Government Agencies (government + agencies)

Distribution by Scientific Domains
Distribution within Humanities and Social Sciences


Selected Abstracts


The Extent and Determinants of the Utilization of University Research in Government Agencies

PUBLIC ADMINISTRATION REVIEW, Issue 2 2003
Réjean Landry
This article addresses three questions: To what extent is university research used in government agencies? Are there differences between the policy domains in regard to the extent of use? What determines the use of university research in government agencies? The data analysis is based on a survey of 833 government officials from Canadian government agencies. Comparisons of the magnitude of uptake of university research show large and significant differences across policy domains. The results of the multivariate regression analyses show that the characteristics of research and the focus on the advancement of scholarly knowledge or on users' needs do not explain the uptake of research. Users' adaptation of research, users' acquisition efforts, links between researchers and users, and users' organizational contexts are good predictors of the uptake of research by government officials. [source]


Protocols, particularities, and problematising Indigenous ,engagement' in community-based environmental management in settled Australia

THE GEOGRAPHICAL JOURNAL, Issue 3 2010
JENNIFER CARTER
Many Aboriginal Australians in regional and urban Australia hold attachments to their homelands that have been compromised by policies of removal and dispossession. Government agencies and community groups have ,protocols' for engaging with Aboriginal communities, but these protocols have been transferred from remote parts of Australia where land tenure and rights are relatively secure and people can readily claim their community of belonging. The efficacy and applicability of engagement protocols are rarely evaluated, and have not been evaluated with respect to the differing tenure regimes of settled Australia under which rights to land and its resources remain contested and unfolding. This paper describes research conducted in three study areas of regional Australia, where resource management practitioners apply projects according to engagement protocols transferred from remote Australia. Analysis of government and community-based documents, and interviews with agency staff and Aboriginal people, identifies that genuine participation, cultural awareness, agreement-making, appropriate representation and the unique place-based factors affecting engagement remain key barriers to effective engagement with Aboriginal people by institutions in urbanising Australia. In particular, appropriate representation and a need for place-based approaches emerge as critical to engagement in settled Australia. This paper recommends that engagement be considered as a multi-layered approach in which generic ,engagement' threads are selected and re-selected in different combinations to suit contexts, places and purposes. Thus each place-based engagement initiative is not readily typified at the local scale, but taken together, make up a regional mosaic of different engagement structures and processes. [source]


How the New Government Utilizes Emerging Internet Media in Japan

ASIAN POLITICS AND POLICY, Issue 4 2010
Masahiro Matsuura
The newly elected Hatoyama administration has launched several projects on the Internet to facilitate interactions with the public. Politicians use Twitter to tweet their political activities and interact with other users. Government agencies have launched several new Web sites, such as hatomimi and jukugi kake-ai, and integrated video-steaming sites, such as ustream.com. Notwithstanding these efforts, however, the new administration has not yet been able to apply these forums to resolving hard political issues. [source]


Consumer Control of Salt Marshes Driven by Human Disturbance

CONSERVATION BIOLOGY, Issue 3 2008
MARK D. BERTNESS
control de consumidor; impactos humanos; conservación de pantano de sal; cascadas de trophic Abstract:,Salt marsh ecosystems are widely considered to be controlled exclusively by bottom,up forces, but there is mounting evidence that human disturbances are triggering consumer control in western Atlantic salt marshes, often with catastrophic consequences. In other marine ecosystems, human disturbances routinely dampen (e.g., coral reefs, sea grass beds) and strengthen (e.g., kelps) consumer control, but current marsh theory predicts little potential interaction between humans and marsh consumers. Thus, human modification of top,down control in salt marshes was not anticipated and was even discounted in current marsh theory, despite loud warnings about the potential for cascading human impacts from work in other marine ecosystems. In spite of recent experiments that have challenged established marsh dogma and demonstrated consumer-driven die-off of salt marsh ecosystems, government agencies and nongovernmental organizations continue to manage marsh die-offs under the old theoretical framework and only consider bottom,up forces as causal agents. This intellectual dependency of many coastal ecologists and managers on system-specific theory (i.e., marsh bottom,up theory) has the potential to have grave repercussions for coastal ecosystem management and conservation in the face of increasing human threats. We stress that marine vascular plant communities (salt marshes, sea grass beds, mangroves) are likely more vulnerable to runaway grazing and consumer-driven collapse than is currently recognized by theory, particularly in low-diversity ecosystems like Atlantic salt marshes. Resumen:,Se ha considerado extensamente que los ecosistemas de marismas son controlados exclusivamente por dinámicas abajo-arriba, pero se ha acumulado evidencia de que las perturbaciones humanas están provocando el control por consumidores en marismas del Atlántico occidental, a menudo con consecuencias catastróficas. En otros ecosistemas marinos, las perturbaciones humanas rutinariamente disminuyen (e.g., arrecifes de coral, pastos marinos) y refuerzan (e.g., varec) el control por consumidores, pero la teoría de marismas actual predice una leve interacción potencial entre humanos y consumidores en las marismas. Por lo tanto, las modificaciones humanas al control arriba-abajo en las marismas no estaba anticipada y aun era descontada en la teoría de marismas actual, a pesar de advertencias sobre el potencial de impactos humanos en cascada en trabajos en otros ecosistemas marinos. No obstante los experimentos recientes que han desafiado el dogma de marismas establecido y que han demostrado la desaparición gradual de marismas conducida por consumidores, las agencias gubernamentales y las organizaciones no gubernamentales continúan manejando la disminución de marismas en el marco de la teoría vieja y sólo consideran como agentes causales a factores abajo-arriba. Esta dependencia intelectual en la teoría sistema-específico (i.e., teoría de marismas abajo-arriba) de muchos ecólogos y manejadores costeros tiene el potencial de tener repercusiones graves para el manejo y conservación de ecosistemas costeros frente a las crecientes amenazas humanas. Enfatizamos que las comunidades plantas vasculares marinas (marismas, pastos marinos, manglares) son potencialmente más vulnerables al pastoreo descontrolado y al colapso conducido por consumidores que lo que reconoce la teoría actualmente, particularmente en ecosistemas con baja diversidad como las marismas del Atlántico. [source]


Motivations for the Restoration of Ecosystems

CONSERVATION BIOLOGY, Issue 2 2006
ANDRE F. CLEWELL
cambio climático; capital natural; restauración ecológica Abstract:,The reasons ecosystems should be restored are numerous, disparate, generally understated, and commonly underappreciated. We offer a typology in which these reasons,or motivations,are ordered among five rationales: technocratic, biotic, heuristic, idealistic, and pragmatic. The technocratic rationale encompasses restoration that is conducted by government agencies or other large organizations to satisfy specific institutional missions and mandates. The biotic rationale for restoration is to recover lost aspects of local biodiversity. The heuristic rationale attempts to elicit or demonstrate ecological principles and biotic expressions. The idealistic rationale consists of personal and cultural expressions of concern or atonement for environmental degradation, reengagement with nature, and/or spiritual fulfillment. The pragmatic rationale seeks to recover or repair ecosystems for their capacity to provide a broad array of natural services and products upon which human economies depend and to counteract extremes in climate caused by ecosystem loss. We propose that technocratic restoration, as currently conceived and practiced, is too narrow in scope and should be broadened to include the pragmatic rationale whose overarching importance is just beginning to be recognized. We suggest that technocratic restoration is too authoritarian, that idealistic restoration is overly restricted by lack of administrative strengths, and that a melding of the two approaches would benefit both. Three recent examples are given of restoration that blends the technocratic, idealistic, and pragmatic rationales and demonstrates the potential for a more unified approach. The biotic and heuristic rationales can be satisfied within the contexts of the other rationales. Resumen:,Las razones por la que los ecosistemas deben ser restaurados son numerosas, dispares, generalmente poco sustentadas, y comúnmente poco apreciadas. Ofrecemos una tipología en la que estas razones,o motivaciones,son ordenadas entre cinco razonamientos: tecnocrático, biótico, heurístico, idealista y pragmático. El razonamiento tecnocrático se refiere a la restauración que es llevada a cabo por agencias gubernamentales u otras grandes organizaciones para satisfacer misiones y mandatos institucionales específicos. El razonamiento biótico de la restauración es la recuperación de aspectos perdidos de la biodiversidad local. El razonamiento heurístico intenta extraer o demostrar principios ecológicos y expresiones bióticas. El razonamiento idealista consiste de expresiones personales y culturales de la preocupación o reparación de la degradación ambiental, reencuentro con la naturaleza y/o cumplimiento espiritual. El razonamiento pragmático busca recuperar o reparar ecosistemas por su capacidad de proporcionar una amplia gama de servicios y productos naturales de la que dependen las economías humanas y para contrarrestar extremos en el clima causados por la pérdida de ecosistemas. Proponemos que la restauración tecnocrática, como se concibe y practica actualmente, es muy corta en su alcance y debiera ampliarse para incluir al razonamiento pragmático, cuya importancia apenas comienza a ser reconocida. Sugerimos que la restauración tecnocrática es demasiado autoritaria, que la restauración idealista esta muy restringida por la falta de fortalezas administrativas, y que una mezcla de los dos enfoques podría beneficiar a ambas. Proporcionamos tres ejemplos recientes de restauración que combinan los razonamientos tecnocrático, idealista y pragmático y demuestran el potencial para un enfoque más unificado. Los razonamientos biótico y heurístico pueden ser satisfechos en el contexto de los otros razonamientos. [source]


Scaling up Participatory Watershed Development in India

DEVELOPMENT AND CHANGE, Issue 2 2002
Shashi Kolavalli
,Participation' is widely accepted as a prerequisite to successful watershed development in India, but there is no shared understanding of its meaning, nor of how to make it operational. Meaningful participation, in which communities work collectively, help make decisions and share costs, is limited primarily to projects implemented by non-governmental organizations (NGOs). Participation in government projects is more superficial because staff lack the skills and incentive to engage in meaningful participation. Strategies to scale up meaningful participation require a large number of NGOs. However, the number of NGOs with the necessary skills and values is limited, so a realistic strategy must seek to improve the capabilities and incentives of government agencies. Their performance may improve by making them accountable through transparent processes and participatory monitoring and evaluation. NGO-facilitated access to information for communities can potentially change power relations and initiate political processes that make both community leaders and government agencies more accountable to communities. [source]


Disaster mental health training programmes in New York City following September 11, 2001

DISASTERS, Issue 3 2010
Kimberly B. Gill
The need for mental health resources to provide care to the community following large-scale disasters is well documented. In the aftermath of the World Trade Center (WTC) disaster on September 11, 2001, many local agencies and organizations responded by providing informal mental health services, including disaster mental health training for practitioners. The quality of these programmes has not been assessed, however. The National Center for Disaster Preparedness at Columbia University's School of Public Health reviewed disaster mental health training programmes administered by community-based organizations, professional associations, hospitals, and government agencies after September 11. Results indicate that the quality and the effectiveness of programmes are difficult to assess. A wide range of curricula and a widespread lack of recordkeeping and credentialing of trainers were noted. Most of the training programmes provided are no longer available. Recommendations for improving the quality of disaster mental health training programmes are provided. [source]


Vulnerability of community businesses to environmental disasters

DISASTERS, Issue 1 2009
Yang Zhang
Business plays important roles in community functioning., However, disaster research has been disproportionately focused on units of analysis such as families, households and government agencies. This paper synthesises the major findings within the business development research field and the disaster research field. It constructs a framework for evaluating business vulnerability to natural disasters. Our theoretical integration of the research conducted to date addresses five major issues. First, it defines the ways in which businesses are subject to the impacts of natural disasters. Second, it identifies the factors that determine the magnitude of business impacts after a disaster. Third, it identifies how and when businesses return to their pre-disaster level in the disaster stricken community. Fourth, it describes measures that can be taken by individual firms and community planners to reduce the impacts of environmental disasters. Fifth, it identifies needs for public policy and future research to reduce business vulnerability to environmental disasters. [source]


Other people, other drugs: the policy response to petrol sniffing among Indigenous Australians

DRUG AND ALCOHOL REVIEW, Issue 3 2004
Dr PETER H. D'ABBS
Abstract This paper examines the policy response of Australian governments to petrol sniffing in Indigenous communities from the 1980s until the present. During this period, despite the formation of numerous inquiries, working parties and intergovernmental committees, there has been little accumulation of knowledge about the nature and causes of sniffing, or about the effectiveness of interventions. Policies are fragmentary; programmes are rarely evaluated, and most rely on short-term funding. The paper sets out to explain why this should be so. It draws upon a conceptual framework known as ,analytics of government' to examine the ways in which petrol sniffing comes to the attention of government agencies and is perceived as an issue; the mechanisms deployed by governments to address petrol sniffing; ways in which knowledge about sniffing is generated; and the underlying assumptions about people that inform policy-making. Drawing upon case studies of policy responses, the paper argues that a number of structural factors combine to marginalize petrol sniffing as an issue, and to encourage reliance on short-term, one-off interventions in place of a sustained policy commitment. Four recommendations are advanced to help overcome these factors: (1) agreements should be reached within and between levels of government on steps to be taken to reduce risk factors before the eruption of petrol-sniffing crises; (2) the evidence base relevant to petrol sniffing (and other inhalants) should be improved by funding and directing one or more existing national drug research centres to collate data on inhalant-caused mortality and morbidity, and to conduct or commission research into prevalence patterns, effectiveness of interventions and other gaps in knowledge; (3) the current pattern of short-term, pilot and project funding should be replaced with longer-term, evidence-based interventions that address the multiple risk and protective factors present in communities; and (4) insistence by governments that communities must take ,ownership' of the problem should be replaced by a commitment to genuine partnerships involving governments, non-government and community sectors. [source]


Potential impacts on the incidence of fatal heroin-related overdose in Western Australia: a time-series analysis

DRUG AND ALCOHOL REVIEW, Issue 4 2002
KIM HARGREAVES
Abstract In response to the rising concerns about the rate of heroin-related fatalities, overdose prevention campaigns, run by both users' organizations and government agencies, have been implemented in a number of states across Australia. In Western Australia (WA) in mid-1997, various overdose prevention initiatives were implemented. These included the implementation of a protocol limiting police presence at overdose events; the commencement of naloxone administration by ambulance staff; and the establishment of the Opiate Overdose Prevention Strategy (OOPS) which provided follow-up for individuals treated for overdose in emergency departments. This paper reports the results of a multiple linear regression analysis of 60 months of time-series data, both prior to and following the implementation of these interventions, to determine their impact on the number of fatal heroin overdoses in WA. The model employed in the analysis controlled for changes over time in proxy indicators of use and community concerns about heroin, as well as market indicators. The results suggest that, although the interventions implemented have managed to reduce the expected number of fatalities, they have become less successful in doing so as time passes. This has implications for both existing and potential interventions to reduce fatal heroin-related overdose. [source]


Vested Interests in Addiction Research and Policy Poisonous partnerships: health sector buy-in to arrangements with government and addictive consumption industries

ADDICTION, Issue 4 2010
Peter J. Adams
ABSTRACT Aim This paper critically appraises relationship arrangements among three broadly conceived sectors: the government sector, the health sector (including researchers) and addictive consumption industries (particularly tobacco, alcohol and gambling). Method Three models for involvement are examined. In the ,tripartite partnership model' health sector agencies engage as co-equals with the government and industry sectors in order to implement public health initiatives such as host responsibility and public education. In the ,non- association model' the health sector engages with government agencies but not with the industry sector. In the ,managed association model' the health sector engages for specific purposes with the industry sector but contact is monitored and managed by government agencies. Findings Government and industry sectors commonly favour tripartite partnership arrangements. Health sector agencies that opt to engage in these partnership arrangements can encounter conflicts of interest and find their voice subsumed by dominant influences. Furthermore, their partnership compliance generates divisions within the health sector, with partnership dissenters often silenced and excluded from policy processes and funding. The non-association model is the least hazardous to the health sector because it protects against compromise and dominance. The managed association model is an option only when the government sector as a whole is committed strongly and clearly to the public health objectives. Conclusion In contexts where key parts of the government sector are conflicted over their public health responsibilities, health sector engagement in partnership arrangements entails too many risks. [source]


Accountability Disclosures by Queensland Local Government Councils: 1997,1999

FINANCIAL ACCOUNTABILITY & MANAGEMENT, Issue 3 2002
Christine Ryan
The annual report is promoted and regarded as the primary medium of accountability for government agencies. In Australia, anecdotal evidence suggests the quality of annual reports is variable. However, there is scant empirical evidence on the quality of reports. The aim of this research is to gauge the quality of annual reporting by local governments in Queensland, and to investigate the factors that may contribute to that level of quality. The results of the study indicate that although the quality of reporting by local governments has improved over time, councils generally do not report information on aspects of corporate governance, remuneration of executive staff, personnel, occupational health and safety, equal opportunity policies, and performance information. In addition, the results indicate there is a correlation between the size of the local government and the quality of reporting but the quality of disclosures is not correlated with the timeliness of reports. The study will be of interest to the accounting profession, public sector regulators who are responsible for the integrity of the accountability mechanisms and public sector accounting practitioners. It will form the basis for future longitudinal research, which will map changes in the quality of local government annual reporting. [source]


Interactions between the implementation of marine protected areas and right-based fisheries management in Australia

FISHERIES MANAGEMENT & ECOLOGY, Issue 1 2005
Article first published online: 11 JAN 200, P. BAELDE
Abstract, The declaration of marine protected areas (MPAs) in Australia generates much confusion and controversy between government conservation and fisheries agencies, the fishing industry and NGOs. There are fundamental differences between the principles and practices underpinning the implementation of MPAs and fisheries management. This paper analyses the interactions between these two approaches to natural resource management and highlights the difficulties in integrating them effectively. The major challenges for governments are: poor cooperation between fisheries and conservation agencies; in principle inconsistencies between allocation of fishing rights by fisheries agencies and loss of these rights through MPA declaration; re-allocation of resources between user groups through spatial zoning; lack of fisheries expertise in conservation planning, and inappropriate single-species/single-issue approach to fisheries management. As fisheries agencies are now considering developing their own MPAs as tools for fisheries management, the need to address inconsistencies between conservation and fisheries approaches to the spatial management of natural resources increases further. Better collaboration between government agencies and better coordination of their activities would help more effective and less conflicting management of marine resources. [source]


Track three diplomacy and human rights in Southeast Asia: the Asia Pacific Coalition for East Timor

GLOBAL NETWORKS, Issue 1 2002
Herman Joseph S. Kraft
Transnational networks of non-government organizations are increasingly becoming a fixture in international relations, particularly their contribution to traditional notions of diplomacy and its objectives. Less noticed, however, is the involvement of transnational NGO networks in alternative channels for diplomatic exchange, which have been referred to as ,track three diplomacy'. Described as a form of civil society that transcends borders and nationalities, track three networks and activities involve NGO networks that are movement based, and concerned primarily with raising public consciousness over issues. While their direct influence on formal processes of foreign policy-making has been limited, they have contributed to expanding both the scope of debate in international relations and the breadth of participation in those debates. Track three networks provide a forum for those communities marginalized by an international system that gives primacy of place to states and their officially-declared concerns. Their impact is limited, however, by their lack of institutionalization and their reluctance to cooperate with government agencies , an issue that goes towards both their effectiveness and their identity in the long-term. [source]


Business Models and the Transfer of Businesslike CentralGovernment Agencies

GOVERNANCE, Issue 2 2001
Oliver James
At the same time as many researchers in public administration are suggesting the emergence of similar New Public Management (NPM) forms in Organization for Economic Co-operation and Development (OECD) countries, a substantial number of those working in comparative political economy are rediscovering differences between countries. This paper explores a key component of NPM,business-like central government agencies,in four countries: the UK, the U.S., Germany, and Japan. So far, the private sector side of the NPM story has largely been neglected. However, the business-like agency model as developed in the UK was influenced by the Anglo-American system of corporate governance. In comparative political economy, the Anglo-American system is seen as different from that in Germany or Japan. These differences are important for understanding transfer through emulation of the UK agency model by policy-makers in other countries. An apparent inconsistency may be developing, with governments using an NPM form based on an Anglo-American model of business that is far from universal in business itself. [source]


Development of a historical ice database for the study of climate change in Canada

HYDROLOGICAL PROCESSES, Issue 18 2002
Frédéric Lenormand
Abstract The Canadian government has been compiling various observations on freshwater and coastal sea ice conditions for many years. However, the records are not easily accessible and are dispersed within different government departments. Given this, a major effort was undertaken in order to gather all available observations into a common database,the Canadian Ice Database (CID). This database will respond to the needs for climate monitoring in Canada, the validation and improvement of numerical ice models and the development of new remote-sensing methods. Indeed, several studies have shown that freshwater ice and sea ice are good proxy indicators of climate variability and change. The first version of CID contains in situ observations from 757 sites distributed across Canada, which were originally kept on digital or paper records at the Meteorological Service of Canada Headquarters and the Canadian Ice Service (CIS). The CID holds 63 546 records covering the period from ice season 1822,23 to 2000,01. An analysis of the database allows one to trace the temporal evolution of the ice networks. The freeze-up/break-up network of 2000,01 only represents 4% of what it was in 1985,86. A drastic decline of the ice thickness and the snow on ice network is also observable. In 1997,98, it represented only 10% of the network that existed in 1984,85. The major budget cuts in Canadian government agencies during the late 1980s and the 1990s offer the most plausible explanation for the drastic decline in the ice observation networks. Weekly ice coverage determination on large lakes from satellite imagery by the CIS and the national volunteer ice monitoring program, IceWatch, may provide a means of reviving, at least, the freeze-up/break-up network. Copyright © 2002 John Wiley & Sons, Ltd. [source]


Governance in Global Value Chains

IDS BULLETIN, Issue 3 2001
John Humphrey
Summaries The concept of ,governance' is central to the global value chain approach. This article explains what it means and why it matters for development research and policy. The concept is used to refer to the inter-firm relationships and institutional mechanisms through which non-market co-ordination of activities in the chain takes place. This co-ordination is achieved through the setting and enforcement of product and process parameters to be met by actors in the chain. In global value chains in which developing country producers typically operate, buyers play an important role in setting and enforcing these parameters. They set these parameters because of the (perceived) risk of producer failure. Product and process parameters are also set by government agencies and inter-national organisations concerned with quality standards or labour and environmental standards. To the extent that external parameter setting and enforcement develop and gain credibility, the need for governance by buyers within the chain will decline. [source]


The utilization of e-government services: citizen trust, innovation and acceptance factors,

INFORMATION SYSTEMS JOURNAL, Issue 1 2005
Lemuria Carter
Abstract. Electronic government, or e-government, increases the convenience and accessibility of government services and information to citizens. Despite the benefits of e-government , increased government accountability to citizens, greater public access to information and a more efficient, cost-effective government , the success and acceptance of e-government initiatives, such as online voting and licence renewal, are contingent upon citizens' willingness to adopt this innovation. In order to develop ,citizen-centred' e-government services that provide participants with accessible, relevant information and quality services that are more expedient than traditional ,brick and mortar' transactions, government agencies must first understand the factors that influence citizen adoption of this innovation. This study integrates constructs from the Technology Acceptance Model, Diffusions of Innovation theory and web trust models to form a parsimonious yet comprehensive model of factors that influence citizen adoption of e-government initiatives. The study was conducted by surveying a broad diversity of citizens at a community event. The findings indicate that perceived ease of use, compatibility and trustworthiness are significant predictors of citizens' intention to use an e-government service. Implications of this study for research and practice are presented. [source]


Methodological challenges in assessing general population reactions in the immediate aftermath of a terrorist attack

INTERNATIONAL JOURNAL OF METHODS IN PSYCHIATRIC RESEARCH, Issue S2 2008
G. James Rubin
Abstract Assessing mental health needs following a disaster is important, particularly within high-risk groups such as first responders or individuals who found themselves directly caught up in the incident. Particularly following events involving widespread destruction, ingenuity and hard work are required to successfully study these issues. When considering responses among the general population following less devastating events such as a conventional terrorist attack, or following an event involving a chemical, biological, radiological or nuclear agent, other variables may become more relevant for determining the population's overall psychosocial well-being. Trust, perceived risk, sense of safety, willingness to take prophylaxis and unnecessary attendance at medical facilities will all be important in determining the overall psychological, medical, economic and political impact of such attacks. Assessing these variables can help government agencies and non-governmental organizations to adjust their communication and outreach efforts. As there is often a need to provide these data quickly, telephone surveys using short time-windows for data collection or which use quota samples are often required. It is unclear whether slower, more conventional and more expensive survey methods with better response rates would produce results different enough to these quicker and cheaper methods to have a major impact on any resulting policy decisions. This empirical question would benefit from further study. Copyright © 2008 John Wiley & Sons, Ltd. [source]


Relationships among levels of government support, marketing activities, and financial health of nonprofit performing arts organizations

INTERNATIONAL JOURNAL OF NONPROFIT & VOLUNTARY SECTOR MARKETING, Issue 2 2007
Theresa A. Kirchner
This exploratory study researches and analyzes the empirical effects of financial levels of government support and marketing practices on the financial health of nonprofit performing arts organizations. Declining government subsidies and increasing competition from non-traditional sources have presented these organizations with unique opportunities and challenges that call for a market-centered, as well as an art-centered approach. Financial health is critical for the long-term success of a nonprofit performing arts organization. Few empirical studies have examined the interrelationships between these key variables. This study analyzes a sample of 63 American professional symphony orchestras employing 20 years of data. The correlations among financial levels of government support and marketing activities were positive and significant, the correlations among levels of government support and financial health were negative and significant, and the correlations between levels of marketing activity and financial health were negative and varied in significance. Causal analyses were less conclusive, but significant causal relationships were found for large symphony orchestras, indicating that segmentation research may be warranted. Implications and opportunities for future research are presented which have potential application for government agencies, academic researchers, and arts organization managers, boards of directors, and donors. Copyright © 2006 John Wiley & Sons, Ltd. [source]


Canadian Policy on Human Trafficking: A Four-year Analysis1

INTERNATIONAL MIGRATION, Issue 4 2005
Jacqueline Oxman-Martinez
ABSTRACT This article introduces readers to Canadian Government policy and practice surrounding human trafficking since the adoption of the United Nations (UN) Protocol on Trafficking in 2000. After offering an overview of the UN Protocol, the article reviews and critically analyses Canada's efforts in the three key areas of the Protocol: prevention of human trafficking, protection of trafficking victims, and the prosecution of traffickers. Since the beginning of our research, progress has been made in Canadian policy responses. The Government began by developing and implementing its tools for the prosecution of traffickers, thereby responding to most of the prosecution recommendations of the UN Protocol. Different government agencies are also coordinating their efforts to implement prevention projects, both in source countries and at home, including awareness-raising campaigns, education campaigns, and policy development collaborations. However, the more structural elements of prevention have yet to be adequately addressed. Finally, without shifting their basic border control framework, Canadian government agencies are in the process of improving the protection of trafficking victims who are intercepted in law enforcement operations or who come forward for help. These protection measures would be strengthened further if migrants' rights were explicitly protected by law, something that has failed to occur given recent prioritization of crime and security. The formal protection of victims, as implemented to some degree in several European and American policies, is introduced for comparison. The article concludes with the remaining challenges that face Canadian policy makers, particularly in terms of shifting away from current focus on crime and security to the protection and promotion of the human rights of trafficking victims. LA POLITIQUE CANADIENNE EN MATIÈRE DE TRAITE DES ÊTRES HUMAINS : UNE ANALYSE SUR QUATRE ANS Cet article présente au lecteur la politique et la pratique du gouvernement canadien en matière de traite des êtres humains depuis l'adoption, en 2000, du Protocole additionnel à la Convention des Nations unies contre la criminalité transnationale organisée visant à prévenir, réprimer et punir la traite des personnes, en particulier des femmes et des enfants. Après avoir présenté le Protocole dans son ensemble, l'article examine et analyse de façon critique l'action du Canada dans trois domaines essentiels du Protocole : la prévention de la traite, la protection des victimes et la punition des trafiquants. Depuis le début de notre recherche, le Canada a fait un pas en avant dans les mesures politiques adoptées. Le gouvernement a commencé par élaborer et mettre en oeuvre des mécanismes pour punir les trafiquants, donnant de ce fait suite à la plupart des recommandations du protocole des Nations unies en la matière. Par ailleurs, différents organes de l'État coordonnent leurs efforts pour mettre en place des projets de prévention, tant dans les pays d'origine que sur le territoire canadien, avec des campagnes de sensibilisation et d'éducation, et des collaborations en matière d'élaboration des politiques. Il reste néanmoins à trouver une solution adéquate aux aspects les plus structurels de la prévention. Enfin, sans s'éloigner du cadre fondamental du contrôle des frontières, les services gouvernementaux canadiens améliorent actuellement la protection des victimes de la traite interceptées lors d'opérations de police ou qui viennent demander de l'aide. Ces mesures de protection seraient davantage renforcées si les droits des migrants étaient explicitement inscrits dans la loi, ce qui n'est pas le cas en raison de la priorité accordée à la répression de la criminalité et à la sécurité. La protection formelle des victimes, telle que mise en oeuvre jusqu'à un certain point par des mesures appliquées en Europe et aux États-Unis, est présentée à titre de comparaison. Les conclusions de cet article exposent les défis auxquels restent confrontés les décideurs canadiens, à savoir moins insister sur la répression de la criminalité et la sécurité pour s'occuper davantage de la protection et de la promotion des droits fondamentaux des victimes de la traite. POLÍTICA CANADIENSE RELATIVA A LA TRATA DE PERSONAS: UN ANÁLISIS CUADRIENAL Este artículo presenta las políticas y prácticas del Gobierno canadiense en torno a la trata de personas desde la adopción, en 2000, del Protocolo de las Naciones Unidas relativo a la trata de personas. Tras hacer un repaso del Protocolo de las Naciones Unidas, este artículo examina y analiza críticamente los empeños del Canadá en tres esferas clave del Protocolo: prevención de la trata de personas, protección de las víctimas de la trata, y enjuiciamiento de los traficantes. Desde que se iniciara este estudio se han observado progresos en las respuestas políticas canadienses. El Gobierno comenzó desarrollando y llevando a la práctica sus instrumentos para la sanción y enjuiciamiento de los traficantes, respondiendo así a la mayoría de las recomendaciones de enjuiciamiento que contiene el Protocolo de las Naciones Unidas. Varias instituciones gubernamentales también coordinan sus esfuerzos con miras a la puesta en práctica de proyectos de prevención, tanto en los países de origen como en el Canadá, incluyendo campañas de concienciación, campañas educativas y colaboraciones con miras al desarrollo de políticas. Sin embargo, aún quedan por encarar los elementos más estructurales de la prevención. Finalmente, sin salir del marco básico de control de fronteras, las instituciones gubernamentales canadienses están tratando de mejorar la protección de las víctimas de la trata interceptadas en operaciones de aplicación de la ley o que se presentan a las autoridades con miras a solicitar ayuda. Si se aspira a proteger explícitamente por ley los derechos de los migrantes, habrá que reforzar las medidas de protección, algo que no figura entre las prioridades establecidas recientemente con relación al ámbito delictivo y de seguridad. Con fines comparativos, se presenta la protección oficial que brindan a las víctimas las políticas europeas y americanas. Este artículo concluye con los desafíos que tienen ante sí los formuladores de políticas canadienses, particularmente en cuanto al cambio del centro de atención actual en materia de actividades delictivas y de seguridad hacia la protección y promoción de los derechos humanos de las víctimas de la trata. [source]


The history of the Australian Society for Biochemistry and Molecular Biology

IUBMB LIFE, Issue 7 2010
Liana Friedman
Abstract The Australian Biochemical Society was established in 1955 and has played a crucial role in nurturing science in Australia. In 1990, the Society underwent a name change to become the Australian Society for Biochemistry and Molecular Biology (ASBMB). Today, the majority of ASBMB's members (1,000) work in universities and research institutes, although many also come from industry, hospitals, and government agencies. The Society is also strongly supported by its Sustaining Members, which are science-related companies and other commercial entities. © 2010 IUBMB IUBMB Life 62(7): 486,491, 2010 [source]


Framing the American Dream

JOURNAL OF ARCHITECTURAL EDUCATION, Issue 1 2004
DAVID MONTEYNE
Presenting a cultural history of the platform frame, this article explores its codification and commodification by the mid-twentieth century in relation to changing technology and to a shifting landscape of residential development. In addition to its promotion by government agencies, platform framing was complementary to the development of mass production and consumption in house construction. Rows of new houses can be seen in parallel with newly standardized and marketed lumber products like plywood. But pure commodification was tempered by appeals to the American dream of homeownership, partly propagated through myths about the nineteenth-century invention of the balloon frame. [source]


Factors explaining male/female differences in attitudes and purchase intention toward genetically engineered salmon,,

JOURNAL OF CONSUMER BEHAVIOUR, Issue 2 2008
Wei Qin
Frequently observed male/female differences in attitudes toward genetically engineered (GE) foods have not received adequate explanations. We examined (a) the ability of two hypotheses (safety concern and institutional trust) to explain male/female attitudes toward GE salmon and (b) the effect of attitudes on male/female differences in purchase intent. A survey (n,=,501) was administered in two branches of a regional supermarket chain. After reading an information booklet, men and women's scores on a knowledge quiz did not differ but women had significantly more negative attitudes toward GE salmon than men. Attitudinal male/female differences were attributed to women's lower trust in government agencies and scientific organizations, and higher level of perceived health risks compared to men , supporting both hypotheses. But the essential basis of these attitudinal male/female differences appeared to be women's greater concern about the ethics/morality of this application. Attitude differences were the major contributor to male/female differences in purchase intention. Copyright © 2008 John Wiley & Sons, Ltd. [source]


Drought Preparedness and Response in the Context of Sub-Saharan Africa

JOURNAL OF CONTINGENCIES AND CRISIS MANAGEMENT, Issue 2 2000
Donald A. Wilhite
Although drought is a normal, recurring feature of climate, little progress has been made in drought management in most parts of the world. A United Nations study of selected Sub-Saharan African countries revealed that most states have little experience in proactive planning for drought. Only Botswana and South Africa have made serious efforts to develop drought preparedness and response. The lack of contingency planning for drought events in the region results from limited financial resources, inadequate understanding of drought impacts, and poor co-ordination among government agencies. A ten-step planning process, originally developed in 1991 for U.S. states, is suggested as an organizational tool for Sub-Saharan countries to use in the development of drought plans. The process, which emphasizes risk management rather than crisis management, is based on three primary components: (1) monitoring and early warning, (2) vulnerability and impact assessment, (3) mitigation and response. The steps in the process are generic; they can be adapted and applied to the various settings of Sub-Saharan Africa. [source]


PERCEPTION OF IRRADIATED FOODS AMONG STUDENTS (SECONDARY, UNIVERSITY [FOOD SCIENCE AND NONFOOD SCIENCE]) AND ADULTS IN ARGENTINA

JOURNAL OF FOOD PROCESSING AND PRESERVATION, Issue 3 2008
ALEJANDRA FLORES
ABSTRACT A survey on beliefs and purchase intent of irradiated foods was conducted among 300 Argentine students, covering secondary/high school, food science and nonfood science university, and 100 nonstudent adults. Other factors considered were the type of information provided (introductory, process description and benefits) and the city of residence (small agricultural city and big city). The most important benefits were considered to be microorganism reduction and improved sanitation. On the other hand, insecurity and doubts were the main reasons why respondents would not buy these foods. Only 14% said they would definitely buy irradiated foods. Considering their doubts and insecurities, it is probable that if these respondents see a food labeled as "irradiated," they would not choose to buy it. Within developing countries such as Argentina, the promotion of this technology by government agencies would be very costly, and at present, these costs would not seem to be justified. PRACTICAL APPLICATIONS The negative perceptions of consumers would hinder the successful implementation of food irradiation. The doubts or insecurities that consumers of developing countries have are similar to those that consumers of developed countries have. Most respondents answered that irradiated foods should be labeled as such. If food irradiation was to be pursued further, the place to start would be in food science curricula as this is the basis of future professionals in charge of researching its use and/or implementing the process. [source]


Trends in Converted Firearms in England & Wales as Identified by the National Firearms Forensic Intelligence Database (NFFID) Between September 2003 and September 2008

JOURNAL OF FORENSIC SCIENCES, Issue 3 2010
Abigail G. Hannam M.Sc.
Abstract:, The National Firearms Forensic Intelligence Database (NFFID © Crown Copyright 2003-2008) was developed by The Forensic Science Service (FSS) as an investigative tool for collating and comparing information from items submitted to the FSS to provide intelligence reports for the police and relevant government agencies. The purpose of these intelligence reports was to highlight current firearm and ammunition trends and their distribution within the country. This study reviews all the trends that have been highlighted by NFFID between September 2003 and September 2008. A total of 8887 guns of all types have been submitted to the FSS over the last 5 years, where an average of 21% of annual submissions are converted weapons. The makes, models, and modes of conversion of these weapons are described in detail. The number of trends identified by NFFID shows that this has been a valuable tool in the analysis of firearms-related crime. [source]


Practice, power and meaning: frameworks for studying organizational culture in multi-agency rural development projects

JOURNAL OF INTERNATIONAL DEVELOPMENT, Issue 5 2003
David Lewis
Culture has received increasing attention in critical development studies, though the notion that there are important cultural differences within and between development organizations has received less consideration. This paper elaborates elements of a framework for studying organizational culture in multi-agency development projects. It draws on selected writings in anthropology and in organizational theory and suggests that these two bodies of literature can be usefully brought together, as well as on insights from ongoing fieldwork in Bangladesh, Burkina Faso and Peru. At the centre of this framework is the analysis of context, practice and power. Where development projects involve multiple organizations (such as donors, government agencies, non-governmental organizations and grassroots groups) an analysis of cultures both within and between organizational actors can help explain important aspects of project performance. The paper argues that organizational culture is constantly being produced within projects, sometimes tending towards integration, often towards fragmentation. This fragmentation, indicative of the range of cultures within development organizations, is an important reason why some projects fail, and why ideas stated in project documents are often not realized, especially in the case of the newer and more contentious objectives such as ,empowerment'. © 2003 John Wiley & Sons, Ltd. [source]


Institutional Racism in Bureaucratic Decision-Making: A Case Study in the Administration of Homelessness Law

JOURNAL OF LAW AND SOCIETY, Issue 3 2000
Simon Halliday
This article reports findings from an ethnographic research project which investigated the influence of judicial review experiences on the decision-making processes of three heavily litigated local government agencies. The research focused on the administration of homelessness law in local government in England. However, the particular findings which emerged from fieldwork and which are discussed in this article concern institutional racism. ,Institutional racism', of course, is a much-used and contested concept and may refer to a number of sources of discrimination. The aim of this article is both modest and particular. It presents a case study of how systemic discrimination may be socially produced within the bureaucratic processes of organizational decision-making. [source]


Driving less for better air: Impacts of a public information campaign

JOURNAL OF POLICY ANALYSIS AND MANAGEMENT, Issue 1 2003
Gary T. Henry
In the wake of the 1990 amendments to the Clean Air Act, localities across the United States initiated public information campaigns both to raise awareness of threats to air quality and to change behavior related to air pollution by recommending specific behavioral changes in the campaign messages. These campaigns are designed to reduce the health hazards associated with poor air quality and to avoid federal sanctions resulting from the failure to meet air quality standards. As in many other communities across the country, a coalition of government agencies and businesses initiated a public information campaign in the Atlanta metropolitan region to reduce certain targeted behaviors, mainly driving. A two-stage model used to analyze data from a rolling sample survey shows that the centerpiece of the information campaign,air quality alerts,was effective in raising awareness and reducing driving in a segment of the population. When the overall information campaign was moderated by employers' participation in programs to improve air quality, drivers significantly reduced the number of miles they drove and the number of trips they took by car on days when air quality alerts were sounded. Public information campaigns can be successful in increasing awareness, but changing well-established behaviors, such as driving, is likely to require institutional mediation to provide social contexts that support the behavioral change, as well. © 2003 by the Association for Public Policy Analysis and Management. [source]