendo de 150 quilômetros para o Brasil e 50 quilômetros nos casos da Bolívia e Paraguai. A  representação cartográfica destas faixas sob o olhar de multi-temas trouxeram à luz uma série de informações que poderão ser utilizadas, por exemplo, no aprimoramento da legislação específica e do planejamento estratégico destas áreas, tão especiais do ponto de vista cultural e econômico.

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Análisis evaluativo de diversos enfoques geográficos sobre el espacio, su revelación con el Estado, entendido en su binomio poder y dominación. Se revisa la concepción de un poder unidimensional y la producción de espacio; así como las versiones del poder multidimensional, consumo del espacio y territorialidad. La concepción del espacio como producto-reflejo de la sociedad, se critica a la luz de concepción materialista del espacio. A nivel histórico, se estudian las estrategias y conflictos resultantes de la conformación de nuevos territorios y las limitaciones de acción del Estado frente a las decisiones locacionales de las grandes corporaciones multinacionales. Se fortalecen segmentos del Estado nacional, pero, a la vez, este pierde poder de decisiones ante las fuerzas internacionales y, principalmente frente a los problemas y tenciones internas. La autora sugiere diversos temas de investigación necesarios de cubrir urgentemente, tales como la relación territorio y espacio; naturaleza de los movimientos sociales de la base territorial; naturaleza del Estado contemporáneo y las relaciones ante los planes económicos y políticos y, finalmente, los limites de intervención del Estado y los problemas de legitimidad del poder. SUMMARY This is evaluative analysis of different geographic focuses concerning space-state relationships, taking into account a power and domination binomial. The concept of a unidimensional power and space production is revised; as well as versions of multidimensional power, space consumption, and territorial relationships. The space concept is taken into account as a product-reflection of society and criticized from the viewpoint of a materialistic viewpoint, strategies and conflicts are studied as the results of the confirmation of the new territories the large multinational corporations. Segments of the national state are stringency but, at the same time, the state loses its decision making powers in reference to international forces and principally in reference to problems and internal tensions. The author suggests several necessary and urgent investigative themes, such as territorial and space relationships, the nature of the social movements encountered in the territorial base, the nature of the contemporary state and of the its relationships in accordance with economic and political plants and finally, the intervention limits of the state and the problems of power legitimacy RESUME A partir d’une vision géographique, on présente et analyse les thèmes suivants: l’espace, la relation celui-ci avec l’Etat, entendu comme un bionome pouvoir et domination. On revise les concepts de pouvoir unidimensionnel et de production d’espace; de pouvoir multidimensionnel, consommation et territoriale. Le concept d’espace comme produit-réflexe de la société, est critiqué en se basant sur la conception matérialiste de l’espace. Au niveau historique, on étudie les stratégies et les conflicts qui résultent de la conformation de nouveaux territoires. On étudie aussi les limitations de l’action de l’Etat en face des décisions d’ubiquation des grandes corporations multinationales. En même temps que se fortifié certaines parties de l’Etat national, il y a une diminution de son pouvoir de décision devant des forces internationales et surtout en face de problèmes et de tensions internes.L’auteur suggère plusieurs thèmes d’investigation urgents, comme : la relation entre territoire et espace; nature des mouvements sociaux à base territoriale; nature de l’Etat contemporain et ses relations avec les plan économiques et politiques et enfin : les limites de l’intervention de l’Etat et les problèmes de légitimité du pouvoir. 

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Using the Education Queensland Reform Agenda to illustrate examples and approaches to education reform, this article discusses education reform for at-risk youth. It argues that the characteristics of modernity, the rise of Mode 2 Society, and the power asymmetries associated with the emergence of the politico-economic will contain the reform ambitions of the Education Queensland and other education reform agendas. It is proposed that the State adopt a transgressive and complimentary set of reform strategies including the adoption of distributed governance, making available meaningful school performance data, encouraging experimentation and facilitating broad stakeholder, community and neighbourhood engagement in school planning and operations. The article argues that measures such as these will assist to mobilize trust, minimise social fragmentation, generate and regenerate community resources, build cohesion, foster the socio-cultural-self-identities of 'at-risk' youth and will assist youth to achieve full participation in a robust and vibrant democracy.

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The stylized facts that motivate this thesis include the diversity in growth patterns that are observed across countries during the process of economic development, and the divergence over time in income distributions both within and across countries. This thesis constructs a dynamic general equilibrium model in which technology adoption is costly and agents are heterogeneous in their initial holdings of resources. Given the households‟ resource level, this study examines how adoption costs influence the evolution of household income over time and the timing of transition to more productive technologies. The analytical results of the model constructed here characterize three growth outcomes associated with the technology adoption process depending on productivity differences between the technologies. These are appropriately labeled as „poverty trap‟, „dual economy‟ and „balanced growth‟. The model is then capable of explaining the observed diversity in growth patterns across countries, as well as divergence of incomes over time. Numerical simulations of the model furthermore illustrate features of this transition. They suggest that that differences in adoption costs account for the timing of households‟ decision to switch technology which leads to a disparity in incomes across households in the technology adoption process. Since this determines the timing of complete adoption of the technology within a country, the implications for cross-country income differences are obvious. Moreover, the timing of technology adoption appears to be impacts on patterns of growth of households, which are different across various income groups. The findings also show that, in the presence of costs associated with the adoption of more productive technologies, inequalities of income and wealth may increase over time tending to delay the convergence in income levels. Initial levels of inequalities in the resources also have an impact on the date of complete adoption of more productive technologies. The issue of increasing income inequality in the process of technology adoption opens up another direction for research. Specifically increasing inequality implies that distributive conflicts may emerge during the transitional process with political- economy consequences. The model is therefore extended to include such issues. Without any political considerations, taxes would leads to a reduction in inequality and convergence of incomes across agents. However this process is delayed if politico-economic influences are taken into account. Moreover, the political outcome is sub optimal. This is essentially due to the fact that there is a resistance associated with the complete adoption of the advanced technology.

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This special issue presents an excellent opportunity to study applied epistemology in public policy. This is an important task because the arena of public policy is the social domain in which macro conditions for ‘knowledge work’ and ‘knowledge industries’ are defined and created. We argue that knowledge-related public policy has become overly concerned with creating the politico-economic parameters for the commodification of knowledge. Our policy scope is broader than that of Fuller (1988), who emphasizes the need for a social epistemology of science policy. We extend our focus to a range of policy documents that include communications, science, education and innovation policy (collectively called knowledge-related public policy in acknowledgement of the fact that there is no defined policy silo called ‘knowledge policy’), all of which are central to policy concerned with the ‘knowledge economy’ (Rooney and Mandeville, 1998). However, what we will show here is that, as Fuller (1995) argues, ‘knowledge societies’ are not industrial societies permeated by knowledge, but that knowledge societies are permeated by industrial values. Our analysis is informed by an autopoietic perspective. Methodologically, we approach it from a sociolinguistic position that acknowledges the centrality of language to human societies (Graham, 2000). Here, what we call ‘knowledge’ is posited as a social and cognitive relationship between persons operating on and within multiple social and non-social (or, crudely, ‘physical’) environments. Moreover, knowing, we argue, is a sociolinguistically constituted process. Further, we emphasize that the evaluative dimension of language is most salient for analysing contemporary policy discourses about the commercialization of epistemology (Graham, in press). Finally, we provide a discourse analysis of a sample of exemplary texts drawn from a 1.3 million-word corpus of knowledge-related public policy documents that we compiled from local, state, national and supranational legislatures throughout the industrialized world. Our analysis exemplifies a propensity in policy for resorting to technocratic, instrumentalist and anti-intellectual views of knowledge in policy. We argue that what underpins these patterns is a commodity-based conceptualization of knowledge, which is underpinned by an axiology of narrowly economic imperatives at odds with the very nature of knowledge. The commodity view of knowledge, therefore, is flawed in its ignorance of the social systemic properties of knowing’.

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We examine the role of politico-economic influences on macroeconomic performance within the framework of an endogenous growth model with costly technology adoption and uncertainty. The model is aimed at understanding the diversity in growth and inequality experiences across countries. Agents adopt either of two risky technologies, one of which is only available through financial intermediaries, who are able to alleviate some of this risk. The entry cost of financial intermediation depends on the proportion of government revenue that is allocated towards cost-reducing financial development expenditure, and agents vote on this proportion. The results show that agents at the top and bottom ends of the distribution prefer alternative means of re-distribution, thereby effectively blocking the allocation of resources towards cost-reducing financial development expenditure. Thus political factors have a role in delaying financial and capital deepening and economic development. Furthermore, the model provides a political-economy perspective on the Kuznets curve; uncertainty interacts with the political economy mechanism to produce transitional inequality patterns that, depending on initial conditions, can unearth the Kuznets-curve experience. Finally, the political outcomes are inefficient relative to policies aimed at maximizing the collective welfare of agents in the economy.

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Austria and Finland are persistently referred to as the “success stories” of post-1945 European history. Notwithstanding their different points of departure, in the course of the Cold War both countries portrayed themselves as small and neutral border-states in the world dictated by superpower politics. By the 1970s, both countries frequently ranked at the top end in various international classifications regarding economic development and well-being in society. This trend continues today. The study takes under scrutiny the concept of consensus which figures centrally in the two national narratives of post-1945 success. Given that the two domestic contexts as such only share few direct links with one another and are more obviously different than similar in terms of their geographical location, historical experiences and politico-cultural traditions, the analogies and variations in the anatomies of the post-1945 “cultures of consensus” provide an interesting topic for a historical comparative and cross-national examination. The main research question concerns the identification and analysis of the conceptual and procedural convergence points of the concepts of the state and consensus. The thesis is divided into six main chapters. After the introduction, the second chapter presents the theoretical framework in more detail by focusing on the key concepts of the study – the state and consensus. Chapter two also introduces the comparative historical and cross-national research angles. Chapter three grounds the key concepts of the state and consensus in the historical contexts of Austria and Finland by discussing the state, the nation and democracy in a longer term comparative perspective. The fourth and fifth chapter present case studies on the two policy fields, the “pillars”, upon which the post-1945 Austrian and Finnish cultures of consensus are argued to have rested. Chapter four deals with neo-corporatist features in the economic policy making and chapter five discusses the building up of domestic consensus regarding the key concepts of neutrality policies in the 1950s and 1960s. The study concludes that it was not consensus as such but the strikingly intense preoccupation with the theme of domestic consensus that cross-cut, in a curiously analogous manner, the policy-making processes studied. The main challenge for the post-1945 architects of Austrian and Finnish cultures of consensus was to find strategies and concepts for consensus-building which would be compatible with the principles of democracy. Discussed at the level of procedures, the most important finding of the study concerns the triangular mechanism of coordination, consultation and cooperation that set into motion and facilitated a new type of search for consensus in both post-war societies. In this triangle, the agency of the state was central, though in varying ways. The new conceptions concerning a small state’s position in the Cold War world also prompted cross-nationally perceivable willingness to reconsider inherited concepts and procedures of the state and the nation. At the same time, the ways of understanding the role of the state and its relation to society remained profoundly different in Austria and Finland and this basic difference was in many ways reflected in the concepts and procedures deployed in the search for consensus and management of domestic conflicts. For more detailed information, please consult the author.

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This study in EU law analyses the reasoning of the Court of Justice (the Court of Justice of the European Union) in a set of its preliminary rulings. Preliminary rulings are answers to national courts questions on the interpretation (and validity) of EU law called preliminary references. These questions concern specific legal issues that have arisen in legal disputes before the national courts. The Court of Justice alone has the ultimate authority to interpret EU law. The preliminary rulings bind the national courts in the cases giving rise to the preliminary reference, and the interpretations of EU law offered in the preliminary rulings are considered generally binding on all instances applying EU law. EU law is often described as a dynamic legal order and the Court of Justice as at the vanguard of developing it. It is generally assumed that the Court of Justice is striving to realise the EU s meta-level purpose (telos): integration. Against this backdrop one can understand the criticism the Court of Justice is often faced with in certain fields of EU law that can be described as developing. This criticism concerns the Court s (negatively) activist way of not just stating the law but developing or even making law. It is difficult to analyse or prove wrong this accusation as it is not in methodological terms clearly established what constitutes judicial activism, or more exactly where the threshold of negative activism lies. Moreover, one popular approach to assessing the role of the Court of Justice described as integration through law has become fairly political, neglecting to take into consideration the special nature of law as both facilitating and constraining action, not merely a medium for furthering integration. This study offers a legal reasoning approach of a more legalist nature, in order to balance the existing mix of approaches to explaining what the Court of Justice does and how. Reliance on legal reasoning is found to offer a working framework for analysis, whereas the tools for an analysis based on activism are found lacking. The legal reasoning approach enables one to assess whether or not the Court of Justice is pertaining to its own established criteria of interpretation of EU law, and if it is not, one should look more in detail at how the interpretation fits with earlier case-law and doctrines of EU law. This study examines the reasoning of the Court of Justice in a set of objectively chosen cases. The emphasis of the study is on analysing how the Court of Justice applies the established criteria of interpretation it has assumed for itself. Moreover, the judgments are assessed not only in terms of reasoning but also for meaningful silences they contain. The analysis is furthermore contextualised by taking into consideration how the cases were commented by legal scholars, their substantive EU law context, and also their larger politico-historical context. In this study, the analysis largely shows that the Court of Justice is interpreting EU law in accordance with its previous practice. Its reasoning retains connection with the linguistic or semiotic criteria of interpretation, while emphasis lies on systemic reasoning. Moreover, although there are a few judgments where the Court of Justice offers clearly dynamic reasoning or what can be considered as substantive reasoning stemming from, for example, common sense or reasonableness, such reasons are most often given in addition to systemic ones. In this sense and even when considered in its broader context, the case-law analysed in this study does not portray a specifically activist image of the Court of Justice. The legal reasoning approach is a valid alternative for explaining how and why the Court of Justice interprets EU law as it does.

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Resumen: Cuando los medios se refieren a los candidatos políticos en una situación de campaña electoral proyectan una cierta imagen de los mismos a partir de las verbalizaciones que preponderan en los mensajes informativos. El presente trabajo analiza estas verbalizaciones de los medios en el marco de la teoría de la Agenda Setting, más específicamente en el segundo nivel de esta teoría, la cual hace referencia a los atributos o aspectos que caracterizan a los protagonistas de las noticias, para este estudio en particular, los políticos. Esta teoría fue puesta a prueba repetidamente desde su aplicación en las elecciones estadounidenses de 1968 de la mano de sus autores Maxwell McCombs y Donald Shaw. La misma se ha extendido con paso firme desde su país de origen hacia otras latitudes. El objetivo general es describir la imagen de los candidatos presidenciales a partir de las expresiones que preponderan en los medios masivos de comunicación, durante la campaña presidencial en Argentina ocurrida en octubre de 2011. El procedimiento consiste en el relevamiento realizado durante los meses anteriores a las elecciones presidenciales. Para ello fue necesario armar un corpus compuesto por la selección de los medios masivos de comunicación a analizar. Seguidamente se realiza el análisis de contenido del corpus y se procede al análisis de los datos, de ello deriva una base de datos, donde la unidad de análisis fue la mención de los diversos aspectos o características de los candidatos políticos. Los aspectos o características fueron tomados de investigaciones anteriores que aplicaron la misma metodología y que fueron realizadas en nuestro país también en situaciones de contextos electorales. Por ello es factible de efectuar comparaciones en el tiempo, ya que una de las enormes riquezas de la teoría de la Agenda Setting es la de ser susceptible de comparación por tratarse de una metodología de análisis sistemático. La revisión de la teoría de la Agenda Setting que enmarca esta investigación pretende introducirnos primeramente en las investigaciones de medios masivos en general para luego focalizar en la teoría propiamente dicha y más aún en el segundo nivel de la teoría que trata de los atributos de los personajes públicos Se realiza posteriormente una breve sinopsis de investigaciones en Latinoamérica y Argentina, sobre temas relacionados con campañas electorales y no electorales para finalmente de manera concatenada dar cuenta de trabajos realizados en nuestro país en situaciones de campañas políticas

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Resumen: El presente trabajo analiza la antroponimia de la aristocracia leonesa en los siglos X y XI, a fi n de contribuir a la comprensión de las estructuras de parentesco de los grupos aristocráticos, las manifestaciones de la memoria familiar y el papel del parentesco en la construcción del poder y el prestigio social. Se plantea que la aristocracia desarrolló una antroponimia específi ca basada en la reiteración de determinados nombres propios a lo largo de las generaciones, que constituyó un importante elemento de identifi cación de la parentela y que expresó en el plano simbólico la organización de los grupos de parentesco en función de la transmisión del poder y la afi rmación del prestigio familiar.

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Resumen: El artículo trata la cuestión del poder político como superiorem non recognoscens en Vitoria y Suárez, y vincula los principios de la escolástica aristotélica del siglo de oro con un fallo contemporáneo clave, con el fin de destacar el sentido y valor del principio de independencia política, un eje de los fundamentos del derecho internacional público moderno afirmado por la escuela española.

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Resumen: El trabajo propone una reflexión acerca de la problemática de la traducción en la Antigüedad tal como se plantea en la Carta de Aristeas a Filócrates, narración compuesta en el siglo II a.C. que relata los sucesos en torno a la traducción al griego del Pentateuco, la Septuaginta. El autor, anónimo, narra en primera persona y se describe como integrante de la corte real de Ptolomeo Filadelfo, aunque en realidad se trata de un judío alejandrino, conocedor de las leyes mosaicas. La obra presenta ciertas incongruencias y pasajes de difícil interpretación, pero su mensaje es claro: por medio de la traducción, el original hebreo alcanza la dignidad suficiente como para formar parte de la biblioteca de Alejandría, junto con otras obras prestigiosas del mundo helenístico.

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Introducción: El Sínodo de Obispos reunido en 2012 identificó como uno de los grandes desafíos para la evangelización de hoy día la aparición de nuevas formas de gnosis, a través de la cuales «(...) la ciencia y la técnica corren el riesgo de transformarse en los nuevos ídolos del presente (...) es fácil hacer de la ciencia nuestra religión a la cual dirigir nuestras preguntas sobre la verdad y el sentido de la esperanza sabiendo que sólo recibiremos respuestas parciales e inadecuadas»...

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Tecnópolis se emplaza en un gran espacio destruido, en constante reconstrucción.2 Esta no es sino una de las tantas metáforas del país que se reconocen en la muestra. El parque se empeña en transmitir un mensaje: la Argentina tiene futuro, pero no cualquier futuro, sino uno moderno, tecnológico, desarrollado. En el discurso que estructura Tecnópolis, la ciencia y la tecnología aparecen como el buque insignia de nuestro tránsito hacia ese futuro, como heraldos de trabajo y bienestar.