679 resultados para Clause compromissoire


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The impact of Greek-Egyptian bilingualism on language use and linguistic competence is the key issue in this dissertation. The language use in a corpus of 148 Greek notarial contracts is analyzed on phonological, morphological and syntactic levels. The texts were written by bilingual notaries (agoranomoi) in Upper Egypt in the later Hellenistic period. They present, for the most part, very good administrative Greek. On the other hand, their language contains variation and idiosyncrasies that were earlier condemned as ungrammatical and bad Greek, and were not subjected to closer analysis. In order to reach plausible explanations for those phenomena, a thorough research into the sociohistorical and linguistic context was needed before the linguistic analysis. The general linguistic landscape, the population pattern and the status and frequency of Greek literacy in Ptolemaic Egypt in general, and in Upper Egypt in particular, are presented. Through a detailed examination of the notaries themselves (their names, families and handwriting), it became evident that there were one to three persons at the notarial office writing under the signature of one notary. Often the documents under one notary's name were written in the same hand. We get, therefore, exceptionally close to studying idiolects in written material from antiquity. The qualitative linguistic analysis revealed that the notaries made relatively few orthographic mistakes that reflect the ongoing phonological changes and they mastered the morphological forms. The problems arose at the syntactic level, for example, with the pattern of agreement between the noun groups or a noun with its modifiers. The significant structural differences between Greek and Egyptian can be behind the innovative strategies used by some of the notaries. Moreover, certain syntactic structures were clearly transferred from the notaries first language, Egyptian. This is obvious in the relative clause structure. Transfer can be found in other structures, as well, although, we must not forget the influence of parallel Greek structures. Sometimes these can act simultaneously. The interesting linguistic strategies and transfer features come mostly from the hand of one notary, Hermias. Some other notaries show similar patterns, for example, Hermias' cousin, Ammonios. Hermias' texts reveal that he probably spoke Greek more than his predecessors. It is possible to conclude, then, that the notaries of the later generations were more fluently bilingual; their two languages were partly integrated in their minds as an interlanguage combining elements from both languages. The earlier notaries had the two languages functionally separated and they followed the standardized contract formulae more rigidly.

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Objectives. In primary education the pupils form a basis for their writing skills. By assessing pupils writing skills the teacher gathers information about the development of their skills and notices possible learning disabilities. The assessment of writing skills requires both knowledge of different evaluation methods and the phonological system in Finnish language. The purpose of this study is to analyze the pupils writing skills and different assessment methods that help the teacher in writing evaluation. The pupils writing skills are viewed from spelling, composing and writing motivation s point of view. Methods. The research material consists of dictation exercises, written stories and writing motivation self-assessments of 19 pupils. Dictation exercises measured the spelling skills of pupils and they were written in the spring of the first grade and the autumn of the second grade. Dictation exercises were analyzed with two different methods: mistake analysis and word-structure analysis. Information of pupils spelling skills development was gathered by comparing their performance in autumn s dictation exercise to spring s dictation. Composing skills were measured with stories that the pupils wrote. Both the stories and the writing motivation s self-assessment were made in the autumn of the second grade. Composing skills were analyzed according to assessment criteria formed for this study. Results. The spelling skill of most of the pupils had developed from the first grade s spring to the second grade s autumn. The spelling skills of half of the pupils (N=9) had improved significantly. The composing skills of the pupils varied largely. Strongest part of the pupils composing skill was following instructions and the weakest part was the use of versatile vocabulary and clause structures. The girls outdid the boys in all segments of their composing skills. For most pupils their spelling skill reflected their composing skill: good spellers were also good story writers. The relation between writing motivation and general writing skill was not this simple: some pupils (N=5) writing motivation was much higher than what would have been expected based on their writing skills.

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Embryonic stem cells offer potentially a ground-breaking insight into health and diseases and are said to offer hope in discovering cures for many ailments unimaginable few years ago. Human embryonic stem cells are undifferentiated, immature cells that possess an amazing ability to develop into almost any body cell such as heart muscle, bone, nerve and blood cells and possibly even organs in due course. This remarkable feature, enabling embryonic stem cells to proliferate indefinitely in vitro (in a test tube), has branded them as a so-called miracle cure . Their potential use in clinical applications provides hope to many sufferers of debilitating and fatal medical conditions. However, the emergence of stem cell research has resulted in intense debates about its promises and dangers. On the one hand, advocates hail its potential, ranging from alleviating and even curing fatal and debilitating diseases such as Parkinson s, diabetes, heart ailments and so forth. On the other hand, opponents decry its dangers, drawing attention to the inherent risks of human embryo destruction, cloning for research purposes and reproductive cloning eventually. Lately, however, the policy battles surrounding human embryonic stem cell innovation have shifted from being a controversial research to scuffles within intellectual property rights. In fact, the ability to obtain patents represents a pivotal factor in the economic success or failure of this new biotechnology. Although, stem cell patents tend to more or less satisfy the standard patentability requirements, they also raise serious ethical and moral questions about the meaning of the exclusions on ethical or moral grounds as found in European and to an extent American and Australian patent laws. At present there is a sort of a calamity over human embryonic stem cell patents in Europe and to an extent in Australia and the United States. This in turn has created a sense of urgency to engage all relevant parties in the discourse on how best to approach patenting of this new form of scientific innovation. In essence, this should become a highly favoured patenting priority. To the contrary, stem cell innovation and its reliance on patent protection risk turmoil, uncertainty, confusion and even a halt on not only stem cell research but also further emerging biotechnology research and development. The patent system is premised upon the fundamental principle of balance which ought to ensure that the temporary monopoly awarded to the inventor equals that of the social benefit provided by the disclosure of the invention. Ensuring and maintaining this balance within the patent system when patenting human embryonic stem cells is of crucial contemporary relevance. Yet, the patenting of human embryonic stem cells raises some fundamental moral, social and legal questions. Overall, the present approach of patenting human embryonic stem cell related inventions is unsatisfactory and ineffective. This draws attention to a specific question which provides for a conceptual framework for this work. That question is the following: how can the investigated patent offices successfully deal with patentability of human embryonic stem cells? This in turn points at the thorny issue of application of the morality clause in this field. In particular, the interpretation of the exclusions on ethical or moral grounds as found in Australian, American and European legislative and judicial precedents. The Thesis seeks to compare laws and legal practices surrounding patentability of human embryonic stem cells in Australia and the United States with that of Europe. By using Europe as the primary case study for lessons and guidance, the central goal of the Thesis then becomes the determination of the type of solutions available to Europe with prospects to apply such to Australia and the United States. The Dissertation purports to define the ethical implications that arise with patenting human embryonic stem cells and intends to offer resolutions to the key ethical dilemmas surrounding patentability of human embryonic stem cells and other morally controversial biotechnology inventions. In particular, the Thesis goal is to propose a functional framework that may be used as a benchmark for an informed discussion on the solution to resolving ethical and legal tensions that come with patentability of human embryonic stem cells in Australian, American and European patent worlds. Key research questions that arise from these objectives and which continuously thread throughout the monograph are: 1. How do common law countries such as Australia and the United States approach and deal with patentability of human embryonic stem cells in their jurisdictions? These practices are then compared to the situation in Europe as represented by the United Kingdom (first two chapters), the Court of Justice of the European Union and the European Patent Office decisions (Chapter 3 onwards) in order to obtain a full picture of the present patenting procedures on the European soil. 2. How are ethical and moral considerations taken into account at patent offices investigated when assessing patentability of human embryonic stem cell related inventions? In order to assess this part, the Thesis evaluates how ethical issues that arise with patent applications are dealt with by: a) Legislative history of the modern patent system from its inception in 15th Century England to present day patent laws. b) Australian, American and European patent offices presently and in the past, including other relevant legal precedents on the subject matter. c) Normative ethical theories. d) The notion of human dignity used as the lowest common denominator for the interpretation of the European morality clause. 3. Given the existence of the morality clause in form of Article 6(1) of the Directive 98/44/EC of the European Parliament and of the Council of 6 July 1998 on the legal protection of biotechnological inventions which corresponds to Article 53(a) European Patent Convention, a special emphasis is put on Europe as a guiding principle for Australia and the United States. Any room for improvement of the European morality clause and Europe s current manner of evaluating ethical tensions surrounding human embryonic stem cell inventions is examined. 4. A summary of options (as represented by Australia, the United States and Europe) available as a basis for the optimal examination procedure of human embryonic stem cell inventions is depicted, whereas the best of such alternatives is deduced in order to create a benchmark framework. This framework is then utilised on and promoted as a tool to assist Europe (as represented by the European Patent Office) in examining human embryonic stem cell patent applications. This method suggests a possibility of implementing an institution solution. 5. Ultimately, a question of whether such reformed European patent system can be used as a founding stone for a potential patent reform in Australia and the United States when examining human embryonic stem cells or other morally controversial inventions is surveyed. The author wishes to emphasise that the guiding thought while carrying out this work is to convey the significance of identifying, analysing and clarifying the ethical tensions surrounding patenting human embryonic stem cells and ultimately present a solution that adequately assesses patentability of human embryonic stem cell inventions and related biotechnologies. In answering the key questions above, the Thesis strives to contribute to the broader stem cell debate about how and to which extent ethical and social positions should be integrated into the patenting procedure in pluralistic and morally divided democracies of Europe and subsequently Australia and the United States.

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This dissertation is a descriptive grammar of Ternate Chabacano, a Spanish-lexifier Creole spoken by 3.000 people in the town of Ternate, Philippines. The dissertation offers an analysis of the phonological, morphological, and syntactic system of the language. It includes an overview of the historical background, the current situation of the speech community and a collection of annotated texts. Ternate Chabacano shares many characteristics with its main adstrate language Tagalog as well as the dialectal varieties of Spanish. At present, English also exerts an influence, nevertheless mainly affecting its lexicon. The description offered is based on fieldwork conducted in Ternate. Spoken language collected through thematic interviews forms the main type of the material analysed. Information regarding the informants and text types is included in the examples. Ternate Chabacano has a five-vowel system and 17 consonant phonemes. The morphology of the language is largely isolating. Clitics are used extensively for expressing adverbial relations. The verbal system is based on the preverbal markers that express the category of tense, modality and aspect, among which aspect is the main dimension. Complex predicates and verbal chains are used in order to further distinguish aspect and modality, as well as changes of voice and valency. Intransitive verbs express motion, states, and reflexive actions, even though the majority of verbs can occur in both intransitive and transitive clauses. Ternate Chabacano is a nominative-accusative type language but the typological configuration of the Philippine languages influences the marking of its constituents. A case in point is constituted by the nominal determination system. The basic constituent order in a clause is VSO. Equative and attibutive clauses are formed by juxtaposition while the locative clauses feature a copula. Indefinite terms are expressed through existential constructions. The negation of existential clauses differs from standard negation but both are intensified in the same way. In spoken discourse, tag-questions are common. Pragmatic elements and social formulas reflect largely the corresponding Tagalog expressions. Coordination and subordination occur typically without overt markers but a variety of markers exists for expressing different relations, especially those made explicit by adverbial clauses. Verbal chains form a continuum from serial verbs to complementation and ultimately to coordination.

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Modal cohesion and subordination. The Finnish conditional and jussive moods in comparison to the French subjunctive This study examines verb moods in subordinate clauses in French and Finnish. The first part of the analysis deals with the syntax and semantics of the French subjunctive, mood occurring mostly in subordinate positions. The second part investigates Finnish verb moods. Although subordinate positions in Finnish grammar have no special finite verb form, certain uses of Finnish verb moods have been compared to those of subjunctives and conjunctives in other languages. The present study focuses on the subordinate uses of the Finnish conditional and jussive (i.e. the third person singular and plural of the imperative mood). The third part of the analysis discusses the functions of subordinate moods in contexts beyond complex sentences. The data used for the analysis include 1834 complex sentences gathered from newspapers, online discussion groups and blog texts, as well as audio-recorded interviews and conversations. The data thus consist of both written and oral texts as well as standard and non-standard variants. The analysis shows that the French subjunctive codes theoretical modality. The subjunctive does not determine the temporal and modal meaning of the event, but displays the event as virtual. In a complex sentence, the main clause determines the temporal and modal space within which the event coded by the subjunctive clause is interpreted. The subjunctive explicitly indicates that the space constructed in the main clause extends its scope over the subordinate clause. The subjunctive can therefore serve as a means for creating modal cohesion in the discourse. The Finnish conditional shares the function of making explicit the modal link between the components of a complex construction with the French subjunctive, but the two moods differ in their semantics. The conditional codes future time and can therefore occur only in non-factual or counterfactual contexts, whereas the event expressed by French subjunctive clauses can also be interpreted as realized. Such is the case when, for instance, generic and habitual meaning is involved. The Finnish jussive mood is used in a relatively limited number of subordinate clause types, but in these contexts its modal meaning is strikingly close to that of the French subjunctive. The permissive meaning, typical of the jussive in main clause positions, is modified in complex sentences so that it entails inter-clausal relation, namely concession. Like the French subjunctive, the jussive codes theoretical modal meaning with no implication of the truth value of the proposition. Finally, the analysis shows that verb moods mark modal cohesion, not only on the syntagmatic level (namely in complexe sentences), but also on the paradigmatic axis of discourse in order to create semantic links over entire segments of talk. In this study, the subjunctive thus appears, not as an empty category without function, as it is sometimes described, but as an open form that conveys the temporal and modal meanings emerging from the context.

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In this thesis we propose a new approach to deduction methods for temporal logic. Our proposal is based on an inductive definition of eventualities that is different from the usual one. On the basis of this non-customary inductive definition for eventualities, we first provide dual systems of tableaux and sequents for Propositional Linear-time Temporal Logic (PLTL). Then, we adapt the deductive approach introduced by means of these dual tableau and sequent systems to the resolution framework and we present a clausal temporal resolution method for PLTL. Finally, we make use of this new clausal temporal resolution method for establishing logical foundations for declarative temporal logic programming languages. The key element in the deduction systems for temporal logic is to deal with eventualities and hidden invariants that may prevent the fulfillment of eventualities. Different ways of addressing this issue can be found in the works on deduction systems for temporal logic. Traditional tableau systems for temporal logic generate an auxiliary graph in a first pass.Then, in a second pass, unsatisfiable nodes are pruned. In particular, the second pass must check whether the eventualities are fulfilled. The one-pass tableau calculus introduced by S. Schwendimann requires an additional handling of information in order to detect cyclic branches that contain unfulfilled eventualities. Regarding traditional sequent calculi for temporal logic, the issue of eventualities and hidden invariants is tackled by making use of a kind of inference rules (mainly, invariant-based rules or infinitary rules) that complicates their automation. A remarkable consequence of using either a two-pass approach based on auxiliary graphs or aone-pass approach that requires an additional handling of information in the tableau framework, and either invariant-based rules or infinitary rules in the sequent framework, is that temporal logic fails to carry out the classical correspondence between tableaux and sequents. In this thesis, we first provide a one-pass tableau method TTM that instead of a graph obtains a cyclic tree to decide whether a set of PLTL-formulas is satisfiable. In TTM tableaux are classical-like. For unsatisfiable sets of formulas, TTM produces tableaux whose leaves contain a formula and its negation. In the case of satisfiable sets of formulas, TTM builds tableaux where each fully expanded open branch characterizes a collection of models for the set of formulas in the root. The tableau method TTM is complete and yields a decision procedure for PLTL. This tableau method is directly associated to a one-sided sequent calculus called TTC. Since TTM is free from all the structural rules that hinder the mechanization of deduction, e.g. weakening and contraction, then the resulting sequent calculus TTC is also free from this kind of structural rules. In particular, TTC is free of any kind of cut, including invariant-based cut. From the deduction system TTC, we obtain a two-sided sequent calculus GTC that preserves all these good freeness properties and is finitary, sound and complete for PLTL. Therefore, we show that the classical correspondence between tableaux and sequent calculi can be extended to temporal logic. The most fruitful approach in the literature on resolution methods for temporal logic, which was started with the seminal paper of M. Fisher, deals with PLTL and requires to generate invariants for performing resolution on eventualities. In this thesis, we present a new approach to resolution for PLTL. The main novelty of our approach is that we do not generate invariants for performing resolution on eventualities. Our method is based on the dual methods of tableaux and sequents for PLTL mentioned above. Our resolution method involves translation into a clausal normal form that is a direct extension of classical CNF. We first show that any PLTL-formula can be transformed into this clausal normal form. Then, we present our temporal resolution method, called TRS-resolution, that extends classical propositional resolution. Finally, we prove that TRS-resolution is sound and complete. In fact, it finishes for any input formula deciding its satisfiability, hence it gives rise to a new decision procedure for PLTL. In the field of temporal logic programming, the declarative proposals that provide a completeness result do not allow eventualities, whereas the proposals that follow the imperative future approach either restrict the use of eventualities or deal with them by calculating an upper bound based on the small model property for PLTL. In the latter, when the length of a derivation reaches the upper bound, the derivation is given up and backtracking is used to try another possible derivation. In this thesis we present a declarative propositional temporal logic programming language, called TeDiLog, that is a combination of the temporal and disjunctive paradigms in Logic Programming. We establish the logical foundations of our proposal by formally defining operational and logical semantics for TeDiLog and by proving their equivalence. Since TeDiLog is, syntactically, a sublanguage of PLTL, the logical semantics of TeDiLog is supported by PLTL logical consequence. The operational semantics of TeDiLog is based on TRS-resolution. TeDiLog allows both eventualities and always-formulas to occur in clause heads and also in clause bodies. To the best of our knowledge, TeDiLog is the first declarative temporal logic programming language that achieves this high degree of expressiveness. Since the tableau method presented in this thesis is able to detect that the fulfillment of an eventuality is prevented by a hidden invariant without checking for it by means of an extra process, since our finitary sequent calculi do not include invariant-based rules and since our resolution method dispenses with invariant generation, we say that our deduction methods are invariant-free.

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[EN] This article investigates the question of the licensing of null arguments in the so-called pro-drop languages. By focusing on the licensing of null subjects in the different types of -T(Z)E nominalizations in Basque, it aims at defining in a precise way the crucial feature that makes pro-drop possible in a clause. The central claim is that what licenses subject-drop is the assignment of structural Case. That is, it is argued that a subject can be null if and only if it is assigned structural Case. Different aspects of T(Z)E nominalizations are also explored, which show that even if these clauses are similar in the surface, they can be syntactically very different and furthermore, that infinitive clauses marked with the same nominalizing morpheme can also have diverging structures.

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[ES] En este trabajo se define el cambio sintáctico, se analizan los factores que lo causan o facilitan y se estudian sus tipos principales en griego antiguo.

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A prática da arbitragem comercial internacional tem se deparado, há pelos menos quatro décadas, com a problemática da extensão da cláusula compromissória a uma parte não-signatária, integrante do mesmo grupo de sociedades a que pertence uma das partes integrantes da convenção, em razão do comportamento adotado pela parte não-signatária nas fases de negociação do contrato, execução ou extinção. Nesse sentido, a prática da Corte Internacional de Arbitragem da Câmara de Comércio Internacional dos últimos trinta anos e reiteradas decisões judiciais em países de diferentes tradições jurídicas como a França, Suíça e Estados Unidos têm se manifestado favoravelmente a essa extensão subjetiva da convenção de arbitragem. O estudo da doutrina nacional e da jurisprudência do Superior Tribunal de Justiça sobre os grupos de sociedades e seus efeitos, e a análise detida de diversos precedentes do Superior Tribunal de Justiça e do Supremo Tribunal Federal sobre a homologação de sentenças arbitrais estrangeiras, revelam a compatibilidade da referida prática arbitral internacional com o ordenamento jurídico brasileiro.

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Este trabalho objetivou demonstrar o que é e quais os requisitos adotados pela doutrina e pela jurisprudência para que seja aplicado o instituto do agravamento do risco (previsto nos artigos 768 e 769 do Código Civil) nos contratos de seguro, e quais os seus efeitos jurídicos. Para tanto, examinou-se o contrato de seguro buscando revelar a dimensão coletiva que este tipo negocial possui por excelência, em detrimento de parte da doutrina ainda restrita a uma leitura atomística e individualista deste contrato. Partiu-se, ainda, da premissa de que a boa-fé (seja na sua acepção objetiva ou subjetiva) é qualificada no contrato de seguro, eis que este tipo contratual é todo sob ela estruturado. O princípio da boa-fé é uma via de mão dupla que cria deveres para ambas as partes, cujas declarações e comportamentos serão fundamentais para a delimitação do objeto do seguro e para o alcance da função social desse tipo contratual. A boa-fé estará, ainda, incisivamente presente e modelando a relação obrigacional do seguro em todas as fases contratuais: antes da conclusão do contrato, na apresentação da proposta do contrato; durante a relação obrigacional, nas declarações necessárias sobre eventuais alterações no risco (tais como o seu agravamento), e, ainda, na fase pós-contratual, sempre considerando a natureza comunitária do seguro. Passou-se, também, por algumas questões polêmicas envolvendo a utilização de determinadas cláusulas no seguro, tidas como contrárias à boa-fé, a exemplo da cláusula perfil, cuja validade deve ser avaliada no caso concreto, e possui íntima relação com o agravamento do risco.

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A supremacia da Constituição exige que a Suprema Corte tenha a última palavra sobre o sentido da Constituição? As Supremas Cortes norte-americana e brasileira afirmam que sim, respaldadas pelo conhecimento convencional. O objetivo principal da tese é demonstrar que esta assertiva é simplesmente equivocada. Será reconstruída a história da expansão do papel político do Judiciário, no âmbito da interpretação constitucional, com vistas a elucidar os seus verdadeiros pressupostos. A evolução do constitucionalismo brasileiro será analisada à luz de tais critérios, para que se possa perceber que só há no Brasil algo parecido com uma supremacia judicial após 1988. Após o exame das críticas institucionais e democráticas, será explorado o potencial da doutrina dos diálogos constitucionais para explicar a realidade das interações entre os Poderes Legislativo e Judiciário na interpretação constitucional, e para prover um suporte normativo que logre reconciliar o fenômeno da judicialização da política com a democracia no Brasil.

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A tese estuda a obra poética de Adélia Prado sob o ponto de vista da Estilística. Mostra que a metáfora é o recurso mais afeito a construir a língua literária e, no caso da poetisa, modelá-la em português. O estudo atesta que a linguagem conotativa da poetisa alcança os três níveis da língua e promove o inesperado e o distante da expressão comum. Afirma a importância da polifonia e da intertextualidade , além da excelência do discurso indireto livre na criação literária, não só da poetisa, mas de todo uso da língua portuguesa como ferramenta de expressão poética, principalmente se a intenção do autor é criar o discurso surrealista. A pesquisa mostra que há, na obra, um grande número de poemas em que predomina a linguagem religiosa católica. Ocorre a expressão da alma feminina , marcada com orgulho pela poetisa. A autora cria prosodemas, inaugura neologismos ,aproveitando todos os processos de criação vocabular. Assim, a obra se notabiliza pelo aproveitamento da sonoridade das palavras, pela escolha lexical inédita, por uma estrutura frasal apositiva, evocativa, sucinta e nominal, não escravizada às regras do registro culto como padrão literário. A tese reconhece que a autora lida eficientemente com as classes de palavras, com a construção nominal e com uma estruturação sintática peculiar, em que sobressai a oração adjetiva com função de sujeito, apesar de conter verbo: a oração adjetiva subjetivada. A essência da pesquisa são os conjuntos metafóricos, verdadeiros modelos universais, que permitem reconhecer a possível existência de uma língua literária em português. No mesmo contexto, focaliza um grupo de poemas chamados de telegráficos, curtos e de teor filosófico. Tal qualidade metafórica mostra a importância da poetisa Adélia Prado para a articulação da língua literária em língua portuguesa

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A Constituição Federal brasileira relaciona dentre as garantias do cidadão o direito ao meio ambiente sadio e a liberdade religiosa e de liturgia. Também prevê como valor constitucional a ser defendido pelo Estado brasileiro as matrizes culturais africanas. A problemática da presente pesquisa é o conflito entre esses valores e garantias em um Estado democrático de direito, conflito este que indentificamos no caso selecionado para estudo: a proibição de oferendas das religiões afrobrasileiras no Parque Nacional da Tijuca, no Rio de Janeiro, pela administração da entidade gestora do Parque. A partir deste estudo de caso, propomos questionar: 1) como o conflito é construído numa perspectiva multidimensional (da geografia cultural, da teologia, da sociologia etc); 2) se e por que as religiões de matrizes africanas foram excluídas do arcabouço jurídico ambiental brasileiro; 3) se este arcabouço pode ser interpretado de modo a favorecer a prática de oferendas e 4) se há uma consciência e uma ética ambientais emergentes naquelas comunidades religiosas, facilitadoras do argumento defensivo da prática de oferendas em áreas verdes públicas. Assim, o objetivo da presente pesquisa é contribuir para a solução exitosa deste conflito, de modo que esta solução seja válida e exeqüível em qualquer área verde sob administração pública. Desse modo, advogamos a tese de que é possível ponderar as duas garantias constitucionais em conflito, de forma que as oferendas, ao invés de proibidas, sejam aceitas de modo disciplinado, não agressivo ou menos agressivo ao meio ambiente, pela negociação dos atores envolvidos. Através da metodologia qualitativa demonstraremos que há um conflito entre atores que dão distintos significados ao meio ambiente, a partir de racionalidades distintas, sendo a da administração ambiental fortemente ancorada na própria doutrina formatadora dos parques nacionais. Aditaremos que o conflito poderia ter sido evitado ou minorado se as comunidades religiosas urbanas afrobrasileiras tivessem sido reconhecidas como populações tradicionais pelo movimento socioambientalista, fortemente inspirador da legislação brasileira. Demonstraremos ainda que, apesar desta lacuna, a legislação que já está dada pode ser interpretada de modo a chancelar a prática das oferendas, e que a proibição seria um equívoco legal da administração ambiental, tendo em vista que o direito ambiental oferece um sistema principiológico favorável à prática das oferendas, tarefa facilitada por uma emergente ética ambiental naqueles grupos religiosos. Não obstante, uma proposta de inclusão de um artigo na Lei do Sistema Nacional de Unidades de Conservação será elaborada, para evitar que a solução do conflito dependa de interpretações. Por fim, recomendaremos que a interdição no Parque da Tijuca seja exemplarmente substituída por uma negociação entre as partes envolvidas, de modo a que sejam preservados todos os interesses constitucionais envolvidos, proporcionando o avanço da democracia brasileira.

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O fenômeno da factividade, no âmbito da linguística, em sentido amplo, está relacionado à propriedade que certos itens lexicais ou determinados predicadores gramaticais possuem de introduzir um pressuposto, que pode estar implícito ou explícito. No domínio verbal, Kiparsky e Kiparsky (1971) remetem a um conjunto de verbos, os quais admitem uma sentença como complemento e cujo uso pressupõe a veracidade da proposição aí expressa. Em termos aquisicionais, não há consenso acerca da idade em que factividade estaria dominada. Hopmann e Maratsos (1977), por exemplo, propuseram que seu domínio se daria a partir dos 6 anos. Para Abbeduto e Rosenberg (1985), no entanto, isso ocorreria mais cedo, por volta dos 4 anos de idade. Já Schulz (2002; 2003), defende uma aquisição gradual, que se daria por estágios e se estenderia até os 7;0 anos de idade. Léger (2007), por sua vez, afirma que o domínio da factividade, especificamente dos semifactivos, só se daria após os 11 anos. Scoville e Gordon (1979), por fim, propõem que só por volta dos 14 anos a criança seria capaz de dominar a factividade em todos os seus aspectos. Essa falta de consenso corrobora a ideia de uma aquisição gradual, uma vez que esse fenômeno envolve vários aspectos: identificação de uma subclasse de verbos, uma interpretação semântica específica, uma subcategorização sintática variável entre as línguas e um comportamento característico no que diz respeito ao movimento-QU. Esta dissertação tem como objetivo geral contribuir para os estudos sobre aquisição da factividade, particularmente no que diz respeito ao português, debruçando-se mais especificamente sobre dois aspectos pouco explorados na literatura da área: uma questão de variação translinguística, que diz respeito à possibilidade de se admitirem complementos não-finitos factivos em português, e a questão da interpretação de interrogativas-QU em contextos factivos, com propriedades características de ilha fraca. O quadro obtido é discutido frente às análises linguísticas propostas para os verbos/ predicados factivos, que têm considerado uma distinção sintática (KIPARSKY E KIPARSKY, 1971; MELVOLD, 1991; SCHULZ, 2003; AUGUSTO, 2003; LIMA, 2007), com repercussões de ordem lógico/ semântica (LEROUX E SCHULZ, 1999; SCHULZ, 2002; 2003)

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Alguns estudos na área da Psicolinguística tratam sobre a interrupção da forma natural da fluência da fala. Essas suspensões são denominadas disfluências e podem ser de variados tipos como, por exemplo, repetições, substituições ou pausas. Entre alguns trabalhos sobre disfluências, destaca-se o realizado por Jaeger (2005), que tratou da omissão do relativizador that na língua inglesa e a possibilidade desse fator ser responsável pela criação de disfluências. Nessa mesma linha, objetivamos analisar as disfluências na camada dos relativizadores camada CP em língua portuguesa brasileira. Para isso, tomaram-se dados obtidos por Corrêa et al (2008) sobre produção de orações relativas. Nesse estudo, os autores, buscando verificar a complexidade da formulação de orações relativas, manipularam duas condições: plenamente planejada que reduziria a carga de processamento e, consequentemente, levaria à maior produção de orações relativas padrões e parcialmente planejada a qual aumentaria a carga de processamento e, consequentemente, maior produção de orações relativas cortadoras e resumptivas. Diante disso, sabendo que o planejamento de estruturas mais complexas pode ser um fator que gere mais sentenças disfluentes, resta saber em qual das condições, estipuladas por Corrêa et al (2008), haveria maior caso de disfluências. Acreditamos que a condição parcialmente planejada resultaria mais casos de disfluências em comparação à condição inteiramente planejada. Para verificação de tal hipótese, a presente pesquisa focou suas atenções no banco de dados de Corrêa et al (2008). Após determinados critérios, privilegiamos sentenças de orações relativas genitivas, orações relativas de objeto indireto funcional e orações relativas de objeto indireto lexical, pois tais seriam construções sintáticas mais complexas e passíveis de terem mais casos de disfluências. Identificadas e quantificadas todas as falas de interesse, criamos tabelas para melhor visualização das disfluências em localizações específicas na sentença como, por exemplo, antes da oração relativa (AOR), na oração relativa (NAOR) e depois da oração relativa (DPOR). Com tais dados analisados, verificamos que eles corroboravam a hipótese levantada: na condição parcialmente planejada há mais casos de disfluências do que na condição inteiramente planejada, principalmente quando se é focalizada a localização NAOR. Entre os principais resultados, percebemos que as disfluências do tipo pausas preenchidas aparecem em grande quantidade na localização NAOR, fator que revela uma característica especial da oração relativa. Essa disfluência, nesse trecho da sentença, revela que os falantes não somente fazem uma procura lexical, como também, um planejamento discursivo. Tais resultados nos motivaram a pensar em outras determinadas situações de pesquisa como, por exemplo, a análise das disfluências em sentenças de voz passiva