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Full bibliography 13,085 resources
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The article reviews the book, "Women's Work & Identity in Eighteenth-Century Brittany," by Nancy Locklin.
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In recent decades, the differences between the education and training systems in the liberal and coordinated market economies have increased. It is not possible to understand such different developments by focusing exclusively on the internal dynamics of vocational and general education systems. Vocational education and training (VET), and particularly apprenticeship systems rather than school-based VET, are deeply embedded in the different national production, labour market, industrial relations and status systems. In order to contribute to a better understanding of the dynamics of VET, we examine recent developments in general and vocational training and its links to the labour and product market in five contrasting countries, namely, Denmark, Canada, Germany, Korea and the USA. In particular, differences in industrial relations, welfare states, income distribution and product markets are the main reason for the persistent high level of diversity in vocational training systems. The difference can perhaps be summarized as follows: in the coordinated market economies, the modernisation of vocational training is seen as a contribution to innovation in the economy, while in liberal market economies, it is seen as a siding into which weaker pupils can conveniently be shunted.
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This article emphasizes the contribution of International Framework Agreements (IFAs) to collective bargaining within multinational companies (MNC). For this purpose, we used various data, including content analysis of 42 IFAs and interviews with representatives of the five Global Union Federations (GUFs) involved in the negotiation of these IFAs, in order to assess the content and efficiency of these agreements. Our analysis reveals that IFAs usually include a commitment by the signatory MNC to conform to ILO's core conventions in all its operations, and to inform its business partners of their obligations under the agreement. Regular meetings are held with unions' representatives for the monitoring of these agreements to ensure their respect by the signatory multinational companies and their business partners. According to GUFs' representatives, the IFAs have been effective in protecting basic trade union rights covered by ILO conventions 87 and 98. In the last part, we emphasize the IFAs' contribution to collective bargaining within MNCs and discuss the prospects for future development of international collective bargaining, particularly in light of Levinson's seminal work (1972) on this subject.
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The article reviews the book, "Framing Identity: Social Practices of Photography in Canada (1880-1920)," by Susan Close.
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The article reviews the book, "Working Construction: Why White Working-Class Men Put Themselves - and the Labor Movement - in Harm's Way," by Kris Paap.
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The private English language training industry in Canada has grown rapidly in recent years. While subject to influences of market competition, ESL schools have had little educational or labour regulation. This study presents life history interviews with four teachers who became involved in forming unions at their workplaces because of their experiences with just labour practices. The findings show that teachers sought union protection to deal with a pervasive sense of insecurity in their jobs. Through unions, they established clearer processes for dealing with such issues as the allocation of work and the resolution of grievances, a forum for communicating concerns to management, and a peer support structure. Additionally, these teachers have gained significant increases in salary and benefits. These narratives also show teachers, both individually and collectively, engaging in resistance as they confront the daily infringement of business priorities on their capacities to develop and practice as educators.
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Aboriginal women have a long history of paid labour in Canada, yet there is little scholarly writing examining their work experiences. Using enfranchisement case files for the Ontario Indian agencies of Parry Sound and Manitowaning, supplemented by oral histories from the Tyendinaga Mohawks, this article explores the work lives of Anishinabe and Mohawk women in the 1920s and 1930s. Aboriginal women's economic roles involved a continuum of labour ranging from non-cash-oriented subsistence production to commercially-oriented farming, handicraft production, and berry-picking, to wage labour in the capitalist economy. In response to increasing economic hardship on the reserves, First Nations men and women turned increasingly to off-reserve wage labour. While men around Georgian Bay had access to seasonal jobs in lumbering, sawmilling, transportation, and tourism, women faced much more limited employment opportunities in the area. Some responded by moving to towns and cities to work. Further south, the Mohawk women of Tyendinaga could take domestic service jobs and commute from the reserve, or they could move to larger cities to work. For both groups of women, as for women in general, domestic labour was the most common occupation. The Tyendinaga women also had considerable involvement in manufacturing and migrant farm labour. A few women from both groups were able to finish high school and obtain clerical jobs, which offered better pay and shorter hours. Aboriginal women's occupational distributions were similar to those of other women in the labour force, especially working-class, immigrant, and racialized women. Contrary to today's persistent media images of Aboriginal unemployment, their records and reminiscences reveal lifetimes of hard work, self-support, and self-respect.
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This thesis addresses the topic of electronic employee monitoring in non-unionized workplaces in Canada. Electronic employee monitoring is defined as including (1) the use of electronic devices to review and evaluate employees’ performance; (2) ‘electronic surveillance’; and (3) employers’ use of computer forensics. Detailed consideration is given to a variety of technologies, including computer, internet and e-mail monitoring, location awareness technologies (such as global positioning systems and radio frequency identification), as well as biometrics, and the developing case law surrounding these innovations. Analogies are drawn to the jurisprudence developing with respect to unionized workplaces and under statutory unjust dismissal regimes. This analysis leads to the conclusion that legislative reform is necessary, either through (1) the creation of parallel private sector privacy regimes, such as those in British Columbia and Alberta, mirroring existing federal legislation; (2) amendments to existing employment standards legislation; or (3) the enactment of a stand-alone surveillance statute.
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The article reviews the book, "Les temporalités sociales : repères méthodologiques, ouvrage collectif," edited by Jens Thoemmes and Gilbert de Terssac.
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This paper re-examines the concept of work-family balance by analyzing qualitative data from interviews conducted with Australian senior female staff and managers at a major metropolitan bank and a large, regional hospital. Extant research suggests that managers and staff in senior roles, who have greater autonomy and discretion than other employees, are better able to balance their work and family demands. This paper finds evidence for work-family conflict among participants, who perceive they have "no balance" and must make many personal sacrifices to meet the conflicting demands of work and family. Our findings are confronted with the greedy institutions framework which provides a suitable metaphor to understand the role of organizations in supporting the dual demands of work-family.
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The article reviews the book,"Craft Capitalism: Craftsworkers and Early Industrialization in Hamilton, 1840-1870," by Robert B. Kristofferson.
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The article reviews the book, "Live Working or Die Fighting: How the Working Class Went Global," by Paul Mason.
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Based upon unique Canadian administrative data from the years 1996 to 1999, this study examines the duration of absences from work due to injuries arising from workplace violence with a hazard model. We find that policing and nursing occupations, larger health care expenditures and more severe acts of violence are associated with longer absences from work. On the other hand, workers from larger firms have shorter absences from work. Our estimates are also quite sensitive to the inclusion of unobserved heterogeneity distribution, i.e., an individual specific random effect. This suggests that unobservable factors, such as stress and psychological or psychosomatic problems resulting from the workplace violence could have a large impact on the duration of work absences.
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L’industrie de la construction connaît une mobilité de la main-d’oeuvre particulièrement élevée en regard de la moyenne des autres secteurs de l’économie. En effet, le taux annuel des cessations d’emploi est pratiquement le double dans la construction par rapport à l’ensemble des secteurs d’activité économique. Cela s’explique par diverses caractéristiques de l’activité productive de cette industrie. Par ailleurs, cette mobilité doit être distinguée selon que l’on considère les déplacements de la main-d’oeuvre au sein même de l’industrie ou les départs permanents de cette industrie. Recourant à des données originales de Statistique Canada, nous présentons une analyse de certains facteurs explicatifs de cette double réalité. Nous nous intéressons notamment au cas du Québec qui offre un profil institutionnel particulier en matière de régulation du marché du travail., The construction industry has often been described in terms of its distinctive features, that is, its industrial organization, the specificity of its workforce, the nature of its work processes or its labour relations system. An important feature of the industry is unstable employment and the resulting high level of workforce mobility. Empirically, this industrial mobility is reflected in a rate of workforce mobility in the industry that is practically twice higher than in the economy as a whole. This is based on the mobility indicator of terminations of “permanent” employment during the course of one year as used by Statistics Canada. However, the usual statistical measure of workforce mobility expresses a break in the employment relationship for a given employer. This measure therefore does not necessarily describe adequately the reality of an industry with characteristics such as those found in the construction industry, since the Statistics Canada data do not indicate if the workers find other employment in the same or another sector. These important distinctions are rarely considered in either official statistics or the literature. For an industry whose labour market tends to be regulated on a sectoral basis, which is the case in Quebec, workforce mobility within the industry or sector itself does not have the same significance as permanent departures from the industry. The latter would represent a net loss of human capital. Considering the possible impacts on the workforce, employers and the industry in general, it is important to examine this phenomenon of high workforce mobility, to measure it, and to try to evaluate its causes and effects. This article thus seeks to understand, in particular, whether workforce mobility in the construction industry is truly exceptional. We will examine original comparative data for Quebec and Canada. More particularly, we have sought to distinguish between workforce mobility within the construction industry and mobility expressed through workforce departures to other sectors. The main results of our research indicate that construction workers’ movement to other sectors in Quebec is a real and significant phenomenon, although it is among the lowest when compared to other Canadian provinces. The proportions of construction industry workers who move to other economic sectors are similar to those observed for other industries. Thus, our data on this mobility correspond to certain explanatory factors found in the literature to explain workforce mobility, such as age and income level. In fact, in line with most studies identified in the literature on workforce mobility, the workers who leave the industry are younger than those in the industry as a whole. Moreover, it can also be suggested that they are more inclined to leave the industry if, in addition to being among the youngest, they are not highly skilled. In terms of income, our results are in line with the literature. On the one hand, mobility is more often correlated with low initial gains for workers, and on the other, a logical consequence is that mobility reflects the workers’ desire to improve their economic situation. It can also be hypothesized that changing sector will tend to also correspond to workers’ changing their occupations. This hypothesis is supported by two facts. First, most construction trades are very specific to the industry and as such, are not easily exported to other sectors. Second, the sectors to which workers who have left construction tend to move often have little to do with the latter (e.g., transportation, commerce, public services or manufacturing industries). Workforce mobility in the construction industry is an ongoing challenge for an industry with characteristics of production activity that often result in employment instability. Thus, how can workers be attracted to and retained by the industry which, year after year, has twice as many employment terminations as in other sectors? Our data suggest an initial conclusion regarding the conditions that should be put in place to minimize permanent departures from the industry. The workers recruited should be guaranteed a satisfactory number of working hours, which will provide them with an income level that is at least comparable to other sectors. The recruitment of workers who hold a diploma, as compared with workers without experience or specific knowledge of the industry, also seems to have a positive effect on their retention. Our data also suggest that sectoral regulation of the workforce, and particularly the centralized management of benefits, are organizational features that mitigate certain disadvantages of employment instability for workers. In other words, it is argued that this model of sectoral regulation results in workforce management that reconciles the imperatives of the high mobility specific to this sector while at the same time ensuring a degree of economic security for workers., La industria de la construcción conoce une movilidad de la mano de obra particularmente elevada comparativamente a otros sectores de le economía. En efecto, la tasa anual de cesación de empleo es prácticamente el doble en la construcción comparativamente al conjunto de sectores de actividad económica. Esto se explica en razón de las diversas características de la actividad productiva de esta industria. Es más, esta movilidad debe ser distinguida según que se considere los desplazamientos de mano de obra dentro de la misma industria o los alejamiento permanente de esta industria. Utilizando datos originales de Estadísticas Canadá, presentamos un análisis de ciertos factores explicativos de esta doble realidad. Nos interesamos en especial al caso de Quebec que presenta un perfil institucional particular en materia de regulación del mercado de trabajo.
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Union members (n = 187) completed surveys assessing five affective measures (organizational commitment, job satisfaction, work climate satisfaction, management satisfaction, and union commitment) following a five-month long strike. Paired t-tests (using retrospective questions where participants assessed pre and post-strike affect on a single survey) found that the strike had a negative impact on worker reactions to both their management group and their union across all five measures. The significance of this study is that the negative effects of strikes can, and do, carry over into the workplace in terms of worker affect towards their union and employer. From a theoretical perspective, these findings are consistent with the IR systems' concept of a feedback loop and suggest that future strike research and theories should be expanded to examine issues related to worker reaction.
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Cette étude analyse le taux de pénétration des nouvelles formes d’organisation du travail (NFOT) ainsi que leurs déterminants. Pour ce faire, les perspectives contingente et institutionnelle ont été mises à profit afin de caractériser les facteurs explicatifs des NFOT dans 252 entreprises québécoises. Les résultats de cette étude sont concluants : la perspective contingente explique mieux la présence des NFOT lorsque le taux de pénétration de ces pratiques est élevé, alors que la perspective institutionnelle s’avère dominante lorsque ce taux est faible. Concrètement, les résultats suggèrent que la stratégie d’affaires, la gestion participative, le type de culture et la qualité totale, caractérisant la perspective contingente, sont les facteurs déterminants d’une pénétration élevée des NFOT, alors que le secteur d’activités, la concurrence à l’international et la structure de gouvernance, caractérisant la perspective institutionnelle, expliquent mieux la présence des NFOT lorsque celles-ci sont implantées superficiellement., This study deals with new forms of work organization (NFWO). Whereas, in the past, this subject has been approached by many authors from the perspective of the impact of innovative practices on business performance (Arthur, 1994; Handel and Gittleman, 2004; Handel and Levine, 2004), this study rather sets out to study the diffusion and the determinants linked to work organization. Consequently, we can ask the following question: what differentiates firms having implemented new forms of work organization (NFWO)? To answer this question, two perspectives will be used: the institutional perspective and the contingent perspective. On the one hand, according to the institutional perspective, businesses could be tempted to imitate competitors and/or to follow the enthusiasm which increasingly, many industries show for NFWO (Dirsmith, Fogarty and Gupta, 2000). They might equally be compelled to adopt NFWO due to surrounding coercive forces. According to this approach, the choice would thus be rather the result of sectoral imitation (DiMaggio and Powell, 1983) limited or encouraged by the different groups of actors in the business. On the other hand, according to the contingency theory, businesses should be bound to their internal structure as well as to their policies and human resource management practices on their business strategies and their internal strategies. The choice to adopt or to implement NFOW would stem, from this perspective, from a rational and strategic choice (Dunphy and Bryant, 1996). Thus, businesses opting for participative management and having initiated a quality management approach would be more inclined to adopt new forms of work organization oriented towards autonomy and, conversely, those having adopted autocratic management and mass production without concern for quality would be less attracted by these practices (Dean and Bowen, 1994; Handel and Levine, 2004). The results of this study show that 27% of establishments surveyed chose to implement NFOW substantially, which is comparable to the results obtained by Osterman (1994a, 2000). Also, although we did not test for the presence of complete practice systems, it appears that few businesses chose to thoroughly implement several practices linked to work organization. To this end, we observe that autonomous work teams are less implemented than are the other selected practices. Our results suggest that the contingent perspective and mainly internal strategies better account for the presence of NFOW than does the institutional perspective. Concretely, we found that the presence of a leadership strategy by costs, of participative management, of a quality management approach, and a market culture based on performance are all linked to the presence of NFOW when the degree of penetration for these practices is considered. However, on the institutional perspective side, the sector to which the business belongs, the competitive pressure to which businesses are exposed, the governing mechanism and their level of growth are linked to the presence of NFOW only when these are superficially implemented. In conclusion, certain businesses implement NFOW in a way so as to be coherent with their strategies and values, while others seem rather to follow the style of the day, without achieving true change as concerns their work organization method., Este estudio analiza la tasa de penetración de las nuevas formas de organización del trabajo (NFOT) así que sus determinantes. Para ello hemos utilizado las perspectivas contingente e institucional para caracterizar los factores explicativos de las NFOT en 252 empresas quebequenses. Los resultados de este estudio son concluyentes: la perspectiva contingente explica mejor la presencia de NFOT cuando la tasa de penetración de dichas prácticas es elevada, mientras que la perspectiva institucional se revela dominante cuando esa tasa es baja. Concretamente, los resultados sugieren que la estrategia empresarial, la gestión participativa, el tipo de cultura y la calidad total, que caracterizan la perspectiva contingente, son los factores determinantes de una penetración elevada de NFOT, mientras que el sector de actividad, la concurrencia en el campo internacional y la estructura de gobernanza, que caracterizan la perspectiva institucional, explican mejor la presencia de NFOT cuando estas son implantas superficialmente.
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The Realities of Work: Experiencing Work and Employment in Contemporary Society, third edition, by Mike Noon and Paul Blyton, is reviewed.
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Changing Contours of Work: Jobs and Opportunities in the New Economy, by Stephen Sweet and Peter Meiksins, is reviewed.
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Assesses workforce changes in Sudbury, Ontario, notably in the public sector, and the role of unions in confronting the Progressive Conservative provincial government of Mike Harris in the 1990s.
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