675 resultados para Divine omnipotence


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Natural disasters in Argentina and Chile played a significant role in the state-formation and nation-building process (1822-1939). This dissertation explores state and society responses to earthquakes by studying public and private relief efforts reconstruction plans, crime and disorder, religious interpretations of catastrophes, national and transnational cultures of disaster, science and technology, and popular politics. Although Argentina and Chile share a political border and geological boundary, the two countries provide contrasting examples of state formation. Most disaster relief and reconstruction efforts emanated from the centralized Chilean state in Santiago. In Argentina, provincial officials made the majority of decisions in a catastrophe’s aftermath. Patriotic citizens raised money and collected clothing for survivors that helped to weave divergent regions together into a nation. The shared experience of earthquakes in all regions of Chile created a national disaster culture. Similarly, common disaster experiences, reciprocal relief efforts, and aid commissions linked Chileans with Western Argentine societies and generated a transnational disaster culture. Political leaders viewed reconstruction as opportunities to implement their visions for the nation on the urban landscape. These rebuilding projects threatened existing social hierarchies and often failed to come to fruition. Rebuilding brought new technologies from Europe to the Southern Cone. New building materials and systems, however, had to be adapted to the South American economic and natural environment. In a catastrophe’s aftermath, newspapers projected images of disorder and the authorities feared lawlessness and social unrest. Judicial and criminal records, however, show that crime often decreased after a disaster. Finally, nineteenth-century earthquakes heightened antagonism and conflict between the Catholic Church and the state. Conservative clergy asserted that disasters were divine punishments for the state’s anti-clerical measures and later railed against scientific explanations of earthquakes.

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The mere presence of the term īśvara in Patañjali’s Yogasūtra has come to affect the meaning of both the path and the goal of Classical Yoga as well as the meaning of the term Yoga itself. The frequent translation of the term īśvara as God leads to the system of Classical Yoga to be labeled as theistic, particularly obscuring the interpretation of īśvarapraṇidhāna, a functional component of the system, as well as perpetuating a syncretic trend that has led to the popular understanding of Yoga as ‘union with the divine’. From identifying problematic hermeneutical trends and their underlying causes, as well as understanding the term within the constraints of the original text in its original Sanskrit, the term īśvara emerges as the archetype of an ultimate reality functioning as a practical and experiential tool providing the yogi with a direct glimpse of its true nature.

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En el presente trabajo, nos interesa analizar cómo Aristóteles utiliza las opiniones de los predecesores en una de sus obras fragmentarias: Sobre la filosofía. En relación con esta obra, nuestro análisis se centrará en la conexión que se puede establecer entre las concepciones de los predecesores, a las cuales Aristóteles califica de énnoiai, y la "metodología" implementada por él para llevar a cabo su propia indagación acerca de la verdad. A tales efectos, hemos optado dividir el trabajo en dos apartados. En el primero, nos detendremos en analizar la distinción entre lo que Aristóteles hace con la tradición filosófica y lo que él mismo cree estar haciendo. En el segundo apartado del trabajo, nos centraremos en examinar cómo en Sobre la filosofía Aristóteles integra las concepciones de los predecesores a su propia reflexión. El objetivo de esto último es demostrar que en los primeros libros de esta obra Aristóteles no pretende hacer una síntesis de lo que se ha dicho sobre lo divino y la sabiduría, sino tomar estas concepciones como un punto de partida que sirva para su propia indagación filosófica.

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En el presente trabajo, nos interesa analizar cómo Aristóteles utiliza las opiniones de los predecesores en una de sus obras fragmentarias: Sobre la filosofía. En relación con esta obra, nuestro análisis se centrará en la conexión que se puede establecer entre las concepciones de los predecesores, a las cuales Aristóteles califica de énnoiai, y la "metodología" implementada por él para llevar a cabo su propia indagación acerca de la verdad. A tales efectos, hemos optado dividir el trabajo en dos apartados. En el primero, nos detendremos en analizar la distinción entre lo que Aristóteles hace con la tradición filosófica y lo que él mismo cree estar haciendo. En el segundo apartado del trabajo, nos centraremos en examinar cómo en Sobre la filosofía Aristóteles integra las concepciones de los predecesores a su propia reflexión. El objetivo de esto último es demostrar que en los primeros libros de esta obra Aristóteles no pretende hacer una síntesis de lo que se ha dicho sobre lo divino y la sabiduría, sino tomar estas concepciones como un punto de partida que sirva para su propia indagación filosófica.

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En el presente trabajo, nos interesa analizar cómo Aristóteles utiliza las opiniones de los predecesores en una de sus obras fragmentarias: Sobre la filosofía. En relación con esta obra, nuestro análisis se centrará en la conexión que se puede establecer entre las concepciones de los predecesores, a las cuales Aristóteles califica de énnoiai, y la "metodología" implementada por él para llevar a cabo su propia indagación acerca de la verdad. A tales efectos, hemos optado dividir el trabajo en dos apartados. En el primero, nos detendremos en analizar la distinción entre lo que Aristóteles hace con la tradición filosófica y lo que él mismo cree estar haciendo. En el segundo apartado del trabajo, nos centraremos en examinar cómo en Sobre la filosofía Aristóteles integra las concepciones de los predecesores a su propia reflexión. El objetivo de esto último es demostrar que en los primeros libros de esta obra Aristóteles no pretende hacer una síntesis de lo que se ha dicho sobre lo divino y la sabiduría, sino tomar estas concepciones como un punto de partida que sirva para su propia indagación filosófica.

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Cet article s’intéresse aux premiers développements d’Augustin relativement à la nécessité de la réception d’une grâce divine pour le salut humain. Il y est défendu que même si c’est en commentant les lettres de saint Paul qu’Augustin développe cette idée, et que même s’il semble plier ses raisonnements à la lettre du texte biblique, ces premiers développements n’ont rien d’un aveuglement théologique. Pour y parvenir, nous reconstruisons l’argument philosophique de fond qui guide son interprétation des textes de l’apôtre, en mettant en relief une série de problèmes philosophiques cruciaux qu’il rencontre au cours de ce travail d’interprétation. Ce faisant, le caractère quasi prédestiné de la damnation et du salut impliqués par les idées de saint Paul apparaîtra comme le fruit d’une profonde réflexion sur la culpabilité humaine et sur la gratuité avec laquelle Dieu vient en aide aux pécheurs.

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Dissertação de Mestrado apresentada ao Instituto Superior de Psicologia Aplicada para obtenção de grau de Mestre na especialidade de Psicologia Clínica.

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Dissertação de Mestrado apresentada no ISPA – Instituto Universitário para obtenção de grau de Mestre na especialidade de Psicologia Clínica

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Cet article s’intéresse aux premiers développements d’Augustin relativement à la nécessité de la réception d’une grâce divine pour le salut humain. Il y est défendu que même si c’est en commentant les lettres de saint Paul qu’Augustin développe cette idée, et que même s’il semble plier ses raisonnements à la lettre du texte biblique, ces premiers développements n’ont rien d’un aveuglement théologique. Pour y parvenir, nous reconstruisons l’argument philosophique de fond qui guide son interprétation des textes de l’apôtre, en mettant en relief une série de problèmes philosophiques cruciaux qu’il rencontre au cours de ce travail d’interprétation. Ce faisant, le caractère quasi prédestiné de la damnation et du salut impliqués par les idées de saint Paul apparaîtra comme le fruit d’une profonde réflexion sur la culpabilité humaine et sur la gratuité avec laquelle Dieu vient en aide aux pécheurs.

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Ce mémoire s’intéresse à l’emploi de l’érotisme et de l’amour comme outils littéraires dans deux romans de l’Antiquité. Le texte principal est un écrit dérivé de la Torah intitulé Joseph et Aséneth. Le second est le roman grec d’Héliodore d’Émèse, Les Éthiopiques. Puisque tout auteur, peu importe sa foi, avait une éducation hellénique semblable, on retrouve des motifs similaires dont les détails se distinguent et les buts sont aux antipodes dans ces textes. Dans le cas de cette recherche, il s’agit de deux oeuvres du genre romanesque écrites en grec qui emploient chacune une histoire romantique à des fins édifiantes. Les buts de cette analyse sont triples. Ce travail cherche à montrer que Joseph et Aseneth a droit au titre de « roman grec, » de qualifier les expériences religieuses présentées dans ces oeuvres et de participer au débat sur la datation de Joseph et Aseneth par une étude comparée. Cette recherche se divise en trois sections. D’abord, le topos bien connu des romans a été analysé : la maladie d’amour. Dans les deux cas, le coup de foudre et la maladie émotionnelle qui s’en suit ont été dévoilés comme moteur important de la trame narrative, ainsi qu’une manière d’introduire des thèmes religieux ou philosophiques. En second lieu, les paroles des personnages au sujet de l’amour et le mariage ont été considérées. Puisque les protagonistes refusent le mariage initialement, les raisons données pour ce refus ont été révélatrices encore une fois de soucis sociaux, soit religieux, soit politiques. En dernier lieu, la relation entre le couple romantique et les dieux présents dans ces récits a été analysée. Les deux romans témoignent de la croyance contemporaine du grand rôle des dieux dans la vie des humains. Cette implication divine dans la vie mortelle s’est manifestée de manières différentes, car elle relève des buts divergents des deux romans. Le parallèle qui se présente est un lien individuel avec les dieux qui est évident dans les romans d’amour.

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Endemic zoonotic diseases remain a serious but poorly recognised problem in affected communities in developing countries. Despite the overall burden of zoonoses on human and animal health, information about their impacts in endemic settings is lacking and most of these diseases are continuously being neglected. The non-specific clinical presentation of these diseases has been identified as a major challenge in their identification (even with good laboratory diagnosis), and control. The signs and symptoms in animals and humans respectively, are easily confused with other non-zoonotic diseases, leading to widespread misdiagnosis in areas where diagnostic capacity is limited. The communities that are mostly affected by these diseases live in close proximity with their animals which they depend on for livelihood, which further complicates the understanding of the epidemiology of zoonoses. This thesis reviewed the pattern of reporting of zoonotic pathogens that cause febrile illness in malaria endemic countries, and evaluates the recognition of animal associations among other risk factors in the transmission and management of zoonoses. The findings of the review chapter were further investigated through a laboratory study of risk factors for bovine leptospirosis, and exposure patterns of livestock coxiellosis in the subsequent chapters. A review was undertaken on 840 articles that were part of a bigger review of zoonotic pathogens that cause human fever. The review process involves three main steps: filtering and reference classification, identification of abstracts that describe risk factors, and data extraction and summary analysis of data. Abstracts of the 840 references were transferred into a Microsoft excel spread sheet, where several subsets of abstracts were generated using excel filters and text searches to classify the content of each abstract. Data was then extracted and summarised to describe geographical patterns of the pathogens reported, and determine the frequency animal related risk factors were considered among studies that investigated risk factors for zoonotic pathogen transmission. Subsequently, a seroprevalence study of bovine leptospirosis in northern Tanzania was undertaken in the second chapter of this thesis. The study involved screening of serum samples, which were obtained from an abattoir survey and cross-sectional study (Bacterial Zoonoses Project), for antibodies against Leptospira serovar Hardjo. The data were analysed using generalised linear mixed models (GLMMs), to identify risk factors for cattle infection. The final chapter was the analysis of Q fever data, which were also obtained from the Bacterial Zoonoses Project, to determine exposure patterns across livestock species using generalized linear mixed models (GLMMs). Leptospira spp. (10.8%, 90/840) and Rickettsia spp. (10.7%, 86/840) were identified as the most frequently reported zoonotic pathogens that cause febrile illness, while Rabies virus (0.4%, 3/840) and Francisella spp. (0.1%, 1/840) were least reported, across malaria endemic countries. The majority of the pathogens were reported in Asia, and the frequency of reporting seems to be higher in areas where outbreaks are mostly reported. It was also observed that animal related risk factors are not often considered among other risk factors for zoonotic pathogens that cause human fever in malaria endemic countries. The seroprevalence study indicated that Leptospira serovar Hardjo is widespread in cattle population in northern Tanzania, and animal husbandry systems and age are the two most important risk factors that influence seroprevalence. Cattle in the pastoral systems and adult cattle were significantly more likely to be seropositive compared to non-pastoral and young animals respectively, while there was no significant effect of cattle breed or sex. Exposure patterns of Coxiella burnetii appear different for each livestock species. While most risk factors were identified for goats (such as animal husbandry systems, age and sex) and sheep (animal husbandry systems and sex), there were none for cattle. In addition, there was no evidence of a significant influence of mixed livestock-keeping on animal coxiellosis. Zoonotic agents that cause human fever are common in developing countries. The role of animals in the transmission of zoonotic pathogens that cause febrile illness is not fully recognised and appreciated. Since Leptospira spp. and C. burnetii are among the most frequently reported pathogens that cause human fever across malaria endemic countries, and are also prevalent in livestock population, control and preventive measures that recognise animals as source of infection would be very important especially in livestock-keeping communities where people live in close proximity with their animals.

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El presente documento pretende mostrar la manera como se debe ejecutar la creación de marca mediante la utilización de mecanismos estratégicos comunitarios y marketing. El objetivo del estudio se basa en encontrar los mecanismos adecuados para el desarrollo y creación de una marca enfocándose en el análisis de las principales prácticas y modelos desarrollados en el área del marketing, examinando el impacto que la marca pueda generar en la comunidad en la cual la organización está incluida, estableciendo además un conexión directa con el modo de vida de los consumidores. Durante el desarrollo del documento se demuestra que las estrategias de marketing aplicadas por cada compañía, sirven para construir una relación estrecha y fuerte con todos los agentes involucrados en la construcción de una marca, principalmente con los clientes, ya que la forma más efectiva de establecer relaciones a largo plazo, es enfocándose exclusivamente en las necesidades desarrolladas por los consumidores, y a partir de ellas ajustar los valores (misión, visión, cultura organizacional, objetivos) de la organización. Estas estrategias comunitarias son también influenciadas por varios factores internos y externos a la organización, los cuales deben ser tenidos en cuenta al momento de elegir la estrategia adecuada. Los mecanismos estratégicos que desarrollan las empresas pueden cambiar significativamente de un sector comercial a otro, la importancia de las necesidades que se deben suplir y el consumidor final se deben evaluar desde un aspecto comunitario, entendiendo como comunidad como el conjunto de grupos sociales y comerciales que tienen relación directa o indirecta con la empresa. Con la investigación llevada a cabo acerca de las estrategias que deben aplicar las compañías se concluye que las marcas reflejan la imagen que la empresa transmite a sus compradores estableciendo una relación emocional entre los consumidores y la marca desarrollada, además de estimular la oferta y demanda del negocio. Se espera que por medio de la obtención de información teórica y conceptual, se pueda aclarar la manera como se puede desarrollar la creación de una marca por medio de la correcta utilización de mecanismos estratégicos comunitarios y de marketing.

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Nello sport di alto livello l’uso della tecnologia ha raggiunto un ruolo di notevole importanza per l’analisi e la valutazione della prestazione. Negli ultimi anni sono emerse nuove tecnologie e sono migliorate quelle pre-esistenti (i.e. accelerometri, giroscopi e software per l’analisi video) in termini di campionamento, acquisizione dati, dimensione dei sensori che ha permesso la loro “indossabilità” e l’inserimento degli stessi all’interno degli attrezzi sportivi. La tecnologia è sempre stata al servizio degli atleti come strumento di supporto per raggiungere l’apice dei risultati sportivi. Per questo motivo la valutazione funzionale dell’atleta associata all’uso di tecnologie si pone lo scopo di valutare i miglioramenti degli atleti misurando la condizione fisica e/o la competenza tecnica di una determinata disciplina sportiva. L’obiettivo di questa tesi è studiare l’utilizzo delle applicazioni tecnologiche e individuare nuovi metodi di valutazione della performance in alcuni sport acquatici. La prima parte (capitoli 1-5), si concentra sulla tecnologia prototipale chiamata E-kayak e le varie applicazioni nel kayak di velocità. In questi lavori è stata verificata l’attendibilità dei dati forniti dal sistema E-kayak con i sistemi presenti in letteratura. Inoltre, sono stati indagati nuovi parametri utili a comprendere il modello di prestazione del paddler. La seconda parte (capitolo 6), si riferisce all’analisi cinematica della spinta verticale del pallanuotista, attraverso l’utilizzo della video analisi 2D, per l’individuazione delle relazioni Forza-velocità e Potenza-velocità direttamente in acqua. Questo studio pilota, potrà fornire indicazioni utili al monitoraggio e condizionamento di forza e potenza da svolgere direttamente in acqua. Infine la terza parte (capitoli 7-8), si focalizza sull’individuazione della sequenza di Fibonacci (sequenza divina) nel nuoto a stile libero e a farfalla. I risultati di questi studi suggeriscono che il ritmo di nuotata tenuto durante le medie/lunghe distanze gioca un ruolo chiave. Inoltre, il livello di autosomiglianza (self-similarity) aumenta con la tecnica del nuoto.

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The focus of this dissertation is the analysis of the music-related philosophical passages from the 5th century B.C. to the 2nd century B.C. It aims to provide a multifaceted view towards music as a cultural phenomenon, which is based primarily on the philological and culturological explorations instead of the technical-musicological approach. The texts from our selected period attest that mousikē had an extremely broad conceptualisation which led to the attribution of the different, sometimes completely opposite value: from an insignificant performative practice to an activity which corresponds to the divine laws and directly affects the human soul. The discussed testimonia provide evidence of defining music both as an exclusively acoustic phenomenon and as a philosophically significant concept that oversteps the sonic definition. Our sources clearly demonstrate that mousikē was a polysemous term: it was understood as an interdisciplinary form of art (as the arts of the Muses), though it was also used to indicate the exclusively instrumental music or a philosophical concept, which does not necessarily define sound as its essential quality. The aim of this dissertation is to clarify the arguments behind each of these positions, to analyse whether such different modes of conceptualisation are compatible among themselves, and to see how they fit together into explaining what was understood as music in Antiquity. In this thesis we explore the conceptual framework of mousikē and analyse what enabled the musical thought to be worthy of the attention of the greatest philosophical minds. We will demonstrate that it was not the sound or the artistic practices that were central in the philosophical thought on music, but instead the embedded structural qualities that have correspondence to the universal proportions of the cosmic world and which are perceptible to the listeners through the medium of sound.

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Questa tesi è un contributo al dibattito meta-terminologico sull'uso scientifico del termine "monoteismo" in relazione alla religione dell'Israele antico. L'attenzione è rivolta principalmente a un tema specifico: l'esplorazione della nozione teistica di "esistenza" divina (implicita nell'uso di "monoteismo" come lente di osservazione) e il problema della sua applicazione alle concettualizzazioni della divinità che emergono nella Bibbia ebraica. In primo luogo, il "monoteismo" come termine e concetto viene ricondotto alle sue origini storiche nell'ambiente intellettuale del platonismo di Cambridge nell'Inghilterra del XVII secolo. Poi, si affronta il dibattito contemporaneo sull'uso del termine "monoteismo" in relazione alla religione dell'Israele antico e si evidenzia il ruolo dell'"esistenza" teistica come lente distorcente nella lettura dei testi biblici. La maggior parte della tesi sostiene questo assunto con una lettura esegetica dettagliata di tre passi biblici scelti come casi di studio: Sal 82; 1Re 18,20-40* e Zc 14,9. Queste analisi mostrano come la nozione teistica di un'esistenza divina astratta non sia in grado di spiegare la rappresentazione del divino che emerge da questi testi. Allo stesso tempo, il potere divino come categoria euristica viene proposto come un'alternativa più adatta a spiegare queste concettualizzazioni della divinità. L'ultima sezione elabora ulteriormente questi risultati. Qui la regalità di YHWH, come immagine metaforica del suo potere, viene utilizzata per descrivere i cambiamenti nella concettualizzazione di questa divinità. L'argomentazione finale è che in nessuna parte del materiale biblico affrontato in questa tesi si trova una nozione simile a quella di esistenza divina astratta. Poiché tale nozione è implicita nell'uso del termine "monoteismo", questi risultati richiedono una considerazione ancora più attenta del suo uso nel dibattito scientifico.