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1

Enns, Peter K., and Jose T. Sanchez Gomez. "The Polls—Trends Economic Evaluations and Political Change in Chile, 1966 to 2018." Public Opinion Quarterly 83, no. 3 (2019): 627–39. http://dx.doi.org/10.1093/poq/nfz029.

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Abstract Over the past half century, Chile has fluctuated wildly in terms of economic prosperity and democratic health. Using 78 surveys archived at the Roper Center for Public Opinion Research, we document the evolution of Chileans’ perceptions of their personal, family, and national economic conditions during major political and economic changes. The data show that prior to the Pinochet dictatorship, despite a growing economic crisis, Chileans’ perceptions of their family’s economic situation—particularly among the lower socio-economic class—improved, suggesting that Allende’s social and economic policies may have had their intended effect. In contrast, through the democratic transition and the contemporary period, economic evaluations typically tracked objective economic conditions. We conclude by discussing how these patterns can inform public opinion research in Latin America and beyond.
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2

WILSFORD, DAVID. "The Conjoncture of Ideas and Interests." Comparative Political Studies 18, no. 3 (October 1985): 357–72. http://dx.doi.org/10.1177/0010414085018003004.

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This essay argues that Tocqueville's explanation of the French Revolution, the disjuncture between social and political institutions and social realities, lacks an intervening variable providing the connection between disjuncture and revolution. Drawing on Bendix's (1978) argument that ideas have an impact on social and political action and on Weber's exploration of how these ides are linked to the expression of interests, I propose the spread and impact of ideas as this intervening variable. Critiquing Moore's (1966), Anderson's (1974), and Skocpol's (1979) explanations of the French Revolution—all grounded in material conditions— I argue that interests and ideas must both be present before revolution or other political action occurs. If correct, the argument suggests the importance of ideas in the study of revolution and, more broadly, all social and political movement and change.
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Núñez, Paula Gabriela, and Ana Inés Barelli. "Marcas urbanas y sentidos sociales en disputa. San Carlos de Bariloche, Argentina, 1966-1983." HiSTOReLo. Revista de Historia Regional y Local 5, no. 10 (July 1, 2013): 164–96. http://dx.doi.org/10.15446/historelo.v5n10.38530.

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San Carlos de Bariloche es la principal localidad turística de la Patagonia argentina. Representa, por su dimensión, a la ciudad más poblada de la provincia de Río Negro y es la tercera en tamaño en la Patagonia. Su crecimiento demográfico ha estado nutrido por diferentes migraciones nacionales y extranjeras. De estas últimas las principales provienen de países latinoamericanos. El artículo apunta a indagar en la desvalorización de su migración más importante, la chilena, durante la segunda mitad del siglo XX. Esta exclusión se fortaleció entre 1966 y 1983, por las iniciativas estatales que exacerbaron la xenofobia, las persecuciones políticas, la precarización de las condiciones laborales y los cambios en la organización espacial durante los gobiernos dictatoriales del período, esto es, los que se desarrollaron de 1966 a 1973 y de 1976 a 1983. El presente artículo analiza cómo algunos espacios de Bariloche se constituyeron en marcas urbanas que representaron intereses de los sectores más visibles en nombre de la “nación”, al tiempo que revisa dispositivos de resistencia de sectores excluidos de migrantes chilenos, que tuvieron, paralelamente, componentes de construcción espacial. Para este último punto se aborda la construcción de la Capilla Nuestra Señora del Carmen en 1966, construida en el área conocida como “barrio de los chilenos”, que se levantó como una marca alternativa, tanto material como simbólica, para disputar pertenencia, reconocimiento y visibilidad.Palabras clave: urbanización simbólica, xenofobia, turismo, religión, San Carlos de Bariloche.Urban Marks and Social Senses at Issue. San Carlos de Bariloche, 1966-1983AbstractSan Carlos de Bariloche is the main tourist town in the Argentinean Patagonia. It is also the biggest city in the Province of Río Negro, and the third largest in Patagonia. Its demographic growth has been nurtured by national and international migrations, the most important influence of the foreign population is from Latin-American. This article studies the underestimate that covered the central migration of the city, the Chilean, during the second half of Twentieth Century. This exclusion growth between 1966 and 1983, because of State initiatives that increased local xenophobia, adding political persecutions, fragility in labor conditions, and changes in spatial organization, in the context of the coup d´etat during 1966 to 1973 and 1976 to 1983. This article analyzed the urban marks in Bariloche, that were built taking into account the interests of the hegemonic sectors in the name of "Nation". At the same time, this construction was crossed by forms of resistance designed by different social sectors. Inside them, the activity of Chilean migrants involved the construct of a chapel in 1966, in a place known as “the Chilean neighborhood”, in devotion of the Patron of Chile, the Virgin of Carmen. The chapel and the devotion were erected in order to discuss the logics of pertinence, the ways of recognition and the social visibility. Keywords: symbolic urbanization, xenophobia, tourism, religion, San Carlos de Bariloche.
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Jessani, Abbas, Jonghm Choi, Abdul El-Rabbany, Pulane Lefoka, Mir Faeq Ali Quadri, and Denise M. Laronde. "Oral Health and Psychosocial Predictors of Quality of Life and General Well-Being among Adolescents in Lesotho, Southern Africa." Children 8, no. 7 (July 7, 2021): 582. http://dx.doi.org/10.3390/children8070582.

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Background: Adolescents’ quality of life is reported to be significantly associated with physical and social wellbeing. Although adolescents are 30% of the Southern African population, no previous studies have focused on this group in relation to oral health and quality of life. Methods: A 40-item survey and clinical oral examinations were conducted in public schools in Maseru from 10 to 25 August 2016. Simple, bivariate, and multivariate regressions were used to evaluate the associations of oral health and psychosocial factors with self-reported general health status and quality of life. Results: A total of 526 participants, aged 12–19 years old, responded to the survey and participated in the clinical examinations. The majority reported a good (good/very good/excellent) quality of life (84%) and general health (81%). Bivariate results showed that self-reported general health in this population was significantly influenced by age. The presence of toothache and sensitivity in the adolescents were significantly associated with poor (fair/poor) self-reported general health and were found to be the best predictors for self-general health and quality of life. Conclusions: The absence of dental conditions such as toothache and tooth sensitivity can lead to a better perception of general health and Quality of Life in adolescents.
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Protsenko, Maria, M. Kerkelä, J. Miettunen, J. Auvinen, M. R. Järvelin, M. Gissler, and J. Veijola. "Mortality by diseases and medical conditions in the offspring of parents with severe mental illness." Social Psychiatry and Psychiatric Epidemiology 55, no. 12 (October 22, 2019): 1649–57. http://dx.doi.org/10.1007/s00127-019-01781-z.

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Abstract Purpose The lifespan of people with severe mental illness (SMI) is shorter compared to the general population. There might be common familial pathway leading to a high co-occurrence of somatic disorders and SMI. To study this we explored the long-term mortality for natural causes in the offspring of people with SMI. Methods Participants were members of the Northern Finland Birth Cohort 1966 (NFBC1966; N = 11,325). The data on cause of deaths of the members were obtained from the Population Register Center until year 2015. The data on hospital-treated psychiatric disorders of parents were obtained from nationwide Care Register for Health Care. Cumulative incidences by age were calculated in the NFBC1966 members having a parent with SMI and those who did not have. We were able to take into account multiple confounders. Results Of the total sample of 11,325 offspring, 853 (7.4%) died during the follow-up period, 74 (8.7%) from the study cohort and 779 (91.3%) from the comparison group. These numbers included 160 stillborn children. There were 557 cases of deaths from diseases and medical conditions and 296 deaths from external causes. The adjusted risk ratio for offspring of mothers with SMI was 1.08 (0.72–1.64), and for offspring of fathers with SMI 0.58 (0.36–0.93). Conclusions This was the first long-term follow-up study (up to age 49) of all-cause mortality in offspring of parents with SMI. Our findings were contrary to expectations. Offspring of parents with SMI had no increased risk for dying. In fact, the risk for dying in the group of offspring of fathers with SMI was lower than in the comparison group. This study does not support the assumption of common familial pathway leading to a high co-occurrence of somatic disorders and SMI.
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6

Erbring, Lutz. "Individuals Writ Large: An Epilogue on the “Ecological Fallacy”." Political Analysis 1 (1989): 235–69. http://dx.doi.org/10.1093/pan/1.1.235.

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For more than three decades, social scientists have struggled with the statistical consequences of aggregation. Ever since Robinson (1950) first shocked a whole generation of social scientists with his demonstration of the “ecological fallacy,” much has been written about alleged fallacies, biases, pitfalls, and hazards of one kind or another lurking behind aggregate data and about strategies for circumventing them (Goodman, 1953, 1959; Blalock 1964; Scheuch 1966; Alker 1969; Shively 1969, 1974; Hannan 1971; Hammond 1973; Meckstroth 1974; Hanushek, Jackson, and Kain 1974; Hannan and Burstein 1974; Irwin and Lichtman 1976; Smith 1977; Langbein and Lichtman 1978). Intrigued—or alarmed—by the recurrent observation that correlations and regressions based on aggregate data (group means) often differ dramatically from those based on individual data, researchers have sought to answer the traditional question of ecological analysis: under what conditions can inferences to individual-level (micro) relationships be made from group-level (macro) data?
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Moses, Nigel R. "Student Organizations as Historical Actors: The Case of Mass Student Aid." Canadian Journal of Higher Education 31, no. 1 (April 30, 2001): 75–120. http://dx.doi.org/10.47678/cjhe.v31i1.183379.

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The National Federation of Canadian University Students (NFCUS) and the Canadian Union of Students (CUS) had historicity; that is, they helped transform the field of historical action by convincing business, government, university administrators and public opinion on the need for mass student-aid programs and low tuition fees. From the 1950s to the mid-1960s, NFCUS and CUS campaigned for government-funded mass student-aid; in fact, it was their number one "national affairs" concern. Governments responded to the NFCUS and CUS accessibility lobby with the Canada Student Loan Program (CSLP) in 1964, the Ontario Student Assistance Plan (OSAP) in 1966 and "frozen" tuition fees by 1967. The achievement of the CSLP divided Quebec and English- Canadian students and began a process of removing traditional student movement catalysts. NFCUS's and CUS's lobby for non-repayable student bursaries was co-opted. However, the level of accessibility to post- secondary education was unprecedented and, in part, provided the social conditions for the emergence of new social movements.
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Ayerbe Elola, Nerea, and Beatriz Cavia Pardo. "Acciones precarias: Condiciones de trabajo del arte contemporáneo a través de la performance." Arte y Políticas de Identidad 19 (December 30, 2018): 131–48. http://dx.doi.org/10.6018/reapi.359831.

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Este texto se centra en la relación entre la performance, la performatividad y la precariedad en el arte contemporáneo, a través del análisis de algunas piezas de artista como las realizadas por Mierle Laderman Ukeles (Denver, Colorado, 1939), Andrea Fraser (Billings, Montana, 1965) y Santiago Sierra (Madrid, 1966). Para ello se consideran las aportaciones teóricas realizadas desde los estudios de la performance y desde la teoría social, en concreto las aportaciones de Victor Turner, Judith Butler e Isabell Lorey. Los objetivos que se persiguen son dos: la primera, establecer la conexión entre las nociones de precariedad y performatividad y, la segunda, aplicar un análisis a las performances seleccionadas. La hipótesis del texto parte de entender que desde el análisis de estas piezas pueden extrapolarse algunas conclusiones generales sobre la precariedad a las condiciones de trabajo del arte contemporáneo. This text focuses on the relationship between performance art, performativity and job insecurity in contemporary art, through the analysis of works of some artist that are considered to be relevant: Mierle Laderman Ukeles (Denver, Colorado, 1939), Andrea Fraser (Billings, Montana, 1965) and Santiago Sierra (Madrid, 1966). To this aim, contributions around these concepts from performance studies and social theory are considered, specifically the writings of Victor Turner, Judith Butler and Isabell Lorey. The objectives are two: the first, to establish the connection between the notions of precariousness and performativity and, the second, to apply an analysis to the selected works.We have started from the hypothesis that the analysis of theseperformances, can be used to extrapolated some general conclusions about the precariousness to working conditions ofcontemporary art.
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Gilbert, Bruce. "Socio-environmental rights and the riddle of history." Revista da Faculdade de Direito da UFG 42, no. 1 (June 20, 2018): 145–58. http://dx.doi.org/10.5216/rfd.v42i1.53334.

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Abstract: Broadly speaking, this paper is about the relationship of the human rights tradition to substantive issues of social justice, including class exploitation and environmental destruction. These themes I take to be of global concern, but I will examine them today as they arise from conflicts and struggles situated in Brazil. The key to the argument is to show that the human rights tradition recognizes necessary features of self-determination, and that claims for socio-environmental rights in Brazil and elsewhere derive their legitimacy from the same kind of argument that justifies individual rights, such as the 1948 United Nations Declaration, and collective rights, such as the International Covenant on Economic, Social and Cultural Rights of 1966 and the United Nations Declaration of the Rights of Indigenous Peoples of 2007. That is, I will try to show that individual, collective and socio-environmental rights are each necessary conditions but, on their own, insufficient conditions for the possibility of self-determination. The need for such rights emerges in the history of the struggle for justice. This this paper will also defend the claim that the universality of rights necessarily emerges from the historicity of social life and solves what Marx calls the “riddle of history.” Keywords : Socio-enviromental rights; riddle of history. Resumo: De um modo geral, este artigo trata da relação da tradição dos direitos humanos com questões substantivas de justiça social, incluindo a exploração de classes e a destruição ambiental. Esses temas são de interesse global, mas vou examiná-los hoje, pois eles surgem de conflitos e lutas no Brasil. A chave do argumento é mostrar que a tradição dos direitos humanos reconhece as características necessárias à autodeterminação, e que as reivindicações por direitos socioambientais no Brasil e em outros lugares derivam sua legitimidade do mesmo tipo de argumento que justifica os direitos individuais, como o Declaração das Nações Unidas de 1948, e direitos coletivos, como o Pacto Internacional sobre Direitos Econômicos, Sociais e Culturais de 1966 e a Declaração dos Direitos dos Povos Indígenas das Nações Unidas de 2007. Ou seja, tentarei mostrar que os direitos individuais, coletivos e Direitos socioambientais são, cada um, condições necessárias, mas, por si só, condições insuficientes para a possibilidade de autodeterminação. A necessidade de tais direitos surge na história da luta pela justiça. Este artigo também defenderá a afirmação de que a universalidade dos direitos surge necessariamente da historicidade da vida social e resolve o que Marx chama de "enigma da história".
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Biggs, David. "Americans in An Giang: Nation Building and the Particularities of Place in the Mekong Delta, 1966––1973." Journal of Vietnamese Studies 4, no. 3 (2009): 139–72. http://dx.doi.org/10.1525/vs.2009.4.3.139.

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In recent years, American diplomatic and military historians have begun to reexamine Cold War-era nation-building efforts in Vietnam and elsewhere. This essay explores the contested and contingent meanings of some US-sponsored nation-building programs established in the Republic of Vietnam during the 1960s. By focusing on nation-building activities in the Mekong Delta province of An Giang during the peak years of the Vietnam War, this essay suggests how historians may begin to assess these indirect effects of the war within a more nuanced, local Vietnamese historical framework. Such a history necessarily focuses on particular places and on the specific social and environmental conditions that shaped the course and outcome of nation-building projects undertaken there. Despite the universalist aspirations inherent in nation building, its effects varied widely from one place to another. In assessing the course and fate of these nation-building initiatives, this essay draws from the varied archival documents produced and collected by American provincial advisors during their stays in An Giang. A close reading of these reports reveals why the history of American nation-building programs in the Republic of Vietnam cannot be explained solely by reference to ideologies of modernization and counterinsurgency.
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Morley, Georgina, Jonathan Ives, Caroline Bradbury-Jones, and Fiona Irvine. "What is ‘moral distress’? A narrative synthesis of the literature." Nursing Ethics 26, no. 3 (October 8, 2017): 646–62. http://dx.doi.org/10.1177/0969733017724354.

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Aims: The aim of this narrative synthesis was to explore the necessary and sufficient conditions required to define moral distress. Background: Moral distress is said to occur when one has made a moral judgement but is unable to act upon it. However, problems with this narrow conception have led to multiple redefinitions in the empirical and conceptual literature. As a consequence, much of the research exploring moral distress has lacked conceptual clarity, complicating attempts to study the phenomenon. Design: Systematic literature review and narrative synthesis (November 2015–March 2016). Data sources: Ovid MEDLINE® In-Process & Other Non-Indexed Citations 1946–Present, PsycINFO® 1967–Present, CINAHL® Plus 1937–Present, EMBASE 1974–24 February 2016, British Nursing Index 1994–Present, Social Care Online, Social Policy and Practice Database (1890–Present), ERIC (EBSCO) 1966–Present and Education Abstracts. Review methods: Literature relating to moral distress was systematically retrieved and subjected to relevance assessment. Narrative synthesis was the overarching framework that guided quality assessment, data analysis and synthesis. Results: In all, 152 papers underwent initial data extraction and 34 were chosen for inclusion in the narrative synthesis based on both quality and relevance. Analysis revealed different proposed conditions for the occurrence of moral distress: moral judgement, psychological and physical effects, moral dilemmas, moral uncertainty, external and internal constraints and threats to moral integrity. Conclusion: We suggest the combination of (1) the experience of a moral event, (2) the experience of ‘psychological distress’ and (3) a direct causal relation between (1) and (2) together are necessary and sufficient conditions for moral distress.
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Arif, Sardar M. A. Waqar Khan. "LEGAL PERSPECTIVES ON SOCIO-ECONOMIC STATUS OF WOMEN IN AZAD JAMMU AND KASHMIR." Jurnal Dinamika Hukum 18, no. 2 (March 27, 2018): 215. http://dx.doi.org/10.20884/1.jdh.2018.18.2.1902.

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This article focuses on legal perspectives of women’s social and economic status in Azad Jammu and Kashmir (AJK). The bulk of international human rights instruments provide that human rights are available to ‘everyone’ as grounded in Universal Declaration of human rights (UDHR), (1948) and other human rights instruments. In relation to women, economic, social and cultural (ESC) rights are specifically grounded in UDHR, Women’s Convention and the International Covenant of Economic, social and cultural rights (ICESCR), (1966). In this context, this paper analyses relevant provisions of women’s rights in order to highlight obligations of AJK pertaining to protection of ESC rights. It discusses the ESC status of women with linkage to Millennium development goals (MDGs). It aims to discuss that what are socio-economic conditions of women in AJK? Is there any pattern of vulner-ability in this respect? In general, ESC rights are considered as mere aspirations and goals therefore the Maastricht guidelines are also formulated. The argument developed throughout article is that though AJK is not a State but is state-like entity and has its human rights obligations, in particular, ESC obligations for promotion and protection of women. The women in AJK are vulnerable and may be empowered by promotion of ESC rights. Keywords: ESC rights, women in AJK, human rights
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Kamal, Nik Ahmad, Marhanum Marhanum, Azizah Azizah, Ashgar Ashgar, and Yusuff Yusuff. "Critical analysis on the Children and Young Person Employment Act 1966 and the Education Act 1996 in relation to causes and effect of child labour in Malaysia." GATR Global Journal of Business Social Sciences Review 3, no. 3 (August 14, 2015): 14–23. http://dx.doi.org/10.35609/gjbssr.2015.3.3(2).

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Objective - It is observed that the phenomena of working children is a long-standing issue in most under-developed and developing countries of the world and the number increases each year in the light of challenging domestic social and economic conditions. The question is whether the relevant law has a special exemption to allow children to work and to what extent the law accommodates scenarios obtained from the empirical study for the purpose of this research? The objective of this research is to examine the reason children goes to work instead of pursuing an education. Methodology/Technique - The survey involved interviewing through a set questionnaire 557 working children in six states in Malaysia. Based on the survey, the Children and Young Person Employment Act 1966 is critically reviewed to evaluate the scope of protections for working children in Malaysia. Findings - Based on the empirical analysis, it is found that the majority of the working children in Malaysia worked to help their family economically and they are not happy with their current job. The children in this context reported that they regretted not attending school as their have to work to help their family. Novelty - By adopting content analysis on the current act, this research discovers that due to lack of efficient implementation of existing legal regimes, especially the Education Act 1996 to deal with an issue pertaining to children not attending schools. This research concludes that effective implementation of all legislation dealing with working children and their compulsory education may have a positive impact on overall child labor management in Malaysia. Type of Paper - Empirical Keywords: Child Labor, Malaysia, Children and Young Person Employment Act 1966, Education Act 1996
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Malaj, Emi, and Visar Malaj. "Poverty and Migration in Western Balkan Countries." European Journal of Multidisciplinary Studies 4, no. 2 (January 21, 2017): 51. http://dx.doi.org/10.26417/ejms.v4i2.p51-56.

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According to Lee (1966), the number of immigrants in a specific country is positively related with the level of the corresponding diversity of areas and people. Negative economic conditions in origin countries lead to the increase of migration flows; as a consequence, we find high immigrant volumes in wealthier countries and a significant level of mobility in least developed countries. Every stream provokes a counterstream: a relevant part of immigrants return to their home country, due to possible future economic recessions or to the learning or developing particular skills. Dissimilarity between countries and strong immigration barriers reinforce the counterstream effect. We analyze in this paper the link between poverty and migration in Western Balkan countries, and the respective implications for reforms and policies. The number of Western Balkan citizens who emigrate to developed European countries has dramatically increased over the past years. This is a consequence of increasing unemployment, poverty and social inequality. We also estimate a particular econometric model, including different experimental variables, related with migration and poverty.
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Lee, Jennifer Dorothy. "Chasing the sun: Qu Leilei's serial images in early post-Mao China." Journal of Contemporary Chinese Art 6, no. 2 (September 1, 2019): 225–41. http://dx.doi.org/10.1386/jcca_00005_1.

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Abstract 'You always treat the sun as though it were yours.' Lining the frame of a pen-and-ink sketch, these words reflect conditions of possibility particular to the contemporaneity of early post-Mao China. Included in his Visual Diary series from the early 1980s, Qu Leilei's image-text turns inward the heavily socialized forms of visual and political expression from the revolutionary era. As instances of the artist's emerging private practice, such works, including etchings, line drawings, and fragments of prose poetry, are seldom addressed in existing scholarship on contemporary Chinese art. This article takes up a selective examination of Qu's diaristic ephemera from this historical moment following the Cultural Revolution (1966‐76) to explore how Qu's entries both maintain and transform aspects of revolutionary-era media and visuality. The article further considers the following questions: In what ways does Qu's Visual Diary reconfigure the serial images of revolutionary state-driven practices in the social landscape of still-Maoist Beijing? How do Qu's transfigured image-texts complicate the rejection of Maoist visual vanguardism in cultural practices after the revolution?
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Morgan, Louise, Jane Scourfield, David Williams, Anne Jasper, and Glyn Lewis. "The Aberfan disaster: 33-year follow-up of survivors." British Journal of Psychiatry 182, no. 6 (June 2003): 532–36. http://dx.doi.org/10.1192/bjp.182.6.532.

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BackgroundExperiencing life-threatening events often contributes to the onset of such psychiatric conditions as post-traumatic stress disorder (PTSD). Children can develop PTSD; however, there is controversy over whether PTSD symptoms decrease or persist over time.AimsTo examine the long-term effects of surviving the 1966 Aberfan disaster in childhood.MethodSurvivors (n=41) were compared with controls (n=72) matched for age and background. All were interviewed using the Composite International Diagnostic Interview, measures of current health and social satisfaction, and the General Health Questionnaire. The survivor group also completed the Impact of Event Scale to assess current levels of PTSD.ResultsNineteen (46%; 95%CI 31–61) survivors had had PTSD at some point since the disaster, compared with 12 (20%; 95% CI 10–30) controls (OR=3.38 (95% CI 1.40–8.47)). Of the survivors, 12 (29%; 95% CI 15–43) met diagnostic criteria for current PTSD. Survivors were not at a significantly increased risk of anxiety, depression or substance misuse.ConclusionsTrauma in childhood can lead to PTSD, and PTSD symptoms can persist for as long as 33 years into adult life. Rates of other psychopathological disorders are not necessarily raised after life-threatening childhood trauma.
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Syarif Zain, Zaki Faddad, and Anggi Wahyu Ari. "The Efforts of Islamic Splinter Movements to Withstand from Heretical Issue in Indonesia: Study of LDII, MTA and Jam'iyyatul Islamiyah." Jurnal Studi Sosial dan Politik 3, no. 2 (December 31, 2019): 97–113. http://dx.doi.org/10.19109/jssp.v3i2.4331.

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This article discusses how the splinter movements in Indonesia, namely LDII (Lembaga Dakwah Islam Indonesia), MTA (Majlis Tafsir Al Quran) and JMI (Jam'iyyatul Islamiyah) can survive and develop against two constraints that are the state and Islamic orthodox group. The methods of this research-based article are both library and field research. This article uses comparative analysis from the three movements include their adaptive means to the social and political milieu in Indonesia. The movements start to grow in the 1970'. In New Order Era (1966-1998), under Suharto authoritarian regime, these movements use the state approach by joining Golkar, government political party, and help the party to win general elections. However, in the 1990 era, when Suharto starts to embrace the orthodox group, government protection to those religious groups is not enough to withstand the heretical issues that have already spread in public. The issues lead to physical persecution from the mass to these movements. Thus, the only way to survive from that conditions, the three movements start to make an approach to orthodox groups, especially MUI (Majlis Ulama Indonesia) the mainstream group representative such as NU (Nahdlatul Ulama) and Muhammadiyah two biggest Islamic groups in Indonesia, by making dialogues and complying the Islamic mainstream standards issued by MUI.
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Ronce, Ophélie, and Daniel Promislow. "Kin competition, natal dispersal and the moulding of senescence by natural selection." Proceedings of the Royal Society B: Biological Sciences 277, no. 1700 (June 30, 2010): 3659–67. http://dx.doi.org/10.1098/rspb.2010.1095.

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Most theoretical models for the evolution of senescence have assumed a very large, well mixed population. Here, we investigate how limited dispersal and kin competition might influence the evolution of ageing by deriving indicators of the force of selection, similar to Hamilton (Hamilton 1966 J. Theor. Biol. 12 , 12–45). Our analytical model describes how the strength of selection on survival and fecundity changes with age in a patchy population, where adults are territorial and a fraction of juveniles disperse between territories. Both parent–offspring competition and sib competition then affect selection on age-specific life-history traits. Kin competition reduces the strength of selection on survival. Mutations increasing mortality in some age classes can even be favoured by selection, but only when fecundity deteriorates rapidly with age. Population structure arising from limited dispersal however selects for a broader distribution of reproduction over the lifetime, potentially slowing down reproductive senescence. The antagonistic effects of limited dispersal on age schedules of fecundity and mortality cast doubts on the generality of conditions allowing the evolution of ‘suicide genes’ that increase mortality rates without other direct pleiotropic effects. More generally, our model illustrates how limited dispersal and social interactions can indirectly produce patterns of antagonistic pleiotropy affecting vital rates at different ages.
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Gurven, Michael D., Raziel J. Davison, and Thomas S. Kraft. "The optimal timing of teaching and learning across the life course." Philosophical Transactions of the Royal Society B: Biological Sciences 375, no. 1803 (June 2020): 20190500. http://dx.doi.org/10.1098/rstb.2019.0500.

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The evolutionary biologist W. D. Hamilton (Hamilton 1966 J. Theor. Biol. 12 , 12–45. ( doi:10.1016/0022-5193(66)90184-6 )) famously showed that the force of natural selection declines with age, and reaches zero by the age of reproductive cessation. However, in social species, the transfer of fitness-enhancing resources by postreproductive adults increases the value of survival to late ages. While most research has focused on intergenerational food transfers in social animals, here we consider the potential fitness benefits of information transfer, and investigate the ecological contexts where pedagogy is likely to occur. Although the evolution of teaching is an important topic in behavioural biology and in studies of human cultural evolution, few formal models of teaching exist. Here, we present a modelling framework for predicting the timing of both information transfer and learning across the life course, and find that under a broad range of conditions, optimal patterns of information transfer in a skills-intensive ecology often involve postreproductive aged teachers. We explore several implications among human subsistence populations, evaluating the cost of hunting pedagogy and the relationship between activity skill complexity and the timing of pedagogy for several subsistence activities. Long lifespan and extended juvenility that characterize the human life history likely evolved in the context of a skills-intensive ecological niche with multi-stage pedagogy and multigenerational cooperation. This article is part of the theme issue ‘Life history and learning: how childhood, caregiving and old age shape cognition and culture in humans and other animals’.
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Yan, Haoyang, Patricia J. Deldin, Stephanie K. Kukora, Cynthia Arslanian-Engoren, Kenneth Pituch, and Brian J. Zikmund-Fisher. "Using Narratives to Correct Forecasting Errors in Pediatric Tracheostomy Decision Making." Medical Decision Making 41, no. 3 (February 9, 2021): 305–16. http://dx.doi.org/10.1177/0272989x21990693.

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Purpose Parents who face goals-of-care tracheostomy decisions may lack an understanding of challenges affecting their child’s and family’s long-term quality of life (QOL) to accurately forecast possible outcomes for decision making. We sought to examine whether and how parents’ narratives of the child’s and family’s long-term QOL influence parental tracheostomy decisions and forecasting. Method We recruited US adult Amazon Mechanical Turk participants ( N = 1966) who self-reported having a child (<6 y old) or planning a pregnancy within 5 y. Participants read a vignette about making a tracheostomy decision for their hypothetical neurologically impaired baby. They were randomized to 1 of the following 4 conditions: 1) Baby QOL narratives, 2) Family QOL narratives, 3) Baby QOL + Family QOL narratives, and 4) control: no narratives. They then made a decision about whether or not to pursue tracheostomy, forecasted their concerns about the baby’s and family’s QOL, reported their values and social norm beliefs about tracheostomy, comfort care, and parental medical decision making, and completed individual differences scales and demographics. Results Controlling for individual characteristics, participants in the Baby QOL and Baby QOL + Family QOL conditions were less likely to choose tracheostomy as compared with the control (odds ratio [OR] = 0.38 and 0.25, respectively, P < 0.001). Fewer participants in the Family QOL condition chose tracheostomy compared with the control, but this difference was not statistically significant (OR = 0.70, P = 0.11). Moreover, narratives increased pessimistic forecasting, which was associated with less interest in tracheostomy. Conclusion Narratives clarifying long-term implications of pursuing tracheostomy have the potential to influence forecasting and decisions. Narrative-based interventions may be valuable in other situations in which forecasting errors are common.
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Kaur, Navjot. "Impacts of Certain Imposed Factors on Education and Educationists in Punjab, India." Advanced Journal of Social Science 2, no. 1 (April 5, 2018): 32–39. http://dx.doi.org/10.21467/ajss.2.1.32-39.

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Quality achievements, teacher inputs and outputs require a universal level if our country have to compete with the developed nations. Firstly, this paper examines problems while implementing those according to the present conditions in the schools of Punjab and secondly how those problems affect educationists as employs and educationists as common man. Teacher can fulfil the desires of society if he himself is mentally free from hardships in social responsibilities and free from the threat of insecure future. Education is only way to achieve desired goals in life and to make people aware of their prospect and potentials. Due to disparities presented in the rural and urban conditions of schools of Punjab there are some issues presented which affects the education system but are ignored ever. Often ignored factors, policies and structures either by political will or by bureaucracy have many adverse effects on the thousands of educationists and their families throughout life. This paper thus depicts categories of Para teacher schemes including contractual and departmental, Unequal wages but equal desired output by department, same policies for rural and urban staff ignoring regional disparities, prioritization of subjects since Kothari commission(1964-1966) without considering demand of today’s 21st century globalised world, poor level of teacher trainings , misinterpretations of compulsory education, Annual confidential reports (ACR’s) without feedback to employs, non-teaching works due to lack of support staff in schools which suffers teacher student contact timings and finally partial transfer policies in which some remained in urban areas forever and others remained in faraway places forever until and unless blessed by political will and ignoring goals of justice, liberty and equality and in last some remedies also suggested for the revision consideration. School education forms the foundation of an education system and this can be achieved only by providing the free environment.
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Voronin, Oleg V. "ON CLARIFYING THE SUBJECT OF PENITENTIARY OVERSIGHT BY THE PROSECUTOR'S OFFICE ON A RANGE OF ACTS." Vestnik Tomskogo gosudarstvennogo universiteta. Pravo, no. 38 (2020): 15–24. http://dx.doi.org/10.17223/22253513/38/2.

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The subject matter of the penitentiary oversight of the Prosecutor's Office in terms of the range of acts includes: Universally recognised (i.e. recognised by the vast majority of states) norms (principles) of international law in terms of establishing basic natural (inalienable) human rights, including in relation to persons held in places of detention and (or) serving measures of detention, which are part of the Russian Federation legal system and are directly incorporated into Russian national law: Universal Declaration of Human Rights, 1948; International Covenant on Civil and Political Rights, 16 December 1966; International Covenant on Economic, Social and Cultural Rights, 16 December 1966. Constitution of the Russian Federation. Duly ratified international treaties and agreements, which may be divided into two groups A) duly ratified multilateral international treaties and agreements (conventions). B) bilateral treaties and agreements on international legal assistance (cooperation) in terms of defining the procedure and conditions of extradition (transfer) of convicts for serving the sentence and other measures of compulsory isolation, as well as application of measures of preliminary isolation from society to those suspected or accused of committing a crime. Some 60 such treaties have now been ratified. At the national legislative level, the Office of the Procurator-General also supervises implementation of and compliance with federal laws, in addition to the Constitution of the Russian Federation. The laws may be conventionally divided into two groups. The first includes laws directly regulating the execution (serving) of penitentiary isolation measures. The second group covers laws that regulate activities directly related to compulsory isolation, as well as the activities of state bodies and institutions for which the execution of sentences serves as an additional function to the main activity. The next set of laws and regulations that form the subject matter of the penitentiary over-sight of the Public Prosecutor's Office are the subordinate laws and regulations. The subject is covered by by-laws of both general and departmental nature. The main peculiarity of deter-mining the scope of supervision in relation to departmental acts is that, on the one hand, the prosecutor supervises the implementation and compliance with the requirements contained in these acts, on the other hand, they themselves serve as a subject of supervision in terms of their compliance with the legislation in force. In this regard, the adoption of key ones usually requires the approval of the Prosecutor's Office, represented by the Prosecutor General of the Russian Federation or relevant subordinate prosecutors.
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FOMBONNE, ERIC. "The epidemiology of autism: a review." Psychological Medicine 29, no. 4 (July 1999): 769–86. http://dx.doi.org/10.1017/s0033291799008508.

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Background. There is some uncertainty about the rate and correlates of autism.Method. Twenty-three epidemiological surveys of autism published in the English language between 1966 and 1998 were reviewed.Results. Over 4 million subjects were surveyed; 1533 subjects with autism were identified. The methodological characteristics of each study are summarized, including case definition, case-finding procedures, participation rates and precision achieved. Across surveys, the median prevalence estimate was 5·2/10000. Half the surveys had 95% confidence intervals consistent with population estimates of 5·4–5·5/10000. Prevalence rates significantly increased with publication year, reflecting changes in case definition and improved recognition; the median rate was 7·2/10000 for 11 surveys conducted since 1989. The average male/female ratio was 3·8[ratio ]1, varying according to the absence or presence of mental retardation. Intellectual functioning within the normal range was reported in about 20% of subjects. On average, medical conditions of potential causal significance were found in 6% of subjects with autism, with tuberous sclerosis having a consistently strong association with autism. Social class and immigrant status did not appear to be associated with autism. There was no evidence for a secular increase in the incidence of autism. In eight surveys, rates for other forms of pervasive developmental disorders were two to three times higher than the rate for autism.Conclusion. Based on recent surveys, a minimum estimate of 18·7/10000 for all forms of pervasive developmental disorders was derived, which outlines the needs in special services for a large group of children.
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Ikgopoleng, Horatio, and Branko Cavric. "An evaluation of the self-help housing scheme in Botswana, case of Gaborone city." Spatium, no. 15-16 (2007): 28–36. http://dx.doi.org/10.2298/spat0716028i.

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Botswana like other developing countries faces a problem of acute shortage of housing, particularly for low-income urban families. The current housing problems are the outcomes of the economic, demographic and social changes which the country has experienced since independence in 1966. In particular the urbanization process which surfaced in the early 1980?s. The government has sought to cope with the problem of low-income urban housing by establishing a Self-Help Housing (SHHA) program in the main urban centers. The evaluation findings reveal that, on the whole, the impact of the SHHA approach on the improvement of low-income urban housing has been unsuccessful. The major problems of the scheme are lack of serviced land and inadequate finances for plot development. This has been exacerbated by the high urban development standards which are out of the reach of low-income urban families. The evaluation study also reveals that, there are some indications of non low-income urban households living in SHHA areas. The available evidence reveals that the number of those people in SHHA areas is not as big as has been speculated by most people in the country. However this paper calls for more investigation in this issue and a need for more tight measures to control this illicit practice. The major conclusions are that housing policies in Botswana are not supportive of the general housing conditions in low-income urban areas. Therefore there is a need for urban planners and policy makers of Botswana to take more positive action towards the improvement of low-income urban areas. This would require pragmatic policies geared towards the improvement of those areas. .
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SHCHEBROVA, SVETLANA Ya. "DESIGNING THE SOVIET IDENTITY (THROUGH THE EXAMPLE OF ELYOR ISHMUKHAMEDOV’S FILMS TENDERNESS AND LOVERS)." Art and Science of Television 16, no. 4 (2020): 33–62. http://dx.doi.org/10.30628/1994-9529-2020-16.4-33-62.

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The article studies the Soviet identity, which fell into a crisis in the context of globalization and ethnic localization, gradually intensifying after the collapse of the USSR. In response to the decay of the Soviet mentality, it is necessary to understand how to overcome the split in society and make the process of cultural transformation under modernization conditions less painful for people. One of the mechanisms of forming the cultural identity of peoples is an appeal to the positive experience in common history. Simply copying the previous forms and means of forming cultural identity is impossible, since socio-economic foundations change; therefore, the problem needs a different solution. Exploring the Soviet past, one can understand which ideological values contributed to the consolidation of society in order to use this experience in construction of Russian civilizational identity. The purpose of the article is to study the films by Elyor Ishmukhamedov Tenderness (1966) and Lovers (1969) as “texts” that construct Soviet identity by dint of the recognition and acceptance of the ideal life model by the society. Since humans transform themselves and the world around them through an imitation, the main research questions are as follows: what social interaction features can be identified in these films? What is the appeal of the Soviet discourse and how is it transmitted in such seemingly “non-ideological” films? Ishmukhamedov’s films were studied as a semiotic system, in which the main myths and archetypes were revealed that had a manipulative and mobilizing influence on the viewer, thereby creating an image of a Soviet person which is attractive to the masses. The everyday life captured in these films symbolizes the stability and reliability of living in the USSR and Central Asia in the 1960s. After analyzing the figurative system of the Soviet-time everyday life in Ishmukhamedov’s films, the author finds out that identity is a system consisting of ethnic, cultural, age, natural, social, professional, mental, artifact identities, as well as the identity of the genus and small groups, which set the models and patterns of behavior for a Soviet person, which patterns were accepted and copied by the people.
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Mandoki, Katya. "Playing peripatos: Creativity and abductive inference in religion, art and war." Semiotica 2019, no. 230 (October 25, 2019): 369–87. http://dx.doi.org/10.1515/sem-2017-0161.

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AbstractPeirce proposed the concept of abductive inference to inquire into the generation of new hypotheses and defined it as another term for pragmatism, no less (Admitting, then, that the question of Pragmatism is the question of Abduction, let us consider it under that form. What is good abduction? What should an explanatory hypothesis be to be worthy to rank as a hypothesis? Of course, it must explain the facts. But what other conditions ought it to fulfill to be good? The question of the goodness of anything is whether that thing fulfills its end. What, then, is the end of an explanatory hypothesis? Its end is, through subjection to the test of experiment, to lead to the avoidance of all surprise and to the establishment of a habit of positive expectation that shall not be disappointed (Peirce. 1931–1966. The collected papers of Charles S. Peirce, 8 vols., C. Hartshorne, P. Weiss & A. W. Burks (eds.). Cambridge: Harvard University Press. 5.197)). Apart from being linked to the vague idea of the play of musement as an almost dreamlike process of epiphany or inspiration or as an inverted minor premise from a syllogism, we are far from understanding the dynamics and specificity of this kind of inference. Among authors dealing with this problem I could trace three factors at work in processes of abduction, i.e. combination, resemblance, and dialetics or questioning. In this paper I attempt to look a bit further into this enigma by a category of play I defined as “peripatos” or games of invention, riddles, and puzzles, hoping it could shed some light on the process of creativity in several social activities such as science, art, war, and religion. The approach will take on Huizinga’s idea of the play of culture, Lakoff and Johnson’s conception of cross-domain correlations, Kant’s view of “aesthetic ideas,” and my proposal of the play of peripatos through a “what if-as if” coupling into this very common yet little understood, and thus mystified, process of the generation of innovative ideas.
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Martinez, M., B. Rodriguez, and J. M. Sanchez-Vizcaino. "Autres orbivirus : Mise à jour des informations sur la peste équine africaine et la maladie hémorragique épizootique en Europe et dans le bassin méditerranéen." Revue d’élevage et de médecine vétérinaire des pays tropicaux 62, no. 2-4 (February 1, 2009): 92. http://dx.doi.org/10.19182/remvt.10081.

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Orbiviruses are vector-borne pathogens that can cause notifi­able diseases in animals, such as bluetongue (BT) and epizootic haemorrhagic disease of deer (EHD) in ruminants, or African horse sickness (AHS) in equines. The relatively recent expansion of BT in Europe to higher latitudes than expected has evidenced the need to explore the ways of introduction and exposure of other orbiviruses in Europe and in the Mediterranean Basin. AHS was successfully eradicated from Europe since the 1990s but continues to be endemic in many African countries. Of the nine AHS serotypes, two have been present in Mediterranean coun­tries: AHS-9 (1966) and AHS-4 (1987-1990). The last outbreaks (up to 2008) of AHS in Africa classified by serotype occurred in Senegal (AHS-9), Kenya (AHS-4), and Nigeria, Senegal and Ethiopia (AHS-2). EHD is caused by 10 serotypes and is notifi­able to the World Organisation for Animal Health (OIE) since 2008. It is present in America, Australia, Asia and Africa and is known to affect wild ruminants as well as cattle. EHD has been present in cattle in North Africa (EHD-9) and the Middle East (EHD-7) since 2006. Transport of infected Culicoides from Northern Africa to Southern Europe by wind is a proved way of orbivirus introduction. Import of infected asymptomatic animals from an endemic country also happened the first time AHS was introduced in Spain. Then, certain environmental conditions such as warm temperatures can favour perpetuation of the dis­ease in animals exposed to infected vectors. The frequent con­sideration of horses as expensive leisure animals can worsen the economic and social consequences of a possible outbreak. However, nowadays there are good diagnostic techniques for AHS. Eradication can be achieved with the available polyvalent live vaccines and control measures. This is not the case for EHD, because an effective vaccine is urgently needed and there have been cross-reactions in the diagnoses between BT and EHD. European countries can prepare against other orbivirus outbreaks by prevention through educational campaigns and inactivated vaccine banks for AHS, and by further research on the possible vectors, the overwintering capacity of certain orbiviruses, the infectivity in all affected species, the identification of other pos­sible reservoirs, and the development of risk assessments and modelling.
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Pedersen, Kim Arne. "Nekrolog over Henning Høirup." Grundtvig-Studier 47, no. 1 (January 1, 1996): 9–24. http://dx.doi.org/10.7146/grs.v47i1.16221.

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Henning Høirup in memorianBy Kim Arne PedersenOnly two years before the fiftieth anniversary of the Grundtvig Society, it suffered the loss of one of its founders and pioneers, Bishop and Doctor of Divinity Henning Høirup. The present obituary begins with a recapitulation of Høirup’s own account, in articles and in his memoirs, of the foundation of the Grundtvig Society and the circumstances behind its formation. The Grundtvig Society has its background in the Danish Grundtvig Renaissance during World War II, both its popular and existential and its more academic side. Among the inspirations behind it were the Grundtvigian »self-reflection movement« around the Independent Church clergyman Anders Nørgaard and the Tidehverv Grundtvigianism which is inspired by dialectic theology in its interpretation of Grundtvig. At the same time it was a decisive consequence of the formation of the Grundtvig Society that there was a new vivid interest in Grundtvig’s writings in circles that had not hitherto occupied themselves with them.Høirup combined the existential and the academic approach to Grundtvig’s universe. It was highly approved of by Høirup that Grundtvig became accessible to circles outside the Grundtvigian movement. Høirup came from a Grundtvigian background himself, but was never a strict partisan, even though he was in touch with the two Grundtvigian movements mentioned above and was rooted in the .neo-Grundtvigian. movement through his family.Høirup’s childhood home shared the profound interest taken by this movement in social and political issues, but combined it with a broad cultural outlook which, more than anything else, was Høirup’s inheritance from his childhood home. In his high school years Høirup took a vivid interest in literature, art and history, but nevertheless chose to become a student of theology. During his studies he experienced a growing involvement in theological issues, inspired by Karl Barth’s theology, but was also deeply influenced by his teachers. Thus, the church historian, Professor Jens N.rregaard’s influence is reflected in Høirup’s interest in ecclesiology, and that of the systematic theologian, Professor Eduard Geismar, in his emphasis on existential life conditions as the point of departure of theology.Høirup was the first scholar in Denmark to write a doctoral thesis on Grundtvig. The thesis, which is the fruit of Høirup’s broad theological and humanistic learning, begins with an account of Grundtvig’s theory of cognition in the light of history of philosophy. According to Høirup, this theory is founded partly on the emphasis, in pre-Kantian Rationalism, of the contradictory principle as a fundamental ontological .law., partly on English Empiricism, used by Grundtvig in connection with history. To Grundtvig, the maxim of contradiction becomes an expression of the contradictory relationship between life and death which is manifested in the renunciation of the Confession of Faith. Thus, the maxim of contradiction is behind the emphasis, inherent in the Grundtvigian view of the church, on the community of the congregation as the life condition where man meets the word of the living God. Despite its basic character as church history, the thesis, then, aims at a dogmatic analysis of Grundtvig’s church view.Høirup carried out his scholarly research, first while working as a vicar on Funen, later as a dean in Viborg, and finally, in the period from 1963 to 1979, as the Bishop of the Diocese of .rhus. The demanding offices gave Høirup a number of very busy years. All the same, he produced a series of eminent studies in Danish culture and literature and, above all, in the writings and impact of Grundtvig. Among them should be mentioned the book Fra D.den til Livet (From Death to Life) from 1954, the book about Frederik Lange Grundtvig from 1955, and the study of Grundtvig and Ansgarius from 1965-1966 (Danish and German editions). In addition a large number of articles appeared, among them the study of Grundtvig’s and Kierkegaard’s church view, published in English in an American theological periodical. His activities also comprised editorial work, for example Grundtvigs Erindringer og Erindringer om Grundtvig (Grundtvig’s Memoirs and Memories of Grundtvig), in collaboration with Steen Johansen, 1948, and he also found time to participate in and supervise the registration of Grundtvig’s unprinted papers.Having been the editor of the first volumes of Grundtvig Studies during the period 1948 to 1953, Høirup became the chairman of the Grundtvig Society at Scharling’s death in 1951, a post he filled until 1972. In recent years Høirup followed the activities of the Soicety with great interest, and just before he died he was doing research into Grundtvig’s family and Grundtvig’s relationship with his mother.
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Christoffersen, Mogens Nygaard, and Mette Lausten. "Early and Late Motherhood: Economic, Family Background and Social Conditions." Finnish Yearbook of Population Research, January 1, 2009, 79–96. http://dx.doi.org/10.23979/fypr.45046.

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The study investigates parental child rearing methods, structural factors relating to the family during adolescence geographic segregation, individual resource deficits and social background of first time late live births among 32 to 37 years old women and compare to teenagers before becoming teenage mothers. The purpose is to study if results will be consistent with the hypotheses that poverty, social deprivation during adolescence and low education are causes of teen childbearing but also childlessness among elder women in the age group 32 to 37 years old. Could childlessness as well as teenage motherhood bee seen as a consequence of social deprivation and lack of educational possibilities?A discrete-time proportional hazard Cox model is applied to analyze the longitudinal observations of population-based registers covering 1980-2003 for girls born in 1966. Results show a significant economic and social gradient for first-time teenage mothers. Teenagers who had experienced family separation or who were formerly in out-of-home care in particular had an increased risk of early childbearing. Results showed that teenage mothers were in every respect in a more disadvantaged position than pregnant teenagers who had an induced abortion.Quite the opposite pattern is disclosed for late motherhood. Late first time childbirth is more commonly seen among women with a better family background and educated position than childless women in the same age group. The late first-time pregnant women who chose abortion are in a more disadvantaged position than the women who become a mother for the first time in the age group 32 to 37 years old.Conclusion: Disadvantage during adolescence is a precursor for teenage child bearing while parental unemployment and poverty are precursors of lifetime childlessness. While social disadvantage is a precursor for first time late abortion among 32 to 37 years old women, the teenage mothers are in a more disadvantage position than teenagers who choose induced abortions. Social disadvantages inflict at the same time early motherhood and childlessness because social disadvantages influence young women differently than elder women.
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Sebitia, M. M., M. Sekoli, and P. V. Masupha. "Farmers’ Perspective on Insect Pests that Affect Vegetables in Protected Structures with Emphasis to Tuta absoluta (Meyrick) in Lesotho." Asian Journal of Advances in Agricultural Research, June 14, 2021, 33–40. http://dx.doi.org/10.9734/ajaar/2021/v15i330156.

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Protected farming is one of the innovations used by farmers to control pests and climatic conditions and therefore improve yield of vegetables. However, these structures also provide an ideal environment for biotic factors such as insect pests and diseases. In this study, a survey of 60 farmers was conducted to determine the types of vegetables cultivated under protected structures, insect pests and management practices employed by farmers using structured questionnaires. Data was analysed through descriptive statistics using Statistical Package for Social Sciences (SPSS). The results showed that most farmers grew tomato, cabbage, swiss chard, rape and peppers. Farmers considered insect pests as the major constraint to vegetable production. The most important insect pests found infesting farmers’ vegetables were aphids (Aphis gossypii), tomato leafminer (Tuta absoluta), bagrada bug (Bagrada hilaris) and cutworm (Agrotis ipsilon). To manage these pests, farmers relied heavily on chemical pesticides which are dangerous to them and to the environment. It is therefore important to develop an integrated pest management plan that farmers can use to reduce use of pesticides.
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Martínez, Leticia Arancibia. "Disputas en la construcción del Trabajo Social reconceptualizado en la Universidad Católica de Valparaíso (1966-1973)." Revista Em Pauta 15, no. 40 (February 27, 2018). http://dx.doi.org/10.12957/rep.2017.32721.

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Resumen – A partir de la investigación sobre el movimiento de reconceptualización del Trabajo social, en la Escuela de Trabajo social de la Universidad Católica de Valparaíso, se analizan las condicionantes y la articulación de diferentes tiempos y movimientos, locales y globales, del proceso de los 60 hasta 1973, que dieron forma al Proyecto de Escuela. Este expresa la producción y circulación del conocimiento sobre el problema de lo social en América Latina, la recepción de corrientes marxistas y la crítica hacia una formación universitaria ajena de la sociedad, conservadora ante el proceso político de la realidad chilena. Cuestiona el desarrollismo y la dependencia económica y cultural de los países del Sur, en el estado capitalista, asumiendo demandas de transformación. En el escenario de la vía chilena al socialismo, diferentes lógicas se disputaron y articularon, movilizando discusiones políticas, teóricas y metodológicas, profundizando y materializando un proyecto de conciencia crítica del sentido y orientación del Trabajo social. Palabras-Clave: reconceptualización del trabajo social; imaginarios sociales; procesos políticos; producción del conocimiento; Valparaíso. Resumo – A partir da pesquisa sobre o movimento de reconceituação do Serviço Social, na Escola de Serviço Social da Universidade Católica de Valparaíso, analisam-se os condicionantes e a articulação de diferentes tempos e movimentos, locais e globais, do processo dos anos 60 até 1973, os quais deram forma ao Projeto da Escola. Este expressa a produção e circulação de conhecimento sobre o problema do social na América Latina, a recepção das correntes marxistas e a crítica a uma formação universitária alheia à sociedade, conservadora do processo político da realidade chilena. Questiona também o desenvolvimentismo e a dependência econômica e cultural dos países do Sul no estado capitalista, e assume as demandas de transformação da época. No cenário da chamada “via chilena ao socialismo”, diferentes lógicas se disputaram e articularam, mobilizando discussões políticas, teóricas e metodológicas, aprofundando e materializando um projeto de consciência crítica sobre o sentido e orientação do Trabalho Social.Palavras-Chave: reconceituação do trabalho social; imaginários sociais; processos políticos; produção de conhecimento; Valparaíso. Abstract – From research on the reconceptualization movement of social work at the School of Social Work at the Pontifical Catholic University of Valparaíso, this article analyzes the conditions and the articulation of different times, and both local and global movements, from the 1960s to 1973, which gave shape to the project of the school. This project proclaims the production and circulation of knowledge about social problems in Latin America, the reception of Marxist currents, and the criticism of university education apart from society, conservative of the political process of the Chilean scenario. It also questions developmentalism and economic and cultural dependence of countries of the South in the capitalist state, and takes on the demands for transformation of the time. In the scenario of the so-called “Chilean way to socialism,” different logics disputed with each other and were articulated, mobilizing political, theoretical and methodological discussions, deepening and materializing a project of critical awareness about the meaning and orientation of social work. Keywords: reconceptualization of social work; social imaginary; politics processes; production of knowledge; Valparaiso.
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Ramírez-Correa, Patricio E., F. Javier Rondán-Cataluña, Jorge Arenas-Gaitán, Elizabeth E. Grandón, Jorge L. Alfaro-Pérez, and Muriel Ramírez-Santana. "Segmentation of Older Adults in the Acceptance of Social Networking Sites Using Machine Learning." Frontiers in Psychology 12 (August 11, 2021). http://dx.doi.org/10.3389/fpsyg.2021.705715.

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This study analyzes the most important predictors of acceptance of social network sites in a sample of Chilean elder people (over 60). We employ a novelty procedure to explore this phenomenon. This procedure performs apriori segmentation based on gender and generation. It then applies the deep learning technique to identify the predictors (performance expectancy, effort expectancy, altruism, telepresence, social identity, facilitating conditions, hedonic motivation, perceived physical condition, social norms, habit, and trust) by segments. The predictor variables were taken from the literature on the use of social network sites, and an empirical study was carried out by quota sampling with a sample size of 395 older people. The results show different predictors of social network sites considering all the samples, baby boomer (born between 1947 and 1966) males and females, silent (born between 1927 and 1946) males and females. The high heterogeneity among older people is confirmed; this means that dealing with older adults as a uniform set of users of social network sites is a mistake. This study demonstrates that the four segments behave differently, and many diverse variables influence the acceptance of social network sites.
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Sarremejane, Philippe. "La rationalisation de l’éducation physique en France, 1950-1966 : la pédagogie du « rendement et du contrôle »." Historical Studies in Education / Revue d'histoire de l'éducation, May 1, 2004, 1–32. http://dx.doi.org/10.32316/hse/rhe.v16i1.433.

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In the post-war period (1950-1966), physical education in France went through a strong movement of methodological rationalization. Driven by a search for social acceptance and a desire to be recognized as a fundamental school subject, physical education sought to produce a form of efficiency combined with a procedure for the control of learning. The goal was to measure the effects of teaching, that is, the “progress” made. Yet during this period evaluation tools were neither effective nor unified or generalized. The innovative process begins with an estimation of the physical capacities of the pupils so as to define comparable level groups. Childcentredness becomes the most efficient method. Gradually, the tools allowing us to estimate this level become more impressive; the development of the classification table of Jean Letessier can be seen as the height of this innovation. This new methodology presents important theoretical and practical modes of rationality. However, controlling “progress” will turn out to be challenging. Clearly, the school conditions of teaching make it difficult to prove that the pupils have really progressed in their physical education classes. Many tensions remain.
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Pohlman, Annie Elizabeth. "Incitement to Genocide against a Political Group: The Anti-Communist Killings in Indonesia." PORTAL Journal of Multidisciplinary International Studies 11, no. 1 (August 9, 2014). http://dx.doi.org/10.5130/portal.v11i1.3292.

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Genocide and mass atrocities can be seen as the culminative result of extreme social exclusion. Two of the critical steps on the path to genocidal persecution are the isolation and exclusion of a particular group and the mobilisation and incitement of perpetrators. This paper examines the case of the 1965-1966 massacres in Indonesia in light of these two incipient stages of genocide. First, I discuss the Indonesian killings of 1965-1966 by situating them within the conceptual and legal understandings of genocide and argue that those persecuted belonged predominantly to a defined political group, that is, members and associates of the Indonesian Communist Party (PKI). I argue that the exclusion of political groups from the legal definition of genocide given in the UN Convention on Genocide is unsupportable when examined both within the context that it was created and the greater conceptual understandings of genocide studies. To support this argument, I then outline the political situation in Indonesia prior to the 1 October 1965 coup and explain how the country went through a process of political pillarisation, effectively creating the conditions for the creation and then eradication of the Left in Indonesia. In the final part of the paper, I examine how these killings were incited. I argue that hate propaganda was used against the PKI and its supporters by the main perpetrators of the massacres, the Indonesian military, to incite a popular, genocidal campaign. As a result of this hate-propaganda campaign, Leftists in Indonesia experienced extreme forms of dehumanisation and social death which, in turn, facilitated their eradication.
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Xu, Bin. "Historically Remaining Issues: The Shanghai–Xinjiang Zhiqing Migration Program and the Tangled Legacies of the Mao Era in China, 1980–2017." Modern China, April 14, 2021, 009770042110032. http://dx.doi.org/10.1177/00977004211003280.

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This article addresses social legacies or “historically remaining issues”—the impacts of Mao-era policies and practices on life courses, socioeconomic statuses, living conditions, and other aspects of social life in the post-Mao era. These social legacies involve state–society interactions on policy adjustments and symbolic practices and, therefore, are tangled up with other legacies, institutional and cultural, of the Mao years. This point is illustrated in a study of the Shanghai–Xinjiang zhiqing migration program of 1963–1966, in which about 97,000 Shanghai “ zhiqing” (educated youths) were mobilized to settle in the Xinjiang Construction and Production Corps. After petitions and protests in 1979–1980, some returned to Shanghai legally, but others returned to and remained in Shanghai without documents. This article discusses how Shanghai zhiqing returnees have been petitioning and protesting to pressure the state to solve problems relating to their hukou, pensions, and healthcare, and how the state responded with repression and incremental, ad hoc policy changes, which have caused repercussions and provoked grievances. State–society interactions over the social legacies of the Shanghai–Xinjiang migration program have been constrained by related institutional and cultural legacies, including the hukou system, the status of the Xinjiang Construction and Production Corps, the state’s positive historical assessment of the Shanghai–Xinjiang program, and the zhiqing’s pride in and confusion over their identities.
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Mussari, Mark. "Umberto Eco Would Have Made a Bad Fauve." M/C Journal 5, no. 3 (July 1, 2002). http://dx.doi.org/10.5204/mcj.1966.

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"The eye altering, alters all." - Blake In his essay "How Culture Conditions the Colours We See," Umberto Eco claims that chromatic perception is determined by language. Regarding language as the primary modeling system, Eco argues for linguistic predominance over visual experience: ". . . the puzzle we are faced with is neither a psychological one nor an aesthetic one: it is a cultural one, and as such is filtered through a linguistic system" (159). Eco goes on to explain that he is 'very confused' about chromatic effect, and his arguments do a fine job of illustrating that confusion. To Eco's claim that color perception is determined by language, one can readily point out that both babies and animals, sans language, experience--and respond to--color perception. How then can color be only a cultural matter? Eco attempts to make a connection between the "negative concept" of a geopolitical unit (e.g., Holland or Italy defined by what is not Holland or Italy) and a chromatic system in which "units are defined not in themselves but in terms of opposition and position in relation to other units" (171). Culture, however, is not the only determinant in the opposition that defines certain colors: It is a physiological phenomenon that the eye, after staring at one color (for example, red) for a long time, will see that color's complement, its opposite (green), on a white background. Language is a frustrating tool when discussing color: languages throughout the world have only a limited number of words for the myriad color-sensations experienced by the average eye. Though language training and tradition have an undoubtedly profound effect on our color sense, our words for color constitute only one part of the color expression and not always the most important one. In his Remarks on Colour (1950-51), Wittgenstein observed: 'When we're asked 'What do the words 'red', 'blue', 'black', 'white' mean?' we can, of course, immediately point to things which have these colours,--but our ability to explain the meanings of these words goes no further!' (I-68). We can never say with complete certainly that what this writer meant by this color (we are already in trouble) is understood by this reader (the woods are now officially burning). A brief foray into the world of color perception discloses that, first and foremost, a physiological process, not a cultural one, takes place when a person sees colors. In his lively Art & Physics (1991), Leonard Shlain observes that "Color is the subjective perception in our brains of an objective feature of light's specific wavelengths. Each aspect is inseparable from the other" (170). In his 1898 play To Damascus I, August Strindberg indicated specifically in a stage direction that the Mourners and Pallbearers were to be dressed in brown, while allowing the characters to defy what the audience saw and claim that they were wearing black. In what may well be the first instance of such dramatic toying with an audience's perception, Strindberg forces us to ask where colors exist: In the subject's eye or in the perceived object? In no other feature of the world does such an interplay exist between subject and object. Shlain notes that color "is both a subjective opinion and an objective feature of the world and is both an energy and an entity" (171). In the science of imaging (the transfer of one color digital image from one technology to another) recent research has suggested that human vision may be the best model for this process. Human vision is spatial: it views colors also as sensations involving relationships within an entire image. This phenomenon is part of the process of seeing and unique to the way humans see. In some ways color terms illustrate Roland Barthes's arguments (in S/Z) that connotation actually precedes denotation in language--possibly even produces what we normally consider a word's denotation. Barthes refers to denotation as 'the last of connotations' (9). Look up 'red' in the American Heritage Dictionary and the first definition you find is a comparison to 'blood.' Blood carries with it (or the reader brings to it) a number of connotations that have long inspired a tradition of associating red with life, sex, energy, etc. Perhaps the closest objective denotation for red is the mention of 'the long wavelength end of the spectrum,' which basically tells us nothing about experiencing the color red. Instead, the connotations of red, many of them based on previous perceptual experience, constitute our first encounter with the word 'red.' I would not be so inclined to apply Barthes's connotational hierarchy when one sees red in, say, a painting--an experience in which some of the subjectivity one brings to a color is more limited by the actual physical appearance of the hue chosen by the artist. Also, though Barthes talks about linguistic associations, colors are more inclined to inspire emotional associations which sometimes cannot be expressed in language. As Gaston Bachelard wrote in Air and Dreams: An Essay on the Imagination of Movement: 'The word blue designates, but it does not render' (162). Still, the 'pluralism' Barthes argues for in reading seems particularly present in the reader's encounter with color terms and their constant play of objectivity/subjectivity. In painting color was first released from the confines of form by the Post-Impressionists Cézanne, Gauguin, and van Gogh, who allowed the color of the paint, the very marks on the canvas, to carry the power of expression. Following their lead, the French Fauve painters, under the auspices of Matisse, took the power of color another step further. Perhaps the greatest colorist of the twentieth century, Matisse understood that colors possess a harmony all their own--that colors call out for their complements; he used this knowledge to paint some of the most harmonious canvases in the history of art. 'I use the simplest colors,' Matisse wrote in 'The Path of Color' (1947). 'I don't transform them myself, it is the relationships that take care of that' (178). When he painted the Red Studio, for example, the real walls were actually a blue-gray; he later said that he 'felt red' in the room--and so he painted red (what he felt), leaving the observer to see red (what she feels). Other than its descriptive function, what does language have to do with any of this? It is a matter of perception and emotion. At a 1998 Seattle art gallery exhibit of predominantly monochromatic sculptures featuring icy white glass objects, I asked the artist why he had employed so little color in his work (there were two small pieces in colored glass and they were not as successful). He replied that "color has a tendency to get away from you," and so he had avoided it as much as possible. The fact that color has a power all its own, that the effects of chromaticism depend partially on how colors function beyond the associations applied to them, has long been acknowledged by more expressionistic artists. Writing to Emile Bernard in 1888, van Gogh proclaimed: 'I couldn't care less what the colors are in reality.' The pieces of the color puzzle which Umberto Eco wishes to dismiss, the psychological and the aesthetic, actually serve as the thrust of most pictorial and literary uses of color spaces. Toward the end of his essay, Eco bows to Klee, Mondrian, and Kandinsky (including even the poetry of Virgil) and their "artistic activity," which he views as working "against social codes and collective categorization" (175). Perhaps these artists and writers retrieved color from the deadening and sometimes restrictive effects of culture. Committed to the notion that the main function of color is expression, Matisse liberated color to abolish the sense of distance between the observer and the painting. His innovations are still baffling theorists: In Reconfiguring Modernism: Exploring the Relationship between Modern Art and Modern Literature, Daniel R. Schwarz bemoans the difficulty in viewing Matisse's decorative productions in 'hermeneutical patterns' (149). Like Eco, Schwarz wants to replace perception and emotion with language and narrativity. Language may determine how we express the experience of color, but Eco places the cart before the horse if he actually believes that language 'determines' chromatic experience. Eco is not alone: the Cambridge linguist John Lyons, observing that color is 'not grammaticalised across the languages of the world as fully or centrally as shape, size, space, time' (223), concludes that colors are the product of language under the influence of culture. One is reminded of Goethe's remark that "the ox becomes furious if a red cloth is shown to him; but the philosopher, who speaks of color only in a general way, begins to rave" (xli). References Bachelard, Gaston. Air and Dreams: An Essay on the Imagination of Movement. Dallas: The Dallas Institute Publications, 1988. Barthes, Roland. S/Z. Trans. Richard Miller. New York: Hill and Wang, 1974. Eco, Umberto. 'How Culture Conditions the Colours We See.' On Signs. Ed. M. Blonsky. Baltimore: Johns Hopkins University Press, 1985. 157-75. Goethe, Johann Wolfgang. The Theory of Colors. Trans. Charles Lock Eastlake. Cambridge: The MIT Press, 1970. Lyons, John. 'Colour in Language.' Colour: Art & Science. Ed. Trevor Lamb and Janine Bourriau. Cambridge: Cambridge University Press, 1995. 194-224. Matisse, Henri. Matisse on Art. Ed. Jack Flam. Rev. ed. Berkeley: University of California, 1995. Riley, Charles A., II. Color Codes: Modern Theories of Color in Philosophy, Painting and Architecture, Literature, Music and Psychology. Hanover: University Press of New England, 1995. Schwarz, Daniel R. Reconfiguring Modernism: Explorations in the Relationship between Modern Art and Modern Literature. New York: St. Martin's, 1997. Shlain, Leonard. Art & Physics: Parallel Visions in Space, Time & Light. New York: Morrow, 1991. Strindberg, August. To Damascus in Selected Plays. Volume 2: The Post-Inferno Period. Trans. Evert Sprinchorn. Minneapolis: University of Minnesota Press, 1986. 381-480. Van Gogh, Vincent. The Letters of Vincent van Gogh. Trans. Arnold Pomerans. London: Penguin, 1996. Citation reference for this article MLA Style Mussari, Mark. "Umberto Eco Would Have Made a Bad Fauve" M/C: A Journal of Media and Culture 5.3 (2002). [your date of access] < http://www.media-culture.org.au/0207/eco.php>. Chicago Style Mussari, Mark, "Umberto Eco Would Have Made a Bad Fauve" M/C: A Journal of Media and Culture 5, no. 3 (2002), < http://www.media-culture.org.au/0207/eco.php> ([your date of access]). APA Style Mussari, Mark. (2002) Umberto Eco Would Have Made a Bad Fauve. M/C: A Journal of Media and Culture 5(3). < http://www.media-culture.org.au/0207/eco.php> ([your date of access]).
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37

Esmira Vaqif, Ahmadova. "Quality of life patients with anorectal disorders." Open Scientific Journal of Surgery, June 6, 2019, 41–42. http://dx.doi.org/10.36811/osjs.2019.110006.

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Nowadays, assessment of treatments effectiveness carried out by different methods. About 20 years before due to clinical signs we can make a decision about the severity degree of disease, patients health status. However, now it is not enough. The most important lack of this approach is that in this situation patient’s opinion is neglected. Development of medicine, changing of relationship between patients and doctors give birth to a new direction: unilateral approach replaced by mutual cooperation both of sides. Until the last decades of XX century all treatment results, both conservative and surgical, were evaluated due to the clinical, laboratory and instrumental investigations. As officials defined by the World Health Organization, health is a state of complete physical, mental and social wellbeing [6]. So, during the patient’s conditions assessment all these parameters should investigate. Firstly, Errington in 1966 gave an idea about using quality of life for the describing disease effects. Officials this terming in medicine was established in 1977 [3]. Since that time “Quality of life” used widely in the medicine. Today this is one of the common, convenient and informative methods, which allow physicians assess the patient’s status by following the main rule of medicine- to treat the patient, not the disease [2,4,5]. Its advantages are: Comprehensiveness - it covers all aspects of health Dynamism- allow to monitoring patients status Patients participation- this is the main benefit.
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Kaur, Sukhjit. "A Minority became a Majority in the Punjab." Research Journal of Humanities and Social Sciences, June 30, 2021, 86–92. http://dx.doi.org/10.52711/2321-5828.2021.00013.

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The Punjabi Suba came into being after various sacrifices and struggles. The Indian Government appointed ‘Shah Commission’ to demarcate the boundaries of Punjab and Haryana. The reorganization bill was passed on the basis of recommendations of this committee only. Punjab was divided into two states; Punjabi Suba and Haryana under Punjab Reorganization Act, 1966. Certain areas of undivided Punjab were given to Himachal Pradesh. However, Haryana was raised as a rival to the state of Punjabi language (which was to be made for Punjab). Common links had been made for Punjab and Haryana. Haryana was the area of Hindi-speakers. It could have been easily amalgamated with neighboring Hindi states of Rajasthan and U.P. But, the state of Punjab, which was demanding the areas of Punjabi –speakers, was crippled and made lame as well. Such seeds were sown for its future of economic growth that would not let it move forward. Haryana welcomed the Act of reorganization. But, it was opposed by the Akalis. Sant Fateh Singh threatened to go on `fast unto death` and resort to self-immolation as a protest against it. As a result, the common forums were removed for Haryana and Punjab and Sant Fateh Singh and the Akali Dal welcomed this decision. There was a considerable impact on the political, economic and social conditions of Punjab after the formation of Punjabi Suba. Punjab became a Sikh-majority area. If at all the Punjabi language had been implemented then its entire credit goes to the speakers of Punjabi for the first time.
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Rodrigo-Comino, Jesús, José María Senciales-González, Yang Yu, Luca Salvati, Antonio Giménez-Morera, and Artemi Cerdà. "Long-term changes in rainfed olive production, rainfall and farmer’s income in Bailén (Jaén, Spain)." Euro-Mediterranean Journal for Environmental Integration 6, no. 2 (June 18, 2021). http://dx.doi.org/10.1007/s41207-021-00268-1.

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AbstractEconomic, social, and climatic conditions affect agricultural production. Those changes are relevant to the rainfed agricultural areas of the Mediterranean Belt, including Spain—the largest producer of olive oil in the world. However, little is known about the effect of the climate on olive production and farmer income. In this study, the correlation between changes in rainfall and total olive production was examined using a long-term dataset (28 years) on conventional rainfed production and tillage soil management. The dataset focused on different olive groves in the municipality of Bailén (Jaén, Andalusia) that have been owned by the same farmer since 1966. The province of Jaén is the region of Spain with the highest production of olive oil and the largest area of olive groves. The data included annual rainfall, production per plot and the price of olives. After calculating missing data to complete the rainfall series, pairwise correlation analysis with nonparametric Spearman's rank coefficients and principal component analysis were used to process the data. The results showed that higher production coincided with increased rainfall during August and December. Therefore, we concluded that the impact of rainfall on olive production is variable and depends on drought intensity and the monthly rainfall distribution. An economic study showed that farmer income was highly dependent on the seasonal distribution of the rainfall among other factors such as the price of olives. Farmer income was low during drought periods, indicating that rainfed agriculture is perceived by farmers as unsustainable due to the resulting highly variable income. This study could help to prevent risks to food security in the future. We recognise that other key factors have also been important influences on the fluctuations in olive production over the years, such as soil properties and plant status. However, cultivating olives without irrigation—depending only on the total rainfall amount and rainfall intensity to supply all of the water consumed by the plants—is very risky too. This research demonstrates that the subsistence of Mediterranean rainfed olive farmers can be highly dependent on the rainfall conditions.
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Letmiros, Letmiros. "JOGOKARIYAN MOSQUE IN YOGYAKARTA: AS A LEGENDARY AND PHENOMENAL AGENT OF CHANGE." International Review of Humanities Studies, July 31, 2020. http://dx.doi.org/10.7454/irhs.v0i0.254.

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A mosque is the Muslims’ primary place of worship. The term ‘mosque’ is derived from an Arabic word meaning a place for sujood (salah). However, verily, not only is a mosque merely the Muslims’ place for salah, but it may also be taken advantage of as a place for enhancing social and economic conditions of the neighboring residents regardless of their races, ethnic groups and religions. This is what Jogokariyan Mosque in Yogyakarta has exemplified. Located in Jogokariyan Kampong, Mantrijeron Sub-district, Yogyakarta City, the mosque started to be built on September 20th 1966, with the initial size of which measuring 15 by 9 meter and occupying 660 square meters of land. It was inaugurated in August 1967. When directly observing it for several days in July 2018, I noticed that this Jogokariyan Mosque had many facilities, distinctions, and uniqueness that most mosques did not have in general. For instance, very few or probably no mosques had inns with dozens of rooms with three-star-hotel facilities. The mosque’s management had applied three steps in enhancing Jogokariyan residents’ quality of life from mapping, giving services, to the society’s empowerment as the completion stage. To Muslims who had not made salah jamaah at the mosque, they were officially invited like that of a wedding invitation. In the society’s prosperity sector, the mosque’s management had renovated several needy families’ houses. With those many facilities, distinctions, and uniqueness, Masjid Jogokariyan had successfully played its role as an agent of change, so this mosque became legendary and phenomenal; therefore, in 2016 the Ministry Religious Affairs of the Republic of Indonesia bestowed it an award and made it a Pilot National Grand Mosque.
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"One Theme in Two Variations - Self Determination for Minorities And Indigenous Peoples." International Journal on Minority and Group Rights 5, no. 2 (1997): 175–97. http://dx.doi.org/10.1163/15718119720907444.

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AbstractDuring the 20th century self-determination has become one of the most important principles of international law and one of the most prominent rights on the basis of which (all) peoples can decide freely on their political status and their economic, social and cultural development (Article 1 common to the 1966 ICCPR and ICESCR).Whereas the idea of self-determination is envisaged as an advanced concept aimed at the liberation of peoples under foreign domination in the process of de-colonisation, today's situation and reality call for its reconsideration and adequate clarification with respect to the issues of who is entitled to the right of self-determination and in which forms and to which extent it can be exercised if seen from the aspect of the impact which its exercise might have on the integrity of states. This call is strengthened by the fact that all contemporary states have certain complexity with respect to their national/ethnic/religious/linguistic or racial composition. One of the basic problems in the application of the right of self-determination is created by the fact that there are no definitions in international law on the concepts of various groups. There is no clear answer on what are peoples who are entitled to the right of self-determination, nor is there an accepted definition for other groups which are politically relevant, like indigenous peoples and/or minorities. This may cause serious difficulties since such a lack of clarity provides conditions for persistent claims on the part of groups other than peoples on the right of self-determination, which sometimes threatens territorial integrity of states.
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Stauff, Markus. "Non-Fiction Transmedia: Seriality and Forensics in Media Sport." M/C Journal 21, no. 1 (March 14, 2018). http://dx.doi.org/10.5204/mcj.1372.

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At last year’s Tour de France—the three-week cycling race—the winner of one stage was disqualified for allegedly obstructing a competitor. In newspapers and on social media, cycling fans immediately started a heated debate about the decision and about the actual course of events. They uploaded photographs and videos, which they had often edited and augmented with graphics to support their interpretation of the situation or to direct attention to some neglected detail (Simpson; "Tour de France").Due to their competitive character and their audience’s partisanship, modern media sports continuously create controversial moments like this, thereby providing ample opportunities for what Jason Mittell—with respect to complex narratives in recent TV drama—called “forensic fandom” ("Forensic;" Complex), in which audience members collectively investigate ambivalent or enigmatic elements of a media product, adding their own interpretations and explanations.Not unlike that of TV drama, sport’s forensic fandom is stimulated through complex forms of seriality—e.g. the successive stages of the Tour de France or the successive games of a tournament or a league, but also the repetition of the same league competition or tournament every (or, in the case of the Olympics, every four) year(s). To articulate their take on the disqualification of the Tour de France rider, fans refer to comparable past events, activate knowledge about rivalries between cyclists, or note character traits that they condensed from the alleged perpetrator’s prior appearances. Sport thus creates a continuously evolving and recursive storyworld that, like all popular seriality, proliferates across different media forms (texts, photos, films, etc.) and different media platforms (television, social media, etc.) (Kelleter).In the following I will use two examples (from 1908 and 1966) to analyse in greater detail why and how sport’s seriality and forensic attitude contribute to the highly dynamic “transmedia intertextuality” (Kinder 35) of media sport. Two arguments are of special importance to me: (1) While social media (as the introductory example has shown) add to forensic fandom’s proliferation, it was sport’s strongly serialized evaluation of performances that actually triggered the “spreadability” (Jenkins, Ford, and Green) of sport-related topics across different media, first doing so at the end of the 19th century. What is more, modern sport owes its very existence to the cross-media circulation of its events. (2) So far, transmedia has mainly been researched with respect to fictional content (Jenkins; Evans), yet existing research on documentary transmedia forms (Kerrigan and Velikovsky) and social media seriality (Page) has shown that the inclusion of non-fiction can broaden our knowledge of how storytelling sprawls across media and takes advantage of their specific affordances. This, I want to argue, ensures that sport is an insightful and important example for the understanding of transmedia world-building.The Origins of Sport, the Olympics 1908, and World-BuildingSome authors claim that it was commercial television that replaced descriptive accounts of sporting events with narratives of heroes and villains in the 1990s (Fabos). Yet even a cursory study of past sport reporting shows that, even back when newspapers had to explain the controversial outcome of the 1908 Olympic Marathon to their readers, they could already rely on a well-established typology of characters and events.In the second half of the 19th century, the rules of many sports became standardized. Individual events were integrated in organized, repetitive competitions—leagues, tournaments, and so on. This development was encouraged by the popular press, which thus enabled the public to compare performances from different places and across time (Werron, "On Public;" Werron, "World"). Rankings and tables condensed contests in easily comparable visual forms, and these were augmented by more narrative accounts that supplemented the numbers with details, context, drama, and the subjective experiences of athletes and spectators. Week by week, newspapers and special-interest magazines alike offered varying explanations for the various wins and losses.When London hosted the Olympics in 1908, the scheduled seriality and pre-determined settings and protagonists allowed for the announcement of upcoming events in advance and for setting up possible storylines. Two days before the marathon race, The Times of London published the rules of the race, the names of the participants, a distance table listing relevant landmarks with the estimated arrival times, and a turn-by-turn description of the route, sketching the actual experience of running the race for the readers (22 July 1908, p. 11). On the day of the race, The Times appealed to sport’s seriality with a comprehensive narrative of prior Olympic Marathon races, a map of the precise course, a discussion of the alleged favourites, and speculation on factors that might impact the performances:Because of their inelasticity, wood blocks are particularly trying to the feet, and the glitter on the polished surface of the road, if the sun happens to be shining, will be apt to make a man who has travelled over 20 miles at top speed turn more than a little dizzy … . It is quite possible that some of the leaders may break down here, when they are almost within sight of home. (The Times 24 July 1908, p. 9)What we see here can be described as a world-building process: The rules of a competition, the participating athletes, their former performances, the weather, and so on, all form “a more or less organized sum of scattered parts” (Boni 13). These parts could easily be taken up by what we now call different media platforms (which in 1908 included magazines, newspapers, and films) that combine them in different ways to already make claims about cause-and-effect chains, intentions, outcomes, and a multitude of subjective experiences, before the competition has even started.The actual course of events, then, like the single instalment in a fictional storyworld, has a dual function: on the one hand, it specifies one particular storyline with a few protagonists, decisive turning points, and a clear determination of winners and losers. On the other hand, it triggers the multiplication of follow-up stories, each suggesting specific explanations for the highly contingent outcome, thereby often extending the storyworld, invoking props, characters, character traits, causalities, and references to earlier instalments in the series, which might or might not have been mentioned in the preliminary reports.In the 1908 Olympic Marathon, the Italian Dorando Pietri, who was not on The Times’ list of favourites, reached the finish first. Since he was stumbling on the last 300 meters of the track inside the stadium and only managed to cross the finish line with the support of race officials, he was disqualified. The jury then declared the American John Hayes, who came in second, the winner of the race.The day after the marathon, newspapers gave different accounts of the race. One, obviously printed too hastily, declared Pietri dead; others unsurprisingly gave the race a national perspective, focusing on the fate of “their” athletes (Davis 161, 166). Most of them evaluated the event with respect to athletic, aesthetic, or ethical terms—e.g. declaring Pietri the moral winner of the race (as did Sir Arthur Conan Doyle in The Daily Mail of July 25). This continues today, as praising sport performers often figures as a last resort “to reconstruct unproblematic heroism” (Whannel 44).The general endeavour of modern sport to scrutinize and understand the details of the performance provoked competing explanations for what had happened: was it the food, the heat, or the will power? In a forensic spirit, many publications added drawings or printed one of the famous photographs displaying Pietri being guided across the finish line (these still regularly appear in coffee-table books on sports photography; for a more extensive analysis, see Stauff). Sport—just like other non-fictional transmedia content—enriches its storyworld through “historical accounts of places and past times that already have their own logic, practice and institutions” (Kerrigan and Velikovsky 259).The seriality of sport not only fostered this dynamic by starting the narrative before the event, but also by triggering references to past instalments through the contingencies of the current one. The New York Times took the biggest possible leap, stating that the 1908 marathon must have been the most dramatic competition “since that Marathon race in ancient Greece, where the victor fell at the goal and, with a wave of triumph, died” (The New York Times 25 July 1908, p. 1). Dutch sport magazine De Revue der Sporten (6 August 1908, p. 167) used sport’s seriality more soberly to assess Hayes’ finishing time as not very special (conceding that the hot weather might have had an effect).What, hopefully, has become clear by now, is that—starting in the late 19th century—sporting events are prepared by, and in turn trigger, varying practices of transmedia world-building that make use of the different media’s affordances (drawings, maps, tables, photographs, written narratives, etc.). Already in 1908, most people interested in sport thus quite probably came across multiple accounts of the event—and thereby could feel invited to come up with their own explanation for what had happened. Back then, this forensic attitude was mostly limited to speculation about possible cause-effect chains, but with the more extensive visual coverage of competitions, especially through moving images, storytelling harnessed an increasingly growing set of forensic tools.The World Cup 1966 and Transmedia ForensicsThe serialized TV live transmissions of sport add complexity to storytelling, as they multiply the material available for forensic proliferations of the narratives. Liveness provokes a layered and constantly adapting process transforming the succession of actions into a narrative (the “emplotment”). The commentators find themselves “in the strange situation of a narrator ignorant of the plot” (Ryan 87), constantly balancing between mere reporting of events and more narrative explanation of incidents (Barnfield 8).To create a coherent storyworld under such circumstances, commentators fall back on prefabricated patterns (“overcoming bad luck,” “persistence paying off,” etc.) to frame the events while they unfold (Ryan 87). This includes the already mentioned tropes of heroism or national and racial stereotypes, which are upheld as long as possible, even when the course of events contradicts them (Tudor). Often, the creation of “non-retrospective narratives” (Ryan 79) harnesses seriality, “connecting this season with last and present with past and, indeed, present with past and future” (Barnfield 10).Instant-replay technology, additionally, made it possible (and necessary) for commentators to scrutinize individual actions while competitions are still ongoing, provoking revisions of the emplotment. With video, DVD, and online video, the second-guessing and re-telling of elements—at least in hindsight—became accessible to the general audience as well, thereby dramatically extending the playing field for sport’s forensic attitude.I want to elaborate this development with another example from London, this time the 1966 Men’s Football World Cup, which was the first to systematically use instant replay. In the extra time of the final, the English team scored a goal against the German side: Geoff Hurst’s shot bounced from the crossbar down to the goal line and from there back into the field. After deliberating with the linesman, the referee called it a goal. Until today it remains contested whether the ball actually was behind the goal line or not.By 1966, 1908’s sparsity of visual representation had been replaced by an abundance of moving images. The game was covered by the BBC and by ITV (for TV) and by several film companies (in colour and in black-and-white). Different recordings of the famous goal, taken from different camera angles, still circulate and are re-appropriated in different media even today. The seriality of sport, particularly World Cup Football’s return every four years, triggers the re-telling of this 1966 game just as much as media innovations do.In 1966, the BBC live commentary—after a moment of doubt—pretty soberly stated that “it’s a goal” and observed that “the Germans are mad at the referee;” the ITV reporter, more ambivalently declared: “the linesman says no goal … that’s what we saw … It is a goal!” The contemporary newsreel in German cinemas—the Fox Tönende Wochenschau—announced the scene as “the most controversial goal of the tournament.” It was presented from two different perspectives, the second one in slow motion with the commentary stating: “these images prove that it was not a goal” (my translation).So far, this might sound like mere opposing interpretations of a contested event, yet the option to scrutinize the scene in slow motion and in different versions also spawned an extended forensic narrative. A DVD celebrating 100 years of FIFA (FIFA Fever, 2002) includes the scene twice, the first time in the chapter on famous controversies. Here, the voice-over avoids taking a stand by adopting a meta-perspective: The goal guaranteed that “one of the most entertaining finals ever would be the subject of conversation for generations to come—and therein lies the beauty of controversies.” The scene appears a second time in the special chapter on Germany’s successes. Now the goal itself is presented with music and then commented upon by one of the German players, who claims that it was a bad call by the referee but that the sportsmanlike manner in which his team accepted the decision advanced Germany’s global reputation.This is only included in the German version of the DVD, of course; on the international “special deluxe edition” of FIFA Fever (2002), the 1966 goal has its second appearance in the chapter on England’s World Cup history. Here, the referee’s decision is not questioned—there is not even a slow-motion replay. Instead, the summary of the game is wrapped up with praise for Geoff Hurst’s hat trick in the game and with images of the English players celebrating, the voice-over stating: “Now the nation could rejoice.”In itself, the combination of a nationally organized media landscape with the nationalist approach to sport reporting already provokes competing emplotments of one and the same event (Puijk). The modularity of sport reporting, which allows for easy re-editing, replacing sound and commentary, and retelling events through countless witnesses, triggers a continuing recombination of the elements of the storyworld. In the 50 years since the game, there have been stories about the motivations of the USSR linesman and the Swiss referee who made the decision, and there have been several reconstructions triggered by new digital technology augmenting the existing footage (e.g. King; ‘das Archiv’).The forensic drive behind these transmedia extensions is most explicit in the German Football Museum in Dortmund. For the fiftieth anniversary of the World Cup in 2016, it hosted a special exhibition on the event, which – similarly to the FIFA DVD – embeds it in a story of gaining global recognition for the fairness of the German team ("Deutsches Fußballmuseum").In the permanent exhibition of the German Football Museum, the 1966 game is memorialized with an exhibit titled “Wembley Goal Investigation” (“Ermittlung Wembley-Tor”). It offers three screens, each showing the goal from a different camera angle, a button allowing the visitors to stop the scene at any moment. A huge display cabinet showcases documents, newspaper clippings, quotes from participants, and photographs in the style of a crime-scene investigation—groups of items are called “corpus delicti,” “witnesses,” and “analysis.” Red hand-drawn arrows insinuate relations between different items; yellow “crime scene, do not cross” tape lies next to a ruler and a pair of tweezers.Like the various uses of the slow-motion replays on television, in film, on DVD, and on YouTube, the museum thus offers both hegemonic narratives suggesting a particular emplotment of the event that endow it with broader (nationalist) meaning and a forensic storyworld that offers props, characters, and action building-blocks in a way that invites fans to activate their own storytelling capacities.Conclusion: Sport’s Trans-Seriality Sport’s dependency on a public evaluation of its performances has made it a dynamic transmedia topic from the latter part of the 19th century onwards. Contested moments especially prompt a forensic attitude that harnesses the affordances of different media (and quickly takes advantage of technological innovations) to discuss what “really” happened. The public evaluation of performances also shapes the role of authorship and copyright, which is pivotal to transmedia more generally (Kustritz). Though the circulation of moving images from professional sporting events is highly restricted and intensely monetized, historically this circulation only became a valuable asset because of the sprawling storytelling practices about sport, individual competitions, and famous athletes in press, photography, film, and radio. Even though television dominates the first instance of emplotment during the live transmission, there is no primordial authorship; sport’s intense competition and partisanship (and their national organisation) guarantee that there are contrasting narratives from the start.The forensic storytelling, as we have seen, is structured by sport’s layered seriality, which establishes a rich storyworld and triggers ever new connections between present and past events. Long before the so-called seasons of radio or television series, sport established a seasonal cycle that repeats the same kind of competition with different pre-conditions, personnel, and weather conditions. Likewise, long before the complex storytelling of current television drama (Mittell, Complex TV), sport has mixed episodic with serial storytelling. On the one hand, the 1908 Marathon, for example, is part of the long series of marathon competitions, which can be considered independent events with their own fixed ending. On the other hand, athletes’ histories, continuing rivalries, and (in the case of the World Cup) progress within a tournament all establish narrative connections across individual episodes and even across different seasons (on the similarities between TV sport and soap operas, cf. O’Connor and Boyle).From its start in the 19th century, the serial publication of newspapers supported (and often promoted) sport’s seriality, while sport also shaped the publication schedule of the daily or weekly press (Mason) and today still shapes the seasonal structure of television and sport related computer games (Hutchins and Rowe 164). This seasonal structure also triggers wide-ranging references to the past: With each new World Cup, the famous goal from 1966 gets integrated into new highlight reels telling the German and the English teams’ different stories.Additionally, together with the contingency of sport events, this dual seriality offers ample opportunity for the articulation of “latent seriality” (Kustritz), as a previously neglected recurring trope, situation, or type of event across different instalments can eventually be noted. As already mentioned, the goal of 1966 is part of different sections on the FIFA DVDs: as the climactic final example in a chapter collecting World Cup controversies, as an important—but rather ambivalent—moment of German’s World Cup history, and as the biggest triumph in the re-telling of England’s World Cup appearances. In contrast to most fictional forms of seriality, the emplotment of sport constantly integrates such explicit references to the past, even causally disconnected historical events like the ancient Greek marathon.As a result, each competition activates multiple temporal layers—only some of which are structured as narratives. It is important to note that the public evaluation of performances is not at all restricted to narrative forms; as we have seen, there are quantitative and qualitative comparisons, chronicles, rankings, and athletic spectacle, all of which can create transmedia intertextuality. Sport thus might offer an invitation to more generally analyse how transmedia seriality combines narrative and other forms. 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43

Torres, David H., and Jeremy P. Fyke. "Communicating Resilience: A Discursive Leadership Perspective." M/C Journal 16, no. 5 (August 28, 2013). http://dx.doi.org/10.5204/mcj.712.

Full text
Abstract:
In this essay we challenge whether current conceptions of optimism, hope, and resilience are complete enough to account for the complexity and nuance of developing and maintaining these in practice. For example, a quick perusal of popular outlets (e.g., Forbes, Harvard Business Review) reveals advice to managers urging them to “be optimistic,” or “be happy” so that these types of emotions or feelings can spread to the workplace. One even finds simple advice and steps to follow on how to foster these types of things in the workplace (McKee; Tjan). We argue that this common perspective focuses narrowly on individuals and does not account for the complexity of resilience. Consequently, it denies the role of context, culture, and interactions as ways people develop shared meaning and reality. To fill this gap in our understanding, we take a social constructionist perspective to understand resilience. In other words, we foreground communication as the primary building block to sharing meaning and creating our worlds. In so doing, we veer away from the traditional focus on the individual and instead emphasise the social and cultural elements that shape how meaning is shared by peoples in various contexts (Fairhurst, Considering Context). Drawing on a communication, discourse-centered perspective we explore hope and optimism as concepts commonly associated with resilience in a work context. At work, leaders play a vital role in communicating ways that foster resilience in the face of organisational issues and events (e.g., environmental crises, downsizing). Following this lead, discursive leadership offers a framework that positions leadership as co-created and as the management of meaning through framing (Fairhurst, Power of Framing). Thus, we propose that a discursive leadership orientation can contribute to the communicative construction of resilience that moves away from individual perspectives to an emphasis on the social. From a discursive perspective, leadership is defined as a process of meaning management; attribution given by followers or observers; process-focused rather than leader-focused; and as shifting and distributed among several organizational members (Fairhurst Power of Framing). By switching from the individual focus and concentrating on social and cultural systems, discursive leadership is able to study concepts related to subjectivity, cultures, and identities as it relates to meaning. Our aim is to offer leaders an alternative perspective on resilience at the individual and group level by explaining how a discursive orientation to leadership can contribute to the communicative construction of resilience. We argue that a social constructionist approach provides a perspective that can unravel the multiple layers that make up hope, optimism, and resilience. We begin with a peek into the social scientific perspective that is so commonplace in media and popular portrayals of these constructs. Then, we explain the social constructionist perspective that grounds our framework, drawing on discursive leadership. Next, we present an alternative model of resilience, one that takes resilience as communicatively constructed and socially created. We believe this more robust perspective can help individuals, groups, and cultures be more resilient in the face of challenges. Social Scientific Perspectives Hope, optimism, and resilience have widely been spoken in the same breath; thus, in what follows we review how each is treated in common portrayals. In addition, we discuss each to point to further implications of our model proposed in this essay. Traditionally taken as cognitive states, each construct is based in an individual or an entity (Youssef and Luthans) and thus minimises the social and cultural. Hope Snyder, Irving, and Anderson define the construct of hope as “a positive motivational state that is based on an interactively derived sense of successful (1) agency (goal-directed energy) and (2) pathways (planning to meet goals)” (287). This cognitive set therefore is composed of the belief in the ability to create strategies toward a goal and the belief that those plans can be realised. Exploring hope can provide insight into how individuals deal with stress and more importantly how they use past experiences to produce effective routes toward goals (Brown Kirschman et al.). Mills-Scofield writing in Harvard Business Review mirrors this two-part hope structure and describes how to integrate hope into business strategy. Above all she emphasises that hope is based in fact, not fiction; the need to learn and apply from failures; and the need to focus on what is working instead of what is broken. These three points contribute to hope by reinforcing the strategies (pathways) and ability (agency) to accomplish a particular goal. This model of hope is widely held across social scientific and popular portrayals. This position, however, does not allow for exploring how forces of social interaction shape either how these pathways are created or how agency is developed in the first place. By contrast, a communication-centered approach like the one we propose foregrounds interaction and the various social forces necessary for hope to be fostered in the workplace. Optimism Optimism centers on how an individual processes the causality of an event (e.g., an organisational crisis). From this perspective, an employee facing significant conflict with his immediate supervisor, for example, may explain this threat as an opportunity to learn the importance of supervisor-subordinate relationships. This definition therefore explores how the individual interprets his/her world (Brown Kirschman et al.). According to Seligman et al. the ways in which one interprets events has its origins in several places: (1) genetics; (2) the environment in the form of modeling optimistic behaviours; (3) environment in forms of criticism; and (4) life experiences that teach personal mastery or helplessness (cited in Brown Kirschman et al.). Environmental sources function as a dialectical tension. On one hand the environment provides productive modeling for optimism behaviours, and on the other the environment, through criticism, produces the opposite. Both extremes illustrate the significance of cultural and societal factors as they contribute to optimism. Additionally, life experiences play a role in either mastery or helplessness. Again, interaction and social influences play a significant part in the development of optimism. Much like hope, due to the attention given to social and interactive forces, the concept of optimism requires a framework rooted in the social and cultural rather than the individual and cognitive. A significant drawback related to optimism (Brown Kirschman et al.) is the danger of unrelenting optimism and the possibility this has on producing unrealistic scenarios. Individuals, rather, should strive to acknowledge the facts (good or bad) of certain circumstances in order to learn how to properly manage automatic negative thoughts (Brown Kirschman et al.). Tony Schwartz writing in Harvard Business Review argues that “realistic optimism” is more than putting on a happy face but instead is more about telling what is the most hopeful and empowering of a given situation (1). Thus, a more interaction-based approach much like the model that we are proposing could help overcome some of optimism’s shortcomings. If the power of optimism is in the telling, then we need a model where the telling is front and center. Later, we propose such a model and method for helping leaders’ foster optimism in the workplace and in their communities. Resilience Resilience research offers several definitions and approaches in attempt to examine the phenomenon. Masten defines resilience as a “class of phenomena characterized by good outcomes in spite of serious threats to adaptation or development” (228). Luthar, Cicchetti, and Becker argue that resilience is “a dynamic process encompassing positive adaptation within the context of significant adversity” (543). Interestingly, resilience and developmental researchers alike have positioned resilience as an individual consistently meeting the expectations of a given society or culture within a particular historical context. Broadly speaking, two central conditions apply toward resilience: (1) the presence of significant threat or adversity; and (2) the achievement of positive adaptation (Luthar, Cicchetti, and Becker. Masten goes on to argue that resilience is however ordinary and naturally occurring. That is, the adaptive systems required during significant threat are already present in individuals and is not solely retained by a select few. Masten et al., argues that resilience does not come “from rare and special qualities, but from the operations of ordinary human systems in the biology and psychology of children, from the relationships in the family and community, and from schools, religions, cultures, and other aspects of societies” (129). Based on this, the emphasis of resilience should be within adaptive processes, such that are found in supportive relationships, emotion regulation, and environment engagement (Masten et al.), rather than on individuals. Of these varied interpretations of resilience, two research designs drive the academic literature— outcome- and process-based perspectives (Kolar). Those following an outcome-focused approach tend to concentrate on functionality and functional behaviour as key indicators of resilience (Kolar). Following this model, cognitive states such as composure, assurance, and confidence are examples of resilience. By contrast, a process-focused approach concentrates on the interplay of protective and risk factors as they influence the adaptive capacity of an individual (Kolar). This approach acknowledges that resilience is contextual and interactive, and is “a shared responsibility between individuals, their families, and the formal social system rather than as an individual burden (Kolar 425). This process-based approach toward resilience allows for greater inclusion of factors across individual, group, and societal levels (Kolar). The rigidity of outcome-based models and related constructs does not allow for such flexibility and therefore prevents exploring full accounts of resilience. A process-based approach allows for the inclusion of context throughout measures of resilience and acknowledges that interplay of risk and protective factors across the individual, social, and community level (Kolar). Bearing this in mind, what is needed are more complex models of resilience that account for a multiplicity of factors. An Alternate Framework: Social Construction of Reality Language is the tool storytellers use to generate interest and convey ideas. From a social constructionist standpoint, language is the primary mechanism in the construction of reality. Berger and Luckmann present language as a system that allows us to categorise subjective ideas, which over time accumulates into our “social stock of knowledge” (41). As our language creates the symbols that we use to make sense of the world around us, we add to our social knowledge thereby creating a shared vision of our own social reality. Because we accumulate varying levels and amounts of social knowledge, what we know of the world constantly changes. For example, in organisations, our discourse and on-going interactions with each other serve to shape what we consider to be real in our day-to-day lives. In this view, subjective experiences of individuals are central to our understanding of various events (e.g., organizational change, crises, conflict) and the ways in which we cope with such occurrences (e.g., through hope, optimism, resilience). Alternative Models of Resilience We take Buzzanell’s framework as inspiration for an alternative model of resilience. Her communication-centric model is based in messages, d/Discourse, and narrative where communication is an emergent process involving the interplay of messages and interaction (Buzzanell). Furthermore, the communicative construction of resilience involves “a collaborative exchange that invites participation of family, workplace, community, and interorganizational network members” (Buzzanell 9). This alternative perspective of resilience explores human communication resilience processes as the focal point rather than examining the person or entity. This is essentially a design change, where the focus shifts from the individual or singular toward the communication processes that enable resilience. Essentially, according to Poole, “in process, we can see resilience as dynamic, integrated, unfolding over time and through events, evolving into patterns, and dependent on contingencies” (qtd. in Buzzanell 2). Buzzanell describes five processes included in the communicative construction of resilience: (1) crafting normalcy; (2) affirming identity anchors; (3) maintaining and using communication networks; (4) legitimising negative feelings while foregrounding productive action; and (5) putting alternative logics to work. Here, we highlight two that most directly relate to the alternative model we propose. First, legitimising negative feelings while foregrounding productive action may sound like repression, but in fact it emphasises that negative feelings (nonproductive emotions) are real and that focusing on positive action enables success while facing significant threat. Furthermore, as a communicative construction, this process includes reframing of a situation both linguistically and metaphorically. This communicative process address a major drawback related to the optimism construct presented by Brown Kirschman and colleagues regarding the potential danger of unrelenting optimism. Similarly, putting alternative logics to work, in its practical application, creates resilient systems through (re)framing. Through (re)framing, individuals, groups, and communities can create their own logics that enable them to reintegrate when facing adverse experiences. That is, (re)framing provides an opportunity to endure unfavorable situations while creating communicatively creating conditions that enable adaptation. This idea can also be seen in popular press such as in the Harvard Business Review blog “Craft a Narrative to Instill Optimism” (Baldoni). According to Baldoni, leaders have a choice in creating the narrative of our world. Thus, leaders serve as the primary meaning managers in the workplace. Leadership and the Management of Meaning Kelly begins our discussion toward an ongoing discursive turn in leadership research. Much like hope, optimism, and resilience, Kelly proposes that leadership has been wrongly categorised and therefore has been inadequately observed. That is, due to focusing on trait-based leadership models espoused by leadership psychology the area of leadership has been left with significant deficits surrounding the very core of leadership. The lessons learned about the reductionist treatment of leadership can be applied to our understanding of resilience. Thus, we draw on discursive leadership because it provides an example for how leaders can foster resilience in various settings. The discursive turn stems from the incongruity seen in these traditional trait or style-based leadership approaches. From a social constructionist perspective, researchers are able to explore the forms in which leadership contributes to the meaning construction process, much in the same way that a communication perspective, outlined above, emphasises resilience as a process. This ontological shift in leadership research not only re-categorises leadership but also changes the ways in which leadership is studied. Kelly’s emphasis on a socially constructed view of leadership combined with alternative methodological approaches contributes to our aim to explore how a discursive leadership orientation can contribute to communicative construction of resilience. Discursive Leadership Discursive leadership views leadership as more of an art rather than a science, one that is contested and inventive (Fairhurst, Discursive Leadership). Where leadership psychology emphasises the individual and cognitive, discursive leadership highlights the cultural and the communicative (Fairhurst, Discursive Leadership). Leadership psychology is analogous to common, social scientific understandings of resilience that typically confines resilience into something easily attainable by individuals. The traditional leadership psychology literature attempts to determine causality among the cognitive, emotional, and behavioural elements of leader actors, whereas, discursive leadership takes discourse as the object of study to view how we think, see, and attribute leadership. Discursive leadership offers an optimal resource to view the communicative practices involved in the management of meaning and communicative construction of reality, including resilient systems and processes. Thus, we draw everything together now, and introduce practical interventions organisations can implement to foster hope, optimism, and resilience. An Alternate Model in Practice Attention to human capabilities and adaptive systems that promote healthy development and functioning have the potential to inform policy and programs that foster competence and human capital and aim to improve the health of communities and nations while also preventing problems (Masten 235). Masten’s words point to the tremendous potential of resilience. Thus, we wish to conclude with the implications of our perspective for individuals, groups, and communities. In what follows we briefly explain framing, and end with two interventions leaders can use to help foster resilience in the workplace. A common and practical example of language creating reality is framing. Fairhurst, in her book The Power of Framing explores framing as a leader’s ability to construct the reality of a subject or situation. A frame is simply defined as a mental picture where framing is the process of communicating this picture to others. Although words or language cannot alter any physical conditions, they may, however, influence our perceptions of them. Fairhurst goes on to “frame” leadership as co-created and not necessarily found in specific concrete acts. That is, leadership emerges when leader actors are deemed to have performed or demonstrated leadership by themselves and/or others. Leadership in this case is determined by attribution. For Fairhurst, leaders are able to shape and co-create meaning and reality by influencing the here and now. From this perspective interventions should be designed around the idea of creating alternative logics (Buzzanell) by emphasizing the elements of framing. For the sake of brevity, we wish to emphasise two fundamental areas surrounding process-oriented and communicative constructed resilience. It is our hope that leaders may use these takeaways and build upon them as they reflect how to position resilience at the individual and organisational level. First, interventions should focus on identifying the supportive adaptive systems at the individual, group, and societal level (e.g., family, work teams, community coalitions). This could be done through a series of dialogue sessions with an aim of challenging participants to not only identify systems but to also reflect upon how these systems contribute toward resilience. These could be duplicated in work settings and community settings (e.g., community forums and the like). Second, to emphasise framing, interventions should involve meaningful dialogue to help identify the particular conditions within a significant threat that will (a) lead to productive action and (b) enable individuals, groups, and communities to endure. Overall, an increased emphasis should be placed on helping participants understand how they are able to metaphorically and linguistically (Buzzanell) create the conditions surrounding adverse events. Our aim in this essay was to present an alternate model of various human processes that help people cope and bounce back from troubling times or events. Toward this end, we argued that media and popular portrayals of constructs such as hope, optimism, and resilience lack the complexity to account for how these can be put into practice. To fill this gap, we hope our communication-based model of resilience, with its emphasis on interaction will provide leaders and community members a method for engaging people in the process of coping and communicating resilience. Honoring the processual nature of these ideas is one step toward bettering individuals, groups, and communities. References Baldoni, John. “Craft a Narrative to Instill Optimism.” Harvard Business Review 17 Dec. 2009: 1. Berger, Peter L., and Thomas Luckmann. The Social Construction of Reality. New York: Anchor Books, 1966. Brown Kirschman, Keri J., Rebecca J. Johnson., Jade A. Bender., and Michael C. Roberts. “Positive Psychology for Children and Adolescents: Development, Prevention, and Promotion.” Oxford Handbook of Positive Psychology. Eds. Shane J. Lopez and Charles R. Snyder. New York: Oxford. 2009. 133-148. Buzzanell, Patrice M. “Resilience: Talking, Resisting, and Imagining New Normalcies into Being.” Journal of Communication 60 (2010): 1-14. Fairhurst, Gail T. The Power of Framing. San Francisco: Jossey-Bass, 2011. ———. “Considering Context in Discursive Leadership Research.” Human Relations 62.11 (2009): 1607-1633. ———. Discursive Leadership: In Conversation with Leadership Psychology. Los Angeles: SAGE Publications, 2007. Kelly, Simon. “Leadership: A Categorical Mistake?” Human Relations 61.6 (2008): 763 – 82. Kolar, Katarina. “Resilience: Revisiting the Concept and Its Utility for Social Research.” International Journal of Mental Health Addiction 9 (2011): 421033. Luthar, Suniya S., Dante Cicchetti., and Bronwyn Becker. “The Construct of Resilience: A Critical Evaluation and Guidelines for Future Work.” Child Development 71.3 (2000): 543-562. Masten, Ann S. “Ordinary Magic: Resilience Processes in Development.” American Psychologist 56.3 (2001): 227-238. Masten, Ann S., J.J. Cutuli, Janette E. Herbers, Marie-Gabriel J. Reed. “Resilience in Development.” Oxford Handbook of Positive Psychology. Eds. Shane J. Lopez and Charles R. Snyder. New York: Oxford UP, 2009. 117-132. McKee, Annie. “Doing the Hard Work of Hope.” HBR Blog Network Oct. 2008: 1-2. Mills-Scofield, Deborah. “Hope Is a Strategy (Well, Sort Of).” Harvard Business Review 9 Oct. 2012: 1-2. Poole, Marshall S. “On the Study of Process in Communication Research.” Montreal, Quebec, Canada. May 2008. Fellows address at the International Communication Association annual meeting. Postman, Neil. Conscientious Objections: Stirring Up Trouble about Language, Technology, and Education. New York: Vintage Books, 1988. Schwartz, Tony. “Fueling Positive Emotions in a World Gone Mad.” Harvard Business Review 2 Nov. 2010: 1-2 Seligman, Martin E., et al. The Optimist Child. Boston, MA: Houghton Mifflin, 1995. Snyder, Charles R., et al. “Hope and Health: Measuring the Will and the Ways.” Handbook of Social and Clinical Psychology: The Health Perspective. Eds. Charles R. Snyder and Donelson R. Forsyth. Elmsford: Pergamon, 1991. 285-305. Tjan, Anthony K. “Lead with Optimism.” HBR Blog Network May 2010: 1-2. Youssef, Carolyn M., and Luthans, Fred. “Positive Organizational Behavior in the Workplace: The Impact of Hope, Optimism, and Resilience.” Journal of Management 33.5 (2007): 774-800.
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44

Yunxia, Zhu, and Peter Thompson. "Invitation or Sexual Harassment?" M/C Journal 3, no. 4 (August 1, 2000). http://dx.doi.org/10.5204/mcj.1859.

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This article aims to analyse an intercultural telephone invitation given by a Chinese tutor to an Australian student, and highlight general principles of intercultural invitations. This anecdote is based on a true story that took place in a university in Australia, but the persons' names used here are fictitious for the sake of confidentiality. Below is the transcript of the actual conversation between the Chinese tutor Dr Lin Liang (L) and his student Catherine Jones (C): C: Catherine speaking. L: Hi, Catherine, this is Lin. C: Hi, Teacher Lin. L: I would like to invite you to our New Year's party to be held in my house this Saturday evening. C: This Saturday? I am afraid I won't be able to make it because I am going to my best friend's birthday party. L: You know this is the end of our school year. It would be so nice for all of our classmates to gather together. C: But I have already promised my friend. L: En... It is a pity... C: Sorry about that, but -- L: Never mind. Enjoy your party then. C: Thanks. L: That's OK, bye. C: Bye. However, the story does not end here. About two hours later, Dr Lin rang Catherine a second time, asking if it was still possible for her to consider attending the Saturday party. Late in the evening around 9.00 pm, Dr Lin rang her yet again to invite her to the party, saying it would be OK even if she stayed just for a short while. The next day, Catherine lodged a complaint with the Dean, alleging that Dr. Lin's repeated calls constituted sexual harassment. Dr. Lin was highly distressed to learn of the complaint, and explained that he just wanted to indicate sincerity and warmth as required by an invitation, and had no other intentions. This communication breakdown invites a number of questions: What are the factors underlying Catherine's interpretation that Dr. Lin's repeated calls constituted sexual harassment? What are the factors underlying Dr. Lin's contention that his actions were intended to emphasise his sincerity? What factors would need to be recognised in order to facilitate culturally competent performances on both their parts? In order to answer these questions, this article will adopt a holistic approach based on an analytic framework encompassing three theoretical dimensions. This framework is comprised as follows: Differences in intercultural exchange and politeness behaviour; Aristotle's distinction between the three orientations of persuasive/rhetorical appeal; ethos, pathos, and logos; Austin and Searle's theory of speech acts, as applied to politeness behaviour and felicity conditions in communicative interaction as applied to the act of inviting. These approaches are conceptualised as three overlapping spheres, and their relatedness can be further illustrated: Figure 1 First and foremost, the case study in question is related to an intercultural interaction between the Australian and Chinese culture, and some research findings in relevant areas may help highlight the differences in politeness behaviour between high-context and low-context cultures (Hall). According to Hall, high-context cultures such as Chinese tend to stress the use of internalised or implicit message while low-context cultures tend to emphasise the use of explicit messages. In other words, in Chinese culture, the message may have some shared implied meanings that may go beyond the linguistic forms used in the message. Kaplan's model on oriental circularity and western linearity seemed to in accordance with Hall's model. Young's exploration of the directness and indirectness of American and Chinese requests further substantiated this point. In a similar way, differences may arise in determining the criteria for appropriate behaviour relating to the use of other directives across cultures. As Gao and Ting-Toomey suggest, Chinese culture seems to pay attention to qing (reciprocity and feelings of obligation) and guanxi (relationship building), while in low-context cultures such a stress tends to be missing. This difference may also help explain the differences in communicative patterns as discussed by Kaplan and Young. Zhu found that in making a sales offer, Chinese companies often try to establish a long-term relationship with their clients ("Structural Moves"). In contrast, Australian companies seem to mainly focus on promoting products. The stress on qing in Chinese culture may also be a crucial factor that contributes to the different criteria for a polite invitation as compared to the Australian culture. The following discussion will further explore the other two parameters (see Figure 1) the two cultures differ in when making an invitation, which may have finally led to the breakdown in communication between Dr. Lin and Catherine. As shown in Figure 1, the argument underpinning this approach is that a given illocutionary act reflects culture-specific preferences for certain persuasive/rhetorical orientations, thereby affecting the socio-linguistic performance, i.e. parole as opposed to langue (Cullen) related to politeness principles. In short, the persuasive/rhetorical orientation varies between cultures, which means that the nature of ostensibly equivalent illocutionary acts also varies. Consequently, cross-cultural competence will be limited unless one is aware of the rhetorical and politeness codes implicit in the performance of certain communicative actions. Note that rhetorical orientation may also influence the politeness behaviour directly as a specification of that orientation. This in turn requires an awareness of cultural preferences toward certain persuasive/rhetorical orientations. The interconnections between them and the theoretical utility of this approach will be made explicit in the course of this discussion. Austin and Searle conceptualise the speech acts as comprising of locution (langue) and illocution (parole). What is of vital importance is the illocutionary force of an utterance which is the performance of a speech act, such as an invitation. According to Searle, an invitation is a directive used to get the addressee to do something. Invitation can be understood as a particular form of persuasive speech act. It is generally intended to produce a particular response (i.e. acceptance). As an illocutionary action, an invitation seeks to establish a relationship of social expectations between the host and invitee. This requires certain felicity conditions to be met. In other words, for the speech act to be socially significant, it must create a shared sense of meaning in regard to some perceived change or modification to existing social relations. These are often so obvious that they require little explanation. However, felicity conditions in speech-acts are culture-specific and may include rhetorical and politeness devices that are not obvious to other cultures. Politeness behaviour in invitations, related to using appropriate language forms, is an important element in competent illocutionary performance. Leech contends that polite illocutions are likely to be seen as minimising the addressee's cost and maximising his/her benefits, and the opposite is true for the addresser. Politeness behaviour can also be further explained in the light of Brown and Levinson's face-saving theory. Many actions we perform with words are potential face-threatening acts, such as requests and invitations (Brown and Levinson). The addresser is thus often confronted with negative face wants and has to address them by applying Leech's principles, in which maximising the addressee's benefits is the dominant strategy to gain politeness. However, strategies to maximise the addressee's benefits can be culture-specific. This is further connected to the persuasive/rhetorical orientation. Based on Aristotle, the appeal from ethos emphasises the persuader's (host's) character and status or other social conventions which might oblige compliance. The appeal from pathos emphasises emotion/feelings (either positive or negative) in inducing the desired response. The appeal from logos emphasises reason and the logical consistency of the proposal with the ideas and motives of the persuadee (invitee). Moran and Stripp found that western cultures tend to have a logical orientation, while others such as Japanese and Chinese tend to be characterised by emotional or dogmatic orientations. In a similar manner, Chinese scholars seem to address ethos, logos and pathos at the same time, in particular the logos and pathos. These principles remain a well-accepted principle in Chinese writing theories. Li, for example, clearly explicates the persuasive principle in writing as qing li (the combination of the emotional and logical approaches). The explicitly preferred qing (feelings/emotions) can be seen as part of the Confucian values relating to harmony, consensus and relationship building as noted by Hofstede and Bond. The different rhetorical orientations are also further explored by Campbell. This difference may suggest that the preferred rhetorical orientations are also a key aspect underpinning competent illocutionary performance. For example in Chinese invitations, a stress on the emotional approach may validate behaviours such as repeating the invitation even after initial refusal. However, a stress on the logical orientation, such as in western cultures, may negate the validity of these politeness conditions. This clearly points out the necessity of understanding the criteria for competent performance across cultures. The felicity conditions of invitation in Euro-Australian culture require, first, that the potential host be in a legitimate position to offer hospitality, and second, that the potential guest be -- at least theoretically -- able and willing to accept. Thirdly, the locutionary form of politeness requires use of conventionally appropriate terms of address and wording. The illocutionary form requires that the host symbolically offer hospitality to the invitee without the imposition of charges or other demands. Furthermore, the implied benefit to the invitee would ideally be achieved though implied cost to the host (even if the invitee is addressed as if their presence constitutes the bestowal of a favour). Fourthly, depending on the nature of the relationship between the host and invitee, certain persuasive/rhetorical orientations are preferred over others (eg. an appeal to emotion may seem out of place in formal invitation). The initial invitation meets these criteria. Dr. Lin offers and Catherine declines, citing a plausible and legitimate reason for being unavailable. From Catherine's perspective, the felicity conditions for invitation are now redundant. She has already declined in a manner which makes it clear that she is socially obliged to be elsewhere. From a persuasive/rhetorical perspective, the first invitation was primarily based on an appeal from logos/reason. i.e. Dr. Lin did not know that Catherine had already committed herself to other plans and it would be reasonable to suppose that she might appreciate being invited to a social occasion. This was backed up by a secondary appeal from pathos/emotion, whereby Dr. Lin pointed out that it would be nice for the whole class to get together. However, the priority of attending a best friend's birthday-party over-rides both these appeals. In Euro-Australian culture, close personal friends enjoy greater social priority than classmates or more distant associates. For Dr. Lin, however, the politeness criteria for invitation were still applicable. From a Chinese cultural perspective, the illocutionary performance of invitation may require repetition of the offer, even if the initial approach has been declined. According to Zhu (Business Communication), in Chinese culture repeating invitations is an accepted ritual to indicate sincerity and hospitality. Thus in Dr. Lin's view the second approach is required to perform the illocutionary act competently. The persuasive appeal, however, has become oriented toward ethos, reflecting Chinese conventions pertaining to politeness behaviour. For Dr. Lin not to repeat the invitation might suggest that Catherine's presence was of merely casual concern. Therefore the sincerity of the invitation demanded the gesture of repetition, regardless of the logical grounds cited for the initial refusal. Unfortunately, Dr. Lin and Catherine perceive the second invitation in very different ways based on the illocutionary performance criteria of their respective cultures. For Catherine, the logical basis for her initial refusal renders Dr. Lin's performance incompetent, and creates uncertainty about his apparent motives. In Euro-Australian culture, the repeated invitation makes no logical sense, since a perfectly legitimate reason for declining has already been provided. Therefore the communicative action cannot be interpreted as an invitation. If it is, then it is performed in a culturally incompetent fashion which could legitimately be construed as pestering. Repeating an invitation which has already been declined may appear to be an emotional appeal. While an illocutionary invitation based on pathos conceivably may be competent in Euro-Australian culture, the only circumstances that it would occur in is between relatively close friends. The power-relations between Catherine, as student, and Dr. Lin, as tutor, precludes felicity in this case. Thus the same locutionary action is interpreted as two quite different illocutionary actions. This depends on the interpreter's culturally specific understanding of the social significance of the locution. Since Catherine's cultural conventions would implicitly deny the validity of a repeated invitation, the communicative action must be construed as something else. Catherine may have classified the repeated invitation as a minor issue of little consequence. However, when Dr. Lin called her up to invite her a third time, she interpreted the illocutionary act as harassment. From a contemporary Euro-Australian perspective, pestering may be irritating, but harassment is political in nature. Three factors lead Catherine to this conclusion. First, after two previous declinations, the third invitation could not fulfil the illocutionary performance criteria of a legitimate invitation. In particular, the persuasive/rhetorical orientation of the repeated appeals were not oriented toward logos, as befits the formality of the lecturer-student relation. Indeed, it was Dr. Lin's apparent attempt to approach Catherine in a non-formal manner (apparently oriented toward pathos rather than logos) which led her to this interpretation. Second, the fact that Dr. Lin' social status is higher than Catherine's introduced the problem of the implicit power-relations in the discourse. For Catherine, the third invitation was intrusive and pushy, and it seemed that her explanations had been ignored. The evening call demanded that she re-engage in the discourse of day-time student-tutor power-relations. Since she is subordinate to Dr. Lin, other strategies through which she might have asserted her rights may have carried the risk of subsequent disfavour. However, she obviously resented what she perceived as an attempt to inappropriately use status to interfere with her personal affairs and sought out higher authority to rectify the situation, hence the complaint of harassment made to the Dean. Ironically, Dr. Lin's third invitation in the evening may well have been intended to reduce the social distance between himself and Catherine created by workplace space-time power-relations. For Dr. Lin, the first invitation expressed the illocutionary intent. The second call made sure that the invitee was made to feel assured of the sincerity of the invitation, and the third ring expressed the would-be host's appreciation. Establishing a host-guest relationship is a key illocutionary function in Chinese invitation. Note though, that there may also be a 'face' consideration here. Dr. Lin attempts to facilitate Catherine's attendance by pointing out that it would be acceptable to attend for a brief period. This suggests a re-emphasis on the orientation to logos, since it points out a compromise which allows Catherine to attend both parties. It also allowed Dr. Lin to save 'face' by not having his invitation totally disregarded. However, it failed as an illocutionary performance because the felicity conditions for polite invitation had already been violated as far as Catherine was concerned, even though they remained intact throughout for Dr. Lin. In conclusion, it can be seen from the above analysis of the communication breakdown that persuasive orientations and politeness principles are interrelated and culturally sensitive. Euro-Australian culture stresses the logical orientation in illocutionary performance whereas Chinese culture seems to emphasise both the logical and emotional approaches. Without a recognition of this difference, specific politeness behaviours in intercultural invitations can lead to illocutionary incompetence. This has been exemplified by Catherine's misconstrual of Dr. Lin's intended invitation-performance as harassment. Therefore in intercultural communication, one ought not to judge a speech act such as an invitation based on one's own culture's felicity conditions. First and foremost, a basic understanding of persuasive orientations between cultures is essential. With appropriate understanding of these principles one can avoid misinterpreting the intent of the addresser, thus overcoming barriers in intercultural communication. Specifically, further appreciation of the interplay between rhetorical orientation, politeness codes and felicity conditions in illocutionary performances in different cultures is required for a fuller comprehension of potential cross-cultural incompetence. With this in mind, greater tolerance can be achieved, and intercultural competence enhanced. References Aristotle. Aristotle on Rhetoric: A Theory of Civic Discourse. Trans. George A. Kennedy. New York: Oxford UP, 1991. Austin, John. L. How to Do Things with Words. New York: Oxford UP, 1962. Brown, Penelope, and Stephen C. Levinson. Politeness: Some Universals in Language Usage. Cambridge, UK: Cambridge UP, 1987. Campbell, Charles. P. "Rhetorical Ethos: A Bridge between High-Context and Low-Context Cultures? The Cultural Context in Business Communication. Eds. Susanne Niemeier, Charles P. Campbell and René Dirven. Philadelphia: John Benjamins, 1998. 31-47. Cullen, Johnathan. Saussure. 2nd ed. London: Fontana, 1985. Ge Gao, and S. Ting-Toomey. Communicating Effectively with the Chinese. Thousand Oaks: Sage, 1998. Hall, E. T. Beyond Culture. Garden City, NY: Anchor, 1977. Hofstede, G., and M. H. Bond. "The Confucius Connection: From Cultural Roots to Economic Growth." Organisational Dynamics 16.4 (1988): 4-21. Kaplan, R. B. "Cultural Thought Patterns in Inter-Cultural Education." Language Learning 16 (1966): 1-20. Leech, Geoffery. Principles of Pragmatics. New York: Longman, 1983. Li Xiaoming. "Good Writing" in Cross-Cultural Context. Albany, NY: State U of New York P, 1996. Moran, R. T., and W. G. Stripp. Successful International Business Negotiations. Houston: Gulf, 1991. Searle, John R. Speech Acts: An Essay in the Philosophy of Language. Cambridge, UK: Cambridge UP, 1969. Young, Linda Wai Ling, ed. Crosstalk and Culture in Sino-American Communication. Cambridge, UK: Cambridge UP, 1994. Zhu Yunxia. Business Communication in China. New York: Nova Science Publishers, 1999. ---. Structural Moves Reflected in English and Chinese Sales Letters. Discourse Studies (In Press). Citation reference for this article MLA style: Zhu Yunxia, Peter Thompson. "Invitation or Sexual Harassment? An Analysis of an Intercultural Communication Breakdown." M/C: A Journal of Media and Culture 3.4 (2000). [your date of access] <http://www.api-network.com/mc/0008/invitation.php>. Chicago style: Zhu Yunxia, Peter Thompson, "Invitation or Sexual Harassment? An Analysis of an Intercultural Communication Breakdown," M/C: A Journal of Media and Culture 3, no. 4 (2000), <http://www.api-network.com/mc/0008/invitation.php> ([your date of access]). APA style: Zhu Yunxia, Peter Thompson. (2000) Invitation or sexual harassment? An analysis of an intercultural communication breakdown. M/C: A Journal of Media and Culture 3(4). <http://www.api-network.com/mc/0008/invitation.php> ([your date of access]).
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45

Stewart, Jon. "Oh Blessed Holy Caffeine Tree: Coffee in Popular Music." M/C Journal 15, no. 2 (May 2, 2012). http://dx.doi.org/10.5204/mcj.462.

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Introduction This paper offers a survey of familiar popular music performers and songwriters who reference coffee in their work. It examines three areas of discourse: the psychoactive effects of caffeine, coffee and courtship rituals, and the politics of coffee consumption. I claim that coffee carries a cultural and musicological significance comparable to that of the chemical stimulants and consumer goods more readily associated with popular music. Songs about coffee may not be as potent as those featuring drugs and alcohol (Primack; Schapiro), or as common as those referencing commodities like clothes and cars (Englis; McCracken), but they do feature across a wide range of genres, some of which enjoy archetypal associations with this beverage. m.o.m.m.y. Needs c.o.f.f.e.e.: The Psychoactive Effect of Coffee The act of performing and listening to popular music involves psychological elements comparable to the overwhelming sensory experience of drug taking: altered perceptions, repetitive grooves, improvisation, self-expression, and psychological empathy—such as that between musician and audience (Curry). Most popular music genres are, as a result, culturally and sociologically identified with the consumption of at least one mind-altering substance (Lyttle; Primack; Schapiro). While the analysis of lyrics referring to this theme has hitherto focused on illegal drugs and alcoholic beverages (Cooper), coffee and its psychoactive ingredient caffeine have been almost entirely overlooked (Summer). The most recent study of drugs in popular music, for example, defined substance use as “tobacco, alcohol, marijuana, cocaine and other stimulants, heroin and other opiates, hallucinogens, inhalants, prescription drugs, over-the-counter drugs, and nonspecific substances” (Primack 172), thereby ignoring a chemical stimulant consumed by 90 per cent of adult Americans every day (Lovett). The wide availability of coffee and the comparatively mild effect of caffeine means that its consumption rarely causes harm. One researcher has described it as a ubiquitous and unobtrusive “generalised public activity […] ‘invisible’ to analysts seeking distinctive social events” (Cooper 92). Coffee may provide only a relatively mild “buzz”—but it is now accepted that caffeine is an addictive substance (Juliano) and, due to its universal legality, coffee is also the world’s most extensively traded and enthusiastically consumed psychoactive consumer product (Juliano 1). The musical genre of jazz has a longstanding relationship with marijuana and narcotics (Curry; Singer; Tolson; Winick). Unsurprisingly, given its Round Midnight connotations, jazz standards also celebrate the restorative impact of coffee. Exemplary compositions include Burke/Webster’s insomniac torch song Black Coffee, which provided hits for Sarah Vaughan (1949), Ella Fitzgerald (1953), and Peggy Lee (1960); and Frank Sinatra’s recordings of Hilliard/Dick’s The Coffee Song (1946, 1960), which satirised the coffee surplus in Brazil at a time when this nation enjoyed a near monopoly on production. Sinatra joked that this ubiquitous drink was that country’s only means of liquid refreshment, in a refrain that has since become a headline writer’s phrasal template: “There’s an Awful Lot of Coffee in Vietnam,” “An Awful Lot of Coffee in the Bin,” and “There’s an Awful Lot of Taxes in Brazil.” Ethnographer Aaron Fox has shown how country music gives expression to the lived social experience of blue-collar and agrarian workers (Real 29). Coffee’s role in energising working class America (Cooper) is featured in such recordings as Dolly Parton’s Nine To Five (1980), which describes her morning routine using a memorable “kitchen/cup of ambition” rhyme, and Don't Forget the Coffee Billy Joe (1973) by Tom T. Hall which laments the hardship of unemployment, hunger, cold, and lack of healthcare. Country music’s “tired truck driver” is the most enduring blue-collar trope celebrating coffee’s analeptic powers. Versions include Truck Drivin' Man by Buck Owens (1964), host of the country TV show Hee Haw and pioneer of the Bakersfield sound, and Driving My Life Away from pop-country crossover star Eddie Rabbitt (1980). Both feature characteristically gendered stereotypes of male truck drivers pushing on through the night with the help of a truck stop waitress who has fuelled them with caffeine. Johnny Cash’s A Cup of Coffee (1966), recorded at the nadir of his addiction to pills and alcohol, has an incoherent improvised lyric on this subject; while Jerry Reed even prescribed amphetamines to keep drivers awake in Caffein [sic], Nicotine, Benzedrine (And Wish Me Luck) (1980). Doye O’Dell’s Diesel Smoke, Dangerous Curves (1952) is the archetypal “truck drivin’ country” song and the most exciting track of its type. It subsequently became a hit for the doyen of the subgenre, Red Simpson (1966). An exhausted driver, having spent the night with a woman whose name he cannot now recall, is fighting fatigue and wrestling his hot-rod low-loader around hairpin mountain curves in an attempt to rendezvous with a pretty truck stop waitress. The song’s palpable energy comes from its frenetic guitar picking and the danger implicit in trailing a heavy load downhill while falling asleep at the wheel. Tommy Faile’s Phantom 309, a hit for Red Sovine (1967) that was later covered by Tom Waits (Big Joe and the Phantom 309, 1975), elevates the “tired truck driver” narrative to gothic literary form. Reflecting country music’s moral code of citizenship and its culture of performative storytelling (Fox, Real 23), it tells of a drenched and exhausted young hitchhiker picked up by Big Joe—the driver of a handsome eighteen-wheeler. On arriving at a truck stop, Joe drops the traveller off, giving him money for a restorative coffee. The diner falls silent as the hitchhiker orders up his “cup of mud”. Big Joe, it transpires, is a phantom trucker. After running off the road to avoid a school bus, his distinctive ghost rig now only reappears to rescue stranded travellers. Punk rock, a genre closely associated with recreational amphetamines (McNeil 76, 87), also features a number of caffeine-as-stimulant songs. Californian punk band, Descendents, identified caffeine as their drug of choice in two 1996 releases, Coffee Mug and Kids on Coffee. These songs describe chugging the drink with much the same relish and energy that others might pull at the neck of a beer bottle, and vividly compare the effects of the drug to the intense rush of speed. The host of “New Music News” (a segment of MTV’s 120 Minutes) references this correlation in 1986 while introducing the band’s video—in which they literally bounce off the walls: “You know, while everybody is cracking down on crack, what about that most respectable of toxic substances or stimulants, the good old cup of coffee? That is the preferred high, actually, of California’s own Descendents—it is also the subject of their brand new video” (“New Music News”). Descendents’s Sessions EP (1997) featured an overflowing cup of coffee on the sleeve, while punk’s caffeine-as-amphetamine trope is also promulgated by Hellbender (Caffeinated 1996), Lagwagon (Mr. Coffee 1997), and Regatta 69 (Addicted to Coffee 2005). Coffee in the Morning and Kisses in the Night: Coffee and Courtship Coffee as romantic metaphor in song corroborates the findings of early researchers who examined courtship rituals in popular music. Donald Horton’s 1957 study found that hit songs codified the socially constructed self-image and limited life expectations of young people during the 1950s by depicting conservative, idealised, and traditional relationship scenarios. He summarised these as initial courtship, honeymoon period, uncertainty, and parting (570-4). Eleven years after this landmark analysis, James Carey replicated Horton’s method. His results revealed that pop lyrics had become more realistic and less bound by convention during the 1960s. They incorporated a wider variety of discourse including the temporariness of romantic commitment, the importance of individual autonomy in relationships, more liberal attitudes, and increasingly unconventional courtship behaviours (725). Socially conservative coffee songs include Coffee in the Morning and Kisses in the Night by The Boswell Sisters (1933) in which the protagonist swears fidelity to her partner on condition that this desire is expressed strictly in the appropriate social context of marriage. It encapsulates the restrictions Horton identified on courtship discourse in popular song prior to the arrival of rock and roll. The Henderson/DeSylva/Brown composition You're the Cream in My Coffee, recorded by Annette Hanshaw (1928) and by Nat King Cole (1946), also celebrates the social ideal of monogamous devotion. The persistence of such idealised traditional themes continued into the 1960s. American pop singer Don Cherry had a hit with Then You Can Tell Me Goodbye (1962) that used coffee as a metaphor for undying and everlasting love. Otis Redding’s version of Butler/Thomas/Walker’s Cigarettes and Coffee (1966)—arguably soul music’s exemplary romantic coffee song—carries a similar message as a couple proclaim their devotion in a late night conversation over coffee. Like much of the Stax catalogue, Cigarettes and Coffee, has a distinctly “down home” feel and timbre. The lovers are simply content with each other; they don’t need “cream” or “sugar.” Horton found 1950s blues and R&B lyrics much more sexually explicit than pop songs (567). Dawson (1994) subsequently characterised black popular music as a distinct public sphere, and Squires (2002) argued that it displayed elements of what she defined as “enclave” and “counterpublic” traits. Lawson (2010) has argued that marginalised and/or subversive blues artists offered a form of countercultural resistance against prevailing social norms. Indeed, several blues and R&B coffee songs disregard established courtship ideals and associate the product with non-normative and even transgressive relationship circumstances—including infidelity, divorce, and domestic violence. Lightnin’ Hopkins’s Coffee Blues (1950) references child neglect and spousal abuse, while the narrative of Muddy Waters’s scorching Iodine in my Coffee (1952) tells of an attempted poisoning by his Waters’s partner. In 40 Cups of Coffee (1953) Ella Mae Morse is waiting for her husband to return home, fuelling her anger and anxiety with caffeine. This song does eventually comply with traditional courtship ideals: when her lover eventually returns home at five in the morning, he is greeted with a relieved kiss. In Keep That Coffee Hot (1955), Scatman Crothers supplies a counterpoint to Morse’s late-night-abandonment narrative, asking his partner to keep his favourite drink warm during his adulterous absence. Brook Benton’s Another Cup of Coffee (1964) expresses acute feelings of regret and loneliness after a failed relationship. More obliquely, in Coffee Blues (1966) Mississippi John Hurt sings affectionately about his favourite brand, a “lovin’ spoonful” of Maxwell House. In this, he bequeathed the moniker of folk-rock band The Lovin’ Spoonful, whose hits included Do You Believe in Magic (1965) and Summer in the City (1966). However, an alternative reading of Hurt’s lyric suggests that this particular phrase is a metaphorical device proclaiming the author’s sexual potency. Hurt’s “lovin’ spoonful” may actually be a portion of his seminal emission. In the 1950s, Horton identified country as particularly “doleful” (570), and coffee provides a common metaphor for failed romance in a genre dominated by “metanarratives of loss and desire” (Fox, Jukebox 54). Claude Gray’s I'll Have Another Cup of Coffee (Then I’ll Go) (1961) tells of a protagonist delivering child support payments according to his divorce lawyer’s instructions. The couple share late night coffee as their children sleep through the conversation. This song was subsequently recorded by seventeen-year-old Bob Marley (One Cup of Coffee, 1962) under the pseudonym Bobby Martell, a decade prior to his breakthrough as an international reggae star. Marley’s youngest son Damian has also performed the track while, interestingly in the context of this discussion, his older sibling Rohan co-founded Marley Coffee, an organic farm in the Jamaican Blue Mountains. Following Carey’s demonstration of mainstream pop’s increasingly realistic depiction of courtship behaviours during the 1960s, songwriters continued to draw on coffee as a metaphor for failed romance. In Carly Simon’s You’re So Vain (1972), she dreams of clouds in her coffee while contemplating an ostentatious ex-lover. Squeeze’s Black Coffee In Bed (1982) uses a coffee stain metaphor to describe the end of what appears to be yet another dead-end relationship for the protagonist. Sarah Harmer’s Coffee Stain (1998) expands on this device by reworking the familiar “lipstick on your collar” trope, while Sexsmith & Kerr’s duet Raindrops in my Coffee (2005) superimposes teardrops in coffee and raindrops on the pavement with compelling effect. Kate Bush’s Coffee Homeground (1978) provides the most extreme narrative of relationship breakdown: the true story of Cora Henrietta Crippin’s poisoning. Researchers who replicated Horton’s and Carey’s methodology in the late 1970s (Bridges; Denisoff) were surprised to find their results dominated by traditional courtship ideals. The new liberal values unearthed by Carey in the late 1960s simply failed to materialise in subsequent decades. In this context, it is interesting to observe how romantic coffee songs in contemporary soul and jazz continue to disavow the post-1960s trend towards realistic social narratives, adopting instead a conspicuously consumerist outlook accompanied by smooth musical timbres. This phenomenon possibly betrays the influence of contemporary coffee advertising. From the 1980s, television commercials have sought to establish coffee as a desirable high end product, enjoyed by bohemian lovers in a conspicuously up-market environment (Werder). All Saints’s Black Coffee (2000) and Lebrado’s Coffee (2006) identify strongly with the culture industry’s image of coffee as a luxurious beverage whose consumption signifies prominent social status. All Saints’s promotional video is set in a opulent location (although its visuals emphasise the lyric’s romantic disharmony), while Natalie Cole’s Coffee Time (2008) might have been itself written as a commercial. Busting Up a Starbucks: The Politics of Coffee Politics and coffee meet most palpably at the coffee shop. This conjunction has a well-documented history beginning with the establishment of coffee houses in Europe and the birth of the public sphere (Habermas; Love; Pincus). The first popular songs to reference coffee shops include Jaybird Coleman’s Coffee Grinder Blues (1930), which boasts of skills that precede the contemporary notion of a barista by four decades; and Let's Have Another Cup of Coffee (1932) from Irving Berlin’s depression-era musical Face The Music, where the protagonists decide to stay in a restaurant drinking coffee and eating pie until the economy improves. Coffee in a Cardboard Cup (1971) from the Broadway musical 70 Girls 70 is an unambiguous condemnation of consumerism, however, it was written, recorded and produced a generation before Starbucks’ aggressive expansion and rapid dominance of the coffee house market during the 1990s. The growth of this company caused significant criticism and protest against what seemed to be a ruthless homogenising force that sought to overwhelm local competition (Holt; Thomson). In response, Starbucks has sought to be defined as a more responsive and interactive brand that encourages “glocalisation” (de Larios; Thompson). Koller, however, has characterised glocalisation as the manipulative fabrication of an “imagined community”—whose heterogeneity is in fact maintained by the aesthetics and purchasing choices of consumers who make distinctive and conscious anti-brand statements (114). Neat Capitalism is a more useful concept here, one that intercedes between corporate ideology and postmodern cultural logic, where such notions as community relations and customer satisfaction are deliberately and perhaps somewhat cynically conflated with the goal of profit maximisation (Rojek). As the world’s largest chain of coffee houses with over 19,400 stores in March 2012 (Loxcel), Starbucks is an exemplar of this phenomenon. Their apparent commitment to environmental stewardship, community relations, and ethical sourcing is outlined in the company’s annual “Global Responsibility Report” (Vimac). It is also demonstrated in their engagement with charitable and environmental non-governmental organisations such as Fairtrade and Co-operative for Assistance and Relief Everywhere (CARE). By emphasising this, Starbucks are able to interpellate (that is, “call forth”, “summon”, or “hail” in Althusserian terms) those consumers who value environmental protection, social justice and ethical business practices (Rojek 117). Bob Dylan and Sheryl Crow provide interesting case studies of the persuasive cultural influence evoked by Neat Capitalism. Dylan’s 1962 song Talkin’ New York satirised his formative experiences as an impoverished performer in Greenwich Village’s coffee houses. In 1995, however, his decision to distribute the Bob Dylan: Live At The Gaslight 1962 CD exclusively via Starbucks generated significant media controversy. Prominent commentators expressed their disapproval (Wilson Harris) and HMV Canada withdrew Dylan’s product from their shelves (Lynskey). Despite this, the success of this and other projects resulted in the launch of Starbucks’s in-house record company, Hear Music, which released entirely new recordings from major artists such as Ray Charles, Paul McCartney, Joni Mitchell, Carly Simon and Elvis Costello—although the company has recently announced a restructuring of their involvement in this venture (O’Neil). Sheryl Crow disparaged her former life as a waitress in Coffee Shop (1995), a song recorded for her second album. “Yes, I was a waitress. I was a waitress not so long ago; then I won a Grammy” she affirmed in a YouTube clip of a live performance from the same year. More recently, however, Crow has become an avowed self-proclaimed “Starbucks groupie” (Tickle), releasing an Artist’s Choice (2003) compilation album exclusively via Hear Music and performing at the company’s 2010 Annual Shareholders’s Meeting. Songs voicing more unequivocal dissatisfaction with Starbucks’s particular variant of Neat Capitalism include Busting Up a Starbucks (Mike Doughty, 2005), and Starbucks Takes All My Money (KJ-52, 2008). The most successful of these is undoubtedly Ron Sexsmith’s Jazz at the Bookstore (2006). Sexsmith bemoans the irony of intense original blues artists such as Leadbelly being drowned out by the cacophony of coffee grinding machines while customers queue up to purchase expensive coffees whose names they can’t pronounce. In this, he juxtaposes the progressive patina of corporate culture against the circumstances of African-American labour conditions in the deep South, the shocking incongruity of which eventually cause the old bluesman to turn in his grave. Fredric Jameson may have good reason to lament the depthless a-historical pastiche of postmodern popular culture, but this is no “nostalgia film”: Sexsmith articulates an artfully framed set of subtle, sensitive, and carefully contextualised observations. Songs about coffee also intersect with politics via lyrics that play on the mid-brown colour of the beverage, by employing it as a metaphor for the sociological meta-narratives of acculturation and assimilation. First popularised in Israel Zangwill’s 1905 stage play, The Melting Pot, this term is more commonly associated with Americanisation rather than miscegenation in the United States—a nuanced distinction that British band Blue Mink failed to grasp with their memorable invocation of “coffee-coloured people” in Melting Pot (1969). Re-titled in the US as People Are Together (Mickey Murray, 1970) the song was considered too extreme for mainstream radio airplay (Thompson). Ike and Tina Turner’s Black Coffee (1972) provided a more accomplished articulation of coffee as a signifier of racial identity; first by associating it with the history of slavery and the post-Civil Rights discourse of African-American autonomy, then by celebrating its role as an energising force for African-American workers seeking economic self-determination. Anyone familiar with the re-casting of black popular music in an industry dominated by Caucasian interests and aesthetics (Cashmore; Garofalo) will be unsurprised to find British super-group Humble Pie’s (1973) version of this song more recognisable. Conclusion Coffee-flavoured popular songs celebrate the stimulant effects of caffeine, provide metaphors for courtship rituals, and offer critiques of Neat Capitalism. Harold Love and Guthrie Ramsey have each argued (from different perspectives) that the cultural micro-narratives of small social groups allow us to identify important “ethnographic truths” (Ramsey 22). Aesthetically satisfying and intellectually stimulating coffee songs are found where these micro-narratives intersect with the ethnographic truths of coffee culture. 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Cook, Peta S., and Nicholas Osbaldiston. "Pigs Hearts and Human Bodies: A Cultural Approach to Xenotransplantation." M/C Journal 13, no. 5 (October 17, 2010). http://dx.doi.org/10.5204/mcj.283.

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Abstract:
Introduction Animals have a significant presence in human lives, with many human interactions involving animals. This role of animals in social life, however, has largely been ignored and marginalised. In the words of Tovey (197), “to read most sociological texts, one might never know that society is populated by non-human as well as human animals”. Human-animal relations are evident in everyday human uses of animals as companions, pets, meat sources, and entertainment. This list is by no means exhaustive, but it does demonstrate how humans create and perpetuate systems of human/animal difference which are, at times, contradictory and ambivalent. There are no consistencies in how humans view and understand animal bodies. These differences matter, as they have serious consequences for how humans view and treat animals. It also has dire consequences for animals. While humans and animals are different species, we still live together, co-evolve, and create shared histories. We are, in the words of Haraway, companion species. This exposes that animals are not just nature, but culture. It is often forgotten that one of the everyday uses of animals is as testing and experimental models in medical and scientific research. Hidden away in laboratories, these animals remain invisible, only to be discovered when the histories of innovations and breakthroughs are unravelled. Animals are veiled behind dissection, vaccinations, pharmaceuticals, insulin injections, deep brain stimulation, and so on. Of interest in this paper is one potential medico-scientific innovation that cannot disguise the animal body as it is central for the success of the technology, xenotransplantation (XTP; animal-to-human transplantation). This refers to “any procedure that involves transplantation, implantation or infusion into a human recipient of cells, tissues or organs from a nonhuman animal source” (Xenotransplantation Working Party 22, original emphasis). While many animals have been used historically in XTP, the choice animal source is currently pigs. In order for xenotransplants to perform the required functions in a human body, the fragments of the pig’s body must remain living. This fuses the living pig part and living human body intimately, where the embodiment and functionality of each relies on the other. Such practices theoretically break down the traditional dualisms between humans/pigs and self/other. However, XTP raises a number of scientific, ethical, and social hurdles that must be addressed. As Bijker, Hughes and Pinch indicate, technical innovations are not simply scientific endeavours but sociocultural issues where usage, design, and content can be contentious. In the case of XTP this relates to, amongst other issues, the explicit physical breakdown of the human/pig divide, yet boundary work still occurs in an attempt to symbolically maintain the divisions between self/other. Drawing on the work of various cultural theorists, this paper presents a sociocultural approach to examine how XTP and the associated manufacturing of pigs, demonstrates the fluidity of science and culture. This is achieved by incorporating theoretical frameworks inspired by Durkheimian thought, such as the sacred and profane, and Douglas’ use of pollution and dirt. This analysis reveals how classificatory systems of culture, such as the sanctity of the body and its boundaries, are powerful obstacles to the cultural acceptance of XTP. The Sacred Body In the work of Durkheim and his Année Sociologique colleagues, the sacred and the profane are distinct classifications attached to material objects. These binary constructs are the basis for religious life, as argued in The Elementary Forms of Religious Life. The Durkheimian tradition also argues that these building blocks of religion are apparent in secular cultural life. The world (the profane) drives people to engage with the sacred or those places, objects, and people that are collectively valued with high esteem. In contrast, the profane is marginalised. The narratives/myths which underpin the sacred provide a type of collective fervour that stands in opposition to the mundane flows of the everyday. Through this process, high or low social value is attributed. Durkheim later considered that this duality also existed within the human. Individuals experience a double-being, where the mind (soul) and the body are, repeating Cartesianism, radically different, opposed, and independent substances. The soul holds sacred qualities “that has always been denied the body” (Durkheim, The Dualism of Human Nature and its Social Conditions, 150-1), which renders the body profane and the soul divine. In the contemporary West, however, there has been a significant shift away from the soul and towards the body. Turner argues that we have become a “somatic society”, where increasingly this once profane site has become a cultural obsession. The body has become a site of performance and consumption, where the self is realised and practiced. This has lead to intense rituals, such as disciplining the body through fitness training (Sassatelli) to personal grooming practices (Goffman), that seek to separate the body from polluting or profane influences. The body is no longer approached as sinful and demeaning to the soul. It has become culturally conceived as collectively sacred. At the same time, certain attributes of the body can and do signify disgust or profane qualities. As Kendall and Michael have argued, the body is a site of order and disorder. While our best efforts are implemented to ensure that the body’s biological, social, and cultural features remain ordered, the natural processes of excretion, decay, disease, and other undesirable disorders, consistently impinge on and challenge the sacred body. Significant effort ensures, as Goffman argues, that these undesirable attributes are hidden or removed from public view through secular rituals of purification. We can relate this to the prominent use in the West of anti-ageing products to the compulsion to institutionalise the ill, diseased, and elderly. Douglas follows this Durkheimian inspired tradition, utilising concepts such as purity, pollution, and danger. These are theoretically similar to the sacred/profane distinction, which we believe lends significant insight into the dialectic of human/animal bodies in XTP. To illustrate this further, we will briefly touch upon her contribution to cultural theory that serves as the basis for our arguments here. Purity, Danger and XTP: Being ‘Out of Order’ In her significant work, Purity and Danger, Douglas exposes the deeply embedded systems of classification that underpin social life. To exemplify this, she examines ‘dirt’ and questions why we feel it necessary to clean. Her answer is that dirt reflects a “systematic ordering and classification of matter”, that is “matter out of place” (35). In other words, our social lives are ordered according to those ‘matters’ classified as belonging or coherent in the flows of everyday life. Dirt transcends this ‘ordering’ and creates disorder. This then requires action on behalf of the individual to ‘reorder’ their surrounds through purification rituals. Douglas is able then to extract this theoretical point into various examples, such as the cultural classifications and uses of pigs. Culture categorises animals in relation to how they are to be consumed or enjoyed, as already stated. A range of relatively recent sociological projects, such as Zerubavel’s cognitive sociology program, are revealing how the animal world is culturally determined. For instance, Zerubavel demonstrates that repulsion towards certain foods, especially animal, may cause physical distress to the individual. This is not linked to our gastronomies, but sociocultural perceptions embedded in our individual minds (cf. Bourdieu’s ‘habitus’). This is also demonstrated by how classificatory systems deny the human consumption of certain animals. For instance, the taboo on consuming pork for Israelites rests for Douglas on the inability for the pig to be classified as a normal farm animal because it has cloven hooves and does not chew cud. Through this cultural perception, the pig is defined as pollution, impinging on the sanctity of the soul and sitting uncomfortably in collective thought. It resides on the margins and threatens our social order. In other words, what is safe and what is dangerous are differentiated culturally. What a pig represents in one culture can differ dramatically from the next. In the world of XTP, similar impressions remain embedded in the cognitive processes of individuals, thus creating conflict between cultural norms and values, and that of science (cf. Alexander and Smith). A further important point needs to be considered before discussing XTP explicitly. As suggested earlier, Douglas argues that some of the most dangerous cultural artefacts/objects to our sense of order are those which impinge on the pure through their unclassifiable nature. However, partial objects from these polluted things can also cause distress. Contemporary examples are bodily fluids, excretions, and other naturally occurring by-products of the body. These are generally held as disgusting within cultural contexts once removed from the body. Douglas explains this through their symbolic connection to a ‘human’ identity. She writes that these mundane objects remain “dangerous; their half identity still clings to them and the clarity of the scene in which they obtrude is impaired by their presence” (160). Fluids, such as mucus, when found in the home or other ‘ordered’ situations are considered most disgusting not because of the substance itself, but because it remains connected to the embodiment and identity of the other. Until that substance is cleansed from view, or reordered, it impinges on order in the most dangerous ways because of its ‘half identity’. It is still connected to its host. From this perspective, we can begin to envisage why the consumption of animals is closely governed by specific classificatory systems. The presentation of whole animals cooked, with head and limbs attached, may invoke disgust through the inability to completely remove the animal’s identity. Whole ducks, fish, or pigs presented at the dinner table, with their eyes gazing at the diners, can cause significant distress. The identity of the animal is reaffirmed and a reaction of disgust can occur. The reappropriation of animals as cuts of meat and meat-based products, can strip away the identity of the animal by dividing it into parts. This reordering makes it appropriate and pure for human consumption. By carving the body of an animal into pieces, it becomes a product that is removed from the living being. This is extended through ‘meat discourses’; the pig becomes pork, ham and bacon, and an anaemic calf becomes veal. It is meat; just another object in the cultural universe. In viewing XTP as a cultural artefact, these significantly stringent classifications of the pure and polluting remain deeply embedded and potent. Pig organs such as the heart remain, despite any cleansing processes undertaken by science and unlike the reappropriation of animals for consumption, linked to the pig’s embodiment. The removal of this body part does not remove it from the pig’s identity. It remains connected, clinging to its ‘half identity’. Furthermore, unlike the meat industry or various other medico-scientific uses of animals, it is vital that the pig’s body parts remain living. Xenotransplants would not function without, for example, the pig’s heart continuing to beat, pumping blood around the new human body it inhabits. This creates cultural barriers that go beyond the ordered animal products that currently exist, which serves to threaten the acceptance and successful appropriation of XTP amongst society. There is then a culturally perceived taboo on combining the self and other in XTP. Pig bodies must somehow be ‘cleansed’ by science, although, as we alluded to previously, this is not necessarily successful. These rituals of purification by science are undertaken for scientific and cultural reasons. For example, Cook outlines that scientists working in XTP go to great lengths to justify why the polluting other, the pig, can and should be used as the source animal. This involves a complex narration on the differences and similarities between humans and animals. Significantly, XTP relies on and perpetuates the differential cultural worth that is placed on human life (high value) and animal life (low value), in order to justify XTP procedures. However, pig parts need to become worthy of being harvested for human bodies, meaning that pigs must be elevated from their lowly status to that worthy of being human. This leads science to engage in, according to Cook, a complex interweaving of desirable-similarity, desirable-dissimilarity, undesirable-similarity, and undesirable-dissimilarity, to establish continuities and disparities between pig and human bodies. This functions not only for the purposes of science, but to culturally justify the practices and artefacts of XTP. While XTP involves intimately mixing humans and pigs, these “science stories” (Cook) additionally work to maintain species divides. Simultaneously, these processes operate to justify that it is appropriate for humans to embody pigs. Hence, science attempts to mould the social into desirable ways of thinking about XTP, thus supporting it and the science behind it. This includes the experimental and therapeutic sacrifice of pigs. At the same time, science cannot avoid that the practice and delivery of XTP involves the culturally pure/sacred human body coming into conflict with the polluted/dangerous ‘other’, pig part/s. The genetic engineering of pigs to express select human complementary regulatory proteins, which inhibit self-damage when the immune system reacts to the presence of a foreign body such as a transplanted organ, somewhat disintegrates the human/animal divide within the pig body itself. It is becoming human. However, science still faces a significant hurdle. Namely, “How can we physically mix (natural-technical discourse) if we’re so different (social-moral discourse)?” (Brown 333). Pig parts in human bodies, and pigs genetically engineered to be more ‘human like’, still involve pig parts being out of place and therefore disgusting. Despite the rituals employed by science to draw similarities between humans and pigs (and genetically engineered pigs), there remain cultural classification systems that compromise the normalisation of XTP. Hence, crossing the species divide in XTP is scientifically unproblematic (though getting XTP to work is another matter), but the fusing of human and pig bodies may still be culturally dangerous. In other words, cultural classifications may render pigs as incompatible with humans, despite any social constructions attempted by science. The body expresses these social values. In XTP, porcine genetics cannot be physically separated from their social and genetic being. Incorporating this with the human can cause disgust, even amongst those who have received xenotransplants: “I wonder how much from an animal can be introduced into my body before my humanity vanishes” (porcine cellular xenotransplant recipient qtd. in Lundin 150). While science may reduce the body to mechanistic functioning and seek to objectify it, the body, be it human or pig, possesses material-semiotic importance. The heart is not simply a pump; it is symbolically powerful. A xenotransplanted pig heart challenges the sanctity of the human body and how the human body and its parts are culturally constructed. However, the potentiality of XTP to save a life may trump any individual concerns, even if an individual may reject it culturally (Lundin). There still remains another dilemma that cannot be subsumed by such negotiations—the potentiality of cross-species viral infections (zoonosis) that could result from the embodied fusion of living pig parts and living human bodies. While a detailed examination of this is beyond the scope of this paper, it is worth noting that the social fears of zoonosis, such as avian influenza (bird flu) and swine influenza, have resulted in increased international collaborative efforts to study and halt the global spread of contagion. While there are a number of differences between these zoonotic infections and any unforeseen zoonotic consequences of XTP, what is of significance is the boundary pollution. That is, all forms of animal-to-human zoonosis involve a violation of the sacred human body by the dirty and profane other. For example, the recent outbreaks of swine influenza involved disparate species coming into contact with each other through disgusting body products, namely contaminated droplets emitted by infected individuals sneezing or coughing. The physical bodies of humans and animals, however, still remain differentiated even if zoonosis symbolically challenges such classifications. XTP, on the other hand, is an intimate physical and symbolic fusion of these bodies. The human and the animal can no longer be separated as independent beings. Thus, the potential of pollution from XTP moves beyond the fear of the symbolically disgusting pig body and the symbolism of particular body parts, to include what the pig parts may actually physically carry with them. As a result, the cultural dangers of transplanted pig parts and their potential violations are not just symbolic, but also materially ‘real’. Conclusion By categorising animals as a lower species, humans enable their exploitation and use in a multitude of ways. This process of cultural classification in the contemporary West means that we attribute a sacred, high value to human bodies, and a low, profane quality to animal bodies. While the scientific intermingling of human and pig bodies in XTP could be seen to present a cultural challenge to these species dualisms, it does not overcome such cultural classifications. That is, the interests and social constructions of pigs by science cannot overpower or suppress the sociocultural. The removal of pig parts from the pig’s body does not eliminate its ‘half identity’. It is still a living product from an animal’s body. Unlike other pig products, life cannot be removed from the pig parts for XTP, as this is the vital function required for xenotransplants to (potentially) work. A heart needs to beat. Any purification rituals undertaken by science, such as using pigs genetically engineered with human proteins, cannot overcome this cultural construction. While it may be argued that XTP will become culturally acceptable with time, this disrespects how social knowledges are as equally important as the scientific. This further disavows that cultural concerns over mixing pig and human bodies are as viable as scientific constructions. This is perhaps most potently highlighted by zoonosis. Thus, the pigs used in XTP have cultural-technical bodies that are materially and symbolically significant, which science cannot purge. References Alexander, J. C. and P. Smith. “Social Science and Salvation: Risk Society as Mythical Discourse.” Zeitschrift für Soziologie 25 (1996): 251-262. Bijker, W.E., T.P. Hughes and T. Pinch. Eds. The Social Construction of Technological Systems: New Directions in the Sociology and History of Technology. Cambridge: MIT Press, 1989. Bourdieu, P. Distinction: a Social Critique of the Judgement of Taste, London: Routledge, 1986. Brown, N. “Xenotransplantation: Normalizing Disgust”. Science as Culture 8 (1999): 327-55. Cook, P.S. “Science Stories: Selecting the Source Animal for Xenotransplantation.” Social Change in the 21st Century 2006 Conference Proceedings. Eds. C. Hopkinson and C. Hall. Centre for Social Change Research, School of Humanities and Human Services, Queensland University of Technology, Brisbane, 2006. 6 Aug. 2010. Douglas, M. Purity and Danger, London: Routledge and Keegan Paul, 1976[1966]. Durkheim, E. The Elementary Forms of Religious Life, New York: The Free Press, 1995[1912]. Durkheim, E. “The Dualism of Human Nature and its Social Conditions.” Emile Durkheim on Morality and Society: Selected Works. Ed. R. Bellah. Chicago: University of Chicago Press, 1973[1914]. Goffman, E. The Presentation of the Self in Everyday Life. Harmondsworth: Penguin, 1971. Haraway, D. J. The Companion Species Manifesto: Dogs, People, and Significant Otherness. Chicago: Prickly Paradigm Press, 2003. Kendall, G. and M. Michael “Order and Disorder: Time, Technology and the Self.” Culture Machine, Interzone, Nov. 2001. 6 Aug. 2010 .Lundin, S. “Understanding Cultural Perspectives on Clinical Xenotransplantation.” Graft 4.2 (1999): 150-153. Sassatelli, R. “The Commercialization of DIscipline: Keep-fit Culture and its Values.” Journal of Modern Italian Studies 5.3 (2000): 396-411. Tovey, H. “Theorising Nature and Society in Sociology: The Invisibility of Animals.” Sociologia Ruralis 43.3 (2003): 196-215. Turner, B.S. The body and society: explorations in social theory. Second Ed. London: Sage, 1996. Xenotransplantation Working Party. Animal-to-Human Transplantation Research: How Should Australian Proceed? Canberra: Commonwealth of Australia, 2003. Zerubavel, E. Social Mindscapes: An Invitation to Cognitive Sociology. Cambridge: Harvard University Press, 1997.
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47

Tilbury, Farida. "Filth, Incontinence and Border Protection." M/C Journal 9, no. 5 (November 1, 2006). http://dx.doi.org/10.5204/mcj.2666.

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This paper investigates linkages between two apparently disparate government initiatives. Together they function symbolically to maintain Australia’s moral order by excluding filth, keeping personal and national boundaries tight and borders secure. The Commonwealth government recently set aside over five million dollars to improve continence in the Australian population (incontinence is the inability to control movements of the bowel or bladder, producing leakage of filth in the form of urine and faeces). The Strategy funded research into prevalence rates, treatment strategies, doctor education, a public toilet mapping exercise, and public awareness through a telephone helpline and patient information pamphlets. Almost simultaneously with the continence initiative, concerns over the influx of asylum seekers to Australia lead the federal government to focus more resources on strengthening Australia’s border protection. This paper explores the two phenomena of personal and national boundary maintenance as aspects of classification dilemmas based in conceptions of filth, pollution and cleaning rituals. Continence and Boundary Maintenance Elias has pointed out that the development of rules of decorum around bodily control was the very essence of ‘the civilizing process’ in Western cultures. Currently, we see bodily control as a prerequisite for becoming an adult, and the loss of control is a sign of a loss of responsible adulthood, a ‘spoiled identity’ (Goffman; Murcott; Hepworth). However, Foucault pointed out that the body, through the imposition of the State and the medical profession, has become a target for self-work, resulting not in self-empowerment but in subjection. Through the ‘new micro-physics of power’ (Foucault 139), the bladder and pelvic floor have become sites in need of control. Analysis of discourses around incontinence, both in the public and private spheres, indicate a concern with issues of control and agency, particularly the moral imperative to be in control of one’s body and the feelings of incompetence produced by the loss of control. Incompetence, self blame and guilt are evident in sufferers’ talk about their condition (Tilbury et al.; Murcott). The negativity surrounding incontinence is connected with the construction of urine and faeces as filth – but is this construction of dirtiness ‘natural? Mary Douglas argued that cultural classification creates the order of social life and has an inherently moral dimension. A consequence is that things which cross categorical boundaries are impure and therefore dangerous, because they threaten the rules of classification. Douglas suggested that there is nothing inherent in ‘unclean’ things which make them dirty. Soil in the garden is ‘clean’ whereas on the carpet it is ‘dirty’, spaghetti on a plate is clean, but on your trousers it is dirty. Douglas concluded that dirtiness is not about the stuff itself, but about it being in the wrong location. We are left with the very old definition of dirt as matter out of place. This is a very suggestive approach. It implies two conditions: a set of ordered relations and a contravention of that order. … Dirt is the by-product of a systematic ordering and classification of matter, in so far as ordering involves rejecting inappropriate elements (Douglas 48). Like the fear of deviance generally, fear of pollution by ‘dirty’ things is strongly emotive because of its threat to the larger moral order. In the same way that moral panics, scapegoating, and witch hunts occur where there is a threat to the collectivity’s boundaries, clean-ups are in order where there is a perceived social crisis which threatens social classification and order. They serve as purges, drawing attention to the violated moral order, and to the State’s ability to secure it. Cleaning rituals function symbolically to reaffirm the social order. Thus, an insistence on continence is symbolic of something deeper than a fear of infection from leaking urine and faeces. Douglas suggests that issues of dirt and cleanliness in relation to the human body are actually about wider social concerns. The body is a tabula rasa on which the concerns of society are writ small. The biological body is a symbol of the social body. Elias argued bodily control and social control are linked – for example we are careful to control publicly bodily functions such as farting, belching and yawning. Now if bodies serve as symbols of society, then concern over group boundaries will be expressed symbolically as concerns over bodily boundaries. Bodily orifices, those entrances and exits which define the boundaries of the body most obviously, become sites of some significance, and those dirty things which traverse these openings/closings challenge and destabilize the system of categorization which society holds sacrosanct. But why, one might ask, the recent concern over bodily boundaries? Continents and Border Protection On the ABC’s 7.30 Report (20 June 2002) anchor Kerry O’Brien introduced a story about ‘the migrant problem’ in the Netherlands with a comment about the Dutch desire to control the ‘flooding’ in of refugees through their ‘weakening borders’ and noted the growing public concern to ‘seal their leaking border’. While such imagery obviously references the story of ‘the little Dutch boy and the dike’, it was directly relevant to Australian audiences because Australia was in the midst of its own ‘refugee crisis’ (see Saxton; Manne; Pickering; Gelber). The ‘Tampa crisis’, in September 2001, saw a Norwegian freighter, the Tampa, rescue 433 asylum seekers from their sinking boat which was headed for Australia. Australia denied the Tampa permission to enter its waters and ports, so it was left out to sea for days, while the Australian government negotiated a face saving solution to the problem. This was the ‘Pacific solution’ – whereby asylum seekers are moved to nearby Pacific nations to be ‘processed’ off shore, in exchange for monetary incentive to these struggling economies. Asylum seekers were demonized by the press and by politicians for threatening to throw themselves and their children overboard. Prime Minister John Howard suggested some were likely to be terrorists, and the then Minister of Immigration Philip Ruddock asked the rhetorical question: ‘Are these the sort of people we want as Australians?’ Discursive analyses of media coverage (news reports, opinion columns and letters to the editor) of the arrival of asylum seekers indicate that they were represented as illegal, illegitimate and threatening (Saxton), and constructed as deviant in a variety of ways, including being diseased (Pickering). The language used to describe the ‘threat’ is revealing: terms such as ‘swamped’, ‘awash’, ‘latest waves’, ‘more waves’, ‘tides’, ‘floods’ and ‘migratory flood’ (Pickering 172). Most importantly, a ‘national rights’ discourse emerged, asserting Australia’s authority over its physical and cultural space, and its right to ‘protect its territory and character’ (Saxton 111) from potentially polluting pariahs, the excrement of other nations, refugees. The net result of these activities was the putting in place of a series of emergency measures to ensure Australia’s borders were ‘protected’, including moving the legal definition of borders, rigorous enforcement of imprisonment in detention centres, providing a two thousand dollar incentive to return to their countries of origin, and increased sea and air surveillance. Recent moves by the government to make seeking asylum more difficult have continued this trend. Continents and Continence Now what do incontinence and the Tampa crisis have in common? Obviously both are attempts to contain filth, ensuring boundary maintenance of the individual and the national body. The desire of the Australian government to clarify Australia’s boundaries by reducing them to its mainland is indicative of a concern with keeping national boundaries precise and clear. The threat of breaches from outside spurs this attempt to ensure closure, but it is simultaneously evidence of the fear of violation. Australia’s attempts at boundary maintenance are forms of ‘pollution rituals’ designed to maintain the definition of Australia as the domain of white Anglo-Saxon Christians (Hage; Saxton; Pickering). Being racially, ethnically and religiously different, asylum seekers challenge cherished notions of what ‘we’ Australians are – they are matter-out-of-place, challenging the integrity of the nation. As Pickering notes: ‘Asylum seekers transgress many boundaries: physical, geographic, language, legal, national, social and political. In so doing they routinely disrupt established, although precarious, orders’ (Pickering 170). The ‘breach’ panic, and consequent attempts to fortify ‘fortress Australia’, function symbolically to reaffirm the social order and maintain the classification of in-group and out-group. Conclusion The parallels drawn between these two initiatives are not meant to assert a causal relationship, but rather a form of ‘elective affinity’ (Weber). Thus, my argument is rather more than a recognition of the ways in which body metaphors are used as ‘convenient way[s] for talking or thinking about the moral and political problems of society’ (Turner 1), but less than a suggestion that one is in a direct causal relationship to the other. If pollution behaviour is that which condemns objects or ideas which might confuse cherished classifications, then government attempts to keep national boundaries contained and bodies secure are both examples of pollution behaviours. The National Continence Management Strategy and the concerns about Australia’s border protection are both symbolic manifestations of the same concern over unsealed boundaries and boundary crossings. Both result from a barely contained hysteria manifest in a fear of things coming in, and things going out, and a frustrated recognition of the impossibility of keeping entries and exits secure. The National Continence Management strategy mirrors the macro concerns over boundary maintenance and security. The tightening up of movements of matter across bodies, and movements of people across nations, are signs of attempts to control identity. But from whence has this concern arisen? One possibility is the general destabilising of national identities resulting from the broad postmodern recognition of hybridity and fluidity in the construction and maintenance of identity. A specific example of this is the fact that while Australia has long been proud of its identity as a white nation of the Antipodes, at the same time it is developing an identity as multicultural. The traditional values of white society are being challenged and the resulting destabilization is threatening (Hage; Ang; Phillips). Postmodern constructions of identity as contextual, fuzzy, and open ended, destabilize identity as singular and unproblematic. Hall and du Gay, Bhabha, and others have noted the discomfort attendant on a version of identity which is hybrid and liminal, which challenges the notion that categories are clear cut and people are either ‘in’ or ‘out’. This discomfort results in the need to shore up individual and national identities through efforts to define and maintain boundaries and to contain them – in essence to re-establish and defend ‘fortress Australia’ by containing matter in its proper place, and excluding filth. References Bhabha, Homi, ed. Nation and Narration. London: Routledge, 1990. Douglas, Mary. Purity and Danger: An Analysis of Concepts of Pollution and Taboo. London: Routledge and Kegan Paul, 1966. Elias, Norbert. The Civilizing Process. Trans. E. Jephcott. Oxford: Blackwell, 1994. Foucault, Michel. Discipline and Punish: The Birth of the Prison. Trans A. Sheridan. Harmondsworth: Penguin, 1979. Gelber, Katherine. “A Fair Queue? Australian Public Discourse on Refugees and Immigration.” Journal of Australian Studies 1 March 2003: 23-30. Goffman, Erving. Stigma: Notes on the Management of Spoiled Identity. New Jersey: Prentice-Hall, 1963. Hage, Ghassan. White Nation: Fantasies of White Supremacy in a Multicultural Society. Annendale NSW: Pluto Press, 1998. Hall, Stuart, and Paul du Gay, eds. Questions of Cultural Identity. London: Sage, 1996. Hepworth, Mike. Stories of Ageing. Buckingham: Open University Press, 2000. Manne, Robert, with David Corlett. “Sending them Home: Refugees and the New Politics of Indifference.” Quarterly Essay 13. Melbourne: Black, 2004. Murcott, Anne. “Purity and Pollution: Body Management and the Social Place of Infancy.” In Sue Scott and David Morgan, eds. Body Matters. London: The Falmer Press, 1993. Pickering, Sharon. “Common Sense and Original Deviancy: News Discourses and Asylum Seekers in Australia.” Journal of Refugee Studies 14.2 (2001):169-86. Saxton, Alison. “‘I Certainly Don’t Want People like That Here’: The Discursive Construction of Asylum Seekers.” Media International Australia Incorporating Culture and Policy 109 (Nov. 2003): 109-20. Tilbury, Farida, Pradeep Jayasuriya, Jan Taylor, and Liz Williams. Continence Care in the Community. Report to Department of Health and Aged Care, 2001. Turner, Bryan. “Social Fluids: Metaphors and Meanings in Society.” Body and Society 9.1 (2003): 1-10. Turner, Bryan, with Colin Samson. Medical Power and Social Knowledge. London: Sage, 1996. Citation reference for this article MLA Style Tilbury, Farida. "Filth, Incontinence and Border Protection." M/C Journal 9.5 (2006). echo date('d M. Y'); ?> <http://journal.media-culture.org.au/0610/06-tilbury.php>. APA Style Tilbury, F. (Nov. 2006) "Filth, Incontinence and Border Protection," M/C Journal, 9(5). Retrieved echo date('d M. Y'); ?> from <http://journal.media-culture.org.au/0610/06-tilbury.php>.
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48

Kloosterman, Robert C., and Amanda Brandellero. ""All these places have their moments": Exploring the Micro-Geography of Music Scenes: The Indica Gallery and the Chelsea Hotel." M/C Journal 19, no. 3 (June 22, 2016). http://dx.doi.org/10.5204/mcj.1105.

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Hotspots of Cultural InnovationIn the 1960s, a long list of poets, writers, and musicians flocked to the Chelsea Hotel, 222 West 23rd Street, New York (Tippins). Among them Bob Dylan, who moved in at the end of 1964, Leonard Cohen, who wrote Take This Longing dedicated to singer Nico there, and Patti Smith who rented a room there together with Robert Mapplethorpe in 1969 (Smith; Bell; Simmons). They all benefited not just from the low rents, but also from the close, often intimate, presence of other residents who inspired them to explore new creative paths. Around the same time, across the Atlantic, the Indica Bookshop and Gallery, 6 Mason’s Yard, London played a similar role as a meeting place for musicians, artists and hangers-on. It was there, on the evening of 9 November 1966, that John Lennon attended a preview of Yoko Ono's first big solo exhibition, Unfinished Paintings and Objects. Legend has it that the two met as Lennon was climbing up the ladder of Ono’s installation work ‘Ceiling Painting’, and reaching out to a dangling magnifying glass in order to take a closer look at the single word ‘YES’ scribbled on a suspended placard (Campbell). It was not just Lennon’s first meeting with Yoko Ono, but also his first run into conceptual art. After this fateful evening, both Lennon’s private life and his artistry would never be the same again. There is already a rich body of literature on the geography of music production (Scott; Kloosterman; Watson Global Music City; Verboord and Brandellero). In most cases, these studies deal with the city or neighbourhood scales. Micro-geographies of concrete places are rarer, with some notable exceptions that focus on recording studios and on specific venues (cf. Gibson; Watson et al.; Watson Cultural Production; van Klyton). Our approach focuses on concrete places that act more like third spaces – something in between or even combining living and working. Such places enable frequent face-to-face meetings, both planned and serendipitous, which are crucial for the exchange of knowledge. These two spaces represent iconic cultural hotspots where innovative artists, notably (pop) musicians, came together in the 1960s. Because of their many famous visitors and residents, both spaces are well documented in (auto)biographies, monographs on art scenes in London and New York, as well as in newspapers. Below, we will explore how these two spaces played an important role at a time of cultural revolution, by connecting people and scenes to the micro geography of concrete places and by functioning as nodes of knowledge exchange and, hence, as milieus of innovation.Art Worlds, Scenes and Places The romantic view that artists are solitary geniuses was discarded already long ago and replaced by a conceptualization that sees them as part of broader social configurations, or art worlds. According to Howard Becker (34), these art worlds consist “of all the people necessary to the production of the characteristic works” – in other words, not just artists, but also “support personnel” such as sound engineers, editors, critics, and managers. Without this “resource pool” the production of art would be virtually impossible. Art worlds are also about the consumption of art. The concept of scene has been used to articulate the local processes of taste making and reputation building, as they “provide ways of social belonging attuned to the demands of a culture in which individuals increasingly define themselves” (Silver et al. 2295). Individuals who share certain aesthetic preferences come together, both socially and spatially (Currid) and locations such as cafés and nightclubs offer important settings where members of an art world may drink, eat, meet, gossip, and exchange knowledge. The urban fabric provides an important backdrop for these exchanges: as Jane Jacobs (181) observed, “old ideas can sometimes use new buildings. New ideas must come from old buildings.” In order to function as relational spaces, these amenities have to meet two sets of conditions. The first set comprises the locational characteristics, which Durmaz identifies as centrality and proximity. The second set relates to socio-economic characteristics. From an economic perspective, the amenity has to be viable– either independently or through patronage or state subsidies. Becoming a cultural hotspot is not just a matter of good bookkeeping. The atmosphere of an amenity has to be tolerant towards forms of cultural and social experimentation and, arguably, even transgression. In addition, a successful space has to have attractors: persons who fulfil key roles in a particular art world in evaluation, curation, and gatekeeping. To what extent did the Indica Gallery and the Chelsea Hotel meet these two sets of conditions in the 1960s? We turn to this question now.A Hotel and a GalleryThe Indica Gallery and the Chelsea Hotel were both highly central – the former located right in the middle of St. James’s in the central London Borough of Westminster (cf. Kloosterman) and the latter close to Greenwich Village in Manhattan. In the post-war, these locations provided a vacant and fertile ground for artists, who moved in as firms and wealthier residents headed for the green suburbs. As Ramanathan recounts, “For artists, downtown New York, from Chambers Street in Tribeca to the Meatpacking District and Chelsea, was an ideal stomping ground. The neighbourhoods were full of old factories that had emptied out in the postwar years; they had room for art, if not crown molding and prewar charm” (Ramanathan). Similarly in London, “Despite its posh address the area [the area surrounding the Indica Gallery] then had a boho feel. William Burroughs, Brion Gysin and Anthony Blunt all had flats in the same street.” (Perry no pagination). Such central locations were essential to attract the desired attention and interest of key gatekeepers, as Barry Miles – one of Indica’s founding members - states: “In those days a gallery virtually had to be in Mayfair or else critics and buyers would not visit” (Miles 73). In addition, the Indica Gallery’s next-door neighbour was the Scotch of St James club. The then up and coming singer Marianne Faithfull, married to Indica founder John Dunbar, reportedly “needed to be seen” in this “trendy ‘in’ club for the new rock aristocracy” (Miles 73). Undoubtedly, their cultural importance was also linked to the fact that they were both located in well-connected budding global cities with a strong media presence (Krätke).Over and above location, these spaces also met important socio-economic conditions. In the 1960s, the neighbourhood surrounding the Chelsea Hotel was in transition with an abundance of available and affordable space. After moving out of the Chelsea Hotel, Patti Smith and Robert Mapplethorpe (Smith) had no difficulty finding a cheap loft to rent nearby. Rates in the Chelsea Hotel – when they were settled, that is - were incredibly low to current standards. According to Tippins (350), the typical Chelsea Hotel room rate in 1967 was $ 10 per week, which would amount to some $ 67.30 per week in 2013. Again, a more or less similar story can be told for the Indica Gallery. When Barry Miles, Peter Asher and John Dunbar founded the Gallery in September 1965, the premises were empty and the rent was low: "We paid 19 quid a week rent" according to John Dunbar (Perry). These cheap spaces provided fruitful economic conditions for cultural experimentation. Innovative relational spaces require not only accessibility in spatial and financial terms, but also an atmosphere conducive to cultural experimentation. This implies some kind of benevolent, preferably even stimulating, management that is willing and able to create such an atmosphere. At the Chelsea Hotel and Indica Gallery alike, those in charge were certainly not first and foremost focused on profit maximisation. Instead they were very much active members of the art worlds themselves, displaying a “taste for creative work” (Caves) and looking for ways in which their spaces could make a contribution to culture in a wider sense. This holds for Stanley Bard who ran the Chelsea Hotel for decades: “Working besides his father, Stanley {Bard} had gotten to know many of these people. He had attended their performances and exhibitions, read their books, and had been invited to their parties. Young and malleable, he soon came to see the world largely from their point of view” (Tippins 166). Such affinity with the artistic scene meant that Bard was more than accommodating. As Patti Smith recalls (100), “you weren’t immediately kicked out if you got behind on the rent … Mostly everybody owed Bard something”. While others recall a slightly less flexible attitude towards missed rents - “… the residents greatly appreciated a landlord who tolerated everything, except, quite naturally, a deficit” (Tippins 132) – the progressive atmosphere at the Chelsea was acknowledged by many others. For example, “[t]he greatest advantage of life at the Chelsea, [Arthur] Miller had to acknowledge, was that no one gave a damn what anyone else chose to do sexually” (Tippins 155).Similarly at the Indica Gallery, Miles, Asher and Dunbar were not first and foremost interested in making as much money as possible. The trio was itself drawn from various artistic fields: John Dunbar, an art critic for The Scotsman, wanted to set up an experimental gallery with Peter Asher (half of the pop duo Peter & Gordon) and Barry Miles (painter and writer). When asked about Indica's origins, Dunbar said: "There was a reason why we did Indica in the first place: to have fun" (Nevin). Recollections of the Gallery mention “a brew pot for the counterculture movement”, (Ramanathan) or “a haven for the free-wheeling imagination, a land of free expression and cultural collaboration where underground seeds were allowed to take root” (Campbell-Johnston).Part of the attraction of both spaces was the almost assured presence of interesting and famous persons, whom by virtue of their fame and appeal contributed to drawing others in. The roll calls of the Chelsea Hotel (Tippins) and of the Indica Gallery are impressive and partly overlapping: for instance, Allen Ginsberg was a notable visitor of the Indica Gallery and a prominent resident of the Chelsea Hotel, whereas Barry Miles was also a long-term resident of the Chelsea Hotel. The guest books read as a cultural who-is-who of the 1960s, spanning multiple artistic fields: there are not just (pop) musicians, but also writers, poets, actors, film makers, fashion designers, and assorted support personnel. If innovation in culture, as anywhere else, is coming up with new combinations and crossovers, then the cross-fertilisation fostered by the coming together of different art worlds in these spaces was conducive to these new combinations. Moreover, as the especially the biographies of Bob Dylan, Paul McCartney, Leonard Cohen, and Patti Smith testify, these spaces served as repositories of accessible cultural capital and as incubators for new ideas. Both Leonard Cohen and Patti Smith benefited from the presence of Harry Smith who curated the Anthology of American Music at the Chelsea Hotel. As Patti Smith (115) recalls: “We met a lot of intriguing people at the Chelsea but somehow when I close my eyes to think of them, Harry is always the first person I see”. Leonard Cohen was also drawn to Harry Smith: “Along with other assorted Chelsea residents and writers and music celebrities who were passing through, he would sit at Smith’s feet and listen to his labyrinthine monologue” (Simmons 197).Paul McCartney, actively scanning the city for new and different forms of cultural capital (Miles; Kloosterman) could tap into different art worlds through the networks centred on the Indica Gallery. Indeed he was credited with lending more than a helping hand to Indica over the years: “Miles and Dunbar bridged the gap between the avant-garde rebels and the rock stars of the day, principally through their friendship with Paul McCartney, who helped to put up the shop’s bookshelves, drew its flyers and designed its wrapping paper. Later when Indica ran into difficulties, he lent his friends several thousands of pounds to pay their creditors” (Sandbrook 526).Sheltered Spaces Inevitably, the rather lenient attitude towards money among those who managed these cultural breeding spaces led them to serious financial difficulties. The Indica Gallery closed two years after opening its doors. The Chelsea Hotel held out much longer, but the place went into a long period of decline and deterioration culminating in the removal of Stanley Bard as manager and banishment from the building in 2007 (Tippins). Notwithstanding their patchy record as viable business models, their role as cultural hotspots is beyond doubt. It is possibly because they offered a different kind of environment, partly sheltered from more mundane moneymaking considerations, that they could thrive as cultural hotspots (Brandellero and Kloosterman). Their central location, close to other amenities (such as night clubs, venues, cafés), the tolerant atmosphere towards deviant lifestyles (drugs, sex), and the continuous flow of key actors – musicians of course, but also other artists, managers and critics – also fostered cultural innovation. Reflecting on these two spaces nowadays brings a number of questions to the fore. We are witnessing an increasing upward pressure on rents in global cities – notably in London and New York. As cheap spaces become rarer, one may question the impact this will have on the gestation of new ideas (cf. Currid). If the examples of the Indica Gallery and the Chelsea Hotel are anything to go by, their instrumental role as cultural hotspots turned out to be financially unsustainable against the backdrop of a changing urban milieu. The question then is how can cities continue to provide the right set of conditions that allow such spaces to bud and thrive? As the Chelsea Hotel undergoes an alleged $40 million dollar renovation, which will turn it into a boutique hotel (Rich), the jury is still out on whether central urban locations are destined to become - to paraphrase John Lennon’s ‘In my life’, places which ‘had their moments’ – or mere repositories of past cultural achievements.ReferencesAnderson, P. “Watch this Space.” Sydney Morning Herald, 19 Apr. 2014.Becker, H.S. Art Worlds. Berkeley: University of California Press, 1982.Bell, I. Once upon a Time: The Lives of Bob Dylan. Edinburgh/London: Mainstream Publishing, 2012.Brandellero, A.M.C. The Art of Being Different: Exploring Diversity in the Cultural Industries. Dissertation. Amsterdam: University of Amsterdam, 2011.Brandellero, A.M.C., and R.C. Kloosterman. “Keeping the Market at Bay: Exploring the Loci of Innovation in the Cultural Industries.” Creative Industries Journal 3.1 (2010): 61-77.Campbell, J. “Review: A Life in Books: Barry Miles.” The Guardian, 20 Mar. 2010.Campbell-Johnston, R. “They All Wanted to Change the World.” The Times, 22 Nov. 2006Caves, R.E. Creative Industries: Contracts between Art and Commerce. Cambridge, Mass.: Harvard University Press, 2000.Currid, E. The Warhol Economy: How Fashion, Art, and Music Drive New York City. Princeton: Princeton University Press, 2007.Durmaz, S.B. “Analyzing the Quality of Place: Creative Clusters in Soho and Beyoğlu.” Journal of Urban Design 20.1 (2015): 93-124.Gibson, C. “Recording Studios: Relational Spaces of Creativity in the City.” Built Environment 31.3 (2005): 192-207.Hutton, T.A. Cities and the Cultural Economy. London/New York: Routledge, 2016.Jacobs, J. The Death and Life of Great American Cities, New York: Vintage Books, 1961.Jury, L. “Sixties Art Swings Back into London: Exhibition Brings to Life Decade of the 'Original Young British Artists'.” London Evening Standard, 3 Sep. 2013 Kloosterman, R.C. “Come Together: An Introduction to Music and the City.” Built Environment 31.3 (2005): 181-191.Krätke, S. “Global Media Cities in a World-Wide Urban Network.” European Planning Studies 11.6 (2003): 605-628.Miles, B. In the Sixties. London: Pimlico, 2003.Nevin, C. “Happening, Man!” The Independent, 21 Nov. 2006Norman, P. John Lennon: The Life. London: HarperCollins Publishers, 2008.Perry, G. “In This Humble Yard Our Art Boom was Born.” The Times, 11 Oct. 2006Ramanathan, L. “I, Y O K O.” The Washington Post, 10 May 2015.Rich, N. “Where the Walls Still Talk.” Vanity Fair, 8 Oct. 2013. Sandbrook, Dominic. White Heat: A History of Britain in the Swinging Sixties. London: Abacus, 2009. Scott, A.J. “The US Recorded Music Industry: On the Relations between Organization, Location, and Creativity in the Cultural Economy.” Environment and Planning A 31.11 (1999): 1965-1984.Silver, D., T.N. Clark, and C.J.N. Yanez . “Scenes: Social Context in an Age of Contingency.” Social Forces 88.5 (2010): 293-324.Simmons, S. I’m Your Man: The Life of Leonard Cohen. London: Jonathan Cape, 2012.Smith, P. Just Kids. London: Bloomsbury, 2010.Tippins, S. Inside the Dream Palace: The Life and Times of New York’s Legendary Chelsea Hotel. London/New York: Simon & Schuster, 2013.Van Klyton, A.C. “Space and Place in World Music Production.” City, Culture and Society 6.4 (2015): 101-108.Verboord, M., and A.M.C. Brandellero. “The Globalization of Popular Music, 1960-2010: A Multilevel Analysis of Music Flows.” Communication Research 2016. DOI: 10.1177/0093650215623834.Watson, A. “Global Music City: Knowledge and Geographical Proximity in London's Recorded Music Industry.” Area 40.1 (2008): 12-23.Watson, A. Cultural Production in and beyond the Recording Studio. London: Routledge, 2014.Watson, A., M. Hoyler, and C. Mager. “Spaces and Networks of Musical Creativity in the City.” Geography Compass 3.2 (2009): 856–878.
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Kilani, Mondher. "Culture." Anthropen, 2019. http://dx.doi.org/10.17184/eac.anthropen.121.

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La culture, mot ancien, a une longue histoire et pour les anthropologues, qui n’ont pas envie de l’abandonner, elle garde tout son potentiel heuristique. Du verbe latin colere (cultiver, habiter, coloniser), la culture a immédiatement montré une remarquable versatilité sémantique. Comme Cicéron (106-43 av. J.-C.) l’avait dit, il n’y a pas seulement la culture des champs, il y a aussi la cultura animi : c’est-à-dire la philosophie. Cultura animi est une expression que l’on retrouve également au début de la modernité, chez le philosophe anglais Francis Bacon (1561-1626). Elle devient ensuite « culture de la raison » chez René Descartes (1596-1650) et chez Emmanuel Kant (1724-1804). Mais au XVIIIe siècle, nous assistons à un autre passage, lorsque la culture, en plus des champs, de l’âme et de la raison humaine, commence à s’appliquer également aux coutumes, aux mœurs, aux usages sociaux, comme cela est parfaitement clair chez des auteurs tels que François-Marie Arouet, dit Voltaire (1694-1778), et Johann Gottfried Herder (1744-1803). Nous pourrions nous demander pourquoi ces auteurs ne se sont pas contentés de continuer à utiliser les termes désormais testés de coutumes et de mœurs. Pourquoi ont-ils voulu ajouter la notion de culture? Qu’est-ce que cette notion offrait de plus? Autrement dit, quelle est la différence entre culture et coutume? Dans l’usage de Voltaire et de Herder, la culture est presque toujours singulière, alors que les coutumes sont très souvent plurielles. La culture a donc pour effet d’unifier les coutumes dans un concept unique, en surmontant leur pluralité désordonnée et désorientante : les coutumes sont nombreuses, variables, souvent divergentes et contradictoires (les coutumes d’une population ou d’une période historique s’opposent aux coutumes d’autres sociétés et d’autres périodes), alors que la culture désigne une capacité, une dimension, un niveau unificateur. Dans son Essai sur les mœurs (1756), Voltaire a clairement distingué le plan de la « nature », dont dépend l’unité du genre humain, de celui de la « culture », où les coutumes sont produites avec toute leur variété : « ainsi le fonds est partout le même », tandis que « la culture produit des fruits divers », et les fruits sont précisément les coutumes. Comme on peut le constater, il ne s’agit pas uniquement d’opposer l’uniformité d’une part (la nature) et l’hétérogénéité d’autre part (les coutumes). En regroupant les coutumes, Voltaire suggère également une relation selon laquelle le « fonds » est le terrain biologique, celui de la nature humaine, tandis que la culture indique le traitement de ce terrain et, en même temps, les fruits qui en découlent. Tant qu’on ne parle que de coutumes, on se contente de constater la pluralité et l’hétérogénéité des « fruits ». En introduisant le terme culture, ces fruits sont rassemblés dans une catégorie qui les inclut tous et qui contribue à leur donner un sens, bien au-delà de leur apparente étrangeté et bizarrerie : bien qu’étranges et bizarres, ils sont en réalité le produit d’une activité appliquée au terrain commun à toutes les sociétés humaines. Partout, les êtres humains travaillent et transforment l’environnement dans lequel ils vivent, mais ils travaillent, transforment et cultivent aussi la nature dont ils sont faits. Appliquée aux coutumes, la culture est donc à la fois ce travail continu et les produits qui en découlent. En d’autres termes, nous ne pouvons plus nous contenter d’être frappés par l’étrangeté des coutumes et les attribuer à une condition d’ignorance et aux superstitions : si les coutumes sont une culture, elles doivent être rapportées à un travail effectué partout, mais dont les résultats sont sans aucun doute étranges et hétérogènes. Il s’agit en tout cas d’un travail auquel chaque société est dédiée dans n’importe quel coin du monde. Nous ne voulons pas proposer ici une histoire du concept de culture. Mais après avoir mentionné l’innovation du concept de culture datant du XVIIIe siècle – c’est-à-dire le passage du sens philosophique (cultura animi ou culture de la raison) à un sens anthropologique (coutumes en tant que culture) –, on ne peut oublier que quelques décennies après l’Essai sur les mœurs (1756) de Voltaire, Johann Gottfried Herder, dans son Ideen zur Philosophie der Geschichte der Menschheit (1784-1791), fournit une définition de la culture digne d’être valorisée et soutenue par l’anthropologie deux siècles plus tard. Herder ne se limite pas à étendre la culture (Kultur) bien au-delà de l’Europe des Lumières, au-delà des sociétés de l’écriture (même les habitants de la Terre de Feu « ont des langages et des concepts, des techniques et des arts qu’ils ont appris, comme nous les avons appris nous-mêmes et, par conséquent, eux aussi sont vraiment inculturés »), mais il cherche le sens profond du travail incessant de la Kultur (1991). Pourquoi, partout, aux quatre coins du monde, les humains se consacrent-ils constamment à la formation de leur corps et de leur esprit (Bildung)? La réponse de Herder est dans le concept de l’homme en tant qu’être biologiquement défectueux (Mängelwesen), en tant qu’être qui a besoin de la culture pour se compléter : le but de la culture est précisément de fournir, selon différentes conditions historiques, géographiques et sociales, une quelque forme d’humanité. Selon Herder, la culture est « cette seconde genèse de l’homme qui dure toute sa vie » (1991). La culture est la somme des tentatives, des efforts et des moyens par lesquels les êtres humains « de toutes les conditions et de toutes les sociétés », s’efforcent d’imaginer et de construire leur propre humanité, de quelque manière qu’elle soit comprise (1991). La culture est l’activité anthropo-poïétique continue à laquelle les êtres humains ne peuvent échapper. Tel est, par exemple, le propre du rituel qui réalise la deuxième naissance, la véritable, celle de l’acteur/actrice social/e, comme dans les rites d’initiation ou la construction des rapports sociaux de sexe. La culture correspond aux formes d’humanité que les acteurs sociaux ne cessent de produire. Le but que Herder pensait poursuivre était de rassembler les différentes formes d’humanité en une seule connaissance généralisante, une « chaîne de cultures » qui, du coin du monde qu’est l’Europe des Lumières « s’étend jusqu’au bout de la terre » (1991). On peut soutenir que dans les quelques décennies de la seconde moitié du XVIIIe siècle, on avait déjà posé les bases d’un type de connaissance auquel on allait donner plus tard le nom d’anthropologie culturelle. Parmi ces prémisses, il y avait le nouveau sens du terme culture. Cependant, il faut attendre plus d’un siècle pour que ceux qui allaient être appelés anthropologues reprennent ce concept et en fassent le fondement d’une nouvelle science. La « science de la culture » est en fait le titre du chapitre I de Primitive Culture (1871) d’Edward Burnett Tylor, chapitre qui commence par la définition de la culture connue de tous les anthropologues : « Le mot culture ou civilisation, pris dans son sens ethnographique le plus étendu, désigne ce tout complexe comprenant à la fois les sciences, les croyances, les arts, la morale, les lois, les coutumes et les autres facultés et habitudes acquises par l’homme dans l’état social (Tylor1920). » Dans cette définition, les points suivants peuvent être soulignés : premièrement, la culture est un instrument qui s’applique de manière ethnographique à toute société humaine; deuxièmement, elle intègre une pluralité d’aspects, y compris les coutumes, de manière à former un « ensemble complexe »; troisièmement, les contenus de cet ensemble sont acquis non par des moyens naturels, mais par des relations sociales. Dans cette définition, la distinction – déjà présente chez Voltaire – entre le plan de la nature et le plan de la culture est implicite; mais à présent, le regard se porte avant tout sur la structure interne de la culture, sur les éléments qui la composent et sur la nécessité d’ancrer la culture, détachée de la nature, au niveau de la société. Il initie un processus de formation et de définition d’un savoir qui, grâce au nouveau concept de culture, revendique sa propre autonomie. La première fonction de la culture est en fait de faire voir le territoire réservé à la nouvelle science : un vaste espace qui coïncide avec tous les groupes humains, des communautés les plus restreintes et les plus secrètes aux sociétés qui ont dominé le monde au cours des derniers siècles. Mais jusqu’à quel point ce concept est-il fiable, solide et permanent, de sorte qu’il puisse servir de fondement au nouveau savoir anthropologique? On pourrait dire que les anthropologues se distinguent les uns des autres sur la base des stratégies qu’ils adoptent pour rendre le concept de culture plus fiable, pour le renforcer en le couplant avec d’autres concepts, ou, au contraire, pour s’en éloigner en se réfugiant derrière d’autres notions ou d’autres points de vue considérés plus sûrs. La culture a été un concept novateur et prometteur, mais elle s’est aussi révélée perfide et dérangeante. On doit réfléchir aux deux dimensions de la culture auxquelles nous avons déjà fait allusion: le travail continu et les produits qui en découlent. Les anthropologues ont longtemps privilégié les produits, à commencer par les objets matériels, artistiques ou artisanaux : les vitrines des musées, avec leur signification en matière de description et de classification, ont suggéré un moyen de représenter les cultures, et cela même lorsque les anthropologues se sont détachés des musées pour étudier les groupes humains en « plein air », directement sur le terrain. Quelles étaient, dans ce contexte, les coutumes, sinon les « produits » de la culture sur le plan comportemental et mental? Et lorsque la notion de coutume a commencé à décliner, entraînant avec elle le sens d’un savoir dépassé, la notion de modèle – les modèles de culture – a dominé la scène. Saisir des modèles dans n’importe quel domaine de la vie sociale – de la parenté à la politique, de la religion au droit, de l’économie à l’art, etc. – ne correspondait-il pas à une stratégie visant à construire, dans un but descriptif et analytique, quelque chose de solide, de répétitif et de socialement répandu, bref, un système capable de se reproduire dans le temps? Ce faisant, on continuait à privilégier les produits avec leur continuité et leur lisibilité au détriment du travail continu et obscur de la culture, de son flux presque insaisissable et imprévisible. Nous pensons par exemple à la quantité incroyable et chaotique de gestes, mots, idées, émotions qui se succèdent, se chevauchent, se croisent et se mélangent dans chaque moment de la vie individuelle et collective. Le sentiment que les produits toujours statiques et achevés de la culture priment sur sa partie la plus significative et la plus dynamique (une sorte de matière ou d’énergie obscure), devient un facteur de frustration et de perturbation pour l’entreprise anthropologique. À cet égard, les anthropologues ont adopté plusieurs voies de sortie, notamment : la tendance à réifier la culture, ce qui lui confère une solidité presque ontologique (c’est le cas d’Alfred L. Kroeber 1952); l’intention de réduire sa portée et de l’ancrer ainsi dans une réalité plus cohérente et permanente, telle que pourrait être la structure sociale dans ses diverses articulations (Alfred Radcliffe-Brown 1968 et plus largement l’anthropologie sociale); la tentative de capturer dans les manifestations apparemment plus libres et arbitraires de la culture, que peuvent être les mythes, l’action de structures mentales d’un ordre psycho-biologique (Claude Lévi-Strauss 1958 et 1973 et plus largement le structuralisme). Plus récemment, la méfiance envers la culture a pris la forme même de son refus, souvent motivé par une clef politique. Comment continuer à s’appuyer sur la culture, si elle assume désormais le rôle de discrimination autrefois confié à la race? Plus la culture devient un terme d’usage social et politique, identifié ou mélangé à celui d’identité et se substituant à celui de race, plus des anthropologues ont décrété son caractère fallacieux et ont pensé à libérer la pensée anthropologique de cet instrument devenu trop dangereux et encombrant. Lila Abu-Lughod écrit en 1991 un essai intitulé Against Culture et les critiques du concept de culture refont surface dans le texte d’Adam Kuper, Culture, 1998 et 1999. Mais si l’anthropologie doit se priver de ce concept, par quoi le remplacera-t-elle? Est-il suffisant de se contenter de « pratiques » et de « discours » qu’Abu-Lughod a puisés chez Michel Foucault (1966)? C’est une chose de critiquer certains usages de la notion de culture, tels que ceux qui tendent à la confondre avec l’identité, c’en est une autre d’accepter le défi que ce concept présente à la fois par son caractère fluide et manipulable, et par les expansions fertiles dont il est capable. Par « pratique » et « discours », réussirons-nous, par exemple, à suivre l’expansion de la culture vers l’étude du comportement animal et à réaliser que nous ne pouvons plus restreindre la « science de la culture » dans les limites de l’humanité (Lestel 2003)? Presque dans le sens opposé, la culture jette également les bases de la recherche ethnographique au sein des communautés scientifiques, une enquête absolument décisive pour une anthropologie qui veut se présenter comme une étude du monde contemporain (Latour et Woolgar 1979). Et quel autre concept que celui de culture pourrait indiquer de manière appropriée le « tout complexe » (complex whole) de la culture globale (Hamilton 2016)? Qu’est-ce que l’Anthropocène, sinon une vaste et immense culture qui, au lieu d’être circonscrite aux limites de l’humanité, est devenue une nouvelle ère géologique (Zalasiewicz et al. 2017)? Bref, la « science de la culture », formulée en 1871 par Edward Tylor, se développe énormément aujourd’hui : la culture est l’utilisation de la brindille comme outil de capture des termites par le chimpanzé, de même qu’elle correspond aux robots qui assistent les malades, aux satellites artificiels qui tournent autour de la Terre ou aux sondes envoyées dans le plus profond des espaces cosmiques. Ces expansions de la culture sont sans aucun doute des sources de désorientation. Au lieu de se retirer et de renoncer à la culture, les anthropologues culturels devraient accepter ce grand défi épistémologique, en poursuivant les ramifications de cette notion ancienne, mais encore vitale, dynamique et troublante.
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Collins-Gearing, Brooke. "Reclaiming the Wasteland: Samson and Delilah and the Historical Perception and Construction of Indigenous Knowledges in Australian Cinema." M/C Journal 13, no. 4 (August 18, 2010). http://dx.doi.org/10.5204/mcj.252.

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It was always based on a teenage love story between the two kids. One is a sniffer and one is not. It was designed for Central Australia because we do write these kids off there. Not only in town, where the headlines for the newspapers every second day is about ‘the problem,’ ‘the teenager problem of kids wandering the streets’ and ‘why don’t we send them back to their communities’ and that sort of stuff. Then there’s the other side of it. Elders in Aboriginal communities have been taught that kids who sniff get brain damage, so as soon as they see a kid sniffing they think ‘well they’re rubbish now, they’re brain damaged.’ So the elders are writing these kids off as well, as in ‘they are brain damaged so they’re no use now, they’ll be in wheelchairs for the rest of their lives.’ This is not true, it’s just information for elders that hasn’t been given to them. That is the world I was working with. I wanted to show two incredibly beautiful children who have fought all their lives just to breathe and how incredibly strong they are and how we should be celebrating them and backing them up. I wanted to show that to Central Australia, and if the rest of Australia or the world get involved that’s fantastic. (Thornton in interview)Warwick Thornton’s 2009 film Samson and Delilah won the hearts of Australians as well as a bag of awards — and rightly so. It is a breathtaking film that, as review after review will tell you, is about the bravery, hopelessness, optimism and struggles of two Indigenous youths. In telling this story, the film extends, inverts and challenges notions of waste: wasted youths, wasted memory, wasted history, wasted opportunities, getting wasted and wasted voices. The narrative and the film as a cultural object raise questions about being discarded and “the inescapable fact that the experience of catastrophe in the past century can only be articulated from its remains, our history sifted from among these storied deposits.” (Neville and Villeneuve 2). The purpose of this paper is to examine reaction to the film, and where this reaction has positioned the film in Australian filmmaking history. In reading the reception of the film, I want to consider the film’s contribution to dialogical cultural representations by applying Marcia Langton’s idea of intersubjectivity.In his review, Sean Gorman argues thatThe main reason for the film’s importance is it enables white Australians who cannot be bothered reading books or engaging with Indigenous Australians in any way (other than watching them play football perhaps) the smallest sliver of a world that they have no idea about. The danger however in an engagement by settler society with a film like Samson and Delilah is that the potential shock of it may be too great, as the world which it portrays is, for many, an unknown Australia. Hence, for the settler filmgoer, the issues that the film discusses may be just too hard, too unreal, and their reaction will be limited to perhaps a brief bout of anger or astonishment followed by indifference. (81.1)It is this “engagement by settler society” that I wish to consider: how the voices that we hear speaking about the film are shifting attention from the ‘Other’ to more dialogical cultural representations, that is, non-Indigenous Australia’s emerging awareness of what has previously been wasted, discarded and positioned as valueless. I find Gorman’s surmise of white Australia’s shock with a world they know nothing about, and their potential power to return to a state of indifference about it, to be an interesting notion. Colonisation has created the world that Samson and Delilah live in, and the white community is as involved as the Indigenous one in the struggles of Samson and Delilah. If “settler” society is unaware, that unawareness comes from a history of non-Indigenous power that denies, excludes, and ignores. For this reason, Samson and Delilah is a dialogical cultural representation: it forces a space where the mainstream doesn’t just critique the Aborigine, but their own identity and involvement in the construction of that critique.Wasted VoicesWaste is a subjective notion. Items that some discard and perceive as valueless can be of importance to others, and then it also becomes a waste not to acknowledge or use that item. Rather than only focusing on the concept of “waste” as items or materials that are abandoned, I wish to consider the value in what is wasted. Centring my discussion of ‘waste’ on Thornton’s film provides the opportunity to view a wasteland of dispossession from another cultural and social perspective. Reaction to the film has constructed what could be perceived as an exceptional moment of engagement between Indigenous and non-Indigenous voices in dialogic intercultural dialogue. By revisiting early examples of ethnographic collaboration, and re-examining contemporary reactions to Samson and Delilah, I hope to forge a space for intervention in Australian film criticism that focuses on how ‘non-Aboriginality’ depends on ‘Aboriginality’ in a vast wasteland of colonial dispossession and appropriation.Many of the reviews of Thornton’s film (Buckmaster; Collins; Davis; Gorman; Hall; Isaac; Ravier; Redwood; Rennie; Simpson) pay attention to the emotional reaction of non-Indigenous viewers. Langton states that historically non-Indigenous audiences know ‘the Aborigine’ through non-Indigenous representations and monologues about Aboriginality: “In film, as in other media, there is a dense history of racist, distorted and often offensive representation of Aboriginal people” (24). The power to define has meant that ethnographic discourses in the early days of colonisation established their need to record Indigenous peoples, knowledges and traditions before they ‘wasted away.’ At the 1966 Round Table on Ethnographic Film in the Pacific Area, Stanley Hawes recounts how Ian Dunlop, an Australian documentary filmmaker, commented that “someone ought to film the aborigines of the Western Desert before it was too late. They had already almost all disappeared or gone to live on Mission stations” (69). This popular belief was one of the main motivations for research on Indigenous peoples and led to the notion of “smoothing the dying pillow,” which maintained that since Aborigines were a dying race, they should be allowed to all die out peacefully (Chandra-Shekeran 120). It was only the ‘real’ Aborigine that was valued: the mission Black, the urban Black, the assimilated Black, was a waste (Cowlishaw 108). These representations of Aboriginality depended on non-Indigenous people speaking about Aboriginality to non-Indigenous people. Yet, the impetus to speak, as well as what was being spoken about, and the knowledge being discussed and used, relied on Indigenous voices and presences. When Australia made its “important contribution to ethnographic films of its Aborigines” (McCarthy 81), it could not have done so without the involvement of Indigenous peoples. In her work on intersubjectivity, Langton describes “Aboriginality” as a “social thing” that is continually remade through dialogue, imagination, representation and interpretation. She describes three broad categories of Aboriginal and non-Aboriginal intersubjectivity: when Aboriginal people interact with other Aboriginal people; when non-Aboriginal people stereotype, iconise, and mythologise Aboriginal people without any Aboriginal contact; and when Aboriginal and non-Aboriginal people engage in dialogue (81). Since W. Baldwin Spencer’s first ethnographic film, made between 1901 and 1912, which recorded the customs of the Aranda and neighbouring Central Australian tribes (McCarthy 80), the development of Australian cinema depended on these categories of intersubjectivity. While the success of Samson and Delilah could be interpreted as opening mainstream eyes to the waste that Indigenous communities have experienced since colonisation — wasted knowledge, wasted youths, wasted communities — it could also signify that what was once perceived by dominant non-Indigenous society as trash is now viewed as treasure. Much like the dot paintings which Delilah and her nana paint in exchange for a few bucks, and which the white man then sells for thousands of dollars, Aboriginal stories come to us out of context and filtered through appropriation and misinterpretation.Beyond its undeniable worth as a piece of top-notch filmmaking, Samson and Delilah’s value also resides in its ability to share with a wide audience, and in a language we can all understand, a largely untold story steeped in the painful truth of this country’s bloody history. (Ravier)In reading the many reviews of Samson and Delilah, it is apparent there is an underlying notion of such a story being secret, and that mainstream Australia chose to engage with the film’s dialogical representation because it was sharing this secret. When Ravier states that Aboriginal stories are distorted by appropriation and misinterpretation, I would add that such stories are examples of Langton’s second category of intersubjectivity: they reveal more about the processes of non-Indigenous constructions of ‘the Aborigine’ and the need to stereotype, iconise and mythologise. These processes have usually involved judgements about what is to be retained as ‘valuable’ in Indigenous cultures and knowledges, and what can be discarded — in the same way that the film’s characters Samson and Delilah are discarded. The secret that Samson and Delilah is sharing with white Australia has never been a secret: it is that non-Indigenous Australia chooses what it wants to see or hear. Wasted SilencesIn 1976 Michael Edols directed and produced Floating about the Mowanjum communities experiences of colonisation, mission life and resistance. That same year Alessandro Cavadini directed and Carolyn Strachan produced Protected, a dramatised documentary about life on the Queensland Aboriginal reserve of Palm Island — “a dumping ground for unwanted persons or those deemed to be in need of ‘protection’” (Treole 38). Phillip Noyce’s Backroads, a story about the hardships facing a young man from a reserve in outback New South Wales, was released in 1977. In 1979, Essie Coffey produced and directed My Survival as an Aboriginal, where she documented her community’s struggles living under white domination. Two Laws, a feature film made by four of the language groups around Borroloola in 1981, examines the communities’ histories of massacre, dispossession and institutionalisation. These are just some of many films that have dealt with the ‘secrets’ about Indigenous peoples. In more recent times the work of Noyce, Rolf de Heer, Stephen Johnson, Iven Sen, Rachel Perkins and Romaine Moreton, to name only a few, have inspired mainstream engagement with films representing Indigenous experiences and knowledges. “We live in a world in which, increasingly, people learn of their own and other cultures and histories through a range of visual media — film, television, and video,” writes Faye Ginsburg (5). Changing understandings of culture and representation means that there appears to be a shift away from the “monologic, observational and privileged Western gaze” towards more dialogic, reflexive and imaginative mediation. Perhaps Samson and Delilah’s success is partly due to its contribution to social action through compelling the non-Indigenous viewer to “revise our comfortable and taken for granted narrative conventions that fetishise the text and reify ‘culture’ and ‘cultural difference.’ Instead, we — as producers, audiences, and ethnographers — are challenged to comprehend the multiple ways that media operate as a site where culture is produced, contested, mediated and continually re-imagined” (Ginsburg 14). In his review, Tom Redwood writes about the filmLike life in the desert, everything is kept to a minimum here and nothing is wasted. ... Perhaps it took an Indigenous filmmaker from Alice Springs to do this, to lead the way in reinstating meaningfulness and honesty as core values in Australian cinema. But, whatever the case, Thornton's Indigenous heritage won't make his difficult vision any easier for local audiences to swallow. Most Australians aren't used to this degree of seriousness at the movies and though many here will embrace Samson and Delilah, there will no doubt also be a minority who, unable to reject the film as a cultural curiosity, will resist its uncompromising nature with cries of 'pessimism!' or even 'reverse-racism!’ (28-29)Perhaps the film’s success has to do with the way the story is told? — “everything kept to a minimum” and “nothing is wasted.” In attempts to construct Aboriginal and non-Aboriginal intersubjectivity in previous representations perhaps language, words, English got in the way of communication? For mainstream white Australian society’s engagement in dialogic representations, for Indigenous voices to speak and be heard, for non-Indigenous monologues to be challenged, perhaps silence was called for? As the reviews for the film have emphasised, non-Indigenous reactions contribute to the dialogic nature of the film, its story, as well as its positioning as a site of cultural meaning, social relations, and power. Yet even while critiquing constructions of Aboriginality, non-Aboriginality has historically remained uncritiqued—non-Aboriginal endorsement and reaction is discussed, but what this reaction and engagement, or lack of engagement (whether because of ignorance, unawareness, or racism) reveals is not. That is, non-Aboriginality has not had to critique the power it has to continue to remain ignorant of stories about wasted Indigenous lives. Thornton’s film appears to have disrupted this form of non-engagement.With the emergence of Indigenous media and Indigenous media makers, ethnographic films have been reconceptualised in terms of aesthetics, cultural observations and epistemological processes. By re-exploring the history of ethnographic film making and shifting attention from constructions of the ‘other’ to reception by the mainstream, past films, past representations of colonisation, and past dialogues will not be wasted. With the focus on constructing Aboriginality, the cultural value of non-Aboriginality has remained unquestioned and invisible. By re-examining the reactions of mainstream Australians over the last one hundred years in light of the success of Samson and Delilah, cultural and historical questions about ‘the Aborigine’ can be reframed so that the influence Indigenous discourses have in Australian nation-building will be more apparent. The reception of Samson and Delilah signifies the transformational power in wasted voices, wasted dialogues and the wasted opportunities to listen. Wasted DialoguesFelicity Collins argues that certain “cinematic events that address Indigenous-settler relations do have the capacity to galvanise public attention, under certain conditions” (65). Collins states that after recent historical events, mainstream response to Aboriginal deprivation and otherness has evoked greater awareness of “anti-colonial politics of subjectivity” (65). The concern here is with mainstream Australia dismantling generations of colonialist representations and objectifications of the ‘other.’ What also needs to be re-examined is the paradox and polemic of how reaction to Aboriginal dispossession and deprivation is perceived. Non-Indigenous reaction remains a powerful framework for understanding, viewing and positioning Indigenous presence and representation — the power to see or not to see, to hear or to ignore. Collins argues that Samson and Delilah, along with Australia (Luhrmann, 2009) and First Australians (Perkins, 2008), are national events in Australian screen culture and that post-apology films “reframe a familiar iconography so that what is lost or ignored in the incessant flow of media temporality is precisely what invites an affective and ethical response in cinematic spaces” (75).It is the notion of reframing what is lost or ignored to evoke “ethical responses” that captures my attention; to shift the gaze from Aboriginal subjectivity, momentarily, to non-Aboriginal subjectivity and examine how choosing to discard or ignore narratives of violence and suffering needs to be critiqued as much as the film, documentary or representation of Indigenality. Perhaps then we can start to engage in dialogues of intersubjectivity rather than monologues about Aboriginality.I made [Samson and Delilah] for my mob but I made sure that it can work with a wider audience as well, and it’s just been incredible that it’s been completely embraced by a much wider audience. It’s interesting because as soon as you knock down that black wall between Aboriginals and white Australia, a film like this does become an Australian film and an Australian story. Not an Aboriginal story but a story about Australians, in a sense. It’s just as much a white story as it is a black one when you get to that position. (Thornton in interview)When we “get to that position” described by Thornton, intercultural and intersubjective dialogue allows both Aboriginality and non-Aboriginality to co-exist. When a powerful story of Indigenous experiences and representations becomes perceived as an Australian story, it provides a space for what has historically been ignored and rendered invisible to become visible. It offers a different cultural lens for all Australians to question and critique notions of value and waste, to re-assess what had been relegated to the wasteland by ethnographic editing and Westernised labels. Ever since Spencer, Melies, Abbie and Elkin decided to retain an image of Aboriginality on film, which they did with specific purposes and embedded values, it has been ‘the Aborigine’ that has been dissected and discussed. It would be a waste not to open this historiography up to include mainstream reaction, or lack of reaction, in the development of cultural and cinematic critique. A wasteland is often perceived as a dumping ground, but by re-visiting that space and unearthing, new possibilities are discovered in that wasteland, and more complex strategies for intersubjectivity are produced. At the centre of Samson and Delilah is the poverty and loss that Indigenous communities experience on a daily basis. The experiences endured by the main characters are not new or recent ones and whether cinematic reception of them produces guilt, pity, sympathy, empathy, fear or defensiveness, it is the very potential to be able to react that needs to be critiqued. As Williamson Chang points out, the “wasteland paradigm is invisible to those embedded in its structure” (852). By looking more closely at white society’s responses in order to discern more clearly if they are motivated by feelings that their wealth—whether material, cultural or social—or their sense of belonging is being challenged or reinforced then ruling values and epistemologies are challenged and dialogic negotiations engaged. If dominant non-Indigenous society has the power to classify Indigenous narratives and representation as either garbage or something of value, then colonialist structures remain intact. If they have the self-reflexive power to question their own response to Indigenous narratives and representations, then perhaps more anti-colonial discourses emerge. Notions of value and waste are tied to cultural hierarchies, and it is through questioning how a dominant culture determines value that processes of transformation and mediation take place and the intersubjective dialogue sparked by Samson and Delilah can continueIn her review of Samson and Delilah, Therese Davis suggests that the film brings people closer to truthfulness, forcing the audience to engage with that realism: “those of us ‘outside’ of the community looking in can come to know ourselves differently through the new languages of this film, both cultural and cinematic. Reformulating the space of the national from an ‘insider,’ Aboriginal community-based perspective, the film positions its spectators, both Aboriginal and non-Aboriginal, in a shared space, a space that allows for new forms of attachment, involvement and self-knowledge, new lines of communication.” Davis goes on to caution that while the film is groundbreaking, the reviews situating the film as what Australian cinema should be need to be mindful of feeding “notions of anti-diversity, which “is an old debate in Australian Cinema Studies, but in this instance anti-diversity is doubly problematic because it also runs the risk of narrowly defining Indigenous cinema.” The danger, historically, is that anything Indigenous, has always been narrowly defined by the mainstream and yes, to continue to limit Indigenous work in any medium is colonising and problematic. However, rather than just caution against this reaction, I am suggesting that reaction itself be critiqued. While currently contemporary mainstream response to Samson and Delilah is one of adoration, is the centre from which it comes the same centre which less than fifty years ago critiqued Indigenous Australians as a savage, noble, and/or dying race wasting away? Davis writes that the film constructs a new “relation” in Australian cinema but that it should not be used as a marker against which “all new (and old) Indigenous cinema is measured.” This concern resembles, in part, my concern that until recently mainstream society has constructed their own markers of Aboriginal cultural authenticity, deciding what is to be valued and what can be discarded. I agree with Davis’s caution, yet I cannot easily untangle the notion of ‘measuring.’ As a profound Australian film, certainly cinematic criticism will use it as a signifier of ‘quality.’ But by locating it singularly in the category of Indigenous cinema, the anti-colonial and discursive Indigenous discourses the film deploys and evokes are limited to the margins of Australian film and film critique once more. After considering the idea of measuring, and asking who would be conducting this process of measuring, my fear is that the gaze returns to ‘the Aborigine’ and the power to react remains solely, and invisibly, with the mainstream. Certainly it would be a waste to position the film in such a way that limits other Indigenous filmmakers’ processes, experiences and representations. I see no problem with forcing non-Indigenous filmmakers, audiences and perceptions to have to ‘measure’ up as a result of the film. It would be yet another waste if they didn’t, and Samson and Delilah was relegated to being simply a great ‘Indigenous Australian film,’ instead of a great Australian film that challenges, inverts and re-negotiates the construction of both Aboriginality and non-Aboriginality. By examining reaction to the film, and not just reading the film itself, discussions of dialogical cultural representation can include non-Aboriginality as well as Aboriginality. Films like this are designed to create a dialogue and I’m happy if someone doesn’t like the film and they tell me why, because we’re creating dialogue. We’re talking about this stuff and taking a step forward. That’s important. (Thornton)The dialogue opened up by the success of Thornton’s beautiful film is one that also explores non-Aboriginality. If we waste the opportunity that Samson and Delilah provides, then Australia’s ongoing cinematic history will remain a wasteland, and many more Indigenous voices, stories, and experiences will continue to be wasted.ReferencesBuckmaster, Luke. “Interview with Warwick Thornton”. Cinetology 12 May 2009. 18 Aug. 2010 ‹http://blogs.crikey.com.au/cinetology/2009/05/12/interview-with-warwick-thornton-writerdirector-of-samson-delilah›.———. “Samson and Delilah Review: A Seminal Indigenous Drama of Gradual and Menacing Beauty”. Cinetology 6 May 2009. 14 June 2010 ‹http://blogs.crikey.com.au/cinetology/2009/05/06/samson-delilah-film-review-a-seminal-indigenous-drama-of-gradual-and-menacing-beauty›.Chang, Williamson, B. C. “The ‘Wasteland’ in the Western Exploitation of ‘Race’ and the Environment”. University of Colorado Law Review 849 (1992): 849-870.Chandra-Shekeran, Sangeetha. “Challenging the Fiction of the Nation in the ‘Reconciliation’ Texts of Mabo and Bringing Them Home”. The Australian Feminist Law Journal 11 (1998): 107-133.Collins, Felicity. “After the Apology: Reframing Violence and Suffering in First Australians, Australia and Samson and Delilah”. Continuum: Journal of Media and Cultural Studies 24.3 (2010): 65-77.Cowlishaw, Gillian, K. “Censoring Race in ‘Post-Colonial’ Anthropology”. Critique of Anthropology 20.2 (2000): 101-123. Davis, Therese. “Love and Marginality in Samson and Delilah”. Senses of Cinema 57 (2009). 7 Jan. 2010 ‹http://archive.sensesofcinema.com/contents/09/51/samson-and-delilah.html›. Ginsburg, Faye. “Culture/Media: A (Mild) Polemic”. Anthropology Today 10.2 (1994): 5-15.Gorman, Sean. “Review of Samson and Delilah”. History Australia 6.3 (2009): 81.1-81.2.Hall, Sandra. “Review of Samson and Delilah”. Sydney Morning Herald. 7 May 2009. Hawes, Stanley. “Official Government Production”. Round Table on Ethnographic Film in the Pacific Area. Canberra: Australian National Advisory Committee, 1966. 62-71.Isaac, Bruce. “Screening ‘Australia’: Samson and Delilah”. Screen Education 54 (2009): 12-17. Langton, Marcia. Well, I Heard It on the Radio and I Saw It on the Television...: An Essay for the Australian Film Commission on the Politics and Aesthetics of Filmmaking by and about Aboriginal People and Things. Sydney: Australian Film Commission, 1993.McCarthy, F. D “Ethnographic Research Films” Round Table on Ethnographic Film in the Pacific Area Australian National Advisory Committee (1966): 80-85.Neville, Brian, and Johanne Villeneuve. Waste-Site Stories: The Recycling of Memory. Albany: State U of New York P., 2002.Ravier, Matt. “Review: Samson and Delilah”. In Film Australia. 2009. 7 Jan. 2010 ‹http://www.infilm.com.au/?p=802›.Redwood, Tom. “Warwick Thornton and Kath Shelper on Making Samson and Delilah”. Metro 160 (2009): 31.Rennie, Ellie. “Samson and Delilah under the Stars in Alice Springs”. Crikey 27 Apr. 2009. 18 Aug. 2010 ‹ http://www.crikey.com.au/2009/04/27/samson-and-delilah-under-the-stars-in-alice-springs/›.Samson and Delilah. Dir. Warwick Thornton. Footprint Films, 2009. Treole, Victoria. Australian Independent Film. Sydney: Australian Film Commission, 1982.
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