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En 2003, la Commission de vérité et de réconciliation du Pérou (CVR) publie un rapport sur la période de guerre interne et de violence qui a déchiré le pays entre 1980 et 2000. Ce rapport étudie ces deux décennies pour faire la lumière sur les événements et évaluer la position de divers secteurs de la société afin que les Péruviens puissent se réconcilier avec un pan de leur histoire. Dans son rapport, la CVR consacre une section aux médias, notamment la presse écrite, et salue le rôle « important » qu’ils ont joué, tout en notant au passage que leur couverture du conflit n’a pas favorisé la pacification du pays et a même pu la compromettre par moments. Ce mémoire vise à étudier la couverture de la guerre interne par les trois quotidiens péruviens les plus importants pour le tirage, Expreso, El Comercio, et La República. Il porte surtout sur la période comprise entre le début des hostilités, le 17 mai 1980, et le massacre de huit journalistes dans le village andin d’Uchuraccay, le 26 janvier 1983. Un regard est également jeté sur l’évolution du journalisme au Pérou depuis les années 1960, marquées par l’élection d’un gouvernement démocratique et aussi par l’instauration d’un régime militaire qui se maintiendra au pouvoir pendant 12 ans. Les bouleversements au cours de cette période difficile expliquent, au moins en partie, le désintérêt initialement manifesté par ces quotidiens, au-delà des différences idéologiques manifestes, à l’endroit des premiers pas du Sentier Lumineux et de sa « guerre populaire ».
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Résumé: Au lendemain de la Seconde Guerre Mondiale, la nécessité de moderniser la politique d’immigration américaine fait l’unanimité, la principale loi régissant l’immigration datant de 1924. Cependant, la question des paramètres de la réforme fait naître un débat fortement polarisé. Les défenseurs du statu quo, qui souhaitent maintenir le système des quotas nationaux faisant de l’origine nationale le premier critère d’admission, auront initialement le dessus, comme en fait foi le passage du McCarran-Walter Act en 1952. D’autre part, les partisans d’une libéralisation affirment que cette loi restrictive et discriminatoire va à l’encontre des objectifs de la politique étrangère américaine, particulièrement dans un conflit aussi idéologiquement chargé que la Guerre Froide. Au courant des années cinquante et au début des années soixante, les réformateurs libéraux auront progressivement le dessus dans le débat, si bien qu’une nouvelle loi sera adoptée en 1965. Ce mémoire propose d’aborder cette période de réforme sous l’angle de l’opinion publique. À partir, des sources permettant de prendre le pouls de la société américaine au sujet de la politique d’immigration, il a été possible d’observer une libéralisation progressive de l’opinion publique durant la période. Dans le cadre de ce mémoire, l’interprétation de cette évolution est centrée sur l’influence grandissante des enjeux de la Guerre Froide dans le débat entourant la réforme.
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Le 11 septembre 1973, un coup d’État orchestré par les Forces Armées chiliennes met fin à trois années de gouvernement socialiste dirigé par Salvador Allende. Augusto Pinochet, à la tête du putsch, installe au pouvoir une violente dictature militaire pour dix-sept ans. Événement synonyme de trauma et instigateur d’une période répressive, ou sauvetage national venant freiner la descente aux enfers socialistes? La mémoire de la société chilienne demeure fragmentée vis-à-vis de son passé récent. Cette étude cherche à définir la transmission intergénérationnelle de la mémoire du passé répressif. Menée sur deux fronts, soit à Santiago et à Montréal, la présente recherche s’applique à établir quelles sont les interprétations du passé récent de la génération « postmémoire », c’est-à-dire des personnes nées peu avant ou durant la dictature. Les représentations, les perceptions, ainsi que les canaux d’apprentissage seront mis en perspective selon le territoire, afin de dégager les discours communs et antagonistes. Prenant assise sur des sources orales, ce mémoire présentera les différentes versions du passé selon vingt-huit témoignages.
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From the sixteenth century, the Cossacks became more and more submissive to the authority of the tsar, but remained in some regions of their own, especially the Don. Their military ability and their utilization as cavalry in defense and offensive activities defined their role within the Empire. ln return, they received many honorary and material benefits. Sorne occasional revolts did not weaken the link between the Cossacks and the tsar. But at the turn of the twentieth century, the situation in the country was fragile. The Cossacks were not spared by the difficulties of the population and they had the same demands. The troubles continued until the revolution of october 1917, followed by a civil war that particularly hit the south of the country and lasted until 1920. Taking into account the privileged relations the Cossacks had with the regime, and the myth that described them as great defenders of the tsar, we have to ask ourselves what their real political attitude was towards and during the revolutionary episode. That is the question this thesis tries to answer. ln doing so, we will study the western historiography, francophone and anglophone, since the time of the contemporary authors until the most recent trends. The interpretation of the events of October arose historiographical schools and diff erent visions : some reduced them to a coup d'Etat and others saw a real revolution. On the other hand, the historians agree on lots of questions in their global analysis of the political behaviour of Cossacks. Thus, according to our analysis, the Cossacks had a tendency to opt for neutrality and showed ambivalence towards the two belligerent of the Civil war. They gave their support and took a stand with the side that was more qualified to defend their interests at this or that moment and their aims were foremost separatist.
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Au début des années 1970, les travailleurs de l'amiante de Thetford Mines et d'Asbestos ont entrepris un combat pour assainir leurs milieux de travail et leurs villes, dans lesquelles les mines étaient imbriquées. À Thetford Mines, ils ont mené une longue grève de sept mois et demi qui a conduit à la mise sur pied du Comité d'étude sur la salubrité dans l'industrie de l'amiante, puis, avec l'élection du jeune Parti québécois, à la Loi sur la santé et la sécurité du travail qui introduisait les principes de l'élimination des dangers à la source et de la participation des travailleurs à son application. La crédibilité de leurs syndicats s'en trouvait renforcée. Mais bientôt la montée d'un mouvement international visant à bannir l'amiante et la crise économique du début des années 1980 allaient porter un dur coup à l'industrie et entrainer un déclin que rien ne pourrait arrêter. Les travailleurs miniers, qui s'étaient unis contre leurs employeurs et parfois contre l'État dans leur combat pour la santé, s'allièrent dès lors à leurs entreprises et aux pouvoirs publics pour promouvoir le minéral et tenter de préserver leurs emplois et la vitalité de leurs régions. Ils n'ont jamais envisagé l'arrêt de la production d'amiante car ils ont toujours considéré qu'il est possible d'en maitriser les risques et ils défendirent bec et ongles leur produit en arguant du caractère sécuritaire de ses utilisations modernes, malgré un consensus international grandissant à l'encontre de cette thèse.
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Cinématographie-attraction / kine-attractography has for a long time been associated with the origins of cinema. But in 1978, an academic controversy created a rift in cinematic historiography and these works were subsequently deemed to be a separate object of study, one distinct from institutional cinema. This thesis will focus on kine-attractography in the setting of Montreal from the use of the Lumière Cinematograph projector in 1896 to the founding of the Quebec Board of Censorship in 1913. The legislative context surrounding these new forms of ‘amusement’ will be discussed (bills were modified or created to address legal questions). This thesis will investigate these events within the relevant historical, geographical and cinematographic contexts. It will then consider three aspects of kine-attractography that differ from those in cinema: manufacturing (which includes the way cinematic works were financed, shot and later modified), exhibition (the matter of where and how these works were shown) and reception (the ways these works were evaluated or judged). We will discuss how kine-attractography was initially overseen by diverse groups of people (from those who financed or shot the moving pictures, to the owners of ‘amusement’ theatres, to the policeman or fireman who was present at each projection), and then subsequently overseen by recognized institutions, government representatives included. We will explore the issues which accompanied its institutionalisation relative to these various groups by studying articles and ads in Montreal’s newspapers, legal texts, official pronouncements, diocese speeches, catalogues published by manufacturing companies, and the moving pictures themselves.
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In 1936, the American Music League published Negro Songs of Protest, a book of songs collected by the left-wing folklorist Lawrence Gellert. In 1938 and 1939, with the financial support of the communist movement, the producer John Hammond was able to present From Spirituals to Swing at Carnegie Hall, New York, two concerts that celebrated the contribution of African American music in American history. Moreover, the From Spirituals to Swing concerts broke the color line, by letting Blacks and Whites play music together on stage and sit together in the audience. During the same years, jazz singer Billie Holiday enjoyed a monstrous success with her anti-lynching song “Strange Fruit” at Café Society, the first integrated club and radical left-wing cabaret in New York. It was the time of the Popular Front; a time when the communist movement had a great influence on American society and when the organized left exerted unprecedented power over mass culture. Starting with a discussion of the revolutionary potential of African American music and trying to understand what social movements do with culture, this essay traces the developing point of view of white American communists toward the commercial explosion and growing popularity of blues and jazz music in USA during the interwar years. It asks the question of why there was so little mention of jazz and blues in Party organs during the 1920’s and early 1930’s , it explores the changing attitudes of the Old Left toward popular culture and suggests that the American communist movement used blues and jazz music for agitprop, during the last of the three main political phases of the Communist Party of America (CPUSA) – the colorblind class (1919-1928); the Black Belt Nation thesis (1928-1935); and the Popular Front (1935-1940).
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Studying the works and letters of Johann Joachim Winckelmann written between 1755 and 1768 gives new insights on love between men in the 18th century and on its relation to the construction of masculinity. The case of Winckelmann illustrates the constructed and changing nature of eroticism: the influence of the Hellenic example is visible in the homoerotic fantasy that Winckelmann used to interpret his desires. Antiquity, given its cultural authority, represented a relatively safe space where Winckelmann was able to express his homoerotic sensibility to which the western context was hostile. Greek literature exalted the display of affection between men and its statuary, the nude male body. This fantasy would later prove to be the capital in Winckelmann’s comprehension and justifications of his relations with other men in Italy after 1755. Far from being confined to the repression of homoeroticism by the 18th century European society, the case of Winckelmann illustrates its potential for partial integration. The originality of Winckelmann lies in the way he used to communicate his homoerotic ideas in scholarly texts while rendering them socially acceptable. Finally, several clues in his works and letters bear to think that Winckelmann was aware of his difference and that between 1755 and 1768 he created for himself a discrete community of men also sensitive to homoerotic desires.
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This thesis analyzes the identity of the tumular monuments designated as “Thracian”, discovered in the territory of present day Bulgaria and dated between the 5th and the 3rd centuries B.C. These monuments, built in ashlar masonry or in unprocessed stones, or a mix of different materials and building techniques, were invariably covered by earthen mounds (called tumuli) which have been used to varied ends by local populations from Antiquity until the present day. More or less detailed studies of these tumular monuments began to appear by the end of the 19th century, while the list of newly discovered structures continues to grow almost exponentially. These publications and discoveries revealed that the sample of known Thracian monuments is characterised by what has been described as a great variety of architectural forms. Overwhelmed by this apparent variety, and in an attempt to explain it, certain researchers have tried to categorise what they have perceived as different types of monuments. Many hypotheses bearing on the function of the latter have also been proposed, although they differ only in the details and can be categorised in two main groups: that arguing for a funerary function of the monuments, and that arguing for a cultual one. Through the years, a heated debate has developed between researchers adhering to one or to the other of these hypotheses – discussion which has been fueled by a constant discovery of new monuments. It is thus surprising to note that neither the hypothesis pertaining to the possible origins of these buildings, nor those attempting to explain their functions, have been based on tangible data – a situation which has resulted in the attribution to the monuments of dubious labels such as “tombs-temples-mausoleums-heroons”. This study provides a comprehensive analysis of the hypotheses pertaining to the functions and, in more general terms, the identity of the Thracian tumular monuments. Its main objective is to explain the problems that these hypotheses have helped to identify, and which, ironically, they have contributed to sustain. It is noted that, despite the lack of precision in the accumulated empirical data relating to the Thracian monuments, most, if not all, researchers working in the field have tended to sink into an excessive positivism. This approach resulted in the implicit or explicit expression of the belief that that the inclusion of the maximum quantity of empirical data in a given analysis will necessarily result in a more complete understanding of a given archaeological context, which can then be inserted in a previously elaborated historical context, so as to paint a clearer picture of the past. Contrary to this tendency, and because of the lack of precise data, the present research focuses first, and foremost, on the publications bearing on the Thracian monuments and proposes a theoretically informed approach of the study of the latter. As described in Part I, this approach is based on current discussions concerning the methods and techniques of analysis in the fields of archaeology, anthropology and history, which have developed around similar circumstances defined by “incomplete” empirical data. The different hypotheses relating to the identity (or function) of the Thracian monuments have been based on specific archaeological elements (mainly of architectural nature), which are described and analysed in the second part of the thesis. The different interpretations of the Thracian monuments are then examined in the light of these analyses. Finally, in Part III of this thesis, the identities attributed to the Thracian monuments are scrutinised on the basis of these analyses and a restitution of the practices related to these monuments is proposed. The approach to the study of the Thracian tumular monuments that has been adopted in this thesis takes into account not only the methodological aspect of the research published by specialists in the field, but also the data on which the different hypotheses relating to these monuments have been based. Particular attention has been drawn to two aspects present in all publications on the subject: the “technical” and “theoretical” vocabulary implicitly or explicitly employed by the authors and the manner in which it affects their perception of the identity of the Thracian monuments. Part III analyzes and underlines the outcome of the different uses of the implicitly or explicitly defined vocabularies employed by thracologists, leading to a comparison between the already published perceptions of the identity of the Thracian monuments and the reconstitution of their function proposed by the author of this thesis. This comparison, as well as the application of the methodology presented in Part I, show that the restitution of the monuments as having had a funerary function is the most parsimonious and better founded in the material record than the cultual function for which some have argued. However, the function of the monuments, as reconstituted by the author of this thesis, differs from most of the “funerary” explanations of the monuments published to date – these tend to venture far beyond the inductions permitted by the available data. Furthermore, this (or any other) restitution of the monuments’ function as funerary does not automatically exclude the possibility of them having been used as cultual places/buildings. Despite the apparent similarity between such an argument with those that have been emitted towards the identification of the Thracian monuments as “temple-tombs”, the author expresses the opinion that the use of such labels is dubious and allows for unfounded critique and ineffectual comparisons between the classical Greek idea of the “temple” and Thracian cultual places. The result of the analysis of the different elements pertaining to the reconstitution of the Thracian monuments’ identity have led to the following conclusions: 1) none of the already published hypotheses arguing for a funerary or for a cultual explanation of the monuments can be validated because of the excessive recourse by their authors to extrapolations lacking proper argumentation; 2) the lack of precise data or, more importantly, of precisely excavated and reconstituted archaeological contexts, prohibits the elaboration of complex hypotheses such as those proposed by specialists in the field; 3) nevertheless, the current state of knowledge regarding the material culture related to the Thracian monuments, and the rigorous application of a methodical analysis of the data show that a reconciliation between the “funerary” and the “cultual” identities of the monuments is possible – however, this fact should not be perceived as a justification of the use of labels similar to “temple-tombs”, nor of the conclusions upon which such labels are based; 4) there is an urgent necessity for a re-definition of the methodological approaches used (or the lack thereof) in the theoretical analyses of the Thracian monuments, as well as those employed on the field, during excavations. A failure to take account of these facts and shortcomings by proceeding with such a re-definition would mean that the identity of the Thracian tumular monuments would remain a matter of opinion and could even be transformed into a matter of dogma. The analyses in this thesis can serve as a base for the re-evaluation of the identity of the Thracian monuments because of their theoretical and methodological soundness. However, such a re-evaluation must also be based on a reconstitution of Thracian ritual practices based on the archaeological record. Paradoxically, despite the impressive amount of publication on the subject of the Thracian tumular monuments as places of cultual practices, a systematic reconstitution of Thracian ritual based on Thracian material culture is yet to be proposed.
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Ce mémoire offre un résumé de l’état de la recherche quant à la perception des Japonais et de l’ennemi japonais aux États-Unis avant et pendant la Deuxième Guerre mondiale. Il en ressort que la question plus spécifique du traitement réservé à l’ennemi japonais et à la responsabilité des actions de guerre perpétrées par celui-ci dans les journaux américains mérite d’être approfondie. L’analyse des articles publiés dans les trois mois suivant l’attaque japonaise de Pearl Harbour et précédant la fin officielle de la guerre dans trois grands périodiques américains de l’époque suggère que ceux-ci offrirent un traitement de l’ennemi japonais similaire à celui présent dans l’ensemble des autres média américains de l’époque, mais que ce traitement est généralement plus nuancé et éclaté dans les trois mois précédant la fin de la guerre. Certaines dissensions importantes peuvent y être constatée quant à la question de la responsabilité des actions de guerre japonaises entre les périodiques, ce qui suggère l’existence de points de vue, de valeurs et de perceptions différentes des Japonais aux États-Unis pendant la Deuxième Guerre mondiale.
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Ma recherche vise, d’une part, à appréhender le phénomène de la publication des correspondances des « poilus » (les soldats français de la Première Guerre mondiale) et d’autre part, à déterminer leur rôle dans la mémoire collective de la Grande Guerre. Précédé d’un bilan historiographique, mon travail se divise en trois chapitres autour de trois thèmes principaux, la correspondance, l’édition et la mémoire. Le premier chapitre met en contexte la production des lettres et identifie les facteurs l’influençant. Le deuxième chapitre se penche sur les buts éditoriaux des publications de correspondances et sur leur transformation au fil des époques. Finalement, le dernier chapitre analyse la place de ces publications dans le cadre de la commémoration de la Grande Guerre. La recherche va au-delà de l’analyse des lettres et s’intéresse davantage aux desseins éditoriaux des recueils. Les sources utilisées sont des ouvrages collectifs publiant des lettres de poilus, édités entre 1922 (La dernière lettre) et 2006 (Paroles de Verdun).
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- Arsenault, Mathieu (10)
- Ayangma Bonoho, Simplice (14)
- Barton, Deborah (12)
- Belony, Lyns-Virginie (7)
- Blennemann, Gordon (23)
- Bouchard, Carl (31)
- Campuzano Duque, Lorena (3)
- Dagenais, Michèle (28)
- Dalton, Susan (13)
- Deslandres, Dominique (50)
- Dewar, Helen (6)
- Genequand, Philippe (15)
- Hamzah, Dyala (18)
- Hubert, Ollivier (43)
- Larochelle, Catherine (11)
- Meren, David (13)
- Perreault, Jacques Y. (31)
- Raschle, Christian (16)
- Robinson, Rebecca (5)
- Saul, Samir (67)
- Tipei, Alex (7)
- Tsay, Lillian (6)
- Wierda, Meagan (5)
Professeur.e.s honoraires et émérites
- Angers, Denise (10)
- Baillargeon, Denyse (43)
- Bonnechere, Pierre (74)
- Carley, Michael Jabara (24)
- Dessureault, Christian (10)
- Dickinson, John A. (12)
- Huberman, Michael (44)
- Keel, Othmar (6)
- Létourneau, Paul (11)
- Lusignan, Serge (14)
- Michel, Louis (4)
- Morin, Claude (7)
- Ownby, David (22)
- Rabkin, Yacov (17)
- Ramirez, Bruno (27)
- Rouillard, Jacques (61)
- Trépanier, Pierre (28)
- Wien, Thomas (11)
Professeur.e.s associé.e.s et invité.e.s
- Monnais, Laurence (35)
- Poulin, Joseph-Claude (23)
- Tousignant, Noémie (6)
Chargé.e.s de cours
- Bellavance, Eric (27)
- Buffet, Rodrigue (3)
- Carrier, Marc (8)
- Desrosiers-Lauzon, Godefroy (6)
- Fu, Nanxin (8)
- Giguère, Amélie (15)
- Hatton-Proulx, Clarence (6)
- Lake-Giguère, Danny (4)
- Lapalme, Alexandre (4)
- Laramée, Dominic (21)
- Lewis, David (4)
- Marceau, Guillaume (12)
- Massoud, Sami (3)
- Ménard, Caroline (3)
- Mesli, Samy (3)
- Paulin, Catherine (8)
- Poirier, Adrien (1)
- Poitras-Raymond, Chloé (4)
- Sollai, Luca (9)
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- Thèse de doctorat (Ph.D.) (281)