932 resultados para occupations
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Introduction: Work engagement is a recent application of positive psychology and refers to a positive, fulfilling, work-related state of mind characterized by vigor, dedication and absorption. Despite theoretical assumptions, there is little published research on work engagement, due primarily to its recent emergence as a psychological construct. Furthermore, examining work engagement among high-stress occupations, such as police, is useful because police officers are generally characterized as having a high level of work engagement. Previous research has identified job resources (e.g. social support) as antecedents of work engagement. However detailed evaluation of job demands as an antecedent of work engagement within high-stress occupations has been scarce. Thus our second aim was to test job demands (i.e. monitoring demands and problem-solving demands) and job resources (i.e. time control, method control, supervisory support, colleague support, and friend and family support) as antecedents of work engagement among police officers. Method: Data were collected via a self-report online survey from one Australian state police service (n = 1,419). Due to the high number of hypothesized antecedent variables, hierarchical multiple regression analysis was employed rather than structural equation modelling. Results: Work engagement reported by police officers was high. Female officers had significantly higher levels of work engagement than male officers, while officers at mid-level ranks (sergeant) reported the lowest levels of work engagement. Job resources (method control, supervisor support and colleague support) were significant antecedents of three dimensions of work engagement. Only monitoring demands were significant antecedent of the absorption. Conclusion: Having healthy and engaged police officers is important for community security and economic growth. This study identified some common factors which influence work engagement experienced by police officers. However, we also note that excessive work engagement can yield negative outcomes such as psychological distress.
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The benefits of openness are widely apparent everywhere except, seemingly, in occupations. Yet the case against occupational licensing still remains strong. Consideration of dynamic costs strengthens the case further.
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This chapter is concerned with innovation that involves creative cultural occupations, but not within the creative industries. Rather, we examine the operation of cultural creative occupations that exist outside the creative industries - so-called 'embedded creatives' who work across all industry sectors (Cunningham and Higgs 2009). In doing so, we concur with Bilton (2007) that the separation of creative industries from other industries is a 'false step'. All industries must be innovative; however, they also must be able to combine both scientific and artistic creativity, and that creativity comes from the intersection of different thinking styles (Kurtzberg 2005). Moreover, we suggest that there are now detailed empirical studies, as well as a nascent theoretical base, to suggest that the transdisciplinarity which results from embedded cultural creativity is an engine of growth in the broader economy. Thus, it is relevant to both policymakers and managers. This chapter addresses the following questions: What is the role and significance of the embedded creative? Given a paucity of detailed empirical work in the area to date, what can be deduced from what extant literature there is about the nature of employment and management of these workers? And what are the practical implications of these consideration?
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This article examines the new Property Occupations Act 2014 (POA) and relevant provisions of the Agents Financial Administration Act 2014 (AFAA) and the impacts for property practitioners. The Acts are due to commence later in 2014 once regulations and relevant forms are drafted. Coinciding with the commencement of the Acts further versions of the REIQ Houses and Land Contract and REIQ Community Title Contract will also be released. The POA introduces changes for licencing of real estate agents, property developers and resident letting agents as well as significant changes for the contract formation process. The AFAA includes the trust account and claim fund provisions of PAMDA, which avoids duplication of these provisions across each of the industry-specific Bills. The most significant change is to the process for making a claim against the fund for the conduct of property agents.
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The ARC Centre of Excellence in Creative Industries and Innovation (herewith CCI) was established with two simple policy objectives. One was to assess anecdotal and boosterish claims about the growth rates of the creative industries, and hence, to measure the size of the creative industries contribution to gross domestic product (GDP). The other was to ascertain the contribution of the creative industries to employment. Preliminary research detailed in Cunningham and Higgs (2009) showed that the existing industrial classifications did not incorporate the terminology of the creative industries, nor did they disaggregate new categories of digital work such as video games. However, we discovered that occupational codes provide a much more fine-grained account of work that would enable us to disaggregate and track economic activity that corresponded to creative industries terminology. Thus was born one major centrepiece of CCI research – the tracking of national occupational codes in pursuit of measuring creative industries policy outcomes. This paper commences with some description of empirical work that investigates creative occupations; however, the real point is to suggest that this type of detailed, occupation-based empirical work has important theoretical potential that has not yet been fully expended (though see Cunningham 2013; Hearn and Bridgstock 2014; Bakhshi, Freeman and Higgs 2013; Hartley and Potts 2014).
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In spite of increasing gender diversity in employment roles, presumptions persist about the gender of people employed in particular occupations. Focusing on healthcare data collected in Australia and the United Kingdom within the past decade, we use Conversation Analysis (CA) to identify how presumptions about gender are displayed within social interaction through the use of gender-specific pronouns. We show how gender-specific pronouns are asymmetrically selected on the basis of a referent’s occupations, with gender-unspecified members of traditionally male occupations (e.g. doctors) referred to with masculine pronouns and gender-unspecified members of traditionally female occupations (e.g. nurses) referred to with feminine pronouns. We also explore ways people avoid making such presumptions. Our analysis therefore reveals a state of flux in contemporary social life, with instances in which gender presumptions persist as well as attempts to employ person references that reflect contemporary social dynamics.
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This paper presents new evidence on the role of segregation into firms, occupations within a firm and stratification into professional categories within firm-occupations in explaining the gender wage gap. I use a generalized earnings model that allows observed and unobserved group characteristics to have different impact on wages of men and women within the same group. The database is a large sample of individual wage data from the 1995 Spanish Wage Structure Survey. Results indicate that firm segregation in our sample accounts for around one-fifth of the raw gender wage gap. Occupational segregation within firms accounts for about one-third of the raw wage gap, and stratification into different professional categories within firms and occupations explains another one-third of it. The remaining one-fifth of the overall gap arises from better outcomes of men relative to women within professional categories. It is also found that rewards to both observable and unobservable skills, particularly those related to education, are higher for males than for females within the same group. Finally, mean wages in occupations or job categories with a higher fraction of female co-workers are lower, but the negative impact of femaleness in higher for women.
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It is perhaps self-evident to suggest that military conquest shares something with tourism because both involve encounters with "strange" landscapes and people. Thus it may not surprise that the former sometimes borrows rhetorical strategies from the latter - strategies for rendering the strange familiar or for translating threatening images into benign ones. There have been numerous studies of this history of borrowing. Scholars have considered how scenes of battle draw tourist crowds, how soldiers' ways of seeing can resemble those of leisure travelers, how televised wars have been visually structured as tourist events (e.g., the 2003 U.S. invasion of Iraq), and how the spoils of war can function as a body of souvenirs. These lines of inquiry expand our understanding of tourism as a field of cultural practices and help us to rethink the parameters of militarism and warfare by suggesting ways they are entangled with everyday leisure practices. © 2008 Cambridge University Press.
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Background
Endocrine disrupting chemicals and carcinogens, some of which may not yet have been classified as such, are present in many occupational environments and could increase breast cancer risk. Prior research has identified associations with breast cancer and work in agricultural and industrial settings. The purpose of this study was to further characterize possible links between breast cancer risk and occupation, particularly in farming and manufacturing, as well as to examine the impacts of early agricultural exposures, and exposure effects that are specific to the endocrine receptor status of tumours.
Methods
1005 breast cancer cases referred by a regional cancer center and 1147 randomly-selected community controls provided detailed data including occupational and reproductive histories. All reported jobs were industry- and occupation-coded for the construction of cumulative exposure metrics representing likely exposure to carcinogens and endocrine disruptors. In a frequency-matched case?control design, exposure effects were estimated using conditional logistic regression.
Results
Across all sectors, women in jobs with potentially high exposures to carcinogens and endocrine disruptors had elevated breast cancer risk (OR = 1.42; 95% CI, 1.18-1.73, for 10 years exposure duration). Specific sectors with elevated risk included: agriculture (OR = 1.36; 95% CI, 1.01-1.82); bars-gambling (OR = 2.28; 95% CI, 0.94-5.53); automotive plastics manufacturing (OR = 2.68; 95% CI, 1.47-4.88), food canning (OR = 2.35; 95% CI, 1.00-5.53), and metalworking (OR = 1.73; 95% CI, 1.02-2.92). Estrogen receptor status of tumors with elevated risk differed by occupational grouping. Premenopausal breast cancer risk was highest for automotive plastics (OR = 4.76; 95% CI, 1.58-14.4) and food canning (OR = 5.70; 95% CI, 1.03-31.5).
Conclusions
These observations support hypotheses linking breast cancer risk and exposures likely to include carcinogens and endocrine disruptors, and demonstrate the value of detailed work histories in environmental and occupational epidemiology.
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[Mazarinade. 1649]
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Le prestige occupationnel est une mesure utilisée en sociologie des professions pour déterminer le statut social d’un emploi sous la forme d’un continuum hiérarchisé. Cette mesure peut être définie selon : le revenu, l’autorité, l’autonomie et les compétences. En ce basant sur des entrevues auprès de délinquants incarcérés (n=138), cette étude évalue si la notion de prestige s’applique aux occupations illicites. Les résultats suggèrent que les domaines d’activité des occupations illicites ne présentent pas d’homogénéité en termes de prestige. Certaines caractéristiques définissant le prestige des occupations licites, comme le revenu et la compétence, contribuent à définir le prestige des occupations illicites, par contre, l’autonomie et l’autorité n’y contribuent pas. Le milieu criminel présente des caractéristiques particulières comme la difficulté d’atteindre une continuité dans son occupation. Cette continuité explique le prestige des occupations illicites, mais non celui des occupations licites. D’autres indicateurs, comme le réseau criminel et la présence d’un mentor, influençant pourtant les revenus, n’ont pas d’impact sur le prestige des occupations illicite. Des modèles d’équations structurelles ont été utilisés pour vérifier les relations indirectes et les conversions entre les types de capitaux selon la théorie de l’espace social de Pierre Bourdieu. Ces analyses suggèrent l’essentialité de la notion de compétence et de continuité. La discussion et la conclusion élabore sur les notions de continuité, d’accumulation et de conversion de capital.
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Ce mémoire porte sur la variabilité observée dans un assemblage, composé à la fois d’artéfacts lithiques et céramiques, représentatif de la plus grande collection archéologique dominée par une composante du Sylvicole moyen ancien connue au Québec. Les traits caractéristiques des poteries qui ont été transportées, abandonnées, et en partie manufacturées sur la station 3-arrière du complexe de Pointe-du-Buisson, sont appréhendés à travers une acception holistique de la notion de «style», qui inclut tous les aspects des attributs qu’elle couvre, à savoir les technologiques, les morphologiques, les décoratifs et les fonctionnels. Grâce à l’application d’une méthode typologique, une approche peu utilisée depuis plusieurs décennies, du moins dans le Nord-Est américain, et dont le mérite propre réside dans sa capacité à traiter l’artéfact dans son ensemble, des schémas comportementaux (cognitifs et procéduraux) visibles sur les tessons de bord décorés ont été mis en lumière. Ces derniers sont intimement liés aux techniques décoratives employées par les potières, et semblent s’être modifiés au fil du temps de la manière suivante : type «sigillé» précédant les types plus récents «repoussé» et «basculant». Une analyse comparative, basée sur un échantillon de sites localisés dans la région de Haut-Saint-Laurent et dans celles avoisinantes, a par ailleurs souligné d’importantes similarités entre l’assemblage céramique de la composante du Sylvicole moyen ancien de BhFl-1d’ et ceux des sites de Vieux-Pont (Estrie), d’Oka (rivière des Outaouais), de Pointe-du-Gouvernement (Haut-Richelieu) et de Winooski (aux abords du Lac Champlain dans le Vermont). Ces résultats appuient l’identification d’une manifestation culturelle qui est très étroitement connectée aux phases Canoe Point et Winooski de la tradition Point Peninsula. Résultant des conclusions susmentionnées, et d’autres issues d’enquêtes récentes, des considérations d’ordre taxonomique s’ensuivent. Bien qu’une refonte complète du taxon «Sylvicole moyen» soit prématurée, une critique de ce taxon s’avère nécessaire. Aussi des taxons tels que l’Early Horticultural Period de Snow ou le «Sylvicole initial» de Wright et Clermont sont discutés, dans la mesure où ils pourraient renvoyer à une définition plus générale, mais aussi peut-être plus fidèle, des caractéristiques anthropologiques propres aux populations qui ont vécu le long du Saint-Laurent et de ses tributaires depuis le Sylvicole inférieur jusqu’à la fin du Sylvicole moyen tardif.
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Cette thèse propose une ethnographie des devenirs des fermiers blancs saisis sur le long terme de leur présence au Zimbabwe. L’analyse est centrée autour d’un moment de crise, les occupations de fermes en cours, qualifié dans ce travail d’éthique et de critique. Ces occupations s’attaquent symboliquement et réellement aux restes de la colonisation au Zimbabwe. Leur étude nous a conduits à nous interroger sur les manières suivant lesquelles la décolonisation est mise en oeuvre dans le Zimbabwe du Président Mugabe et sur les enjeux qui concernent la forme, notamment sur le plan légale, de la postcolonie. Ces occupations ont provoqué l’expulsion de plus de 90 % des fermiers blancs hors de leur lieu utopique, à savoir la ferme, et les ont poussés dans des espaces d’ambiguïté à l’intérieur desquels les occupants cherchent la confrontation. La question de la corruption (économique et morale) est au coeur de l’expérience des fermiers blancs qui ont été forcés de renoncer à leur intégrité. Certains d’entre eux ont tenté par divers moyens de la maintenir en se préservant de la corruption et en réclamant le respect de leurs « droits »; d’autres ont accepté de vivre dans la zone grise que constitue l’occupation de leur ferme. Cette thèse qui s’ancre dans l’anthropologie postcoloniale est organisée en trois parties. La question centrale de la première partie qui est d’orientation historique interroge la forme que les settlers ont donnée à ce pays et la manière mise de l’avant par les fermiers blancs pour faire de ces terres africaines « leur » lieu. Dans la deuxième partie, l’instauration après 2000 du Fast-track land reform programme et l'expérience quotidienne des occupations du point de vue des fermiers blancs sont analysées dans le détail. Dans la troisième partie, la vie des fermiers dépossédés de leur ferme est abordée à partir d’Harare, la capitale du Zimbabwe et de la Grande-Bretagne où ils ont trouvé refuge. Ceux qui vivent actuellement à Harare se sont réorganisés socialement et économiquement en redéfinissant les limites, notamment morales, de la communauté. Ceux qui, fuyant le Zimbabwe, sont « retournés » en Angleterre sont redevenus des Anglais.
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Mémoire numérisé par la Division de la gestion de documents et des archives de l'Université de Montréal.