982 resultados para Fundamental change
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It is asserted that sub-national government has a key role in responding to climate change. Drawing on a case study of metropolitan authorities in the English Midlands, this article examines the contribution of local authorities and their partners in delivering climate change targets agreed upon with central government. Rather than achieving fundamental change, actions were hampered by competing priorities, fragmented responsibilities, limited resources and difficulties in measuring outcomes. Nevertheless, in light of public expenditure cuts and the current coalition government's commitment to free councils from central targets, gaining support for local climate change actions will become even more challenging.
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In 1996, Brazil adopted a worldwide income tax system for corporations. This system represents a fundamental change in how the Brazílian government treats multinational transactions and the tax minimizing strategies relevant to businesses. In this article, we describe the conceptual basis for worldwide tax systems and the problem of double taxation that they create. Responses to double taxation by both the governments and the priva te sector are considered. Namely, the imperfect mechanisms developed by Brazil and other countries for mitigating double taxation are analyzed. We ultimately focus on the strategies that companies utilize in order not only to avoid double texetion, but also to take advantage of tax havens.
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Mestrado em Controlo de Gestão e dos Negócios
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Dada a sua estrutura organizacional complexa e a natureza delicada do serviço prestado, os hospitais carecem de uma gestão eficaz e eficiente que os transforme em organizações de excelência. Fatores externos derivados das atuais imposições governamentais, como a necessidade de reorganização dos serviços no sentido de contenção de custos, a obtenção de resultados económicos positivos e, a incessante necessidade dos utentes em obter um atendimento de qualidade, são fatores que não simplificam o problema. As melhorias da qualidade dos serviços de saúde têm sido difíceis de implementar em Portugal, não só porque estas exigem uma mudança fundamental na forma de pensar e de agir que conduzam à alteração de comportamentos, hábitos e de práticas estabelecidas, mas também, porque estes processos requerem tempo, resiliência e uma participação ativa do Estado, e demais entidades reguladoras. A exigência neste processo torna-se fundamental ao nível da segurança, flexibilidade e da atuação sobre fatores estruturais e comportamentais, dado que os conceitos de economia, eficiência e eficácia são transversais a todos os procedimentos, desde o ato de atendimento, à qualidade dos serviços prestados por todos os profissionais e à performance global dos atores envolvidos. No entanto, apesar da importância de que se reveste um processo de mudança, o conhecimento de facto, por si só, não é suficiente para desencadear e manter esta transformação, ainda não existe uma clara e concreta a correlação entre análise e ação. Entende-se por isso, a necessidade do desenvolvimento do benchmarking hospitalar, integrado na filosofia do Balanced Scorecard, complementado com a opinião dos utentes e dos profissionais destes serviços de saúde, comparando o setor público com o privado. Após efetuada a análise aos dados recolhidos, recorrendo à utilização das metodologias previamente identificadas, concluimos que, a generalidade das hipóteses formuladas se verificaram, tendo, por isso, alcançado os objetivos a que nos propusemos nesta investigação.
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The Programme for Government sets out an agenda of fundamental change for our health services. The Department of Health must lead the implementation of Government policy and, in the course of the coming years, must also remodel itself to meet the challenges inherent in these radical changes. This Statement of Strategy outlines the high-level aims and objectives of the overall health system for the period 2011 to 2014. Click here to download PDF 191kb
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The identity [r]evolution is happening. Who are you, who am I in the information society? In recent years, the convergence of several factors - technological, political, economic - has accelerated a fundamental change in our networked world. On a technological level, information becomes easier to gather, to store, to exchange and to process. The belief that more information brings more security has been a strong political driver to promote information gathering since September 11. Profiling intends to transform information into knowledge in order to anticipate one's behaviour, or needs, or preferences. It can lead to categorizations according to some specific risk criteria, for example, or to direct and personalized marketing. As a consequence, new forms of identities appear. They are not necessarily related to our names anymore. They are based on information, on traces that we leave when we act or interact, when we go somewhere or just stay in one place, or even sometimes when we make a choice. They are related to the SIM cards of our mobile phones, to our credit card numbers, to the pseudonyms that we use on the Internet, to our email addresses, to the IP addresses of our computers, to our profiles... Like traditional identities, these new forms of identities can allow us to distinguish an individual within a group of people, or describe this person as belonging to a community or a category. How far have we moved through this process? The identity [r]evolution is already becoming part of our daily lives. People are eager to share information with their "friends" in social networks like Facebook, in chat rooms, or in Second Life. Customers take advantage of the numerous bonus cards that are made available. Video surveillance is becoming the rule. In several countries, traditional ID documents are being replaced by biometric passports with RFID technologies. This raises several privacy issues and might actually even result in changing the perception of the concept of privacy itself, in particular by the younger generation. In the information society, our (partial) identities become the illusory masks that we choose -or that we are assigned- to interplay and communicate with each other. Rights, obligations, responsibilities, even reputation are increasingly associated with these masks. On the one hand, these masks become the key to access restricted information and to use services. On the other hand, in case of a fraud or negative reputation, the owner of such a mask can be penalized: doors remain closed, access to services is denied. Hence the current preoccupying growth of impersonation, identity-theft and other identity-related crimes. Where is the path of the identity [r]evolution leading us? The booklet is giving a glance on possible scenarios in the field of identity.
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The end-Permian mass extinction greatly affected the sedimentary record, but the sedimentary response was not limited to the Permian-Triassic boundary interval. This transformation extended to sedimentation that spanned the entire Early Triassic. Calcimicrobialites play an important role throughout this time interval, and at least four main events of anomalous carbonate deposition can be shown. A post-extinction calcimicrobial unit occurs above the extensive Permian skeletal carbonate platform exposed in the Taurus Mountains (southern Turkey), in south Armenia, north-west north and Central Iran along the Zagros Mountains. The calcimicrobial unit formed during the flooding of the platform that took place during the earliest Triassic. A similar calcimicrobialite formed during late Griesbachian to Dienerian time atop the shallow Permian skeletal carbonate platform largely exposed in south China. A third event occurred during the Early Olenekian on the first Mesozoic isolated pelagic plateau (Baid seamount, Oman Mountains). Here the change in carbonate sedimentation is reflected in the occurrence of thrombolites and carbonate seafloor fans. Near the end of Early Triassic time, unusual carbonate deposition is recorded both on an isolated pelagic plateau of the Western Tethys (Halstatt limestone of Dobrogea, Romania) and on the eastern Panthalassa margin of the western United States. In the western United States, the event is represented by stromatolites and thrombolites in the Virgin Limestone of the Moenkopi Formation and by seafloor fans in the middle and upper members of the Union Wash Formation. These unusual episodes of anomalous carbonate deposition illustrate a fundamental change in sedimentation that occurred in the aftermath of the end-Permian mass extinction.
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Despite intensive research efforts, the aetiology of the majority of chronic lung diseases (CLD) in both, children and adults, remains elusive. Current therapeutic options are limited, providing only symptomatic relief, rather than treating the underlying condition, or preventing its development in the first place. Thus, there is a strong and unmet clinical need for the development of both, novel effective therapies and preventative strategies for CLD. Many studies suggest that modifications of prenatal and/or early postnatal lung development will have important implications for future lung function and risk of CLD throughout life. This view represents a fundamental change of current pathophysiological concepts and treatment paradigms, and holds the potential to develop novel preventative and/or therapeutic strategies. However, for the successful development of such approaches, key questions, such as a clear understanding of underlying mechanisms of impaired lung development, the identification and validation of relevant preclinical models to facilitate translational research, and the development of concepts for correction of aberrant development, all need to be solved. Accordingly, a European Science Foundation Exploratory Workshop was held where clinical, translational and basic research scientists from different disciplines met to discuss potential mechanisms of developmental origins of CLD, and to identify major knowledge gaps in order to delineate a roadmap for future integrative research.
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Summary This dissertation explores how stakeholder dialogue influences corporate processes, and speculates about the potential of this phenomenon - particularly with actors, like non-governmental organizations (NGOs) and other representatives of civil society, which have received growing attention against a backdrop of increasing globalisation and which have often been cast in an adversarial light by firms - as a source of teaming and a spark for innovation in the firm. The study is set within the context of the introduction of genetically-modified organisms (GMOs) in Europe. Its significance lies in the fact that scientific developments and new technologies are being generated at an unprecedented rate in an era where civil society is becoming more informed, more reflexive, and more active in facilitating or blocking such new developments, which could have the potential to trigger widespread changes in economies, attitudes, and lifestyles, and address global problems like poverty, hunger, climate change, and environmental degradation. In the 1990s, companies using biotechnology to develop and offer novel products began to experience increasing pressure from civil society to disclose information about the risks associated with the use of biotechnology and GMOs, in particular. Although no harmful effects for humans or the environment have been factually demonstrated even to date (2008), this technology remains highly-contested and its introduction in Europe catalysed major companies to invest significant financial and human resources in stakeholder dialogue. A relatively new phenomenon at the time, with little theoretical backing, dialogue was seen to reflect a move towards greater engagement with stakeholders, commonly defined as those "individuals or groups with which. business interacts who have a 'stake', or vested interest in the firm" (Carroll, 1993:22) with whom firms are seen to be inextricably embedded (Andriof & Waddock, 2002). Regarding the organisation of this dissertation, Chapter 1 (Introduction) describes the context of the study, elaborates its significance for academics and business practitioners as an empirical work embedded in a sector at the heart of the debate on corporate social responsibility (CSR). Chapter 2 (Literature Review) traces the roots and evolution of CSR, drawing on Stakeholder Theory, Institutional Theory, Resource Dependence Theory, and Organisational Learning to establish what has already been developed in the literature regarding the stakeholder concept, motivations for engagement with stakeholders, the corporate response to external constituencies, and outcomes for the firm in terms of organisational learning and change. I used this review of the literature to guide my inquiry and to develop the key constructs through which I viewed the empirical data that was gathered. In this respect, concepts related to how the firm views itself (as a victim, follower, leader), how stakeholders are viewed (as a source of pressure and/or threat; as an asset: current and future), corporate responses (in the form of buffering, bridging, boundary redefinition), and types of organisational teaming (single-loop, double-loop, triple-loop) and change (first order, second order, third order) were particularly important in building the key constructs of the conceptual model that emerged from the analysis of the data. Chapter 3 (Methodology) describes the methodology that was used to conduct the study, affirms the appropriateness of the case study method in addressing the research question, and describes the procedures for collecting and analysing the data. Data collection took place in two phases -extending from August 1999 to October 2000, and from May to December 2001, which functioned as `snapshots' in time of the three companies under study. The data was systematically analysed and coded using ATLAS/ti, a qualitative data analysis tool, which enabled me to sort, organise, and reduce the data into a manageable form. Chapter 4 (Data Analysis) contains the three cases that were developed (anonymised as Pioneer, Helvetica, and Viking). Each case is presented in its entirety (constituting a `within case' analysis), followed by a 'cross-case' analysis, backed up by extensive verbatim evidence. Chapter 5 presents the research findings, outlines the study's limitations, describes managerial implications, and offers suggestions for where more research could elaborate the conceptual model developed through this study, as well as suggestions for additional research in areas where managerial implications were outlined. References and Appendices are included at the end. This dissertation results in the construction and description of a conceptual model, grounded in the empirical data and tied to existing literature, which portrays a set of elements and relationships deemed important for understanding the impact of stakeholder engagement for firms in terms of organisational learning and change. This model suggests that corporate perceptions about the nature of stakeholder influence the perceived value of stakeholder contributions. When stakeholders are primarily viewed as a source of pressure or threat, firms tend to adopt a reactive/defensive posture in an effort to manage stakeholders and protect the firm from sources of outside pressure -behaviour consistent with Resource Dependence Theory, which suggests that firms try to get control over extemal threats by focussing on the relevant stakeholders on whom they depend for critical resources, and try to reverse the control potentially exerted by extemal constituencies by trying to influence and manipulate these valuable stakeholders. In situations where stakeholders are viewed as a current strategic asset, firms tend to adopt a proactive/offensive posture in an effort to tap stakeholder contributions and connect the organisation to its environment - behaviour consistent with Institutional Theory, which suggests that firms try to ensure the continuing license to operate by internalising external expectations. In instances where stakeholders are viewed as a source of future value, firms tend to adopt an interactive/innovative posture in an effort to reduce or widen the embedded system and bring stakeholders into systems of innovation and feedback -behaviour consistent with the literature on Organisational Learning, which suggests that firms can learn how to optimize their performance as they develop systems and structures that are more adaptable and responsive to change The conceptual model moreover suggests that the perceived value of stakeholder contribution drives corporate aims for engagement, which can be usefully categorised as dialogue intentions spanning a continuum running from low-level to high-level to very-high level. This study suggests that activities aimed at disarming critical stakeholders (`manipulation') providing guidance and correcting misinformation (`education'), being transparent about corporate activities and policies (`information'), alleviating stakeholder concerns (`placation'), and accessing stakeholder opinion ('consultation') represent low-level dialogue intentions and are experienced by stakeholders as asymmetrical, persuasive, compliance-gaining activities that are not in line with `true' dialogue. This study also finds evidence that activities aimed at redistributing power ('partnership'), involving stakeholders in internal corporate processes (`participation'), and demonstrating corporate responsibility (`stewardship') reflect high-level dialogue intentions. This study additionally finds evidence that building and sustaining high-quality, trusted relationships which can meaningfully influence organisational policies incline a firm towards the type of interactive, proactive processes that underpin the development of sustainable corporate strategies. Dialogue intentions are related to type of corporate response: low-level intentions can lead to buffering strategies; high-level intentions can underpin bridging strategies; very high-level intentions can incline a firm towards boundary redefinition. The nature of corporate response (which encapsulates a firm's posture towards stakeholders, demonstrated by the level of dialogue intention and the firm's strategy for dealing with stakeholders) favours the type of learning and change experienced by the organisation. This study indicates that buffering strategies, where the firm attempts to protect itself against external influences and cant' out its existing strategy, typically lead to single-loop learning, whereby the firm teams how to perform better within its existing paradigm and at most, improves the performance of the established system - an outcome associated with first-order change. Bridging responses, where the firm adapts organisational activities to meet external expectations, typically leads a firm to acquire new behavioural capacities characteristic of double-loop learning, whereby insights and understanding are uncovered that are fundamentally different from existing knowledge and where stakeholders are brought into problem-solving conversations that enable them to influence corporate decision-making to address shortcomings in the system - an outcome associated with second-order change. Boundary redefinition suggests that the firm engages in triple-loop learning, where the firm changes relations with stakeholders in profound ways, considers problems from a whole-system perspective, examining the deep structures that sustain the system, producing innovation to address chronic problems and develop new opportunities - an outcome associated with third-order change. This study supports earlier theoretical and empirical studies {e.g. Weick's (1979, 1985) work on self-enactment; Maitlis & Lawrence's (2007) and Maitlis' (2005) work and Weick et al's (2005) work on sensegiving and sensemaking in organisations; Brickson's (2005, 2007) and Scott & Lane's (2000) work on organisational identity orientation}, which indicate that corporate self-perception is a key underlying factor driving the dynamics of organisational teaming and change. Such theorizing has important implications for managerial practice; namely, that a company which perceives itself as a 'victim' may be highly inclined to view stakeholders as a source of negative influence, and would therefore be potentially unable to benefit from the positive influence of engagement. Such a selfperception can blind the firm from seeing stakeholders in a more positive, contributing light, which suggests that such firms may not be inclined to embrace external sources of innovation and teaming, as they are focussed on protecting the firm against disturbing environmental influences (through buffering), and remain more likely to perform better within an existing paradigm (single-loop teaming). By contrast, a company that perceives itself as a 'leader' may be highly inclined to view stakeholders as a source of positive influence. On the downside, such a firm might have difficulty distinguishing when stakeholder contributions are less pertinent as it is deliberately more open to elements in operating environment (including stakeholders) as potential sources of learning and change, as the firm is oriented towards creating space for fundamental change (through boundary redefinition), opening issues to entirely new ways of thinking and addressing issues from whole-system perspective. A significant implication of this study is that potentially only those companies who see themselves as a leader are ultimately able to tap the innovation potential of stakeholder dialogue.
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Preeclampsia is the main cause of maternal mortality and is associated with a five-fold increase in perinatal mortality in developing countries. In spite of this, the etiology of preeclampsia is unknown. The present article analyzes the contradictory results of the use of calcium supplementation in the prevention of preeclampsia, and tries to give an explanation of these results. The proposal of an integrative model to explain the clinical manifestations of preeclampsia is discussed. In this proposal we suggest that preeclampsia is caused by nutritional, environmental and genetic factors that lead to the creation of an imbalance between the free radicals nitric oxide, superoxide and peroxynitrate in the vascular endothelium. The adequate interpretation of this model would allow us to understand that the best way of preventing preeclampsia is the establishment of an adequate prenatal control system involving adequate antioxidant vitamin and mineral supplementation, adequate diagnosis and early treatment of asymptomatic urinary and vaginal infections. The role of infection in the genesis of preeclampsia needs to be studied in depth because it may involve a fundamental change in the prevention and treatment of preeclampsia.
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Le présent mémoire analyse les dispositions sur l'arrangement ou compromis avec actionnaires prévues aux articles 192 de la Loi canadienne sur les sociétés par actions et 49 de la Loi sur les compagnies du Québec. Dans un premier temps, l'étude de la genèse des dispositions sur l'arrangement dans les lois canadiennes fait ressortir que ces dispositions ont une origine commune et qu'elles partagent une même philosophie, caractérisée par une dualité entre la permissivité des transactions et la protection des épargnants. L'étude des fondements juridiques des mécanismes prévus dans la loi fédérale et provinciale permet ensuite de réaliser que, alors qu'à l'origine, la disposition québécoise était en quelque sorte le calque de la disposition fédérale, cette dernière a été modifiée postérieurement à la réforme de la loi fédérale, de sorte que plusieurs différences distinguent aujourd'hui ces deux lois au chapitre de l'arrangement. Dans un contexte où des démarches ont été entamées afin de réformer la loi provinciale, la question à laquelle ce mémoire tente de répondre peut se poser en ces termes: La « nouvelle disposition» d'arrangement adoptée par le législateur fédéral rencontre-t-elle mieux les objectifs de permissivité des transactions et de protection des épargnants que la disposition québécoise qui, pour sa part, est demeurée pratiquement inchangée depuis son adoption? L'étude parallèle de ces dispositions permet de constater que la «nouvelle disposition» d'arrangement de la L.c.s.a. semble davantage rencontrer ces objectifs.
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Depuis la création de l'Union soviétique jusqu'à sa dissolution, la mer Caspienne appartenait à l'Iran et à l'URSS, qui constituaient ses deux seuls États riverains. Ces derniers avaient convenu de gérer la Caspienne «en commun », selon un régime de condominium, dans deux accords bilatéraux signés en 1921 et 1940. Cependant, après le démembrement de l'Union soviétique en 1991, trois nouveaux États indépendants et riverains de la Caspienne (1'Azerbaïdjan, le Kazakhstan et le Turkménistan) se sont ajoutés à l'équation, et ont exigé une révision du régime juridique conventionnel en vigueur. Ainsi, des négociations multilatérales ont été entamées, lesquelles ont mis en relief plusieurs questions juridiques faisant l'objet d'interprétation divergente: Le régime juridique conventionnel de 1921 et de 1940 (établissant une gestion en commun) est-il toujours valable dans la nouvelle conjoncture? Les nouveaux États riverains successeurs de l'Union soviétique sont-ils tenus de respecter les engagements de l'ex-URSS envers l'Iran quant à la Caspienne? Quel est l'ordre juridique applicable à la mer Caspienne? Serait-ce le droit de la mer (UNCLOS) ou le droit des traités? La notion de rebus sic stantibus - soit le « changement fondamental de circonstances» - aurait-elle pour effet l'annulation des traités de 1921 et de 1940? Les divisions administratives internes effectuées en 1970 par l'URSS pour délimiter la mer sont-elles valides aujourd'hui, en tant que frontières maritimes? Dans la présente recherche, nous prendrons position en faveur de la validité du régime juridique établi par les traités de 1921 et de 1940 et nous soutiendrons la position des États qui revendiquent la transmission des engagements de l'ex-URSS envers l'Iran aux nouveaux États riverains. Pour cela nous effectuerons une étude complète de la situation juridique de la mer Caspienne en droit international et traiterons chacune des questions mentionnées ci-dessus. Le droit des traités, le droit de la succession d'États, la Convention des Nations Unies du droit de la mer de 1982, la doctrine, la jurisprudence de la C.I.J et les positions des États riverains de la Caspienne à l'ONU constituent nos sources pour l'analyse détaillée de cette situation.
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El presente estudio se centra en una política pública que ha sido llevada a cabo en el marco de la implementación de las mejoras enfocadas a la recuperación del espacio público en el Distrito Capital: El Programa de Renovación, Recuperación y Revalorización de Espacios Públicos iniciado durante la administración del alcalde Luis Eduardo Garzón. Los gobiernos anteriores intervenían el espacio público con un enfoque básicamente estético y físico, sin permitir su uso por vendedores ambulantes, éste introdujo un cambio fundamental al instalar quioscos fijos en el espacio público y permitir su uso temporal por antiguos vendedores mientras adquirían las capacidades para desarrollar proyectos económicos autónomos. A pesar del cambio radical que introdujo esta política, su implementación fue imperfecta evidenciándose notoriamente sus limitaciones, ya que no se permitió a los vendedores formalizar su trabajo.
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La modificación a la Constitución Política de Colombia, que agregó el criterio de sostenibilidad fiscal, que tendrá que ser aplicado en todas las actuaciones del Estado, se implementó como forma de aplacar el gasto del Estado con miras a lograr dos objetivos que son: el de mantener el estado de la deuda pública a topes manejables, es decir, reducir la deuda y poder tener una estabilidad macroeconómica; según el gobierno nacional con estos dos pilares se asegurará un clima estable para la inversión extranjera en el territorio nacional augurando un auge económico sostenido y el bienestar general de los nacionales a futuro. En la presente monografía se realiza un análisis juicioso de dicho criterio, sus motivaciones económicas, la forma de su aprobación en el congreso de la república y el papel del Estado colombiano en la formulación del acto legislativo, así como las consecuencias que se suscitan en este una vez aprobado el criterio de sostenibilidad fiscal. En el transcurso de la monografía se podrá entender que es el criterio de sostenibilidad fiscal consecuencia de un proceso de globalización económica y una medida que inserta a la economía colombiana en esa tendencia mundial de libre flujo de bienes, capitales y servicios, que ha demostrado sólo beneficiar a grandes emporios económicos, multinacionales, transnacionales y sectores productivos de países potencias en detrimento de sectores económicos de los otros países, se concluye así que el criterio de sostenibilidad fiscal no es una buena decisión e implica un cambio fundamental del modelo de Estado que hace colapsar la economía nacional y de paso se da un golpe de gracia al cumplimiento de derechos fundamentales.
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Diverses investigacions del desenvolupament infantil han estudiat la capacitat dels nens i de les nenes de comprendre que l'emoció que algú mostra pot ser diferent de com es sent aquesta persona realment. Aquests estudis han utilitzat bàsicament situacions d'engany, on els seus protagonistes tenien un motiu per a amagar la seva emoció interna a un observador. Els resultats suggereixen que la capacitat infantil de comprendre que algú pugui amagar com es sent realment és molt rudimentària als 4 anys, mentre que als 6 anys ja són capaços d'articular-la en paraules. L'objectiu de la nostra recerca era comparar la comprensió de la distinció entre l'emoció externa i l'emoció interna en situacions d'engany amb situacions de joc de ficció, on aquesta habilitat encara no havia estat estudiada. La nostra hipòtesi era que els infants comprendrien aquesta distinció més fàcilment en situacions de joc de ficció que en situacions d'engany. Un total de 337 infants de 4 a 12 anys participaren en l'estudi. Els resultats mostren que, tal com ocorre en situacions d'engany, els infants de 4 anys tenen dificultats en comprendre que quan algú simula una emoció dins del joc de ficció, la seva emoció interna pot ser diferent de l'emoció que es mostra, fet que posa en dubte que la comprensió del joc de ficció en aquesta edat tingui una naturalesa metarepresentacional. Als 6 anys, els infants comencen a comprendre aquesta distinció en situacions de joc de ficció, no obstant, la realització de la tasca és pitjor quan l'emoció que es simula és positiva que quan aquesta és negativa. Una possible explicació és que els infants comprenen que el joc de ficció pot ser utilitzat com una forma de canviar les emocions negatives. A més, també hem estudiat la comprensió de les conseqüències que té simular una emoció en les creences dels observadors. Els resultats suggereixen que entre els 4 i els 8 anys existeix un canvi fonamental en la comprensió infantil dels efectes que tenen les expressions emocionals fictícies en els observadors de les situacions de joc de ficció