scholarly journals Pragmatic Aspects of Definition in Technical Terms Dictionary

Author(s):  
Fitri Amilia ◽  
Kisyani Laksono ◽  
Budinuryanta Yohanes

The Dictionary of Technical Terms has not shown any significant development on its existence. This dictionary has never been revised since its first publication in 1985 by the National Institute of Language. The dictionary which was presented in KBBI Daring has not also shown any significant changes. The means of defining terms are found to be similar to those of the common dictionary. It is evidenced that there has been no formula yet to define in the dictionary of technical term. This study aims to describe the pragmatic aspects of definition which is the distinctive feature in defining lemma in the dictionary of technical term. Nine different technical term dictionaries published in 1985 by Pusat Pembinaan dan Pengembangan Bahasa were taken as the sources of data to find out about definian and definiandum. Data were gathered through documenting and synthesizing the pragmatic aspects of definian. Pragmasematic approach is the basis of the pragmatic aspects found in the dictionary of technical term. The data were then analyzed using content analysis of similarities and distributions of the definian. The results showed that the pragmatic aspects can be seen from the citation of pragmatic features related to the user’s need while the use of semantic aspects still do exist. The blend of these two is called as pragmasemantic. The findings of this pragmasemantic are indicated by the existence of context setting features, participants, ends, norms, genre, and evidence contexts. This type of pragmasemantic conception consists of a single definian. The findings of this conception is expected to help developing the dictionary of technical terms into learners’ dictionary in which it emphasizes the contextual features of a lemma to assist the learners in grasping the lemma more precisely.

2021 ◽  
Vol 34 (3) ◽  
pp. 47-60
Author(s):  
David Selva-Ruiz ◽  
Desirée Fénix-Pina

The soundtrack music video is an audiovisual format used by the cultural industries of film and music as a commercial communication tool, since it is based on a song from the soundtrack of a film, so that both the artist that performs the song and the film itself obtain promotional benefits. This paper conceptualizes this poorly studied phenomenon of cross-promotion connecting the music and film industries and uses a content analysis of 119 music videos produced over a period of 33 years in order to study the importance of the artist and the movie in the video, the various strategies developed in order to accomplish its double promotional mission, and the specific formal and strategic features of this audiovisual format. Analysis reveals that the soundtrack music video has the distinctive feature of including promotional elements both for the musical artist and for the movie. Although the artist tends to be more prominent, the vast majority of music videos include images from the film or use various ways of integrating the artist’s identity with the film’s iconography or narrative. Anyway, it is a phenomenon characterized by diversity, with the common pattern of the dual promotional objective, but with different ways of implementing that pattern.


2005 ◽  
Vol 24 (s-1) ◽  
pp. 171-193 ◽  
Author(s):  
Michael Gibbins ◽  
Susan A. McCracken ◽  
Steven E. Salterio

Much of what takes place in auditor-client management negotiations occurs in unobservable settings and normally does not result in publicly available archival records. Recent research has increasingly attempted to probe issues relating to accounting negotiations in part due to recent events in the financial world. In this paper, we compare recalls from the two sides of such negotiations, audit partners, and chief financial officers (CFOs), collected in two field questionnaires. We examine the congruency of the auditors' and the CFOs' negotiation recalls for all negotiation elements and features that were common across the two questionnaires (detailed analyses of the questionnaires are reported elsewhere). The results show largely congruent recall: only limited divergences in recall of common elements and features. Specifically, we show a high level of congruency across CFOs and audit partners in the type of issues negotiated, parties involved in resolving the issue, and the elements making up the negotiation process, including agreement on the relative importance of various common accounting contextual features. The analysis of the common accounting contextual features suggests that certain contextual features are consistently important across large numbers of negotiations, whether viewed from the audit partner's or the CFO's perspective, and hence may warrant future study. Finally, the comparative analysis allows us to identify certain common elements and contextual features that may influence both audit partners and CFOs to consider the accounting negotiation setting as mainly distributive (win-lose).


Author(s):  
Nan-Hua Nadja Yang ◽  
Ana Carolina Bertassini ◽  
Jéssica Alves Justo Mendes ◽  
Mateus Cecílio Gerolamo

AbstractFor the transition towards a circular economy (CE), organisations have to be prepared to adapt to major changes. Thus, the concept and implementation of change management (CM) will be essential to an organisation’s success during this transformative period. Studies have shown that organisational CE barriers were more significant than individual CE barriers. To overcome such obstacles, the most appropriate set of managerial practices should be carefully considered. These barriers also have the potential to influence the agricultural sector, which seeks to adopt more sustainable ways of production. The goal of this paper is to propose a solution framework based on CM strategies to overcome organisational challenges posed by a CE, especially for agribusinesses. To accomplish this objectively, a systematic literature review and a content analysis were conducted. The common errors in CM within the implementation process and the main CE barriers were identified and classified. An in-depth analysis of the issue’s roots led to a solid understanding of how to tackle such CM problems. This paper presents an overview of organisational CE barriers verified in the agricultural context, the common errors in CM, and the correlation between these findings. The two areas were then combined in a matrix that shows the connection between common errors in CM errors and CE barriers. Based on this result, a solution framework called 3CE2CE was developed that provides a step-by-step guide on how organisations can successfully undergo transformation processes towards a CE with the principles of CM.


2015 ◽  
Vol 77 ◽  
pp. 1-23 ◽  
Author(s):  
Christopher Cowley

I confess to finding the term ‘supererogation’ ugly and unpronounceable. I am also generally suspicious of technical terms in moral philosophy, since they are vulnerable to self-serving definition and counter-definition, to the point of obscuring whether there is a single phenomenon about which to disagree. It was surely not accidental that J.O. Urmson, in his classic 1958 article that launched the contemporary Anglophone debate, eschewed the technical term in favour of the more familiar concepts of saints and heroes. Since then, however, the term Supererogation has bedded down to encompass a number of more or less clear-cut philosophical debates, one of which concerns precisely the extent to which saintliness and heroism exhaust the supererogatory. And it has to be admitted that the word ‘saint’ has certain theological connotations that might be misleading in a secular philosophical discussion (in this volume, only Wynn and Drummond-Young invoke theological ideas), while the word ‘hero’ has potentially limiting associations with knights and soldiers and other forms of testosterone-driven accomplishment.


1960 ◽  
Vol 4 (3) ◽  
pp. 133-146 ◽  
Author(s):  
J. H. Jearey

The object of this paper is to show how far the Common Law has in the course of its adoption in Africa lost this distinctive feature, to indicate some of the reasons for this loss, and to describe the institution which has taken its place in criminal trials upon indictment.


2019 ◽  
Vol 18 (4) ◽  
pp. 407-425 ◽  
Author(s):  
Dejana Bouillet ◽  
Maja Jokić

In European post-socialistic countries or more commonly known as Central and Eastern Europe (CEE) countries, regardless of their differences and specifics, the common communist and post-communist legacies in the field of educational sciences are still recognisable. The aim of this article is to explore research activity in the educational sciences in 15 CEE countries: 11 EU member states and 4 from the former Yugoslav Republic in the period from 1996 to 2013. The purpose of this research is to recognise the specificity and dynamics of subject and content issues, and development of methodological approaches in the educational science research. The sample consists of abstracts of 2,395 papers by CEE authors published in 265 journals indexed in Scopus between 1996 and 2013. Content analysis was applied, where the abstracts were grouped into specifically created categories describing the content and methods of the paper and analysed on the basis of two criterion variables – CEE and non-CEE or international journals. The χ2 test showed that the field of educational sciences in 15 European post-socialist countries changed over time in terms of quantity, content and methods, becoming more expansive and diverse, which is recognisable in papers published both in international and in CEE journals.


2008 ◽  
Vol 30 (2) ◽  
Author(s):  
Margaret Gilbert

AbstractDrawing on earlier work of the author that is both clarified and amplified here, this article explores the question: what is it for two or more people to intend to do something in the future? In short, what is it for people to share an intention? It argues for three criteria of adequacy for an account of shared intention (the disjunction, concurrence, and obligation criteria) and offers an account that satisfies them. According to this account, in technical terms explained in the paper, people share an intention when and only when they are jointly committed to intend as a body to do such-and-such in the future. This account is compared and contrasted with the common approach that treats shared intention as a matter of the correlative personal intentions, with particular reference to the work of Michael Bratman.


2016 ◽  
Vol 5 (1) ◽  
pp. 35-48
Author(s):  
Tripathi Yah ◽  
Singh Rupali

Ever since India became independent in 1947, major reforms have taken place with respect to many aspects of our day-to-day life. Despite this, several of the laws so passed have not adequately led to the advancement of our country. In addition, statutes are often complex, and therefore cannot be understood by the common man. Ironically, the laws that are enacted for the betterment of the citizens are structured and compiled in such a manner, so as to lead to circuitous statutes laden with several technical terms, discouraging the same very people of the country from taking any legal recourse. The law commission has come out with many far-reaching reports to repeal numerous irrelevant laws, which have given rise to considerable confusion in the minds of citizens as well as the litigants. However, the government has not been very proactive on this front, taking shelter under Article 372 of our Constitution which provides the basis for the continuation of such redundant laws. Most of these laws no longer serve their original purposes, given the change in context. This article highlights the problems that are caused by such laws. Further, it gives an insight into the applicability of the doctrine of desuetude and how the judiciary has favoured its applicability to simplify matters relating to the functioning of these laws.


2017 ◽  
Vol 18 (1) ◽  
pp. 87
Author(s):  
Slamet Untung

The major problem of this article is how Abdurrahman Wahid’s ideas on developing pesantren education. It is elaborated into major sub-problems, namely the pesantren existence in the political frame of the New Order in the decades of 1970s and 1980s, Abdurrahman Wahid’s view on pesantren, and on the framework of developing pesantren education. This research is designed as qualitative one using hermeneutic and content analysis approaches. The findings of this research show that the phenomena of inability of pesantren in facing the New Order power, the policies of non pro-pesantren regime, and political suppression and systematical marginalization to pesantren done by the New Order regime in the decades of 1970s and 1980s became the factors that opened the way for the emergence of pesantren educational development ideas. Meanwhile, the common manifestations of the stagnant and apprehensive pesantren conditions were the internal factors encountered by pesantren at that time. To change these pesantren conditions, innovative ideas, namely “pesantren dynamicization” was introduced.<br />---<br /><br />Masalah utama tulisan ini adalah bagaimana gagasan Abdurrahman Wahid tentang pengembangan pendidikan pesantren. Hal ini diuraikan menjadi sub-masalah utama, yaitu keberadaan pesantren dalam kerangka politik Orde Baru dalam dekade 1970-an dan 1980an, pandangan Abdurrahman Wahid tentang pesantren, dan dalam rangka pengembangan pendidikan pesantren. Penelitian ini dirancang secara kualitatif dengan menggunakan pendekatan analisis hermeneutik dan isi. Temuan penelitian ini menunjukkan bahwa fenomena ketidakmampuan pesantren dalam menghadapi kekuasaan Orde Baru, kebijakan rezim non pro-pesantren, dan penekanan politik dan marginalisasi sistemik terhadap pesantren yang dilakukan oleh rezim Orde Baru pada dekade 1970-an dan 1980 menjadi faktor yang membuka jalan bagi kemunculan gagasan pengembangan pendidikan pesantren. Sementara itu, manifestasi umum dari kondisi pesantren yang stagnan dan memprihatinkan adalah faktor internal yang dihadapi pesantren saat itu. Untuk mengubah kondisi pesantren ini, maka ide inovatif, yaitu “dinamika pesantren” diperkenalkan.


Author(s):  
Kamaliah Salleh ◽  
Noor ‘Ashikin Hamid ◽  
Noraida Harun ◽  
Asiah Bidin ◽  
Zuhairah Ariff Abd Ghadas

The members own the company by virtue of their shareholding and the directors manage and exercise control over the company’s affairs through the company’s board meeting. Despite segregation of powers and roles between the members and directors, there has been an inclination on the part of the members to participate to a greater extent in the company’s affairs. This paper aims to establish the legal position as between the directors and members that reflect the separation of control and ownership in the company under the common law and the Malaysian law. The method used in this study is the content analysis of the reported Malaysian and international law cases as well as the statutory provisions in order to examine the legal position established under the common law, the previous Companies Act 1965 and the newly introduced Companies Act 2016. The study reveals that the separation between the two has long been recognized and upheld by the common law as well as the Malaysian Acts. The introduction of section 195 of the Companies Act 2016, however, allows members to raise their voice in relation to matters which are within the powers of directors, hence the separation becomes slightly vague. In the absence of the latest judicial decisions to test the application of section 195, further review on its application may be required in order to determine methods to measure if a members’ recommendation is truly made in the best interests of the company.


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