293 research outputs found

    The Influence of Intensive Programs on The Achievement of Islamic Religious Education Achievement in MTs Al-Arif Gempol Pasuruan

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    It is common for every educational institution to implement teaching programs according to the curriculum set by the government in this case the Ministry of National Education or the Department of Religion. When examined carefully education is a determinant of the direction of one's life which is the smallest component of a society and nation. That's why MTs Al-Arif Gempol Pasuruan deems it necessary to improve the quality and quantity of Educators, Students and Students Facilities which are called Intensive Programs. Because there is no known influence between the intensive program and the learning achievement of Islamic religious education, the authors intend to conduct research with quantitative and qualitative approaches to test hypotheses.This intensive program is an effort to improve student learning achievement by handling more education factors through competent teacher qualifications, selecting raw student input, adding curriculum or materials, fulfilling learning facilities and infrastructure and increasing learning time. Thus it is hoped that the elevation of student learning achievement will be better.From the research we have done, intensive programs affect the learning achievement of Islamic religious education, this is evidenced by the results of statistical analysis obtained sufficient or moderate correlation with the calculation of the final value of rxy = 0.525 this case if connoted by the interpretation table is at the number 0,400 - 0,700 which has a moderate or moderate meaning.Considering that there are still deficiencies that need to be addressed in this intensive program, including not yet maximizing teacher qualifications, some students who lack discipline, unequal mastery of the material and lack of learning facilities and infrastructure. Then the collaboration of the school, parents, and students needs to be improved.Keywords: Intensive Program, Learning Achievemen

    The historical development of dentistry in Hong Kong

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    Dentistry in Hong Kong during this century has advanced from an informal streetside practice to a discipline that now serves the community by way of registered oral health care personnel. Throughout the years, public attitudes towards dental care have also changed: from a palliative approach involving the extraction of teeth when pain arose, to the prevention of dental disease even at the formative stage of dentition through water fluoridation, regular therapeutic care, and oral health maintenance. The education and professionalisation of practitioners has evolved from apprenticeship to the establishment of a structured university curriculum and postgraduate specialist training of international standards.published_or_final_versio

    Interface between houses and streets: Understanding the spacial organisation of English speculative estates, 1880-2018

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    This thesis examines the spatial relationship between houses and streets in housing estates in Gosforth, Newcastle upon Tyne between the 1880s and 2018. Urban form can be perceived as a bi-polar system of continuous open spaces of streets and discontinuous enclosed spaces of buildings. These two significantly different elements can be seen as fundamental parts of the spatial organisation of every city. Their distinction and interdependence is most visible on the interface between the two, as the interface not only divides but also forms and defines the spaces on both of its sides. The aim of this work is to examine how the interface between the architectural and urban form affects the structure and use of both. To achieve this two configurational approaches are combined in GIS: space syntax for the urban scale and graph representation for the architectural scale. In order to allow for comparison between the three urban elements: streets, houses and interfaces, the typologies of each were developed based on their topological characteristics. This work concludes with four main contributions to the body of knowledge. Firstly, it is observed that there is a fundamental mismatch between the architectural and urban scale in English housing estates. This is manifested as an increase over time in the number of important streets lined with passive interfaces, and in the number of houses that interface with the street network in an atypical manner. This highlights the importance of studying the way urban elements interact in order to assure that the full potential of both elements is met. Secondly, the mismatch between those scales progressively worsened over time. Thirdly, this thesis contributes an original dataset on the interfaces between houses and streets. Finally, an original methodological framework is proposed that allows for integration of the architectural and urban analyses in GIS

    Between territories: Incremental changes to the domestic spatial interface between private and public domains

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    [EN] In this paper we investigate incremental changes to the relationship between private and public territory on the micro-morphological scale of the residential building-street interface. The building-street interface lies on the edge between two distinctively different spatial domains, the house and the street, and provides a buffer which may be adjusted to aid the transition from private to public territory. The structure of the space impacts both domains: it provides a fit transition from the private dwelling to the public territory, creates a space for probabilistic encounters between inhabitants and strangers, and maintains the liveability of the public street. The aim of this paper is threefold: Firstly, we recognise morphological differences in the structure of the interfaces and the way the transition from private to public territory was envisioned and designed in different societal periods. Secondly, we study incremental changes to the interface, representing individual adjustments to the private-public boundary, in order to recognize common types of adaptations to the existing structure of the interface. The history of changes to each individual building and building-street interface was traced by analysing planning applications and enforcements publicly provided by the city council. Lastly, we compare the capacity of each building-street interface to accommodate incremental change to the public-private transition. We argue that studying the incremental change of the interface and the capacity of each interface to accommodate micro-scale transformations aids in the understanding of the complex social relationship between an individual and a collective in the urban environment.Wir-Konas, A.; Seo, K. (2018). Between territories: Incremental changes to the domestic spatial interface between private and public domains. En 24th ISUF International Conference. Book of Papers. Editorial Universitat PolitĂšcnica de ValĂšncia. 403-411. https://doi.org/10.4995/ISUF2017.2017.6061OCS40341

    Om sanningen ska fram – En kritisk granskning av SOU 2014:31 om ett stĂ€rkt skydd för visselblĂ„sare

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    En visselblĂ„sare Ă€r den person som larmar om fara eller skada för allmĂ€nintresset inom ramen för en arbetsrelaterad relation. Personer som vĂ„gar blĂ„sa i visslan hyllas ofta av allmĂ€nheten för sitt mod och det ligger i bĂ„de arbetsgivarens, arbetstagarens och samhĂ€llets intresse att oegentligheter inom verksamheter kommer fram och kan avhjĂ€lpas. I gĂ€llande rĂ€tt finns inget enhetligt skydd för visselblĂ„sare. Inom offentlig sektor finns skyddet huvudsakligen i den grundlagsstadgade yttrande- och meddelarfriheten. Inom privat sektor finns skyddet framför allt i de arbetsrĂ€ttsliga reglerna om skydd mot ogrundat skiljande frĂ„n anstĂ€llning i 7 § och 18 § LAS samt det skydd mot ingripande Ă„tgĂ€rder under pĂ„gĂ„ende anstĂ€llning som faststĂ€llts i Arbetsdomstolens praxis. Artikel 10 Europakonventionen ger dĂ€r utöver ett visst skydd Ă€ven för anstĂ€llda inom privat sektor. Skyddet Ă€r emellertid avsevĂ€rt mycket starkare inom det offentliga Ă€n inom det privata. I maj 2014 presenterades betĂ€nkandet VisselblĂ„sare – StĂ€rkt skydd för arbetstagare som slĂ„r larm om allvarliga missförhĂ„llanden (SOU 2014:31). Som bakgrund till de förslag som lĂ€mnas i betĂ€nkandet anförs tre huvudmotiv. Det saknas en sĂ€rskild skyddslagstiftning för arbetstagare som slĂ„r larm och det befintliga skyddet Ă€r allt för svĂ„röverskĂ„dligt. VisselblĂ„sning Ă€r ett viktigt samhĂ€llsintresse dĂ„ en arbetstagares larm kan leda till att allvarliga missförhĂ„llanden kan upptĂ€ckas och avhjĂ€lpas. Vidare visar studier att arbetstagare ofta avstĂ„r frĂ„n att slĂ„ larm. Det kan bero pĂ„ att han eller hon Ă€r rĂ€dd för att drabbas av repressalier och Ă€r osĂ€ker pĂ„ om nĂ„got rĂ€ttsligt skydd intrĂ€der vid uppgiftslĂ€mnandet. Det kan Ă€ven bero pĂ„ att arbetstagaren inte kĂ€nner till hur han eller hon ska gĂ„ till vĂ€ga med ett larm. Utredningen presenterar ett lagstiftningsförslag i tre delar. För det första föreslĂ„s en ny arbetsrĂ€ttslig lag i syfte att förstĂ€rka skyddet för arbetstagare som slĂ„r larm om allvarliga missförhĂ„llanden inom sin verksamhet. För det andra föreslĂ„s att en ny regel som Ă„lĂ€gger arbetsgivare att, i den mĂ„n verksamheten krĂ€ver det, sĂ€kerstĂ€lla att det finns rutiner för interna larm om allvarliga missförhĂ„llanden. För det tredje föreslĂ„s regler till skydd för visselblĂ„sarens identitet. Syftet med förevarande uppsats Ă€r att med utgĂ„ngspunkt i en kritisk och problematiserande granskning av SOU 2014:31 om ett stĂ€rkt skydd för visselblĂ„sare, utreda hur en eventuell lagstiftning gĂ€llande visselblĂ„sning lĂ€mpligen bör utformas. I syfte att göra en sĂ„ vĂ€lgrundad bedömning som möjligt utreds Ă€ven hur visselblĂ„sning regleras i andra jurisdiktioner samt hur visselblĂ„sning hanteras i praktiken av företag och offentliga organisationer i Sverige. Uppsatsens slutsatser Ă€r flera och mynnar ut i ett förslag till lagstiftaren. En slutsats Ă€r att ny lagstiftning om visselblĂ„sning Ă€r bĂ„de vĂ€lmotiverad och nödvĂ€ndig. Ytterligare en slutsats Ă€r att SOU 2014:31 kan lĂ€ggas till grund för den nya lagstiftningen men att det finns anledning att övervĂ€ga ett antal modifieringar av betĂ€nkandet. Exempelvis föreslĂ„s ett alternativt tillĂ€mpningsomrĂ„de, mer lĂ„ngtgĂ„ende regler till skydd för visselblĂ„sarens identitet samt ett antal förenklingar som syftar till att den nya lagstiftningen som avsett ska vara tydlig och lĂ€ttillĂ€mpad för den enskilda.A whistleblower is a person who reports or discloses information on a threat or harm to the public interest in the context of a work-based relationship. Persons who dare to blow the whistle are often times praised by the public for their courage and it is in the best interest of the employer as well as the employee and the society that wrongdoings within organizations are disclosed and eliminated. In Swedish law, there is no specific legislation for the protection of whistleblowers. Within the public sector, whistleblowers are protected mainly by the constitutional freedom of speech and the right to pass on information to the media. Employees within the private sector are protected by LAS (the Swedish Employment Protection Act) section 7 and 18, stipulating that the employer must have a just cause and objective grounds for a dismissal. Principles established in Labour Court case law protect employees against retaliation during an ongoing employment. Furthermore, private sector employees are to some extent protected under article 10 of the European Convention on Human Rights. However, the protection is significantly stronger within the public sector. In May 2014 the proposal `VisselblĂ„sare – StĂ€rkt skydd för arbetstagare som slĂ„r larm om allvarliga missförhĂ„llanden` (SOU 2014:31) was presented. As a background to the proposal, the Inquiry presents three main motives. There is no specific regulation for the protection of employees who report wrongdoings in the workplace and the current legal protection is difficult and complex. Whistleblowing is of important public interest as the disclosure of an employee can lead to serious wrongdoings being corrected or eliminated. Further, studies show that employees who observe wrongdoings often refrain from reporting these wrongdoings. The reason for this can be that he or she is afraid of retaliation, uncertain of their legal protection or that the employee does not know how to proceed with a report. The Inquiry presents a legislative proposal in three parts. Firstly, a new labour act on strengthened protection for employees who report or disclose serious wrongdoings in the employer’s organization. Secondly, a new rule that requires employers – in proportion to the organization’s needs – to make sure that there are routines for internal reporting of serious wrongdoings. Thirdly, the Inquiry proposes rules protecting the identity of the whistleblower. The purpose of this thesis is to, on the basis of a critical and problematizing review of SOU 2014:31, examine how Swedish legislation on whistleblowing preferably should be designed. In order to enable a well-grounded assessment, the purpose is furthermore to examine how whistleblowing is regulated in other jurisdictions as well as how whistleblowing issues are handeled by companies and public organizations in Sweden. The conclusions of the thesis are several and result in a proposal to the legislator. One conclusion is that new legislation on whistleblowing is both motivated and necessary. Another conclusion is that the new legislation can be based on the proposals in SOU 2014:31. However, there are grounds for considering some modifications of the report. For example, an alternative area of application is proposed, as well as more far-reaching rules protecting the identity of the whistleblower and a number of simplifications in order to ensure that the new legislation fulfills its purpose of being clear and easy to apply

    Bevisprovokation och brottsprovokation- en begreppsanalys i syfte att utreda provokativa ÄtgÀrders tillÄtlighet

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    Sammanfattning I bekÀmpningen av grov och organiserad brottslighet anvÀnder sig polisen i viss mÄn av provokativa ÄtgÀrder. BÄde inom polisvÀsendet och i den svenska rÀttstillÀmpningen görs ofta en distinktion mellan dels bevisprovokation, dels brottsprovokation. En spridd uppfattning Àr att bevisprovokation Àr tillÄtet medan brottsprovokation inte Àr det. Varken provokativa ÄtgÀrder, bevis- eller brottsprovokation definieras eller regleras dock i lag och inget av begreppen kan sÀgas ha en fast juridisk innebörd. Bristen pÄ definitioner av begreppsapparaten samt uttryckliga regler för begreppens tillÀmpning, distinktion och funktion leder till att provokation Àr ett svÄrhanterligt och farligt verktyg och risken för grÀnsdragningsproblem Àr uppenbar. Förevarande uppsats utgÄr frÄn de bÄda begreppen bevisprovokation och brottsprovokation för att försöka utröna vad som Àr tillÄtna provokativa ÄtgÀrder. Begreppen förklaras och analyseras utifrÄn hur de tolkats och tillÀmpats i svensk praxis och doktrin. Uppsatsens resultat visar att en provokations tillÄtlighet inte helt enkelt kan hÀrledas ur huruvida det rör sig om en bevisprovokation eller en brottsprovokation. Begreppen kan ge viss ledning men bedömningen mÄste koncentreras till hur ÄtgÀrden rent faktiskt har genomförts i det enskilda fallet. För att en provokation ska anses tillÄten mÄste först ett visst antal principer beaktas. Principerna slogs fast i förarbetena till polislagen och anses komma till uttryck i lagens Ättonde paragraf. Bland annat finns en behovsprincip, en proportionalitetsprincip samt ett krav pÄ att det mÄste föreligga stark misstanke om brott. Vidare fÄr provokationen givetvis inte innebÀra att Sverige handlar i strid mot Europakonventionen för de mÀnskliga rÀttigheterna. Artikel 6 och artikel 8 förhindrar allt för lÄngtgÄende provokationer. BÄde enligt Europadomstolen och i inhemsk rÀtt anses det avgörande för en provokations tillÄtlighet huruvida nÄgon genom provokationen har förmÄtts att begÄ en brottslig handling som denne annars aldrig hade begÄtt. För att sÀtta den svenska rÀttens sÀtt att hantera frÄgan i perspektiv görs en komparation med motsvarande reglering i engelsk rÀtt. I den engelska rÀtten görs ingen begreppsdistinktion i bevis- och brottsprovokation. Man talar om entrapment som en motsvarighet till brottsprovokation. Det finns inga klara regler pÄ omrÄdet men praxis verkar erkÀnna provokativa ÄtgÀrder i större utstrÀckning Àn i Sverige. DÀremot fÄr man inte heller enligt engelsk rÀtt provocera nÄgon att begÄ ett brott som denne utan provokationen inte hade begÄtt.Summary In the fight against organised crime the police to some extent use entrapment. Both within the police and in Swedish application of the law the term of entrapment is often divided into entrapment in order to secure evidence for a crime already committed on the one hand and entrapment in order to provoke a crime on the other. A common apprehension is that entrapment in order to secure evidence is permissible whilst entrapment in order to provoke a crime is not. Neither of the terms, though, is defined or regulated by law and neither of the terms has a solid judicial construction. The lack of clear definitions and explicit regulation for the applicability, distinction and function of the terms makes entrapment a tool both dangerous and difficult to use. With the purpose to investigate what kind of entrapment is permissible, the thesis analyses the two terms: entrapment in order to prove a crime already committed and entrapment in order to provoke a crime. The terms are explained and analysed based on how they have been interpreted in Swedish custom law and doctrine. The result of the thesis shows that the permissibility of an entrapment is not directly dependent on whether it is to be derived to one term or the other. The terms do offer some guidance but the judgement however has to be focused on how the entrapment is carried through in the very special case. For an entrapment to be permissible first of all a few fundamental principles needs to be taken into consideration. The principles were established in the legislative history of the polislag and considered to be expressed in the eighth article of the law. For example there is the principle that entrapment needs to be used with proportionality. Moreover, Sweden has to make sure the entrapment does not constitute a breach to the European convention for human rights. Article 6 and 8 sets limits for to what extent entrapment can be used. Both according to the European court of human rights and in Sweden it is regarded to be crucial for the permissibility of an entrapment whether someone is provoked to commit an offence that he would not otherwise commit. To widen the perspective a comparison is carried out between the way the question of entrapment is handled in Sweden and England. In England the distinction in types of entrapment is made in a different way. There is no clear regulation of the area but the court seems to approve entrapment in a wider extent than in Sweden. However it is not allowed to provoke someone to commit an offence that he would not otherwise commit

    Effect of SRP on relation of GCF IL-8 and granulocyte elastase to periodontopathogens

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    Frontages and setbacks: a comparison of English and North American suburban houses

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    This paper is interested in the physical form of frontage and in the elements of urban form that may influence it. Studying its morphology involves looking at all the scales to provide a comprehensive image of how it is taking shape. This work presents a survey of different type of suburban houses to show alternative models of frontage with a focus on North American models and their British counterparts. It then questions the meaning and value of transition space at the scale of a neighbourhood, highlighting the role of main thoroughfares and back alleys creating a hierarchy in the street frontages. It finally explores how the building and the plot respond to the street hierarchy by use of yards, room layout and architectural features
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