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Selected AbstractsDevelopment Section, April 2008GEOGRAPHY COMPASS (ELECTRONIC), Issue 3 2008Cheryl McEwan EDITORIAL It is a great privilege to serve as Editor for the Development section of Geography Compass. The journal is an exciting new venture in electronic publishing that aims to publish state-of-the-art peer-reviewed surveys of key contemporary issues in geographical scholarship. As the first Editor of this section, it is my responsibility to establish the key aims and innovations for this section of the journal. These include: publishing reviews of scholarship on topics of contemporary relevance that are accessible and useful to researchers, teachers, students and practitioners; developing the range of topics covered across the spectrum of development geography; helping to set agendas in development geography by identifying gaps in existing empirical and conceptual research; commissioning articles from both established and graduate/early career researchers who are working at the frontiers of development geography; and communicating the distinctiveness of Geography Compass. Part of this distinctiveness is in publishing articles that are both of scholarly excellence and accessible to a wide audience. The first volume of Geography Compass was published in 2007, covering a wide range of topics (e.g. migration, children, technology, grassroots women's organizations, civil society, biodiversity, tourism, inequality, agrarian change, participatory development, disability, spirituality) in a number of specific geographical areas (e.g. Africa/southern Africa, Caribbean, China, Peru). Forthcoming in 2008/2009 are articles on the Gambia, Latin America, the Philippines, Southeast Asia, Bangladesh and South Africa, focusing on topics such as food security, comparative post-socialism, foreign aid and fair trade. Building on these diverse and excellent articles, I plan to communicate the distinctiveness of Development in a number of ways. First, I encourage an ecumenical approach to the notion of ,development geography' and welcome contributions from scholars across a range of social science disciplines whose work would be useful to a geography audience. This is important, not least because both development and geography, in disciplinary terms, are largely European inventions. Many scholars in Latin America, Africa and Asia, for example, do not refer to themselves as either development specialists or geographers but are producing important research in areas of direct relevance to students and researchers of ,development geography'. As the first editions illustrate, I also seek to publish articles that reflect ,development' in its broadest sense, encompassing economic, (geo)political, social, cultural and environmental issues. 2008 will be an interesting year for development, with a number of important issues and events shaping discourse and policy. These include: the Beijing Olympics and increasing focus on China's role in international development; political change in a number of African countries (Kenya, Zimbabwe, South Africa); the US presidential elections and potential shifts in policy on climate change, trade and security; the impacts of the Bali roadmap on climate change in the current economic context; the increasing number of impoverished people in Asia (notably China and India), sub-Saharan Africa and Latin America (notably Brazil) that even the World Bank has acknowledged; the implications of the increasing role of philanthropic foundations (e.g. the Gates Foundation and those emerging in India and Russia) in international development. I hope to see some of these issues covered in this journal. Second, I am keen to break down the association between ,development' and parts of the world variously categorized as ,Third World', ,Global South' or ,Developing World' by publishing articles that cut across North and South, East and West. The intellectual and disciplinary practices within (Western) geography that separate those researching issues in the South and post-socialist contexts from those researching similar issues in advanced capitalist economies are, it seems, no longer sustainable or sensible. Moreover, while studies of transnational and ethical trade, neoliberalism, household economies and ,commodity chains', for example, incorporate a multitude of case studies from across the world, these tend to be understood through conceptual lenses that almost always have their theoretical antecedents in Western theorization. The notion of ,learning from' debates, policy and practice in other parts of the world is still relatively alien within the discipline. There are thus issues in how we research and teach ethically and responsibly in and about different parts of the world, and in which this journal might make a contribution. Third, and related, part of my responsibility is to ensure that Compass reflects the breadth of debate about ,development' by publishing articles written by a truly international range of scholars. This has proved to be a challenge to date, in part reflecting the newness of the journal and the difficulties posed by English language publication. However, an immediate aim is to publish the work and ideas of scholars based outside of Anglophone contexts, in the Global South and in post-socialist contexts, and to use international referees who are able to provide valuable commentaries on the articles. A longer-term aim is to also further internationalize the Editorial Board. Currently, one-third of the Editorial Board is non-UK and I plan to increase this to at least 50% in future. Fourth, I plan to ensure that the Development section takes full advantage of electronic publication and the opportunities this offers. Thus, while I am keen to retain a word limit in the interest of publishing accessible articles, the lack of constraint regarding page space enables authors to include a wide range of illustrative and other material that is impossible in print journals. I plan to encourage authors to make greater use of visual materials (maps, photographs/photo-essays, video, sound recordings, model simulations and datasets) alongside text as well as more innovative forms of presentation where this might be appropriate. Finally, in the coming year, I intend to work more closely with other Compass section Editors to realize the potential for fostering debate that cuts across subdisciplinary and even disciplinary boundaries. The journal publishes across the full spectrum of the discipline and there is thus scope for publishing articles and/or special issues on development-related topics that might best be approached through dialogue between the natural and social sciences. Such topics might include resources (e.g. water, oil, bio-fuels), hazard and risk (from environmental issues to human and state security), and sustainability and quality of life (planned for 2008). Part of the distinctiveness of Compass is that electronic-only publication ensures that articles are published in relatively quick time , in some cases less than 3 months from initial submission to publication. It thus provides an important outlet for researchers working in fast-changing contexts and for those, such as graduate and early-career researchers, who might require swift publication for career purposes. Of course, as Editor I am reliant on referees both engaging with Manuscript Central and providing reports on articles in a relatively short space of time to fully expedite the process. My experience so far has been generally very positive and I would like to thank the referees for working within the spirit of the journal. Editing a journal is, of course, a collaborative and shared endeavour. The Development Editorial Board has been central to the successful launch of Development by working so generously to highlight topics and potential authors and to review articles; I would like to take this opportunity to thank Tony Bebbington, Reg Cline-Cole, Sara Kindon, Claire Mercer, Giles Mohan, Warwick Murray, Richa Nagar, Rob Potter, Saraswati Raju, Jonathan Rigg, Jenny Robinson and Alison Stenning. The Editors-in-Chief , Mike Bradshaw and Basil Gomez , have provided invaluable advice while adding humour (and colour) to the editorial process. Colleagues at Wiley-Blackwell have provided superb support, in particular, Helen Ashton who is constantly on hand to provide advice and assistance. I look forward to working closely with these people again in the coming year, as well as with the authors and readers who are vital to ensuring that Geography Compass fulfils its remit. [source] When Land Was Cheap, and Labor Dear: James Madison's ,Address to the Albemarle Agricultural Society' and the Problem of Southern Agricultural ReformHISTORY COMPASS (ELECTRONIC), Issue 3 2008Lynn A. Nelson James Madison's 1818 Address to the Albemarle Agricultural Society offers new insight into the diverse historiography of agricultural reform in the American South. Madison described a planet with limited resources, accused Virginia farmers of wasting what little they had, and offered suggestions for ways to intensify cultivation. Many scholars have analyzed the southern agricultural reform crusade, but differ widely on whether it was successful, and the reasons why. Madison tried to balance high farming with southern independence. Southern farming could not imitate modern agriculture from England and the Northeastern states because of the region's ecological distinctiveness. Madison was reluctant to risk tested adaptations by importing to crops, animals, and fertilizers. Southern farmers reflected his ecological conservatism, and the movement for reform stalled. [source] Thucydides and Modern RealismINTERNATIONAL STUDIES QUARTERLY, Issue 1 2006JONATHAN MONTEN This paper makes two main arguments about the relationship between Thucydides, modern realism, and the key conceptual ideas they introduce to situate and explain international politics. First, Thucydides refutes the central claim underlying modern realist scholarship, that the sources of state behavior can be located not in the character of the primary political units but in the decentralized system or structure created by their interaction. Second, however, analyses that discuss Thucydides exclusively with respect to this "third-image" realism do not take into account the most important emendation made to political realism in the last half of the twentieth century, Kenneth Waltz's Theory of International Politics. Waltz reformulates the theory of how anarchic political structures affect the behavior of their constituent units and suggests that the question posed by realism,and to be asked of Thucydides,is not whether states behave according to the Athenian thesis or consistently observe the power-political laws of nature, but whether they suffer "costs" in terms of political autonomy, security, and cultural integrity if they do not. Many scholars are therefore incorrect to assume that demonstrating the importance of non-structural factors in The Peloponnesian War severs the connection between Thucydides and structural realism. Thucydides may in fact be a realist, but not for reasons conventionally assumed. [source] Casaubon's ghosts: the haunting of legal scholarshipLEGAL STUDIES, Issue 1 2001Allan C Hutchinson Much academic work continues to operate within the cramping and pervasive spirit of a black-letter mentality that encourages scholars and jurists to maintain legal study as an inward-looking and self-contained discipline. There is still a marked tendency to treat law as somehow a world of its own that is separate from the society within which it operates and purports to serve. This is a disheartening and disabling state of affairs. Accordingly, this article will offer both a critique of the present situation and suggest an alternative way of proceeding. The writer recommends a shift from philosophy to democracy so that legal academics will be less obsessed with abstraction and formalism and more concerned with relevance and practicality. In contrast to the hubristic and occasionally mystical aspirations of mainstream scholars, it presents a more humble depiction of the worth and efficacy of the jurisprudential and scholarly project in which ,usefulness' is given pride of place. Of course, these fundamental charges are not applicable to all legal scholars. Many scholars are engaged in work that not only challenges the prevailing paradigm of legal scholarship, but also explores exciting new directions for legal study. It will be part of the essay to acknowledge those contributions. [source] Teaching and Learning Guide for: Locutionary, Illocutionary, PerlocutionaryLINGUISTICS & LANGUAGE COMPASS (ELECTRONIC), Issue 9 2010Mikhail Kissine This guide accompanies the following article: Mikhail Kissine, ,Locutionary, Illocutionary, Perlocutionary', Language and Linguistics Compass 2/6 (2008) pp. 1189,1202. DOI: 10.1111/j.1749-818x.2008.00093.x. The terms locutionary act, illocutionary act and perlocutionary act originate from Austin's classical How to do with words. The corresponding notions, however, prove difficult to define. Yet, lack of careful delineating of each level can lead to important theoretical confusions. This Teaching and Learning Guide explains why proper understanding of Austin's trichotomy is crucial for semantics and pragmatics. Author's Introduction Most contemporary discussions in semantics and pragmatics employ , implicitly or explicitly , some or all of the concepts of locutionary,illocutionary or perlocutionary acts. These notions originate from Austin's posthumous and notoriously intricate book, How to do things with words. The point of interest for the linguist, however, is not so much the exegesis of Austin's ideas, as the precise delimitation of these levels of meaning. First, it is important to characterise the locutionary level , which falls short of any illocutionary force , to avoid contaminating analyses of utterance meanings with matters relative to the illocutionary level, viz. to the speech act performed. Second, the precise definition of illocutionary acts is an extremely difficult matter. However, the first, imperative step must be a clear demarcation between perlocutionary acts , relative to causal effects of the utterances , and the utterance's illocutionary force. Third, to assess theories of illocutionary forces, one must take into account the requirements for psychological and empirical plausibility. For instance, classical Gricean theories of illocutionary force attribution link it with the cognitive capacity to perform complex multi-layered mental state attributions, which is incompatible with the data available on the pragmatic and cognitive functioning of young children. In sum, gaining better understanding of the tripartite distinction between the locutionary, illocutionary and perlocutionary levels is not a taxonomical exercise, but a prerequisite for anyone willing to tackle semantic and/or pragmatic issues with the right tools. Suggested Reading Austin, J.L. (1975) How to do things with words, Second edition, Oxford, Oxford University Press. Lecture VIII. Difficult reading, but essential to understand Austin's intuitions and the origin of the debate. Strawson, P.F. (1964) "Intention and convention in speech acts", Philosophical Review, 73, 439,60. Classical criticism of Austin's claim abut the conventionality of illocutionary acts and first formulation of a Gricean theory of speech acts. Strawson, P.F. (1973) "Austin and ,Locutionary meaning'", in I. Berlin et al. (eds.) Essays on J.L. Austin, Oxford, Clarendon Press, 46,68. This equally classical paper sheds light onto the difficult notions of rhetic and locutionary acts; it paves the way for using these concepts interchangeably. Recanati, F. (1987) Meaning and Force. The pragmatics of performative utterances, Cambridge, Cambridge University Press. Chapter 9. This is a lucid discussion and elaboration of Strawson's conception of the locuitonary act as a potential for the illocutionary level. Wilson, D. and Sperber, D. (1988) "Mood and the analysis of non-declarative sentences", in J. Dancy et al. (eds.) Human Agency, Language, Duty and Value. Philosophical essayes in honour of J.O. Urmson, Stanford, Stanford University Press, 77,101. This paper gives important reasons for not confusing the analysis of mood , of the locutionary level , with the analysis of speech acts. Kissine, M. (2009) "Illocutionary forces and what is said", Mind and Language, 24, 122,38. Provides a definition of locutionary acts as linguistic representations of mental states, and lays grounds for a theory of speech acts as reasons to believe or to act. Bach, K. (1994) "Conversational impliciture", Mind and Language, 9, 124,62. An important defence of the distinction between illocutionary and locutionary acts. However, the reader should be warned that Bach conceives of locutionary acts as context-independent propositional radicals, which is not a self-evident position. Alston (2000) Illocutionary Acts and Sentence Meaning, Ithaca, Cornell University Press, Chapter 2. Contains a clear and lucid criticism of theories that confuse illocutionary and perlocutionary levels. Dominicy, M. (2008) "Epideictic rhetoric and the representation of human decision and choice", in K. Korta and J. Garmendia (eds.) Meaning, Intentions, and Argumentation, Stanford, CSLI, 179,207. This paper contains a useful test for distinguishing verbs that describe illocutionary acts form those that describe perlocutionary acts. It is also the first proposal to formulate the illocutionary/perlocutionary divide in Davidsonian terms. Focus Questions 1,What kind of philosophy of action is called for by the distinction between locutions, perlocutions and illocutions? 2,Should the locutionary level be always fully propositional? 3,Can illocutionary acts be characterised in terms of prototypical perlocutional effects? 4,Should illocutionary acts be divided in conventional (institutional) and non-conventional (non-insitutional) ones? 5,Are there good reasons for singling out a locutionary level? 6,,Does the attribution of illocutionary forces presuppose a complex mindreading process? Connexion with to Related Material in Lectures or Discussions 1,The distinction between the locutionary and illocutionary levels is crucial for any discussion about the semantics/pragmatics interface. Many scholars hastily characterise semantics as related to sentence-meaning and pragmatics as concerning the speech act performed. However, one should not take for granted that any level where the meaning is context-dependant is necessarily that of the illocutionary act performed. 2,This distinction can also be relevant for the discussions about the meaning of moods. For instance, the imperative mood is often analysed in terms of the directive illocutionary force. However, there are cases where utterances of imperative sentences do not correspond to a directive speech act. 3,The distinction between perlocutionary and illocutionary acts remains central for any attempt to classify or to define illocutionary forces. 4,Different conceptions of illocutionary acts are important for discussions about the ontogeny and phylogeny of the pragmatic dimension(s) of linguistic competence. [source] Son Preference and Access to Social Insurance: Evidence from China's Rural Pension ProgramPOPULATION AND DEVELOPMENT REVIEW, Issue 1 2010Avraham Ebenstein Many scholars argue that the persistence of son preference in China is driven by greater anticipated old-age support from sons than from daughters and the absence of formal financial mechanisms for families to save for retirement. The introduction of a voluntary old-age pension program in rural China in the 1990s presents the opportunity to examine (1) whether parents with sons are less likely to participate in pension plans and (2) whether providing access to pension plans affects parental sex-selection decisions. Consistent with the first hypothesis, we find that parents with sons are less likely to participate in the pension program and have less financial savings for retirement. Consistent with the second hypothesis, we find that an increase in county-level pension program availability is associated with a slower increase in the sex ratio at birth. [source] Real Women or Objects of Discourse?RELIGION COMPASS (ELECTRONIC), Issue 3 2009The Search for Early Christian Women Scholarly interest in gender and sexuality in early Christianity, which has typically been tied to an interest in women and women's roles, experiences, and influences, is a relatively new addition to the study of early church history. Women and women's issues entered the academy through the women's movement of the 1970s. Early on this scholarship was driven, in part, by a political or theological agenda that sought to empower women of the twentieth century by reconstructing the lives of their foremothers. Often the early studies of women in the church were optimistic that real, historical women could be found within our sources. Soon, however, scholars became more suspicious of the male-authored texts and turned, instead, to study the social effect of discourses about women. Many scholars, however, are not yet ready to give up investigations of ancient women's lives. Thus the field of early Christian studies is developing a variety of methodologies that offer sophisticated readings of ancient male-authored texts while still acknowledging the inherent difficulties involved in reconstructing women's lives in early Christian history. [source] Is Democracy Good for the Poor?AMERICAN JOURNAL OF POLITICAL SCIENCE, Issue 4 2006Michael Ross Many scholars claim that democracy improves the welfare of the poor. This article uses data on infant and child mortality to challenge this claim. Cross-national studies tend to exclude from their samples nondemocratic states that have performed well; this leads to the mistaken inference that nondemocracies have worse records than democracies. Once these and other flaws are corrected, democracy has little or no effect on infant and child mortality rates. Democracies spend more money on education and health than nondemocracies, but these benefits seem to accrue to middle- and upper-income groups. [source] DOES CRIME JUST MOVE AROUND THE CORNER?CRIMINOLOGY, Issue 3 2006A CONTROLLED STUDY OF SPATIAL DISPLACEMENT AND DIFFUSION OF CRIME CONTROL BENEFITS Recent studies point to the potential theoretical and practical benefits of focusing police resources on crime hot spots. However, many scholars have noted that such approaches risk displacing crime or disorder to other places where programs are not in place. Although much attention has been paid to the idea of displacement, methodological problems associated with measuring it have often been overlooked. We try to fill these gaps in measurement and understanding of displacement and the related phenomenon of diffusion of crime control benefits. Our main focus is on immediate spatial displacement or diffusion of crime to areas near the targeted sites of an intervention. Do focused crime prevention efforts at places simply result in a movement of offenders to areas nearby targeted sites,"do they simply move crime around the corner"? Or, conversely, will a crime prevention effort focusing on specific places lead to improvement in areas nearby,what has come to be termed a diffusion of crime control benefits? Our data are drawn from a controlled study of displacement and diffusion in Jersey City, New Jersey. Two sites with substantial street-level crime and disorder were targeted and carefully monitored during an experimental period. Two neighboring areas were selected as "catchment areas" from which to assess immediate spatial displacement or diffusion. Intensive police interventions were applied to each target site but not to the catchment areas. More than 6,000 20-minute social observations were conducted in the target and catchment areas. They were supplemented by interviews and ethnographic field observations. Our findings indicate that, at least for crime markets involving drugs and prostitution, crime does not simply move around the corner. Indeed, this study supports the position that the most likely outcome of such focused crime prevention efforts is a diffusion of crime control benefits to nearby areas. [source] Men Making Home: Masculinity and Domesticity in Eighteenth-Century BritainGENDER & HISTORY, Issue 3 2009Karen Harvey Eighteenth-century England is, for many scholars, the time and place where modern domesticity was invented; the point at which ,home' became a key concept sustained by new literary imaginings and new social practices. But as gendered individuals, and certainly compared to women, men are notable for their absence in accounts of the eighteenth-century domestic interior. In this essay, I examine the relationship between constructs of masculinity and meanings of home. During the eighteenth century, ,home' came to mean more than one's dwelling; it became a multi-faceted state of being, encompassing the emotional, physical, moral and spatial. Masculinity intersected with domesticity at all levels and stages in its development. The nature of men's engagements with home were understood through a model of ,oeconomy', which brought together the home and the world, primarily through men's activities. Indeed, this essay proposes that attention to how this multi-faceted eighteenth-century ,home' was made in relation to masculinity shifts our understanding of home as a private and feminine space opposed to an ,outside' and public world. [source] A spy on the payroll?HISTORICAL RESEARCH, Issue 220 2010William Herle, the mid Elizabethan polity A body of recent work focusing on the components of Tudor policy has drawn attention to those ,second-rank' figures crucial for the efficient running of the Elizabethan administration. After close archival excavation, men like Robert Beale, largely marginal to the historiography of the period for so long, have now been identified and credited with a role which was fundamental to the smooth operation of the Tudor political system. In this group of men, participating on the fringes of the polity and whose activities, whether clerical or more recondite, contributed to the formation of domestic and international policy, is found William Herle, an agent, diplomatic envoy and intelligencer for Elizabeth I's ministers. An elusive figure, and passed over by many scholars, Herle's epistolary contribution to the administrative and intelligence bureaux of William Cecil, Lord Burghley, Robert Dudley, earl of Leicester, and Sir Francis Walsingham reveals the information channels and structures behind the decision-making process of this triumvirate of political heavyweights and their conciliar fraternity. [source] War, Economic Development, and Political Development in the Contemporary International SystemINTERNATIONAL STUDIES QUARTERLY, Issue 1 2010Cameron G. Thies The European state-building experience has led many scholars to argue that war forces states to increase their fiscal-administrative capacity, or what we might refer to as political development, in order to compete in the international system. War also requires states to generate wealth to support such competition, which should lead to progressively increased levels of economic development. Yet, in contemporary empirical studies, war is often studied as a dependent variable, with economic and political development modeled as affecting its origination. This reading of theory and empirical work suggests that war, economic development, and political development constitute an endogenous system. In this paper, we develop expectations about how these three processes interact and test them using a three-stage least squares regression model. The results show significant simultaneous relationships between the three processes. We conclude that war, economic development, and political development are mutually constitutive processes in the contemporary international system. [source] Primed for Violence: The Role of Gender Inequality in Predicting Internal ConflictINTERNATIONAL STUDIES QUARTERLY, Issue 2 2005M. Caprioli We know, most notably through Ted Gurr's research, that ethnic discrimination can lead to ethnopolitical rebellion,intrastate conflict. I seek to discover what impact, if any, gender inequality has on intrastate conflict. Although democratic peace scholars and others highlight the role of peaceful domestic behavior in predicting state behavior, many scholars have argued that a domestic environment of inequality and violence,structural and cultural violence,results in a greater likelihood of violence at the state and the international level. This project contributes to this line of inquiry and further tests the grievance theory of intrastate conflict by examining the norms of violence that facilitate a call to arms. And in many ways, I provide an alternative explanation for the significance of some of the typical economic measures,the greed theory,based on the link between discrimination, inequality, and violence. I test whether states characterized by higher levels of gender inequality are more likely to experience intrastate conflict. Ultimately, the basic link between gender inequality and intrastate conflict is confirmed,states characterized by gender inequality are more likely to experience intrastate conflict, 1960,2001. [source] International Relations Theory and the Second Korean WarINTERNATIONAL STUDIES QUARTERLY, Issue 3 2003David C. Kang Ever since the first Korean war in 1950, scholars and policymakers have been predicting a second one, started by an invasion from the North. Whether seen as arising from preventive, preemptive, desperation, or simple aggressive motivations, the predominant perspective in the west sees North Korea as likely to instigate conflict. Yet for fifty years North Korea has not come close to starting a war. Why were so many scholars so consistently wrong about North Korea's intentions? Social scientists can learn as much from events that did not happen as from those that did. The case of North Korea provides a window with which to examine these theories of conflict initiation, and reveals how the assumptions underlying these theories can become mis-specified. Either scholars misunderstood the initial conditions, or they misunderstood the theory, and I show that scholars have made mistakes in both areas. Social science moves forward from clear statement of a theory, its causal logic, and its predictions. However, just as important is the rigorous assessment of a theory, especially if the predictions fail to materialize. North Korea never had the material capabilities to be a serious contender to the U.S.,ROK alliance, and it quickly fell further behind. The real question has not been whether North Korea would preempt as South Korea caught up, but instead why North Korea might fight as it fell further and further behind. The explanation for a half-century of stability and peace on the Korean peninsula is actually quite simple: deterrence works. [source] Invisible Borders: Economic Liberalization and National IdentityINTERNATIONAL STUDIES QUARTERLY, Issue 4 2000Patricia M. Goff Various developments in the post,WWII global economy have led many scholars of international relations to contend that borders are eroding. My argument takes issue with this, suggesting that borders are not becoming increasingly meaningless; instead, some states are working to endow them with meaning in innovative ways. Specifically, I examine the trade disputes over culture industries during recent GATT and NAFTA talks to demonstrate that some states are shifting their attention from territorial borders to conceptual or invisible borders. Many governments support the removal of borders that serve as barriers to the movement of goods, services, capital, information, and, in some cases, people. Nevertheless, these same governments resist the increasing permeability of borders that provide the boundaries of political community. [source] Authoritarianism and Islamic Movements in the Middle East: Research and Theory-building in the Twenty-first CenturyINTERNATIONAL STUDIES REVIEW, Issue 1 2009Oded Haklai In the previous decade, many scholars with expertise in the politics of the Middle East pointed to an intellectual gulf between Middle East studies and mainstream international and comparative political studies. Common perceptions that the Middle East experience was too exceptional to be theory-relevant and that area studies work was excessively a-theoretical were said to be responsible for the alleged chasm. If these concerns are taken at face value, a review of research published on authoritarianism and Islamic movements in the first years of the twenty-first century in top academic presses and scholarly journals indicates that a counter trend has emerged. Middle East area experts are increasingly making use of theoretical frameworks produced by non-Middle East specialists. There is, however, variation in how well disciplinary social science analytical tools are applied and in the significance of various works to theory-building. More emphasis on theory-testing and construction (rather than just theory application) as well as cross-regional and cross-cultural comparisons will increase the comparative value of works produced by Middle East area studies specialists and will add to their visibility in the discipline at large. [source] An explanatory model of medical practice variation: a physician resource demand perspectiveJOURNAL OF EVALUATION IN CLINICAL PRACTICE, Issue 2 2002Michael J. Long MA PhD Abstract Practice style variation, or variation in the manner in which physicians treat patients with a similar disease condition, has been the focus of attention for many years. The research agenda is further intensified by the unrealistic assumption that by reducing variation, quality will be improved, costs will be reduced, or both. There is a wealth of literature that identifies differences in health care use of many kinds, in apparently similar communities. Attempts have been made by many scholars to identify the determinants of variation in terms of differences in the population characteristics (e.g. age, sex, insurance, etc.) and geographical characteristics (e.g. distance to provider, number of physicians, number of hospital beds, etc.). When significant differences in use rates prevail after controlling for differences in population characteristics, it is often attributed to ,uncertainty', or the fact that there is no consensus on what constitutes the optimum treatment process. It is suggested by this literature that the greatest variation can be found in the circumstances where there is the most ,uncertainty'. In this work, a physician resource demand model is proposed in which it is suggested that, during the diagnosis and treatment process, physicians demand resources consistent with the clinical needs of the patients, modified by the intervening forces under which they practice. These intervening forces, or constraints, are categorized as patient agency constraints, organizational constraints and environmental constraints, which are characterized as ,induced variation'. It is suggested that when all of the variables that constitute these constraints are identified, the remaining variance represents ,innate variance', or practice style differences. It is further suggested that the more completely this model is specified, the more likely area differences will be attenuated and the smaller will be the residual variance. [source] Writing Revolution: British Literature and the French Revolution Crisis, a Review of Recent Scholarship1LITERATURE COMPASS (ELECTRONIC), Issue 6 2006M. O. Grenby The French Revolution had a profound effect on almost all aspects of British culture. French events and ideas were avidly discussed and disputed in Britain. Long-standing British political and cultural debates were given new life; new socio-political ideologies rapidly emerged. The sense of political, religious and cultural crisis that developed in the 1790s was only slowly to dissipate. Generations afterwards, many British thinkers and writers were still considering and renegotiating their responses. The effect of the Revolution Crisis on British literature was particularly marked, something that was widely recognised at the time and has been the focus of much scholarship since. It has become something of a cliché that British literary Romanticism was born out of the Revolution. The last few decades have produced new waves of powerful criticism which has re-examined the relationship between the Revolution Crisis and the works it shaped. Different strands of radical writing have now received detailed investigation, as have equally complex conservative responses. Writing by and for women is now receiving as much attention as writing by men, and previously neglected forms, such as the popular novel, pamphlets and children's literature, are now the subject of an increasing number of studies. The writing of the 1790s and early 1800s has in fact provided many scholars with their test-case for exploring the very nature of the relationship between text and context. It is this profusion of recent, sophisticated and rapidly evolving scholarship which this article surveys. [source] Reductionism and Antireductionism: Rights and WrongsMETAPHILOSOPHY, Issue 5 2004Todd Jones Abstract: Scholars are divided as to whether reduction should be a central strategy for understanding the world. While reductive analysis is the standard mode of explanation in many areas of science and everyday life, many scholars consider reductionism a sign of "intellectual naïveté and backwardness." This article makes three points about the proper status of antireductionism: First, reduction is, in fact, a centrally important epistemic strategy. Second, reduction to physics is always possible for all causal properties. Third, there are, nevertheless, reasons why we want science to discover properties and explanations other than reductive physical ones. [source] Cultural Identification and Second Language Pronunciation of Americans in NorwayMODERN LANGUAGE JOURNAL, Issue 2 2002Karen Lybeck Schumann's Acculturation Theory as presented in The Pidginization Process: A Model for Second Language Acquisition (1978) predicts that the degree of a learner's success in second language (L2) acquisition depends upon the learner's degree of acculturation. Attempts to test this theory have not been particularly fruitful due to the lack of an adequate measure of acculturation and the particular linguistic markers selected to measure success in L2 acquisition. This study proposes to measure sojourners' acculturation in terms of their social exchange networks (Milroy & Wei, 1995). It measures L2 success in terms of pronunciation, which in the view of many scholars (Guiora, Beit,Hallahmi, Brannon, Dull, & Scovel, 1972; Labov, 1972; Scovel, 1988) is the strongest linguistic marker of a speaker's cultural identification. Using this framework, the current study provides strong evidence in support of Schumann's Acculturation Theory. The acculturation experiences and L2 pronunciation of 9 American women residing in Norway are described and the relationship examined. It is concluded that learners who developed positive network connections with native speakers of Norwegian evidenced more native,like pronunciation than those who had greater difficulty establishing such relationships. [source] Linking collegiate service-learning to future volunteerism: Implications for nonprofit organizationsNONPROFIT MANAGEMENT & LEADERSHIP, Issue 1 2008Chuck Tomkovick One of the biggest challenges facing nonprofits is attracting and retaining volunteers to help deliver their programs. One way that colleges and universities are attempting to educate students on the importance of community issues and to graduate "good citizens" is through service-learning (S-L) programs. Although many scholars argue that collegiate S-L programs will increase the extent to which students volunteer following graduation (for example, Astin, Sax, and Avalos, 1999; Misa, Anderson, and Yamamura, 2005), more empirical research has been called for to examine this relationship. This article proposes three predictors of future volunteerism for alumni of a collegiate S-L experience: the amount of personal development experienced during the S-L project, the perceived value of the S-L project to the community organization, and the level of volunteerism prior to participation in an S-L project. Results showed significant effects of all the proposed predictors on postgraduation volunteering. Our findings have implications for nonprofit managers charged with maintaining a sufficient level of volunteers to provide their community services as well as individuals who are responsible for organizing S-L programs. These managerial implications and directions for future S-L research are discussed. [source] Three versions of an ethics of careNURSING PHILOSOPHY, Issue 4 2009Steven D. Edwards PhD M.Phil BA(hons) Abstract The ethics of care still appeals to many in spite of penetrating criticisms of it which have been presented over the past 15 years or so. This paper tries to offer an explanation for this, and then to critically engage with three versions of an ethics of care. The explanation consists firstly in the close affinities between nursing and care. The three versions identified below are by Gilligan (1982), a second by Tronto (1993), and a third by Gastmans (2006), see also Little (1998). Each version is described and then subjected to criticism. It is concluded that where the ethics of care is presented in a distinctive way, it is at its least plausible; where it is stated in more plausible forms, it is not sufficiently distinct from nor superior to at least one other common approach to nursing ethics, namely the much-maligned ,four principles' approach. What is added by this paper to what is already known: as the article tries to explain, in spite of its being subjected to sustained criticism the ethics of care retains its appeal to many scholars. The paper tries to explain why, partly by distinguishing three different versions of an ethics of care. It is also shown that all three versions are beset with problems the least serious of which is distinctiveness from other approaches to moral problems in health care. [source] Visions to Guide Performance: A Typology of Multiple Future Organizational ImagesPERFORMANCE IMPROVEMENT QUARTERLY, Issue 4 2003Sheila L. Margolis ABSTRACT Organizational performance is highly influenced by how employees envision the future. To date, many scholars have emphasized the importance of an overarching future vision that unites all stakeholders, while acknowledging the presence of divergent perspectives among members. This variety in perspectives may be further complicated in organizations undergoing great stress and where the leadership has not defined and promoted a future vision to guide the content of the images of its members. Little study has explored the various types of future organizational images that exist or the nature of those images. We explore these concerns via a case study of an airline in the midst of a dramatic fight for survival. The findings both confirm the existence of multiple views for the company's future and delineate their general characteristics through a typology of imagery. We conclude with a language to use to differentiate those images for future research and offer practical implications for managing multiple future organizational images to mobilize energy and enhance performance in a more unified direction. [source] ,Rational' Theories of Voter Turnout: A ReviewPOLITICAL STUDIES REVIEW, Issue 1 2006Benny Geys The paradox between an individual's decisions to head to the polls and the absence of strictly rational arguments for this action has intrigued , and troubled , many scholars. The present article surveys various theoretical contributions to resolve this paradox of (not) voting. We assess these approaches based on their ability to explain a number of ,stylised facts' with respect to voter turnout. The main conclusion is that straying away from the behavioural assumptions of the Downsian model provides more realistic models and leads to promising predictions as to the individual's decision to head to the polls. Incorporating the role of (social) groups and learning in particular can be regarded as important strides towards understanding the individual's decision to cast a vote. [source] After Enactment: The Lives and Deaths of Federal ProgramsAMERICAN JOURNAL OF POLITICAL SCIENCE, Issue 1 2010Christopher R. Berry While many scholars have focused on the production of legislation, we explore life after enactment. Contrary to the prevailing view that federal programs are indissoluble, we show that programmatic restructurings and terminations are commonplace. In addition, we observe significant changes in programmatic appropriations. We suggest that a sitting congress is most likely to transform, kill, or cut programs inherited from an enacting congress when its partisan composition differs substantially. To test this claim, we examine the postenactment histories of every federal domestic program established between 1971 and 2003, using a new dataset that distinguishes program death from restructuring. Consistent with our predictions, we find that changes in the partisan composition of congresses have a strong influence on program durability and size. We thus dispel the notion that federal programs are everlasting while providing a plausible coalition-based account for their evolution. [source] The role of existentialism in ethical business decision-makingBUSINESS ETHICS: A EUROPEAN REVIEW, Issue 3 2000James Agarwal This paper presents an integrated model of ethical decision-making in business that incorporates teleological, deontological and existential theory. Existentialism has been curiously overlooked by many scholars in the field despite the fact that it is so fundamentally a theory of choice. We argue that it is possible to seek good organisational ends (teleology), through the use of right means (deontology), and enable the decision-maker to do so authentically (existentialism). More specifically, we provide a framework that will enable the decision-maker to integrate the various ethical schools of thought available to them and to apply this framework in the ethical decision-making process. The model presented makes explicit the existential position of choice and takes into account other contextual moderating factors. Negative Option Marketing is used as a running application to illustrate the role of existentialism in the decision-making process. [source] The Neighborhood in Cultural Production: Material and Symbolic Resources in the New BohemiaCITY & COMMUNITY, Issue 4 2004Richard Lloyd Drawing on an extended case study of the Chicago neighborhood Wicker Park, this article examines the role that neighborhood space plays in organizing the activities of young artists, showing how an urban district can serve as a factor in aesthetic production. The tendency of artists and fellow travelers to cluster in distinctive (usually older) urban neighborhoods is well known. While in recent decades many scholars have recognized that these creative congregations contribute to residential gentrification and other local patterns of increased capital investment, the benefits that such neighborhoods offer for aspirants in creative pursuits are generally assumed, not explained. I use the Wicker Park case to show how the contemporary artists' neighborhood provides both material and symbolic resources that facilitate creative activity, particularly in the early stages of a cultural producer's career. I further connect these observations to the production of culture as a commodity, showing how select neighborhoods fill quasi-institutional roles in the flexible webs that characterize contemporary culture industries. [source] |