767 resultados para Right to work
Resumo:
L'objectiu de la tesi es centra en la definició, en l'àmbit de l'ordenament comunitari, de l'actual estatut jurídic dels treballadors extracomunitaris assalariats que formen part del mercat de treball regular d'un Estat membre. Els treballadors nacionals de tercers països que formen part del mercat de treball regular d'un Estat comunitari, així com els membres de les seves famílies, gaudeixen d'un estatut jurídic fragmentat: els seus drets són variables, depenen de la norma que els regula. En aquest sentit, la situació varia en funció de la llei interna de l'Estat d'acollida, l'existència o no d'acords bilaterals entre l'Estat d'acollida i l'Estat d'origen, i les normes de dret comunitari. Aquesta situació també és diferent atenent a l'existència i el contingut d'un acord extern celebrat per la Comunitat i els seus Estats membres i el país de la nacionalitat de l'immigrant, aquest aspecte centra el present estudi. Els acords que s'analitzen són aquells que juntament amb aspectes econòmics, contenen disposicions relatives als treballadors, i que s'han celebrat, prenent com a base jurídica l'actual article 310 TCE, amb països geogràficament fronterers amb la Unió Europea. D'entre ells, el model a seguir és l'Acord d'Associació amb Turquia, que preveu uns objectius més amplis, com ara la creació d'una unió duanera enfront a la zona de lliure comerç prevista en els altres acords i que s'ha desenvolupat mitjançant les decisions adoptades pel seu Consell d'Associació. Aquest acord ha estat objecte d'una àmplia jurisprudència per part del Tribunal europeu, relativa a l'aplicació i la interpretació de les seves disposicions. A fi de delimitar l'abast de les disposicions de l'Acord, i valorar si es tracta d'un estatut privilegiat respecte del dels altres treballadors extracomunitaris, es comparen les seves disposicions amb les corresponents a les dels acords celebrats amb els països del Magreb, entenent per aquests el Marroc, Tunísia i Algèria i amb els 10 països d' Europa Central i Oriental (els anomenats PECO's). A fi de clarificar l'estatut jurídic dels treballadors extracomunitaris, és necessari entrar a considerar altres aspectes directament relacionats amb aquest estatut, com són les condicions d'accés i de permanència en un Estat, matèries, que, fins a l'entrada en vigor del Tractat d'Amsterdam, eren competència exclusiva de cadascun dels Estats membres. De totes maneres, no es fa un estudi comparatiu de les diferents legislacions internes en matèria d'immigració, donat que l'àmbit d'anàlisi es limita a l'ordenament comunitari, i no a l'ordenament intern. La tesi s'estructura en dues parts diferenciades, correspon la primera als 2 Capítols inicials i la segona als altres 3. En els dos primers Capítols se segueix un criteri cronològic, començant amb el Tractat de Roma i culminant amb el Tractat de Niça. En aquests Capítols s'analitzen les possibles bases jurídiques del dret originari que podien haver-se utilitzat, així com la cooperació que varen fer els Estats membres, tant a dins com a fora, de la Unió Europea, en relació a les mesures adoptades destinades a la regulació de l'accés i de l'estatut jurídic dels treballadors immigrants. L'entrada en vigor, l'1 de maig de 1999 del Tractat d'Amsterdam ha suposat un important avenç per a l'atribució de competències a la Comunitat en matèria d'immigració, que queda vinculada al nou objectiu de la creació de l'espai de llibertat, seguretat i justícia. A partir d'aquest moment, s'assumeix la lliure circulació de persones com objectiu propi, que requereix la regulació del control a les fronteres externes, d'asil, de la immigració i de la cooperació dels Estats membres en la prevenció i la lluita contra la delinqüència. Això es concreta en la comunitarització d'una part del Tercer Pilar destinada a visats, asil i immigració, amb l'exclusió del Regne Unit, Irlanda i Dinamarca, i en la integració del cabal Schengen a l'estructura de la Unió Europea, tot i que permetent una exclusió per al Regne Unit i Irlanda. Es crea, doncs, una cooperació sui generis plena de solucions d'enginyeria jurídica, que si bé suposa un avenç, trenca la unitat i l'homogeneïtat del dret comunitari. Tot i aquestes complexitats tècniques que deriven de la reforma del Tractat d'Amsterdam, el nou article 63 en els seus apartats 3 i 4 permet abordar, a través de la coordinació o de l'harmonització, els temes d'interès comú vinculats al fenomen de la immigració. Entre ells, hi ha la possibilitat d'elaborar un estatut comú per als treballadors no comunitaris. Les iniciatives legislatives presentades des de l'entrada en vigor del Tractat d'Amsterdam demostren l'acceleració en l'elaboració i el desenvolupament d'una política comunitària d'immigració, integrada en uns objectius comuns, per primera vegada sembla realista pensar en l'adopció d'un estatut jurídic únic per l'extracomunitari que sigui resident de llarga durada. Tot i que aquest estatut pot quedar configurat com un estàndard mínim de protecció, considero que la seva adopció constituiria un pas de gran rellevància en la clarificació dels drets d'aquest col·lectiu de treballadors. Els altres tres Capítols conformen la segona part de la tesi, dedicada a analitzar l'actual estatut dels treballadors nacionals de tercers Estats. Aquest estatut es caracteritza pel seu caràcter fragmentat, que deriva de la diversitat de les disposicions contingudes en els acords externs. Mitjançant un estudi comparatiu, s'analitzen els objectius, l'estructura, els antecedents i el desenvolupament dels acords celebrats amb Turquia, amb els països del Magreb i amb els PECO's. El contingut dels objectius d'aquests acords constata que ens trobem davant 3 models diferents que reflecteixen una disminució del compromís comunitari. El Tribunal de Justícia, en la seva jurisprudència, ha manifestat que tant els acords externs celebrats per la Comunitat, com les decisions adoptades pels òrgans que els desenvolupen, formen part de l'ordenament jurídic comunitari. El Tribunal de Justícia és l'òrgan competent per interpretar-los, contribuint a clarificar el contingut d'aquests instruments jurídics. Aquesta perspectiva es completa amb l'anàlisi de les nocions que recullen els acords externs, a fi de dilucidar si un mateix terme té idèntic contingut, i si, tot i la diversitat dels instruments jurídics utilitzats, tenen una mateixa interpretació jurisprudencial. Per aquest motiu ha estat necessari, que el Tribunal de Justícia determinés l'abast dels diferents conceptes emprats, i clarifiqués si és el mateix que el relatiu als treballadors comunitaris o és diferent. La redacció dels acords estudiats reflecteix un estatut jurídic privilegiat per als treballadors turcs en relació als altres treballadors immigrants. Els treballadors originaris dels països d'Europa Central i Oriental o del Magreb, podran millorar la seva situació actual en la mesura en què les disposicions dels seus respectius acords siguin, en el futur, desenvolupades. De totes maneres, aquesta situació de privilegi que ha estat un fet fins el moment actual, ha canviat amb l'entrada en vigor de diferents lleis d'estrangeria estatals, i pot modificar-se, també, amb el desenvolupament del Tractat d'Amsterdam. Actualment, a un treballador turc li perjudica, més que no beneficia el sistema de terminis que per accedir a un lloc de treball preveu la Decisió 1/80. Els treballadors turcs que formen part del mercat regular de treball d'un Estat membre haurien de quedar protegits pel règim jurídic que els sigui més beneficiós, amb independència de que aquest sigui l'intern de l'Estat d'acollida, el comunitari previst a l'Acord d'Associació i el seu posterior desenvolupament, o el que derivi de les futures directives quan entrin en vigor. Si bé aquestes disposicions dels Acords d'Associació varen ser positives, actualment hauran de ser objecte de modificació, la qual cosa no implica la seva desaparició. El seu contingut haurà de tendir a ressaltar l'especificitat de les relacions que es volen establir amb un tercer Estat concret, establint en aquest sentit un tractament preferent als seus nacionals enfront als altres immigrants, i reconeixent el seu dret de residència com derivat del permís de treball. De tota manera, amb l'entrada en vigor de la directiva relativa a l'estatut dels residents de llarga durada, aquest règim privilegiat només afectarà als immigrants residents legals a l'Estat d'acollida durant els primers 5 anys, és a dir, abans de que se'ls concedeixi el citat estatut.
Resumo:
El Estado español tiene más de 100.000 construcciones ilegales. En la actualidad, la ejecución de las sentencias en materia urbanística no es eficaz. Existe, por tanto, una situación de inejecución de las sentencias urbanísticas. Un ciudadano puede construir una casa al amparo de una licencia. Sin embargo, a veces, esta licencia es ilegal porque infringe el plan urbanístico aplicable y incluso la propia ley de urbanismo. La consecuencia jurídica de la ilegal es la obligatoriedad del derribo de lo ilegalmente construido. Lo mismo sucede ante la declaración de ilegalidad de un plan urbanístico. En este caso, el juez o tribunal estimará la ilegalidad del plan y el fallo deberá ser ejecutado. La solución no es un fácil porque la demolición o derribo de la construcción ilegal trae consigo el pago de una indemnización a los propietarios que han edificado al amparo de una licencia ilegal.El derecho a la ejecución de sentencias es prescrito por el artículo 24 de la Constitución española. Este artículo 24 garantiza el derecho de todos ciudadanos a una tutela judicial efectiva. El Tribunal Constitucional español en sus sentencias número 67/1984 y 28/1989, reconocieron que el derecho a la ejecución de las resoluciones judiciales deriva del propio derecho a la tutela judicial efectiva. La justicia administrativa está regulada por la Ley 29/1998, del 13 de julio, reguladora de la jurisdicción contencioso-administrativa. En su artículo 103.1 de la Ley 29/1998, establece que los jueces y los tribunales de la jurisdicción administrativa son los competentes para hacer ejecutar las sentencias. Por otro lado, el artículo 117.3 de la Constitución Española otorga la competencia en exclusiva a los jueces y tribunales para hacer ejecutar las sentencias, como manifestación del principio de división de poderes.En último lugar, los valores que la legislación urbanística española incorpora, tales como, el desarrollo sostenible, urbanismo sostenible y la cohesión social, quedan inaplicados si las sentencias urbanísticas no se ejecutan.
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RESUMO: Cada vez mais, os desafios que se impõem a toda a comunidade educativa, estão relacionados com a inclusão e o ensino de crianças com Necessidades Educativas Especiais, nas escolas de ensino regular. Este trabalho, é o relatório de uma intervenção, feita junto de uma criança com autismo, com sete anos de idade, matriculada no 2º ano de escolaridade, de uma escola básica da cidade de Lisboa, e a intervenção realizou-se no âmbito da Componente de Apoio à Família. Esta intervenção testou a pertinência das estratégias lúdico-pedagógicas, na evolução, tanto no processo de aprendizagem da leitura e da escrita, como da sua inclusão. A metodologia utilizada, assentou nos pressupostos teórico-práticos da investigação-acção. Este trabalho parece-nos espelhar a realidade vivida por muitas crianças com Necessidades Educativas Especiais, que muitas vezes não encontram um cenário escolar inclusivo, capaz de oferecer a todas o direito de aprenderem juntas. ABSTRACT: The challenges that impose into the entire educational community are increasingly related to the inclusion and education of children with Special Educational Needs in regular schools. This work is a report of an intervention with a seven year old child with autism. This child is enrolled in the 2nd grade of an elementary school in the city of Lisbon, and the intervention occurred in the context of the Family Support Component. This intervention has tested the relevance of the playful – pedagogical strategies in evolution, both in the learning process of reading and writing of the child in the study, as in her inclusion. The used methodology was based on the theorethical-pratical assumptions for a research-action project. This work seems to reflect the reality experienced by many children with Special Educational Needs, who often do not find an inclusive school setting, able to offer to them all, the right to learn together.
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RESUMO: Este trabalho pretende desenvolver de forma teórica, conceitual e histórica a questão da cidadania no cenário do CEFYA, percebendo a passagem da ideia de cidadania do plano ideal para as realidades práticas vivenciadas na escola. O objetivo desta pesquisa é a compreensão do processo de construção da cidadania em uma escola pública do Tocantins na perspectiva dos alunos do 9º ano da referida escola. Inicialmente foi feito um estudo sobre as principais compreensões de cidadania construídas desde a antiguidade até os tempos atuais, bem como, um resgate de educação popular no Brasil. Daí a compreensão da cidadania como efetivação da dignidade humana e, no âmbito da escola, como direito a participação, a formação de uma consciência crítica e ao respeito à diversidade. O trabalho de identificação do exercício da cidadania no âmbito da escola foi feito através da análise de documentos da própria escola, de questionários e partilha em grupo com os alunos do 9º ano. O estudo evidenciou que o Centro Educacional desenvolve uma pedagogia participativa de pais, da sociedade e da escola, propiciando experiências construtoras de cidadania, relativo à agregação da família, vivência comunitária etc. Portanto, existe no Centro Educacional uma preocupação em qualificar o projeto político-pedagógico e elaborar projetos que são importantes para o avanço dos processos participativos e comunitário. À luz de reflexões críticas, especialmente de Paulo Freire, chega-se à conclusão de que o CEFYA avançou muito nas experiências de cidadania visando à superação das práticas pedagógicas tradicionais. Esse avanço está embasado numa práxis libertadora-emacipatória, fundamentada no diálogo. O Centro Educacional torna-se, a cada dia, num espaço de formação de cidadãos conscientes, críticos e dialógicos. Para tanto, o conhecimento deste ambiente escolar cresce em cidadania, por vir acompanhado de relações democráticas, dialógicas e participativas. ABSTRACT: This work aims to develop a theoretical, conceptual and historical issues of citizenship in the scenario CEFYA, noting the passage of the idea of citizenship ideal plan for the practical realities experienced in school. The objective of this research is the understanding of the construction of citizenship in a public school in Tocantins from the perspective of students in 9th grade of that school. Initially a study was done on the main understandings of citizenship built from ancient to modern times, as well as a recovery of popular education in Brazil. Hence the understanding of citizenship and human dignity and effectiveness within the school, as the right to participation, the formation of a critical awareness and respect for diversity. The identification of the work of citizenship within the school was done by examining documents of the school, questionnaires and group sharing with students in 9th grade. The study showed that the Educational Center develops a participative pedagogy of parents, school and society, providing experience building citizenship on the aggregation of family, community life etc.. Therefore, there is a concern in the Educational Center in describing the political-pedagogical project and develop projects that are important for the advancement of participatory processes and community. In the light of critical reflection, especially Paulo Freire, one comes to the conclusion that the CEFYA progressed much on the experiences of citizenship in order to overcome the traditional pedagogical practices. This progress is rooted in a liberating praxis based on dialogue. The School changes every day, and raise students within a formation of concerned citizens, critical and dialogic. Thus, the knowledge of the school environment grows in citizenship, together with democratic relations, dialogical and participatory.
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Ao ter como base geral de pesquisa – A Europa diante do fenómeno migratório - a procura de uma nova Humanização – o objectivo deste trabalho consistiu na análise de algumas formas de manifestação e do impacto deste fenómeno nas sociedades democráticas inseridas nesse espaço. A consciência que as migrações têm seguido a história do mundo e as civilizações e que a sua análise permite avaliar o destino de seres humanos que partem em busca de soluções para as suas vidas. A convicção que a configuração das migrações tem um amplo significado social, cultural e económico e que uma política de imigração fechada, repressiva ou redutora do seu verdadeiro significado pode dividir a Humanidade. O receio que gera a continuidade de uma visão unilateral do Mundo e o esquecimento das condições existenciais difíceis de alguns países de emigração. A renúncia de alguns em escutar um discurso carecido de autenticidade e em apoiar um diálogo comprometido com alguns pressupostos ideológicos pouco claros. O desejo de participar na denúncia da propagação de atitudes facilitadoras dos sentimentos racistas e xenófobos. O repúdio pelo desnorteamento ontológico traduzido pela defesa de certas atitudes persecutórias infringidas aos imigrantes clandestinos. A adopção de uma política basicamente norteada pelo controlo das fronteiras e pela exploração económica dos imigrantes. A indignação pelo esquecimento ou negligência na vigilância e aplicação dos direitos fundamentais, em concreto, o direito ao uso da liberdade, a uma vida familiar normal, situações que lesam muitos. Foram, em suma, as razões que motivaram o trabalho. Porque, igualmente o exercício da cidadania e a inserção num espaço mundial em transformação requerem a actualização da leitura das relações dos homens entre eles e com as formas espaciais; porque o papel dos imigrantes na economia contemporânea é sentido como algo fundamental, e também a importância do seu lugar na estratégia de um desenvolvimento sustentável deve ser demonstrada e respeitada, desejou-se partilhar com outros a oportunidade de defender a participação colectiva sob princípios e premissas mais humanistas, e considerados fundamentais, para a construção de uma política de imigração digna, mais abrangente e indutora de pontes abertas e não de áreas amuralhadas.
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La inclusión social en la educación y particularmente en la educación superior constituye un campo de estudio relevante definido a su significativo impacto sobre el desarrollo económico y social. En el caso de América Latina, es bien conocido el carácter excluyente que han tenido sus universidades como herencia de 300 años de colonialismo, la esclavitud de negros e indígenas y la tradicional discriminación de género. En el caso de Cuba, el Gobierno resultante de la Revolución de 1959 ha realizado notables esfuerzos para promover la inclusión de grupos tradicionalmente vulnerables por razones de género o color de la piel, a pesar de las difíciles condiciones económicas derivadas de la hostilidad del Gobierno de los Estados Unidos. Los resultados alcanzados demuestran una fuerte tendencia a la equidad, sin embargo, existen otros determinantes de vulnerabilidad como la acumulación de capital cultural, que deben reforzarse en los próximos años debido a la implantación de un sistema de acceso meritocrático, y a los cuales debe prestarse especial atención pues pueden convertirse en factores de exclusión en el largo y mediano plazo. Algunos de estos determinantes como la escolaridad de los padres, la calidad de la enseñanza precedente y el ambiente cultural comunitario son considerados en el presente trabajo.
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El presente trabajo tiene por objeto analizar la sentencia emitida por la Sala de lo Contencioso Tributario de la Corte Nacional de Justicia, relativa a la impugnación de la legalidad de la “Tasa de Seguridad ciudadana”, que aplica el Municipio del Distrito Metropolitano de Quito. Fallo controversial en que se decidió desechar la demanda por caducidad del derecho para la impugnación, toda vez, que a criterio de los juzgadores ha transcurrido más de tres años desde que la referida tasa entró en vigencia. Con tal propósito, se examina críticamente los fundamentos sobre los cuales la Sala decidió desechar la demanda, así mismo, se establece los parámetros de orientación sobre cuál pudo ser el contenido de un pronunciamiento conforme con la Constitución y leyes vigentes.
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This work seeks to reconstruct the dynamics of the agreements and disagreements between the State and the indigenous peoples in Ecuador, emphasising particularly on two key elements: first, the indigenous peoples participation and exercise of their political rights, in particular the right to self-government and autonomy within their jurisdictions; and secondly, indigenous peoples’ degree of direct influence on public policies’ formulation and implementation, specially those directly affecting their territories, including the exploitation of natural resources. In Ecuador, during this historical period, the state has gone through three major moments in its relationship with indigenous peoples: neo - indigenism associated to developmentalism (1980-1984); multiculturalism associated to neoliberalism (1984- 2006) as one of the dominant trends over the period; and the crisis of neoliberalism and the search for national diversity and interculturalism associated to post- neoliberalism (2007-2013). Each has had a particular connotation, as to the scope and methods to respond to indigenous demands. In this context, this research aims to answer the central question: how has the Ecuadorian State met the demands of the indigenous movement in the last three decades, and how has it ensured the validity of their gradually recognized rights? And how and to what extent by doing so, it contradicts and alters the existing economic model based on the extraction of primary resources?
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The shamba system involves farmers tending tree saplings on state-owned forest land in return for being permitted to intercrop perennial food crops until canopy closure. At one time the system was used throughout all state-owned forest lands in Kenya, accounting for a large proportion of some 160,000 ha. The system should theoretically be mutually beneficial to both local people and the government. However the system has had a chequered past in Kenya due to widespread malpractice and associated environmental degradation. It was last banned in 2003 but in early 2008 field trials were initiated for its reintroduction. This study aimed to: assess the benefits and limitations of the shamba system in Kenya; assess the main influences on the extent to which the limitations and benefits are realised and; consider the management and policy requirements for the system's successful and sustainable operation. Information was obtained from 133 questionnaires using mainly open ended questions and six participatory workshops carried out in forest-adjacent communities on the western slopes of Mount Kenya in Nyeri district. In addition interviews were conducted with key informants from communities and organisations. There was strong desire amongst local people for the system's reintroduction given that it had provided significant food, income and employment. Local perceptions of the failings of the system included firstly mismanagement by government or forest authorities and secondly abuse of the system by shamba farmers and outsiders. Improvements local people considered necessary for the shamba system to work included more accountability and transparency in administration and better rules with respect to plot allocation and stewardship. Ninety-seven percent of respondents said they would like to be more involved in management of the forest and 80% that they were willing to pay for the use of a plot. The study concludes that the structural framework laid down by the 2005 Forests Act, which includes provision for the reimplementation of the shamba system under the new plantation establishment and livelihood improvement scheme (PELIS) [It should be noted that whilst the shamba system was re-branded in 2008 under the acronym PELIS, for the sake of simplicity the authors continue to refer to the 'shamba system' and 'shamba farmers' throughout this paper.], is weakened because insufficient power is likely to be devolved to local people, casting them merely as 'forest users' and the shamba system as a 'forest user right'. In so doing the system's potential to both facilitate and embody the participation of local people in forest management is limited and the long-term sustainability of the new system is questionable. Suggested instruments to address this include some degree of sharing of profits from forest timber, performance related guarantees for farmers to gain a new plot and use of joint committees consisting of local people and the forest authorities for long term management of forests.
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Estimation of population size with missing zero-class is an important problem that is encountered in epidemiological assessment studies. Fitting a Poisson model to the observed data by the method of maximum likelihood and estimation of the population size based on this fit is an approach that has been widely used for this purpose. In practice, however, the Poisson assumption is seldom satisfied. Zelterman (1988) has proposed a robust estimator for unclustered data that works well in a wide class of distributions applicable for count data. In the work presented here, we extend this estimator to clustered data. The estimator requires fitting a zero-truncated homogeneous Poisson model by maximum likelihood and thereby using a Horvitz-Thompson estimator of population size. This was found to work well, when the data follow the hypothesized homogeneous Poisson model. However, when the true distribution deviates from the hypothesized model, the population size was found to be underestimated. In the search of a more robust estimator, we focused on three models that use all clusters with exactly one case, those clusters with exactly two cases and those with exactly three cases to estimate the probability of the zero-class and thereby use data collected on all the clusters in the Horvitz-Thompson estimator of population size. Loss in efficiency associated with gain in robustness was examined based on a simulation study. As a trade-off between gain in robustness and loss in efficiency, the model that uses data collected on clusters with at most three cases to estimate the probability of the zero-class was found to be preferred in general. In applications, we recommend obtaining estimates from all three models and making a choice considering the estimates from the three models, robustness and the loss in efficiency. (© 2008 WILEY-VCH Verlag GmbH & Co. KGaA, Weinheim)
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Modern organisms are adapted to a wide variety of habitats and lifestyles. The processes of evolution have led to complex, interdependent, well-designed mechanisms of todays world and this research challenge is to transpose these innovative solutions to resolve problems in the context of architectural design practice, e.g., to relate design by nature with design by human. In a design by human environment, design synthesis can be performed with the use of rapid prototyping techniques that will enable to transform almost instantaneously any 2D design representation into a physical three-dimensional model, through a rapid prototyping printer machine. Rapid prototyping processes add layers of material one on top of another until a complete model is built and an analogy can be established with design by nature where the natural lay down of earth layers shapes the earth surface, a natural process occurring repeatedly over long periods of time. Concurrence in design will particularly benefit from rapid prototyping techniques, as the prime purpose of physical prototyping is to promptly assist iterative design, enabling design participants to work with a three-dimensional hardcopy and use it for the validation of their design-ideas. Concurrent design is a systematic approach aiming to facilitate the simultaneous involvment and commitment of all participants in the building design process, enabling both an effective reduction of time and costs at the design phase and a quality improvement of the design product. This paper presents the results of an exploratory survey investigating both how computer-aided design systems help designers to fully define the shape of their design-ideas and the extent of the application of rapid prototyping technologies coupled with Internet facilities by design practice. The findings suggest that design practitioners recognize that these technologies can greatly enhance concurrence in design, though acknowledging a lack of knowledge in relation to the issue of rapid prototyping.
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Purpose – The main aim of this paper is to present the results of a study examining managers' attitudes towards the deployment and use of information and communications technology (ICT) in their organisations. The study comes at a time when ICT is being recognised as a major enabler of innovation and new business models, which have the potential to have major impact on western economies and jobs. Design/methodology/approach – A questionnaire was specially designed to collect data relating to three research questions. The questionnaire also included a number of open-ended questions. A total of 181 managers from a wide range of industries across a number of countries participated in the electronic survey. The quantitative responses to the survey were analysed using SPSS. Exploratory factor analysis using Varimax rotation was used and ANOVA to compare responses by different groups. Findings – The survey showed that many of the respondents appeared equipped to work “any place, any time”. However, it also highlighted the challenges managers face in working in a connected operation. Also, the data suggested that many managers were less than confident about their companies' policies and practices in relation to information management. Originality/value – A next step from this exploratory research could be the development of a model exploring the impact of ICT on management and organisational performance in terms of personal characteristics of the manager, the role performed, the context and the ICT provision. Also, further research could focus on examining in more detail differences between management levels.
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We present a conceptual architecture for a Group Support System (GSS) to facilitate Multi-Organisational Collaborative Groups (MOCGs) initiated by local government and including external organisations of various types. Multi-Organisational Collaborative Groups (MOCGs) consist of individuals from several organisations which have agreed to work together to solve a problem. The expectation is that more can be achieved working in harmony than separately. Work is done interdependently, rather than independently in diverse directions. Local government, faced with solving complex social problems, deploy MOCGs to enable solutions across organisational, functional, professional and juridical boundaries, by involving statutory, voluntary, community, not-for-profit and private organisations. This is not a silver bullet as it introduces new pressures. Each member organisation has its own goals, operating context and particular approaches, which can be expressed as their norms and business processes. Organisations working together must find ways of eliminating differences or mitigating their impact in order to reduce the risks of collaborative inertia and conflict. A GSS is an electronic collaboration system that facilitates group working and can offer assistance to MOCGs. Since many existing GSSs have been primarily developed for single organisation collaborative groups, even though there are some common issues, there are some difficulties peculiar to MOCGs, and others that they experience to a greater extent: a diversity of primary organisational goals among members; different funding models and other pressures; more significant differences in other information systems both technologically and in their use than single organisations; greater variation in acceptable approaches to solve problems. In this paper, we analyse the requirements of MOCGs led by local government agencies, leading to a conceptual architecture for an e-government GSS that captures the relationships between 'goal', 'context', 'norm', and 'business process'. Our models capture the dynamics of the circumstances surrounding each individual representing an organisation in a MOCG along with the dynamics of the MOCG itself as a separate community.
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There are three key driving forces behind the development of Internet Content Management Systems (CMS) - a desire to manage the explosion of content, a desire to provide structure and meaning to content in order to make it accessible, and a desire to work collaboratively to manipulate content in some meaningful way. Yet the traditional CMS has been unable to meet the latter of these requirements, often failing to provide sufficient tools for collaboration in a distributed context. Peer-to-Peer (P2P) systems are networks in which every node is an equal participant (whether transmitting data, exchanging content, or invoking services) and there is an absence of any centralised administrative or coordinating authorities. P2P systems are inherently more scalable than equivalent client-server implementations as they tend to use resources at the edge of the network much more effectively. This paper details the rationale and design of a P2P middleware for collaborative content management.
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This edited collection provides ideas and support for ways of 'bringing poetry alive' in the classroom at Key Stages 1,2 and 3, drawing on what is known to work and also exploring fresh thinking. It is designed to help both new and experienced teachers approach poetry teaching with greater imagination and confidence. The book is edited and introduced by Michael Lockwood and features chapters by experts who have taught poetry in different settings for many years, including contributions from poets Michael Rosen and James Carter. Professor Morag Styles of Cambridge University has provided a Preface. All the contributors have a connection with the University of Reading as lecturers, external examiners, current or former graduate students. The book includes the following sections: Introduction: Developments in Poetry Teaching 1: Reflections on Being Children’s Laureate – Michael Rosen 2: Teaching Poetry in the Early Years - Margaret Perkins 3: Actual Poems, Possible Responses - Prue Goodwin 4: Making Poetry - Catriona Nicholson 5: The role of the poet in primary schools -James Carter 6: Cross-Curricular Poetry Writing - Eileen Hyder 7: Teaching Poetry to Teenagers - Lionel Warner 8: Watching the Words: Drama and Poems - Andy Kempe 9: Literary Reading - Andy Goodwyn The book is intended for teacher educators,teachers and trainee teachers working with children aged 5 to 14 years.