Oh deer, what can the matter be? Landholder attitudes to deer management in Queensland

2007 ◽  
Vol 34 (3) ◽  
pp. 211 ◽  
Author(s):  
N. A. Finch ◽  
G. S. Baxter

Deer are not native to Australia but have been present in the country for more than 150 years. For most of that time they have not been regarded as either an agricultural or environmental pest, but in the last few years there have been calls for their numbers to be reduced. Four species of deer can be found in well established populations in Queensland, mostly occurring on private land. Hence the effectiveness of any management of deer as pests will be heavily influenced by the actions of the land owners. This paper reports on a survey of the attitudes of landholders towards deer on their properties. A total of 2621 surveys was mailed to landowners and managers in regions known to support wild deer in Queensland. Of the 28.3% of surveys returned, over 75% of respondents conducted some form of primary production on their land and 65% of these had deer on their properties at least some of the time. Responses to questions were mostly uniform throughout the state, with over 50% of respondents wanting the deer population to stay at current levels or increase. Only 5% of respondents supported poisoning as a management strategy, with 17% supporting trapping. Recreational hunting and game-meat harvesting were favoured management options, with 42% and 51% support respectively. Only 25% of respondents thought wild deer caused environmental damage and 30% thought wild deer caused agricultural damage, with most associating wild deer as a less significant pest than those species already declared under state legislation. Of those surveyed, 56% agreed with the statement ‘It is important to maintain wild deer populations for future generations to enjoy’. The spread of deer in Australia is of increasing concern to ecologists, and there have been calls for action to reduce their numbers on private and public land. The results of this survey imply that a significant proportion of Queensland landholders would resist legislation aimed at managing deer as a pest in areas with long-established wild deer populations.

2011 ◽  
Vol 29 (1-2) ◽  
pp. 10-12 ◽  
Author(s):  
T. N. Kaye ◽  
R. Schwindt ◽  
C. Menke

Rangifer ◽  
1996 ◽  
Vol 16 (4) ◽  
pp. 119 ◽  
Author(s):  
Deborah B. Cichowski

Initial long term planning for logging on the Tweedsmuir-Entiako caribou winter range began in the early 1980s. Because little information was available on which to base winter range management, the British Columbia Fish and Wildlife Branch began studies on radio-collared caribou in 1983, and an intensive study on caribou winter habitat requirements was conducted from 1985 to 1988. Terrestrial lichens were identified as the primary winter food source for the caribou, and in 1987, caribou winter range ecosystem maps, which emphasized abundance of terrestrial lichens, were produced. The ecosystem maps and information from the caribou study, including potential direct and indirect effects of timber harvesting on the caribou population, were used to develop a management strategy for the winter range. The management strategy comprised two levels of management: a landscape level (Caribou Management Zones); and a site-specific level (caribou habitat/timber values). Timber information associated with BC Ministry of Forests forest cover maps was integrated using a Geographic Information System. Six winter range management options were proposed ranging from harvesting low value caribou habitats only throughout the winter range to total protection of the entire winter range. Impacts of those options on both the caribou population and on the timber supply were evaluated. The options were reviewed through a public planning process, the Entiako Local Resource Use Plan, and recommendations from that process were forwarded to the British Columbia Protected Areas Strategy.


1978 ◽  
Vol 54 (3) ◽  
pp. 140-146
Author(s):  
J. Harry G. Smith

Intensive forestry on Canada's West Coast has some impressive accomplishments but re-investments of timber capital must increase many times to meet future needs. Intensive forest management requires greatly increased inputs of labour, capital, and knowledge in order to enhance the amount and value of yields from an ultimately limited land base. Attractive incentives must be developed for private land owners and users of public forest lands to sustain current yields of wild stands, to avoid a falldown in harvest as surplus old growth values are liquidated, and to make up for withdrawals from the land base and complications of timber management.Since 1912-13 direct B.C. government forest revenues have exceeded expenditures to 1976 by $847 million. British Columbians and many other Canadians are therefore deeply in debt to the forests of British Columbia, and soon should re-invest past surpluses to help build a base for even greater returns in future.Past trends, the current situation, relation to other areas, costs, responses, sources of funds, multiple use implications, alternatives, research needs, and incentives, are discussed with special reference to the Vancouver Forest District.


Author(s):  
Stuart Bell ◽  
Donald McGillivray ◽  
Ole W. Pedersen ◽  
Emma Lees ◽  
Elen Stokes

This chapter focuses on the torts—or civil wrongs—traditionally relied on in environmental litigation: private and public nuisance, trespass, negligence, and the rule in Rylands v. Fletcher. It discusses and outlines statutory nuisance and various instances of statutory civil liability, some of which go beyond providing remedies for individuals and provide for wider environmental clean-up. Traditionally, private law has attempted to serve the function of controlling environmental damage. However, the chapter shows that the similarity is often superficial; the essential characteristic of private law is to regulate relationships between individuals by the balancing of individual interests. It concludes by briefly considering the EU Environmental Liability Directive, which has some similarities with private law remedies but is primarily an administrative mechanism for environmental remediation in defined situations.


2018 ◽  
Vol 5 (1) ◽  
pp. 1-19 ◽  
Author(s):  
Md. Jahangir Alam

This paper explores changing land values in the process of rapid urbanization in Dhaka, Bangladesh and its implications for urban land management and administration in the megacity. The study reveals that substantial increase in land values have resulted in land speculation among real estate and individual developers. Land values have increased by an average of 22.26% per year between 1990 and 2000, while the period spanning from 2000 to 2010 saw about 74% of yearly increase in Dhaka. The study revealed that due to increasing land values, prospective real estate developers are tempted to build housing in restricted areas defined by Dhaka metropolitan development plan such as flood zones, lakes, canals, ditch and drainage channels etc. The paper proposes a re-look at the causes of increase in land values and land speculations and the resulting environmental damage pointed out in this study as part of a broad urban land and environmental management strategy in rapidly growing megacities.


2018 ◽  
Vol 7 (3.21) ◽  
pp. 194
Author(s):  
Sarminah Samad ◽  
Dalal Alrubaishi ◽  
Rasha Alghafis

Deriving from previous literatures, the theories of Resource-based View and Dynamic Capability was used in this study to propose a model that examines the predictors of the performance of Small and Medium Enterprises (SMEs). Accordingly, it will examine the influence of corporate management strategy on the performance of SMEs. It will analyze the extent to which innovative dynamic capabilities would enhance the relationship between corporate management strategy and performance of SMEs. It will also examine the extent innovation leadership serves as the moderator factor on the link between corporate management strategy and performance of SMEs. Finally, this paper intends to recommend a model of performance management system for the performance of tourism SMEs in Saudi Arabia. The study will employ a quantitative approach among selected tourism SMEs in Saudi Arabia. SPSS and AMOS (SEM) will be used to analyse the data obtained. Findings from this study will serve as a guideline for policy and decision makers in both private and public organizations.  


2019 ◽  
Vol 11 (1) ◽  
pp. 337-354 ◽  
Author(s):  
Dominic P. Parker ◽  
Walter N. Thurman

We highlight the extraordinary growth in private conservation via land trusts and conservation easements and describe the problems arising from the interplay of public finance and private decisions. We offer a framework for understanding the popularity of easements and land trusts and for evaluating policy reforms aimed at improving their performance. The framework, grounded in institutional and organizational economics in the tradition of Ronald Coase, Oliver Williamson, and Yoram Barzel, focuses on the measurement and monitoring costs faced by public and private stakeholders under current and prospective policy arrangements. We illustrate how the framework can be applied to contemporary debates about the appropriate tax treatment of donated easements, requirements that they be held in perpetuity, and the extent to which government should regulate private land trusts.


2020 ◽  
Vol 12 (1) ◽  
pp. 72-86
Author(s):  
Aleksey Anisimov ◽  
Anatoliy Ryzhenkov ◽  
Elena Menis

Purpose This study aims to clarify the scope of the legal procedure of the acquisitive prescription in Russia. Design/methodology/approach Dialectical method, historical method and system analysis method have been used. Findings The authors consistently prove the inadmissibility of applying acquisitive prescription to land plots in private, state or municipal ownership. One of the features of Russia as an emerging market economy is that, the major part of state lands is in so-called “non-delineated state ownership.” Plots included in such lands are not registered in the cadaster or transferred to particular public owners. That is why, the authors prove that the procedure of acquisitive prescription must be applied only in relation to land plots that are in non-delineated state ownership and have been occupied by citizens and legal entities for 15 years. Originality/value The authors propose new guarantees of the rights of private and public land owners. Clarification of the scope of the acquisitive prescription procedure will streamline the turnover of real estate in Russia.


2008 ◽  
Vol 13 (2) ◽  
pp. 102-114 ◽  
Author(s):  
Coren P. Jagnow ◽  
A. E. Luloff ◽  
James C. Finley ◽  
Gary San Julian

2019 ◽  
pp. 74-76
Author(s):  
Guru Dutta Satyarthee

Repetitive fall producing head injury in children may lead to development of intracranial hematoma. The course of evolution may be rapid in case of repeated fall due to induction of sub-clinical coagulopathy caused by repetitive cranial injury. The awareness of such possibility is highly desired among the pediatrician and neurosurgeon and emergency team and quick diagnosis and pertinent imaging study is of immense value and appropriate surgical management for prompt and expediting the evacuation of intracranial hematoma evacuation should be attempted to preserve good neurological outcome. Authors reports a case, who had rapid neurological worsening, managed surgically with good neurological outcome, further various surgical management options along with pertinent literature are briefly reviewed.


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