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Кючуков Хрісто et Віллєрз Джіл. « Language Complexity, Narratives and Theory of Mind of Romani Speaking Children ». East European Journal of Psycholinguistics 5, no 2 (28 décembre 2018) : 16–31. http://dx.doi.org/10.29038/eejpl.2018.5.2.kyu.

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The paper presents research findings with 56 Roma children from Macedonia and Serbia between the ages of 3-6 years. The children’s knowledge of Romani as their mother tongue was assessed with a specially designed test. The test measures the children’s comprehension and production of different types of grammatical knowledge such as wh–questions, wh-complements, passive verbs, possessives, tense, aspect, the ability of the children to learn new nouns and new adjectives, and repetition of sentences. In addition, two pictured narratives about Theory of Mind were given to the children. The hypothesis of the authors was that knowledge of the complex grammatical categories by children will help them to understand better the Theory of Mind stories. The results show that Roma children by the age of 5 know most of the grammatical categories in their mother tongue and most of them understand Theory of Mind. References Bakalar, P. (2004). The IQ of Gypsies in Central Europe. The Mankind Quarterly, XLIV, (3&4), 291-300. Bedore L.M., Peña E.D., García, M. & Cortez, C. (2012). Conceptual versus monolingual scoring: when does it make a difference? J Speech Lang Hear Res 55(1), 1-15. Berko, J. (1958). The Child's Learning of English Morphology. Word 14, 150-177. Berman, R. & Slobin, D. (2009). Relating Events in Narrative: A Cross-Linguistic developmental Study, vol. 1. New York and London: Psychology Press. Bialystok, E. (2001). Bilingualism in development: Language literacy and cognition. Cambridge University Press: Cambridge. Bialystok, E. & Craik, F. (2010). Cognitive and Linguistic processing in the bilingual mind. Current Directions in Psychological Science, 19, (1), 19-23. Bialystok, E., Craik, F., and Freedman, M. (2007). Bilingualism as a protection against the onset of symptoms of dementia. Neuropsychologia, 45, 459-464. Brucker, J. L. (n.d). A study of Barriers to Educational Attainment in the Former Yugoslav Republic of Macedonia. www.unicef.org/ceecis/Roma_children.pdf Bruner, J. (1986). Actual mind, possible worlds. Cambridge: Harvard University Press. Carlson, S. & Meltzoff, A. (2008). Bilingual Experience and Executive Functioning. Bilingualism: Language and Cognition, 6 (1), 1-15. Chen, C. & Stevenson. H. (1988). Cross-Linguistic Differences in Digit Span of Preschool Children. Journal of Experimental Child Psychology 46, 150-158 Conti-Ramsden, S., Botting, N. & Faragher, B. (2001). Psycholinguistic Marker for specific Language Impairment (SLI). Journal of Language Psychology and Psychiatry, 42 (6), 741-748. Curenton, S. M. (2004). The association between narratives and theory of mind for low-income preschoolers. Early Education and Development, 15 (2), 120–143. Deen, Kamil Ud (2011). The Acquisition of the Passive. In de Villiers, J. & T. Roeper. (eds) Handbook of Generative Approaches to Language Acquisition (pp. 155-188). Amsterdam: John Benjamins Publisher. de Villiers, J., Pace, A., Yust, P., Takahesu Tabori, A., Hirsh-Pasek, K., Golinkoff, R. M., Iglesias, A., & Wilson, M.S. (2014). Predictive value of language processes and products for identifying language delays. Poster accepted to the Symposium on Research in Child Language Disorders, Madison, WI. de Villiers, J. G. (2015). Taking Account of Both Languages in the Assessment of Dual Language Learners. In Iglesias, A. (Ed) Special issue, Seminars in Speech, 36 (2) 120-132. de Villiers, J. G. (2005). Can language acquisition give children a point of view? In J. Astington & J. Baird (Eds.), Why Language Matters for Theory of Mind. (pp186-219) New York: Oxford Press. de Villiers J. G. & Pyers, J. (2002). Complements to Cognition: A Longitudinal Study of the Relationship between Complex Syntax and False-Belief Understanding. Cognitive Development, 17: 1037-1060. de Villiers, J. G., Roeper, T., Bland-Stewart, L. & Pearson, B. (2008). Answering hard questions: wh-movement across dialects and disorder. Applied Psycholinguistics, 29: 67-103. Friedman, E., Gallová Kriglerová, E., Kubánová, M. & Slosiarik, M. (2009). School as Ghetto: Systemic Overrepresentation of Roma in Special Education in Slovakia. Roma Education Fund. ERRC (European Roma Rights Center) (1999). A special remedy: Roma and Special schools for the Mentally Handicapped in the Czech Republic. Country Reports Series no. 8 (June) ERRC (European Roma Rights Centre) (2014). Overcoming barriers: Ensuring that the Roma children are fully engaged and achieving in education. The office for standards in education. online at http://www.errc.org ERRC (European Roma Rights Centre) (2015). Czech Republic: Eight years after the D.H. judgment a comprehensive desegregation of schools must take place http://www.errc.org Fremlova, L. & Ureche, H. (2011). From Segregation to Inclusion: Roma pupils in the United Kingdom. A Pilot research Project. Budapest: Roma Education Fund. Gleitman, L., Cassidy, K., Nappa, R., Papafragou, A. & Trueswell, J. (2005). Hard words. Language Learning and Development, 1, 23-64. Goetz, P. (2003). The effects of bilingualism on theory of mind development. Bilingualism: Language and Cognition. 6. 1-15. Hart, B. & Risley, T.R (1995). Meaningful Differences in the Everyday Experiences of Young American Children. Baltimore, MD: Brookes Publishing Heath, S. B. (1982). What no Bedtime Story Means: Narrative skills at home and at school. In Language and Society. 11.2:49-76. Hirsh-Pasek, K., Kochanoff, A., Newcombe, N. & de Villiers, J.G. (2005). Using scientific knowledge to inform preschool assessment: making the case for empirical validity. Social Policy report (SRCD) Volume XIX, 1, 3-19. Hirsh-Pasek K., Adamson, I.B., Bakeman, R., Tresch Owen, M., Golinkoff, R.M., Pace, A., Yust, P & Suma, K. (2015). The Contribution of Early Communication Quality to Low- Income Children’s Language Success. Psychological Science Online First, June 5, 2015 doi:10.1177/0956797615581493 Hoff, E. (2013). Interpreting the early language trajectories of children from low-SES and language minority homes: implications for closing achievement gaps. Developmental Psychology, 49(1):4-14. Hoff, E. & Elledge, C. (2006). Bilingualism as One of Many Environmental Variables that Affect Language Development in Young Children. In J. Cohen, K. McAlister & J. MacSwan (Eds.), Proceedings of the 4th International symposium on Bilingualism (pp. 1034-1040). Somerville, Ma: Cascadilla press. Hoge, W. (1998). A Swedish Dilemma: The Immigrant Ghetto. The New York Times, October 6th. Kovacs, A. (2009). Early Bilingualism Enhances Mechanisms of False-Belief Reasoning. Developmental Science, 12 (1), 48-54. Kyuchukov, H. (2005). Early socialization of Roma children in Bulgaria. In: X. P. Rodriguez-Yanez, A. M. Lorenzo Suarez & F. Ramallo (Eds.), Bilingualism and Education: From the Family to the School. Muenchen: Lincom Europa. (pp. 161-168) Kyuchukov, H. (2010) Romani language competence. In: J. Balvin and L. Kwadrants (Eds.), Situation of Roma Minority in Czech, Hungary, Poland and Slovakia (pp. 427-465). Wroclaw: Prom. Kyuchukov, H. (2014). Acquisition of Romani in a Bilingual Context. Psychology of Language and Communication, vol. 18 (3), 211-225. Kyuchukov, H. (2013). Romani language education and identity among the Roma children in European context. In: J. Balvin, L. Kwadrans and H. Kyuchukov (eds) Roma in Visegrad Countries: History, Culture, Social Integration, Social work and Education (pp. 465-471). Wroclaw: Prom. Kyuchukov, H. (2015). Socialization of Roma children through Roma oral culture. In: Socializaciya rastushego cheloveka v kontekste progressyivnyih nauchnich ideii XXI veka: socialnoe razvitie detey doshkolnogo vozrastta. [Socialization of the growing man in the context of progressive ideas of the XXI c.: social development of the preschool age children] Proceedings form the First international All-Russia conference, 1-3 April, Yakutsk, pp. 798-802. Kyuchukov, H. & de Villiers, J. (2009). Theory of Mind and Evidentiality in Romani-Bulgarian Bilingual children. Psychology of Language and Communication, 13(2), 21-34. Kyuchukov, H. & de Villiers, J. (2014a). Roma children’s knowledge on Romani. Journal of Psycholinguistics, 19, 58-65. Kyuchukov, H. & de Villiers, J. (2014b). Addressing the rights of Roma children for a language assessment in their native language of Romani. Poster presented at the 35th Annual Symposium on Research in Child Language Disorders in Madison, Wisconsin June 12-14. Lajčakova, J. (2013). Civil Society Monitoring Report on the Implementation of the National Roma Integration Strategy and Roma Decade Action Plan in 2012 in Slovakia. Budapest: Decade of Roma Inclusion. Secretariat Foundation. Landry, S. and the School Readiness Research Consortium (2014). Enhancing Early Child Care Quality and Learning for Toddlers at Risk: The Responsive Early Childhood Program. Developmental Psychology, 50 (2), 526-541. Lust, B., Flynn, S. & Foley, C. (1996). What Children Know about What They Say: Elicited Imitation as a Research Method for Assessing Children's Syntax. In D. McDaniel, C. McKee, & H. Smith Cairns (Eds.), Methods for Assessing Children's Syntax (pp. 55-76). Cambridge, Mass.: MIT Press. Maratsos, M., Fox, D.E.C., Becker, J.A. & Chalkley, M.A. (1985). Semantic restrictions on children’s passives. Cognition, 19, 167-191. Merz, E.C. Zucker, T.A., Landry, S.H. Williams, J., Assel, M., Taylor, H.B, Lonigan, C.L., Phillips, B., Clancy-Menchetti, J., Barnes, M., Eisenberg, N., de Villiers, J. (2015). Parenting predictors of cognitive skills and emotion knowledge in socioeconomically disadvantaged preschoolers. Journal of Experimental Child Psychology 132, 14-31 Pearson, B. Z., Jackson, J. E., & Wu, H. (2014). Seeking a valid gold standard for an innovative dialect-neutral language test. Journal of Speech-Language and Hearing Research. 57(2). 495-508. Reger, Z. (1999). Teasing in the linguistic socialization of Gypsy children in Hungary. Acta Linguistica Hungarica, 46, 289-315. Réger, Z. and Berko-Gleason, J. (1991). Romāni Child-Directed Speech and Children's Language among Gypsies in Hungary Language in Society, 20 (4), 601-617. Roeper, T & de Villiers, J.G. (2011). The acquisition path for wh-questions. In de Villiers, J.G. & Roeper, T. (Eds), Handbook of Generative Approaches to Language Acquisition. Springer. Seymour, H., Roeper, T. & de Villiers, J. (2005). The DELV-NR. (Norm-referenced version) The Diagnostic Evaluation of Language Variation. The Psychological Corporation, San Antonio. Schulz, P. & Roeper, T. (2011). Acquisition of exhaustively in wh-questions: a semantic dimensions of SLI. Lingua, 121(3), 383-407. Stokes, S. F., Wong, A. M-Y., Fletcher, P., & Leonard, L. B. (2006). Nonword repetition and sentence repetition as clinical markers of SLI: The case of Cantonese. Journal of Speech, Language and Hearing Research, 49(2), 219-236. Vassilev, R. (2004). The Roma of Bulgaria: A Pariah Minority. The Global Review of Ethnopolitics, 3 (2), 40-51. Wellman, H.M., Cross, D., & Watson, J. (2001). Meta-analysis of theory-of-mind development: The truth about false belief. Child Development, 72, 655-684. Wimmer, H., & Perner, J. (1983). Beliefs about beliefs: Representation and constraining function of wrong beliefs in young children’s understanding of deception. Cognition, 13, 103–128.
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McLoughlin, John Grant. « Solutions to Calendar ». Mathematics Teacher 91, no 2 (février 1998) : 143–47. http://dx.doi.org/10.5951/mt.91.2.0143.

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Problems 1 7 and 25, 26, and 28 are adapted from Recreational Math Problems for High School Students Book I and Book II (revised 1984). The problems were used in Wellington County (Ontario) mathematics contests and prepared for the Grand Valley Mathematics Association under the guidance of Gary Flewelling. Problems 8 13 are adapted from Puzzles for Pleasure by Barry R. Clarke (Cambridge: Cambridge University Press, 1994). Problem 14 was contributed by Agnes Tuska and Larry Cusick, both of California State University-Fresno, 5245 North Backer Ave., Fresno, CA 93740. Problems 15 24 were submitted by Elias Jonas, Truman Middle College, 1145 West Wilson, Chicago, IL 60640. Problem 27 is taken from 101 Puzzle Problems by Nathaniel B. Bates and Sanderson M. Smith (Concord, Mass.: Bates Publishing Co., 1980).
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Mahmood, Zafar. « Linsu Kim. Imitation to Innovation. Cambridge, Mass. : Harvard Business School Press, 1997. vii+303 pages. Hardbound. Price not given. » Pakistan Development Review 36, no 1 (1 mars 1997) : 102–4. http://dx.doi.org/10.30541/v36i1pp.102-104.

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The Korean development experience presents a successful transition from ‘learning-by-doing’ to ‘learning-by-research’. In his book, Professor Kim explores the dynamics of the Korean companies’ technological learning acquisition for technological capability. His main conclusion is that in spite of the favourable impact of public policy and cultural environment, private industry made Korea’s ambitious development goals a reality.
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Brandenberger, David. « ‘Stalinist Russocentrism’ : An Interview with David Brandenberger about the Second Russian Edition of his Monograph National Bolshevism : Stalinist Mass Culture and the Formation of Modern Russian National Identity, 1931-1956 (Cambridge, Mass. : Harvard University Press, 2002. viii, 378 p.) ». RUDN Journal of Russian History 19, no 1 (15 décembre 2020) : 214–39. http://dx.doi.org/10.22363/2312-8674-2020-19-1-214-239.

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David Brandenberger holds a doctorate in history (PhD.) and is professor of Russian and Soviet history in the Department of History at the University of Richmond (USA). He is also an associate researcher at the National Research University “Higher School of Economics” in Moscow. He is the author of books on the formation of Russian national identity during the Stalin era and on the infl uence that party propaganda and mass culture had on that process. In this interview, David Brandenberger discusses the arguments and methodologies that contributed to his monograph that was initially published in English and then in two Russian editions: National Bolshevism: Stalinist Mass Culture and the Formation of Modern Russian National Identity, 1931-1956 (Cambridge: Harvard University Press, 2002), Natsional-bol’shevizm: stalinskaya massovaya kul’tura i formirovaniye russkogo natsional’nogo samosoznaniya, 1931-1956 gg. (St Petersburg: Akademicheskiy proekt, 2009) и Stalinskiy russotsentrizm: Sovetskaya massovaya kul’tura i formirovaniye russkogo natsional’nogo samosoznaniya, 1931-1956 gg . (Moscow: ROSSPEN, 2017). Among other things, the author discusses how his thoughts on the topic of this book have evolved since its fi rst publication in light of scholarly debate and the increased availability of primary and secondary sources.
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Meyer zum Felde, Rainer. « Douglas Lute/Nicholas Burns : NATO at Seventy. An Alliance in Crisis. Cambridge, Mass. : Harvard University, Kennedy School, Belfer Center for Science and International Affairs, Februar 2019 ». SIRIUS – Zeitschrift für Strategische Analysen 3, no 2 (27 mai 2019) : 207–9. http://dx.doi.org/10.1515/sirius-2019-2021.

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Guagliano, Justin M., Helen Elizabeth Brown, Emma Coombes, Elizabeth S. Haines, Claire Hughes, Andrew P. Jones, Katie L. Morton et Esther van Sluijs. « Whole family-based physical activity promotion intervention : the Families Reporting Every Step to Health pilot randomised controlled trial protocol ». BMJ Open 9, no 10 (octobre 2019) : e030902. http://dx.doi.org/10.1136/bmjopen-2019-030902.

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IntroductionFamily-based physical activity (PA) interventions present a promising avenue to promote children’s activity; however, high-quality experimental research is lacking. This paper describes the protocol for the FRESH (Families Reporting Every Step to Health) pilot trial, a child-led family-based PA intervention delivered online.Methods and analysisFRESH is a three-armed, parallel-group, randomised controlled pilot trial using a 1:1:1 allocation ratio with follow-up assessments at 8 and 52 weeks postbaseline. Families will be eligible if a minimum of one child in school Years 3–6 (aged 7–11 years) and at least one adult responsible for that child are willing to participate. Family members can take part in the intervention irrespective of their participation in the accompanying evaluation and vice versa.Following baseline assessment, families will be randomly allocated to one of three arms: (1) FRESH; (2) pedometer-only or (3) no-intervention control. All family members in the pedometer-only and FRESH arms receive pedometers and generic PA promotion information. FRESH families additionally receive access to the intervention website; allowing participants to select step challenges to ‘travel’ to target cities around the world, log steps and track progress as they virtually globetrot. Control families will receive no treatment. All family members will be eligible to participate in the evaluation with two follow-ups (8 and 52 weeks). Physical (eg, fitness and blood pressure), psychosocial (eg, social support) and behavioural (eg, objectively measured family PA) measures will be collected at each time point. At 8-week follow-up, a mixed methods process evaluation will be conducted (questionnaires and family focus groups) assessing acceptability of the intervention and evaluation. FRESH families’ website engagement will also be explored.Ethics and disseminationThis study received ethical approval from the Ethics Committee for the School of the Humanities and Social Sciences at the University of Cambridge. Findings will be disseminated via peer-reviewed publications, conferences and to participating families.Trial registration numberISRCTN12789422
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Lavengood, Lawrence G. « Book ReviewThomas Donaldson, , and Thomas W. Dunfee, Ties That Bind : A Social Contracts Approach to Business Ethics. Cambridge, Mass. : Harvard Business School Press, 1999. Pp. 306. $29.95 (cloth). » Ethics 111, no 3 (avril 2001) : 627–30. http://dx.doi.org/10.1086/233534.

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Langenkamp, Amy. « Diverse Families, Desirable Schools : Public Montessori in the Era of School Choice. By Mira Debs. Cambridge, Mass. : Harvard Education Press, 2019. Pp. xi+230. $64.00 (cloth) ; $33.00 (paper). » American Journal of Sociology 125, no 6 (1 mai 2020) : 1682–84. http://dx.doi.org/10.1086/708875.

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Pallas, Aaron M. « In Search of Deeper Learning : The Quest to Remake the American High School. By Jal Mehta and Sarah Fine. Cambridge, Mass. : Harvard University Press, 2019. Pp. 452. $29.95 ». American Journal of Sociology 126, no 2 (1 septembre 2020) : 487–89. http://dx.doi.org/10.1086/710114.

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Melchert, Christopher. « The History of an Islamic School of Law : The Early Spread of Hanafism. By Nurit Tsafrir. Harvard Series on Islamic Law 3. Cambridge, Mass. : Islamic Legal Studies Program, Harvard Law School, 2004. Pp. xv + 199. $36.50. » Journal of Near Eastern Studies 67, no 3 (juillet 2008) : 228–30. http://dx.doi.org/10.1086/591767.

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Fukuda-Parr, Sakiko. « Development as a Human Right : Legal, Political, and Economic Dimensions, Bård A. Andreassen and Stephen P. Marks, eds. (Cambridge, Mass. : Harvard School of Public Health, 2007), 350 pp., $24.95 paper. » Ethics & ; International Affairs 22, no 1 (2008) : 124–26. http://dx.doi.org/10.1111/j.1747-7093.2008.00135.x.

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Jortberg, M. « The Experience Economy : Work is Theatre and Every Business a Stage Joseph B. Pine II and James H. Gilmore Cambridge, MA : Harvard Business School Press, 1999, 252 pages ($24.95)Markets of One : Creating Customer-unique Value through Mass Customization James H. Gilmore and Joseph B. Pine II (eds.) Cambridge, MA : Harvard Business School Press, 198 pages ($29.95) ». Journal of Product Innovation Management 18, no 2 (mars 2001) : 129–30. http://dx.doi.org/10.1016/s0737-6782(01)00088-1.

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Brown, Helen Elizabeth, Fiona Whittle, Stephanie T. Jong, Caroline Croxson, Stephen J. Sharp, Paul Wilkinson, Edward CF Wilson, Esther MF van Sluijs, Anna Vignoles et Kirsten Corder. « A cluster randomised controlled trial to evaluate the effectiveness and cost-effectiveness of the GoActive intervention to increase physical activity among adolescents aged 13–14 years ». BMJ Open 7, no 9 (septembre 2017) : e014419. http://dx.doi.org/10.1136/bmjopen-2016-014419.

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IntroductionAdolescent physical activity promotion is rarely effective, despite adolescence being critical for preventing physical activity decline. Low adolescent physical activity is likely to last into adulthood, increasing health risks. The Get Others Active (GoActive) intervention is evidence-based and was developed iteratively with adolescents and teachers. This intervention aims to increase physical activity through increased peer support, self-efficacy, group cohesion, self-esteem and friendship quality, and is implemented using a tiered-leadership system. We previously established feasibility in one school and conducted a pilot randomised controlled trial (RCT) in three schools.Methods and analysisWe will conduct a school-based cluster RCT (CRCT) in 16 secondary schools targeting all year 9 students (n=2400). In eight schools, GoActive will run for two terms: weekly facilitation support from a council-funded intervention facilitator will be offered in term 1, with more distant support in term 2. Tutor groups choose two weekly activities, encouraged by older adolescent mentors and weekly peer leaders. Students gain points for trying new activities; points are entered into a between-class competition. Outcomes will be assessed at baseline, interim (week 6), postintervention (week 14–16) and 10-month follow-up (main outcome). The primary outcome will be change from baseline in daily accelerometer-assessed moderate-to-vigorous physical activity. Secondary outcomes include accelerometer-assessed activity intensities on weekdays/weekends; self-reported physical activity and psychosocial outcomes; cost-effectiveness and cost-utility analyses; mixed-methods process evaluation integrating information from focus groups and participation logs/questionnaires.Ethics and disseminationEthical approval for the conduct of the study was gained from the University of Cambridge Psychology Research Ethics Committee. Given the lack of rigorously evaluated interventions, and the inclusion of objective measurement of physical activity, long-term follow-up and testing of causal pathways, the results of a CRCT of the effectiveness and cost-effectiveness of GoActive are expected to add substantially to the limited evidence on adolescent physical activity promotion. Workshops will be held with key stakeholders including students, parents, teachers, school governors and government representatives to discuss plans for wider dissemination of the intervention.Trial registration numberISRCTN31583496.
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Millward, D. Joe. « John Conrad Waterlow. 13 June 1916—19 October 2010 ». Biographical Memoirs of Fellows of the Royal Society 65 (22 août 2018) : 429–48. http://dx.doi.org/10.1098/rsbm.2018.0010.

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John Waterlow was an inspiring clinical and laboratory-based nutritional scientist, who was recognized as paterfamilias of a large, international and influential group of distinguished acolytes. His early work was characterized by study of the nature and clinical management of infantile malnutrition, notably as director of the MRC's Tropical Metabolism Research Unit, which he established in Jamaica in 1954. His London period, from 1970 until and beyond his official retirement in 1982, involved him as Head of the Nutrition Department at the London School of Hygiene & Tropical Medicine. Here he established a Clinical Nutrition and Metabolism Unit to continue his experimental animal and human studies researching protein metabolism; he also assumed the role of the the UK's most influential public health nutritionist, becoming President of the Nutrition Society. Like all great scientists, his work encompassed a very wide range of scientific disciplines, although he modestly described himself as a physiologist, consistent with his primary Cambridge training. Above all, throughout his career, he was happiest as an experimentalist at the bench, from his first assignment studying heat stroke of British troops in the Iraq desert during the Second World War to his measurement of [ 15 N] enrichment in urea as part of his study of whole-body protein turnover just prior to his retirement, working with an isotope ratio mass spectrometer which, like much of the equipment he used, he had largely assembled himself.
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Mclnerney, Tom. « Review of Defining Moments : When Managers Must Choose Between Right And Right - Defining Moments : When Managers Must Choose between Right and RightJoseph L. Badaracco Jr. Cambridge, Mass. : Harvard Business School Press, 1997, 147 pages ». Business Ethics Quarterly 9, no 1 (janvier 1999) : 163–67. http://dx.doi.org/10.1017/s1052150x00004322.

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MacDonald, Dennis R. « The Apocryphal Acts of the Apostles : Harvard Divinity School Studies. Edited by François Bovon, Ann Graham Brock, and Christopher R. Matthews. Religions of the World. Cambridge, Mass. : Harvard University Press, 1999. xxx + 394 pp. $24.95 paper. » Church History 69, no 3 (septembre 2000) : 634–35. http://dx.doi.org/10.2307/3169401.

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Abdi, Kamyar. « Excavations at Tepe Yahya, Iran, 1967–1975 : The Iron Age Settlement. By Peter Magee. American School of Prehistoric Research, Bulletin 46. Cambridge, Mass. : Peabody Museum of Archaeology and Ethnology, Harvard University, 2004. Pp. xv + 92 + 108 figs. $50. » Journal of Near Eastern Studies 68, no 3 (juillet 2009) : 221–23. http://dx.doi.org/10.1086/614009.

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Hodson, F. R. « Peter S. Wells : Culture contact and culture change : early iron age Central Europe and the Mediterranean world. Cambridge : University Press, 1980. 172 pp., 37 illustrations. £12.50 - Peter S. Wells : The emergence of an iron age economy : the Mecklenburg grave groups from Hallstatt and Stična. Mecklenburg Collection Pt III. American School of Prehistoric Research Bulletin 33. Cambridge, Mass : Harvard University Press, 1981. 246 pp., 226 figs., 14 tables. DM 110 - Péter S. Wells : The rural economy in the Early Iron Age : excavations at Hascherkeller, 1978–1981. American school of Prehistoric Research Bulletin 36. Cambridge, Mass : Harvard University Press, 1983. 170 pp., 90 figs., 20 tables. £17.00 ». Antiquity 59, no 225 (mars 1985) : 68–69. http://dx.doi.org/10.1017/s0003598x00056702.

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Paul R. Goldin. « A.C. Graham, tr. Chuang-tzŭ : The Inner Chapters. Indianapolis and Cambridge, Mass. : Hackett, 2001. x + 293 pp - Harold D. Roth, ed. A Companion to Angus C. Graham's Chuang tzu : The Inner Chapters. Society for Asian and Comparative Philosophy, Monograph 20. Honolulu : University of Hawai’i Press, 2003. 243 pp. » Early China 28 (2003) : 201–14. http://dx.doi.org/10.1017/s0362502800000699.

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With the publication of these two books, A.C. Graham's classic translation of Chuang-tzu is finally available in the form that he intended. The first edition, published in 1981 by Allen & Unwin, has long been out of print, and, as Roth explains (If.; cf. also 184), it was relieved, against Graham's wishes, of several dozen textual notes that he had compiled. These were issued in 1982, by the School of Oriental and African Studies (University of London), as a sixty-five-page typescript with the title Chuang-tzu: Textual Notes to a Partial Translation. But this pamphlet was not well distributed, and most libraries do not own it. Hackett and Hawai'i are to be hailed, therefore, for bringing both the translation and the textual notes into general circulation, and at very reasonable prices.
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Rosen, Alan. « Return from the vanishing point : a clinician's perspective on art and mental illness, and particularly schizophrenia ». Epidemiologia e Psichiatria Sociale 16, no 2 (juin 2007) : 126–32. http://dx.doi.org/10.1017/s1121189x00004747.

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SUMMARYAims - To examine earlier uses and abuses of artworks by individuals living with severe mental illnesses, and particularly schizophrenia by both the psychiatric and arts communities and prevailing stereotypes associated with such practices. Further, to explore alternative constructions of the artworks and roles of the artist with schizophrenia and other severe mental illnesses, which may be more consistent with amore contemporary recovery orientation, encompassing their potentials for empowerment, social inclusion as citizens and legitimacy of their cultural role in the community. Results - Earlier practices with regardto the artworks of captive patients of psychiatrists, psychotherapists, art therapists, occupational and diversional therapists, often emphasised diagnostic or interpretive purposes, or were used to gauge progress or exemplify particular syndromes. As artists and art historians began to take an interest in such artworks, they emphasised their expressive, communicative and aesthetic aspects, sometimes in relation to primitive art. These efforts to ascribe value to these works, while well-meaning, were sometimes patronising and vulnerable to perversion by totalitarian regimes, which portrayed them as degenerate art, often alongside the works of mainstream modernist artists. This has culminated in revelations that the most prominent European collection of psychiatric art still contains, and appears to have only started to acknowledge since these revelations, unattributed works by hospital patients who were exterminated in the so-called “euthanasia” program in the Nazi era. Conclusions - Terms like Psychiatric Art, Art Therapy, Art Brut and Outsider Art may be vulnerable to abuse and are a poor fit with the aspirations of artists living with severe mental illnesses, who are increasingly exercising their rights to live and work freely, without being captive, or having others controlling their lives, or mediating and interpreting their works. They sometimes do not mind living voluntarily marginal lives as artists, but they prefer to live as citizens, without being involuntarily marginalised by stigma. They also prefer to live with culturally valued roles which are recognised as legitimate in the community, where they are also more likely to heal and recover.Declaration of Interest: This paper was completed during a Visiting Fellowship, Department of Social Medicine, School of Public Health, & Department of Medical Anthropology, Faculty of Arts & Sciences, Harvard University, Cambridge, Mass, USA. A condensed version of this paper is published in “For Matthew & Others: Journeys with Schizophrenia”, Dysart, D, Fenner, F, Loxley, A, eds. Sydney, University of New South Wales Press in conjunction with Campbelltown Arts Centre & Joan Sutherland Performing Arts Centre, Penrith, 2006, to accompany with a large exhibition of the same name, with symposia & performances, atseveral public art galleries in Sydney & Melbourne, Australia. The author is also a printmaker, partly trained at Ruskin School, Oxford, Central St. Martin's School, London, and College of Fine Arts, University of New South Wales, Sydney.
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Costa, Amy, Christina McCrae, Jennifer O'Brien et Ashley Curtis. « 0083 You Don’t Snooze, You Lose (Awareness) : Sleep’s Role on Awareness of Cognition in Mild Cognitive Impairment ». SLEEP 47, Supplement_1 (20 avril 2024) : A36—A37. http://dx.doi.org/10.1093/sleep/zsae067.0083.

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Abstract Introduction In adults with Mild Cognitive Impairment (prodromal phase of Alzheimer’s disease; MCI), the level of awareness of cognitive functioning varies significantly. A lack of awareness of cognitive functioning may interfere with monitoring of disease progression and opportunities for intervention. Therefore, understanding mechanisms associated with this relationship is critical. Given age-related changes in sleep and known relationships between sleep health and cognition, this pilot tested whether sleep moderates associations between subjective and objective cognition in older adults with MCI. Methods Older adults with MCI (N=46, Mage=68.2 years, SD=6.1 years, 33 women) completed one week of sleep diaries [averages of sleep onset latency (SOL), total sleep time (TST), sleep efficiency (SE)], Cognitive Failures Questionnaire (sub-scores CFQ-memory, CFQ-distractibility, CFQ-blunders), and cognitive tasks [Cambridge Brain Sciences; Polygons (processing speed), Feature Match (attention), Double Trouble (attention/inhibition), Digit Span (working memory)]. Multiple regressions tested if sleep parameters moderated associations between subjective and objective cognition, covarying for depressive symptoms and number of medical conditions. Results SE moderated associations between Polygons and CFQ-blunders (R2-change=.08, p=.03). Specifically, at highest SE, slower processing speed was associated with more blunder complaints (B=-.10, p=.04). Additionally, SE moderated associations between Digit Span and CFQ-distractibility (R2-change=.06, p=.03) and CFQ-blunders (R2-change=.12, p=.004). Specifically, at lowest SE, worse working memory was associated with less distractibility (B=3.01, p=.002) and blunders (B=2.45, p<.001) complaints, while at highest SE worse working memory was associated with more blunder complaints (B=-2.48, p=.04). Conclusion Preliminary findings suggest in older adults with MCI, lower sleep efficiency may exacerbate discrepancies between objective and subjective cognition, while higher sleep efficiency may converge this relationship. Sleep efficiency should be considered to fully understand the level of awareness of cognitive functioning in older adults with MCI. Critically, these findings may help identify those at risk of further cognitive decline. While future prospective studies are warranted, present findings suggest a potential next step is to examine whether behavioral treatments for insomnia (e.g., Cognitive Behavioral Therapy for Insomnia, cognitive training) may also change the relationship between objective/subjective cognition. Support (if any) This research was supported in part by the University of Missouri School of Medicine TRIUMPH award (PI: Curtis).
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Reynolds, T. E. G. « Harvey M. Bricker & ; Nicholas Davide : Excavationof the Abri Pataud, Les Eyzies (Dordogne) : the Perigordian VI (Level 3) assemblage. Cambridge, Mass. : Peabody Museum of Archaeology and Ethnology (distributed Harvard University Press : American School of Research Bulletin 34). 110 pp., 33 figs, 41 tables ». Antiquity 59, no 226 (juin 1985) : 151–52. http://dx.doi.org/10.1017/s0003598x00057100.

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Zeman, Adam. « 18 The eye’s mind : perspectives on visual imagery ». Journal of Neurology, Neurosurgery & ; Psychiatry 91, no 8 (20 juillet 2020) : e8.1-e8. http://dx.doi.org/10.1136/jnnp-2020-bnpa.18.

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Prof. Zeman trained in Medicine at Oxford University Medical School, after a first degree in Philosophy and Psychology, and later in Neurology in Oxford, at The National Hospital for Neurology in Queen Square, London and Addenbrooke’s Hospital, Cambridge. He moved to Edinburgh in 1996, as a Consultant and Senior Lecturer (later Reader) in the Department of Clinical Neurosciences and to the Peninsula Medical School (now University of Exeter Medical School) in September 2005 as Professor of Cognitive and Behavioural Neurology. His specialised clinical work is in cognitive and behavioural neurology, including neurological disorders of sleep.His main research interests are disorders of visual imagery and forms of amnesia occurring in epilepsy. He has an active background interest in the science and philosophy of consciousness, publishing a wide-ranging review of the field in Brain (2001; 124:1263–1289) and an accessible introduction to the subject for a general readership (Consciousness: a user’s guide, Yale University Press, 2002). In 2008 he published an introduction to neurology for the general reader, A Portrait of the Brain (Yale UP), and in 2012, Epilepsy and Memory (OUP) with Narinder Kapur and Marilyn Jones-Gotman. From 2007–2010 he was Chairman of the British Neuropsychiatry Association. He launched and continues to direct its training course in neuropsychiatry.For most of us visual imagery is a conspicuous ingredient of the imaginative experience which allows us to escape from the here and now into the past, the future and the worlds conceived by science and art. But there appears to be wide inter-individual variation in the vividness of visual imagery. Although the British psychologist Galton together with the Parisian neurologist Charcot and his psychiatrist colleague Cotard - recognised that some individuals may lack wakeful imagery entirely, the existence of ‘extreme imagery’ has been oddly neglected since this early work. In 2015 we coined the term ‘aphantasia’ to describe the lack of the mind’s eye, describing 21 individuals who reported a lifelong inability to visualise (Cortex, 2015;73:378–80). Since then we have heard from around 14,000 people, most reporting lifelong aphantasia, or its converse hyperphantasia, but also less common ‘acquired’ imagery loss resulting from brain injury or psychological disorder. Preliminary analyses suggests association between vividness extremes, occupational preference and reported abilities in face recognition and autobiographical memory. Many people with lifelong aphantasia nevertheless dream visually. Imagery in other modalities is variably affected. Extreme imagery appears to run in families more often than would be expected by chance. I will describe the findings of our recent pilot study of neuropsychological and brain imaging signatures of extreme imagery, and place our study of a- and hyper-phantasia in the context of the Eye’s Mind project, an interdisciplinary collaboration funded by the AHRC (http://medicine.exeter.ac.uk/research/neuroscience/theeyesmind/). In addition to our work on extreme imagery, we have reviewed the intellectual history of visual imagery (MacKisack et al, Frontiers in Psychology, 515:1–16. doi: 10.3389/fpsyg.2016.00515), undertaken a recent ALE meta-analysis of functional imaging studies of visualisation (Winlove et al, Cortex, 20182018; 105:4–25) and organised an exhibition of work by artists with extreme imagery vividness (Extreme Imagination: inside the mind’s eye Exeter University Press, 2018.)
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Grenov, Benedikte, Anni Larnkjær, Reginald Lee, Anja Serena, Christian Mølgaard, Kim F. Michaelsen et Mark J. Manary. « Circulating Insulin-Like Growth Factor-1 Is Positively Associated with Growth and Cognition in 6- to 9-Year-Old Schoolchildren from Ghana ». Journal of Nutrition 150, no 6 (25 mars 2020) : 1405–12. http://dx.doi.org/10.1093/jn/nxaa075.

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ABSTRACT Background Milk intake stimulates linear growth and improves cognition in children from low-income countries. These effects may be mediated through insulin-like growth factor-1 (IGF-1). Objective The objective was to assess the effect of milk supplement on circulating IGF-1 and to assess IGF-1 as a correlate of growth and cognition in children. Methods Secondary data on blood spot IGF-1 from a randomized, double-blind, controlled trial in 6–9-y-old children from rural Ghana were analyzed. Intervention groups received porridge with non–energy-balanced supplements: 8.8 g milk protein/d, 100 kcal/d (Milk8); 4.4 g milk and 4.4 g rice protein/d, 100 kcal/d (Milk/rice); 4.4 g milk protein/d, 48 kcal/d (Milk4); or a control (no protein, 10 kcal/d). IGF-1, length, body composition, and Cambridge Neuropsychological Test Automated Battery (CANTAB) were measured at 3.5 or 8.5 mo. Linear regressions were used to assess the effect of milk interventions on IGF-1 and IGF-1 as a correlate of growth and cognition. Results The increase in IGF-1 was 15.3 (95% CI: 3.3, 27.3) ng/mL higher in children receiving Milk8 compared with the control. The IGF-1 increases in the isonitrogenous, isoenergetic Milk/rice or the Milk4 groups were not different from the control (P ≥ 0.49). The increase in IGF-1 was associated with improvements in 4 out of 5 CANTAB domains. The strongest associations included reductions in “mean correct latency” from Pattern Recognition Memory and “pre-extradimensional (pre-ED) shift errors” from Intra/Extradimensional Set Shift (P ≤ 0.005). In addition, change in IGF-1 was positively associated with changes in height, weight, and fat-free mass (P ≤ 0.001). Conclusions Intake of skimmed milk powder corresponding to one, but not half a glass of milk on school days stimulates IGF-1 in 6–9-y-old Ghanian children. IGF-1 seems to mediate the effect of milk intake on growth and cognition. The association between IGF-1 and cognition in relation to milk intake is novel and opens possibilities for dietary interventions to improve cognition.
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Selhorst, Anders. « Library Assessment Workgroup (Lesley University). Faculty Information and Research Needs : A Qualitative Study of Lesley University and Episcopal Divinity School Faculty. Cambridge, Mass. : Lesley University Library, 2013. 126p. Available online at http://ir.flo.org/lesley/fileDownloadForInstitutionalItem.action?itemId=2096&itemFileId=2101. » College & ; Research Libraries 74, no 6 (1 novembre 2013) : 622–25. http://dx.doi.org/10.5860/0740622.

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Woods, Lawrence T. « DORRANCE, John C, THAKUR, Ramesh, WANANDI, Jusuf, VASEY, L.R., PFALTZGRAFF, Robert L. Jr. The South Pacific : Emerging Security Issues and U.S. Policy. Cambridge (Mass.), Institute for Foreign Policy Analysis, Inc., in Association with the Fletcher School of Law and Diplomacy, Tufts University, Coll. « Spécial Report », 1990, 136 p. » Études internationales 22, no 4 (1991) : 864. http://dx.doi.org/10.7202/702937ar.

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Collis, John. « Rural Economy in the Early Iron Age : Excavations at Hascherkeller 1978–1981. By Peter S. Wells. 27 × 19·5 cm. Pp. xvi + 169, 19 tables, 90 figs. Cambridge, Mass. : American School of Prehistoric Research, Peabody Museum of Archaeology and Ethnology, Harvard University (Bulletin, 36), 1983. ISBN 0-8736-539-7. £17·00. » Antiquaries Journal 65, no 1 (mars 1985) : 168. http://dx.doi.org/10.1017/s0003581500024963.

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Rautman, Marcus. « Thessalonice - (L.) Nasrallah, (C.) Bakirtzis, (S. J.) Friesen (edd.) From Roman to Early Christian Thessalonikē. Studies in Religion and Archaeology. (Harvard Theological Studies 64.) Pp. xiv + 437, fig., ills, maps. Cambridge, Mass. : Harvard University Press for Harvard Theological Studies, Harvard Divinity School, 2010. Paper, £29.95, €36, US$40. ISBN : 978-0-674-05322-9. » Classical Review 62, no 1 (9 mars 2012) : 298–300. http://dx.doi.org/10.1017/s0009840x11003970.

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Sousa-Lopes, Bruno De, et Nayane Alves da Silva. « Entomologia na escola : o que os estudantes pensam sobre os insetos e como utilizá-los como recurso didático ? (Entomology in the school : what do students think about insects and how to use them as a didactic resource?) ». Revista Eletrônica de Educação 14 (13 avril 2020) : 3300078. http://dx.doi.org/10.14244/198271993300.

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Insects represent a relevant didactic resource to work with artistic skills, concepts, attitudes and values in the Science teaching because they are diversified in forms and colors, and because they have different life styles. However, there are relatively few reports of experience with evidence of their importance as a didactic resource. In this sense, our main aims were to describe and analyze: (1) the perceptions of seventh-year elementary school students of a public school in Uberlândia-MG, Brazil, about insects; and (2) a didactic sequence in which insects are used to work concepts, artistic skills, attitudes and values, such as respect for life. In 2018, we applied and analyzed 47 questionnaires with five questions about insects; and after we prepared a didactic sequence to stimulate student’s learning through strategies such as reading, dictionary use, research, expository lecture, and drawing. We noticed that most students knew at least one insect, although they had little information on insects’ scientific and ecological importance. We also noticed from the reports, participation, and evaluation of the students that the didactic sequence was useful on several competencies abovementioned, suggesting that the use of different types of strategies can stimulate students to become interested and participate actively in the classes. Therefore, insects represent an excellent didactic resource to work conceptual, procedural and attitudinal concepts in Science teaching.ResumoPor serem diversificados em formas e cores, e também por possuírem variados modos de vida, os insetos representam um relevante recurso didático para trabalhar com habilidades artísticas, conceitos, atitudes e valores no ensino de Ciências. Contudo, há relativamente poucos relatos de experiência com evidências da importância deles como recurso didático. Neste contexto, os principais objetivos deste relato foram descrever e analisar: (1) as percepções de estudantes do sétimo ano do Ensino Fundamental de uma escola pública de Uberlândia-MG quanto aos insetos; e (2) uma sequência didática em que os insetos são utilizados para trabalhar conceitos, habilidades artísticas, atitudes e valores, como o respeito à vida. Em 2018 foram aplicados e analisados, em uma perspectiva quali-quantitativa, 47 questionários com cinco questões sobre os insetos. Depois, foi desenvolvida uma sequência didática envolvendo leitura com uso de dicionário, pesquisa, aula expositiva dialogada, momento musical e confecção de desenhos. De maneira geral, os questionários evidenciaram que a maior parte dos estudantes foi capaz de reconhecer pelo menos um tipo de inseto, embora soubessem pouco sobre sua importância científica e ecológica. Notou-se também, pelos relatos, participação, avaliação dos estudantes e comportamento deles para com os insetos, que a sequência didática foi útil para trabalhar as diferentes competências acima mencionadas, o que sugere que o uso dos insetos junto com variados tipos de estratégias pode estimular os estudantes a se interessarem e participarem ativamente das aulas. Portanto, os insetos representaram um excelente recurso didático para trabalhar conteúdos conceituais, procedimentais e atitudinais no ensino de Ciências.ResumenPor ser diversificados en formas y colores, y también por sus variados modos de vida, los insectos representan un relevante recurso didáctico para trabajar con habilidades artísticas, conceptos, actitudes y valores en la enseñanza de las Ciencias. Sin embargo, hay relativamente pocos relatos de experiencia con evidencias de su importancia como recurso didáctico. En este contexto, los principales objetivos de este estudio fueron: (1) describir y analizar las percepciones de estudiantes del séptimo año de la Enseñanza Fundamental de una escuela pública de Uberlândia-MG en cuanto a los insectos; y (2) describir una secuencia didáctica en la que los insectos se utilizan para trabajar conceptos, habilidades artísticas, actitudes y valores, como el respeto a la vida. En el año 2018 se aplicaron y analizaron 47 cuestionarios con cinco preguntas sobre los insectos y luego se preparó y analizó una secuencia didáctica que involucra lectura con uso de diccionario, investigación, clase expositiva dialogada y confección de dibujos. En general, los cuestionarios evidenciaron que la mayor parte de los estudiantes fue capaz de reconocer al menos un tipo de insecto, aunque supieron poco sobre su importancia científica y ecológica. Se ha notado también, por los relatos, participación y evaluación de los estudiantes, que la secuencia didáctica ha sido útil para trabajar diferentes competencias, lo que sugiere que el uso de variados tipos de estrategias puede estimular a los estudiantes a interesarse y participar activamente en las clases. Por lo tanto, los insectos representan un excelente recurso didáctico para trabajar contenidos conceptuales, procedimentales y actitudinales en la enseñanza de las Ciencias.Palavras-chave: Ensino de Ciências, Insetos na educação básica, Metodologias ativas, Recurso didático.Keywords: Active methodologies, Didactic resource, Insects in elementary school, Science teaching.Palabras claves: Enseñanza de Ciencias, Insectos en la educación básica, Metodologías activas, Recurso didáctico.ReferencesALMEIDA-NETO, José Rodrigues; COSTA-NETO, Eraldo Medeiros; SILVA, Paulo Roberto Ramalho; BARROS, Roseli Faria Melo. Percepções sobre os insetos em duas comunidades rurais da Serra do Passa-Tempo, Nordeste do Brasil. Revista Espacios, v. 36, n. 11, 2015.BRAGA; Ima Aparecida; VALLE, Denise. Aedes aegypti: histórico do controle no Brasil. Epidemiologia e Serviços de Saúde, v. 16, n. 2, 113-118, 2007.BRASIL. Ministério da Educação. Secretaria da Educação Básica. LDB: Lei de diretrizes e bases da educação nacional. Brasília: Senado Federal, Coordenação de Edições Técnicas, 2017. 58 p. Disponível em: http://www2.senado.leg.br/bdsf/bitstream/handle/id/529732/lei_de_diretrizes_e_bases_1ed.pdf. Acesso em: fev. 2018.BRASIL. Ministério da Educação. Secretaria da Educação Básica. BNCC: Base Nacional Comum Curricular. Brasília, DF, 2018. Disponível em: http://basenacionalcomum.mec.gov.br/wp-content/uploads/2018/02/bncc-20dez-site.pdf. Acesso em: fev. 2018.CARRECK Norman; WILLIAMS Ingrid. The economic value of bees in the UK. Bee World, v. 79, n. 3, p.115-23, 1998.COSTA, Marco Antonio Ferreira; COSTA, Maria Fátima Barrozo.; LIMA, Maria Conceição Almeida Barbosa.; LEITE, Sidnei Quezada Meireles. O desenho como estratégia pedagógica no ensino de ciências: o caso da biossegurança. Revista Electrónica de Enseñanza de las Ciencias, v. 5, n. 1, 2006.COSTA-NETO, Eraldo Medeiros. Manual de etnoentomología. Zaragoza: Manuales & Tesis SEA, 2002.COSTA-NETO, Eraldo Medeiros; CARVALHO, Paula Dib de. Percepção dos insetos pelos graduandos da Universidade Estadual de Feira de Santana, Bahia, Brasil. Acta Scientiarum, v. 22, n. 2, p. 423-428, 2000.COSTA-NETO, Eraldo Medeiros; RODRIGUES, Rosalina Maria Fatima Ribeiro. As formigas (Insecta: Hymenoptera) na concepção dos moradores de Pedra Branca, Santa Terezinha, estado da Bahia, Brasil. Boletín Sociedad Entomológica Aragonesa, n. 37, 353-364, 2005.DICKE, Marcel. Insects in western art. American Entomologist, v. 46, 228-236, 2000.DICKE, Marcel. From Venice to Fabre: insects in western art. Proceedings of the Netherlands Entomological Society, v. 15, 9-14, 2004.GALLO, Domingos; NAKANO, Octavio; NETO, Sinval Silveira; CARVALHO, Ricardo Pereira Lima; BAPTISTA, Gilberto Casadei; BERTI-FIHO, Evoneo; PARRA, José Roberto Postali; ZUCCHI, Roberto Antonio; ALVES, Sérgio Batista; VENDRAMIM, José Djair; MARCHINI, Luis Carlos; LOPES, João Roberto Spotti.; OMOTO, Celso. Entomologia Agrícola. Piracicaba: FEALQ, 2002. 920 p.GOULD, James L.; GOULD, Carol Grant. The honey bee. Scientific American Library, New York, 1988.GRIMALDI, David; ENGEL, Michael S. Evolution of the insects. New York: Cambridge University Press, 2005. 755p.GULLAN, Penny J.; CRANSTON, Peter S. The insects: an outline of entomology. 4 ed. Oxford: Willey Blackwell, 2010.HICKMAN, Cleveland P. Junior; ROBERTS, Larry S.; LARSON, Allan. Princípios Integrados de Zoologia. Rio de Janeiro: Guanabara Koogan, 2016.LENKO, Karol; PAPAVERO, Nelson. Insetos no Folclore. São Paulo: Secretaria de Cultura, Ciência e Tecnologia do Estado de São Paulo, 1979. 518p.LOZOYA, Xavier; BERNAL-IBAÑEZ, Sergio. A cien años de la Zoología medica de Jesús Sánchez. México: Instituto de Seguridad y Servicios Sociales de Los Trabajadores Del Estado, 1993.MACEDO, Indira Maria Estolano; VELOSO, Rodrigo Rossetti; MEDEIROS, Henri Adso Ferreira; PADILHA, Maria Rosário Fátima; FERREIRA, Gêneses Silva Ferreira; SHINOHARA, Neide Kazue Sakugawa. Entomophagy in different food cultures. Revista Geama, v. 3, n. 2, 58-62, 2017.MACÊDO, Margarete Valverde.; MONTEIRO, Ricardo Ferreira; FLINTE, Vivian; GRENHA, Viviane; GRUZMAN, Eduardo; NESSIMIAN, Jorge Luiz; MASUDA, Hatisaburo. Insetos na Educação Básica. Volume único. Rio de Janeiro: Fundação CECIERJ, 2009.MACHADO, Elaine Ferreira; MIQUELIN, Awdry Feisser. A construção coletiva de um insetário virtual inspirada na obra de Maria Sibylla Merian (1647-1717) e mediada pelos smartphones e o aplicativo instagram. Revista Tecnológica na Educação, ano 8, n. 14, 2016.MARTINS, Isabel; OGBORN, Jon; KRESS, Gunther. Explicando uma explicação. Ensaio: Pesquisa e Educação em Ciências, v. 1, n 1, 1-14, 1999.MATOS, Claudia Helena Cysneiros; OLIVEIRA, Carlos Romero Ferreira; SANTOS, Maria Patrícia França; FERRAZ, Célia Siqueira. Utilização de modelos didáticos no ensino de entomologia. Revista de Biologia e Ciências da Terra, v. 9, n. 1, 2009.PATTERSON, Jessica M.D.; SAMMON, Maura M.D.; GARG, Manish M.D. Dengue, zika and chikungunya: emerging arboviruses in the New world. Western Journal of Emergency Medicine, v. 17, n. 6, 671-679, 2016.PERRENOUD, Philippe. Construir as competências desde a escola. Porto Alegre: ARTMED, 1999.PINHO, Luiz C. Bringing taxonomy to school kids: Aedokritus adotivae sp. n. from Amazon (Diptera: Chironomidae). Zootaxa, v. 4399, n. 4, 586-590, 2018.PRICE, Peter W.; DENNO, Robert F.; EUBANKS, Micky D.; FINKE, Deborah L.; KAPLAN, Ian. Insect Ecology: behavior, populations and communities. New York: Cambridge University Press, 2011. 764p.RABAAN, Ali A; BAZZI, Ali M.; AL-AHMED, Shamsah H.; AL-GRAITH, Mohamed H.; AL-TAWFIQ, Jaffar A. Overwiew of zika infection, epidemiology, transmission and control measures. Journal of Infections and Public Health, v. 10, p. 141-149, 2017.SALLES, Frederico F.; MASSARIOL, Fabiana C.; NASCIMENTO, Jeane M.C.; BOLDRINI, Rafael; RAIMUNDI, Erikcsen A.; ANGELI, Kamila B.; SOUTO, Paula. Ephemeroptera do Brasil, 2004. Disponível em: http://ephemeroptera.com.br/. Acesso em: fev. 2019.SÁNCHEZ-BAYO, Francisco; WYCKUYS, Kris A.G. Worldwide decline of the entomofauna: a review of its drivers. Biological Conservation, v. 232, 8-27, 2019.SANTOS, Danielle Caroline de Jesus; SOUTO, Leandro Sousa. Coleção entomológica como ferramenta facilitadora para a aprendizagem de Ciências no ensino fundamental. Scientia Plena, v. 7, n. 5, 2011.SOUSA-LOPES, Bruno. Sobre o uso de uma coleção entomológica como ferramenta didática no ensino médio noturno e a percepção de fatores que influenciam o baixo rendimento escolar. Experiências em Ensino de Ciências, v. 12, n. 8, 250-260, 2017.SOUSA-LOPES, Bruno; ALVES-DA-SILVA, Nayane. O saber – Ciências e Biologia. Blog Científico, 2012. Disponível em: http://osaberciencias.blogspot.com/p/ciencia-com-arte.html. Acesso: fev. 2019.SOUZA, Matheus. Em São Paulo, projeto da USP empresta insetários para escolas públicas. Jornal da USP, 2018. Disponível em: jornal.usp.br/?p=200706. Acesso: fev. 2019.STORK, Nigel E. How many species of insects and other arthropods are there on earth? Annual Review of Entomology, v. 63, n. 1, 31-45, 2018.TRINDADE, Oziel S.N; SILVA JÚNIOR, Juvenal C; TEIXEIRA, Paulo M.M. Um estudo das representações sociais de estudantes do ensino médio sobre os insetos. Revista Ensaio, v. 14, n. 3, p. 37-50, 2012.WARDENSKI, Rosilaine F.; GIANNELLA, Tais R. Insetos no Ensino de Ciências: objetivos, abordagens e estratégias pedagógicas. In: XI Encontro Nacional de Pesquisa em Educação em Ciências, 2017, Florianópolis. ANAIS do XI Encontro Nacional de Pesquisa em Educação em Ciências, 2017. p. 1-10. 2017.WEISS, Harry B. The Scarabaeus of the Ancient Egyptians. The American Naturalist, v. 61, n. 675, 353-369, 1927.WILSON, Edward O. Biophilia: The human bond with other species. Cambridge, Mass.: Harvard University Press, 1984. 145p.ZABALA, A. A prática educativa: como ensinar. Porto Alegre: ArtMed, 1998. 224p.e3300078
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Rosidi, Rosidi, et Irwan Setiadi. « Peranan Anggota DPRD Provinsi DKI Jakarta Komisi E Dalam Menyerap Aspirasi Masyarakat Di Bidang Pendidikan ». Jurnal Wahana Bina Pemerintahan 4, no 2 (20 novembre 2017) : 198–219. http://dx.doi.org/10.55745/jwbp.v4i2.83.

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This research was conducted to analyze and describe the role of the members of the Regional Representative Council (DPRD) of the DKI Jakarta Province E Commission 2014-2019 in absorbing the aspirations of the community in the field of education. The research method uses qualitative methods with a descriptive approach. Based on the results of the study that the role of the DKI Jakarta Provincial Parliament Member Commission E in absorbing community aspirations in the education sector still has to be optimized with efforts to intensify programs / activities carried out to the community intensively, so that the public can know the policies produced, and establish an information center and community service so that it can help facilitate the public in expressing their aspirations. School enrollment rates in Jakarta must be increased, the dropout rate at the Jakarta high school level is quite high. This large gap between regions indicates that there is still a need for encouragement for certain regions to be able to catch up with other regions. Because of the importance of the role of the DKI Jakarta Regional Representative Council (DPRD), especially Commission E in the field of community welfare, it is expected to be able to automate the use of IT technology in community management and services concerning community aspirations. Daftar PustakaA. Referensi BukuAmbar Teguh Sulistyani, Kemitraan dan Model-Model Pember-dayaan, Yogyakarta: Graha Ilmu, 2004.Budiarjo, Miriam, Pengertian – Pengertian Masyarakat, Jakarta: Rajawali Pers, 1992.C.S.T Kansil dan Christine S.T. Kansil, Sistem Pemerintahan Indonesia, Jakarta: PT. Bumi Aksara, Cetakan kedua, 2005.Chambers, R., Lembaga Penelitian, Pendidikan, Penerangan Ekonomi dan Sosial, Pembangunan Desa Mulai dari Belakang, Jakarta, 1995.Dahl, Robert Alan., On Democracy. Connecticut: Yale University Press, 1999.Deutsch, Karl W. et al., Comparative Government: Politics of Industrialised and Developing Nations, Boston: Houghton Mifflan, 1981.Dwiyanto, Agusdkk, Reformasi Tata Pemerintahan Dan Otonomi Daerah, Yogyakarta: PSKK-UGM, 2003.Freidmann J, Empowerment: The Politics of Alternative Development, Cambridge: Blacwell, 1992.Heywood, Andrew, Politics 4th edition, Terj. Ahmad Lintang Lazuardi, Yogyakarta: Pustaka Pelajar, 2013._______________, Politics, 2nd ed. New York: Palgrave, 2002.Hurlock, E. B. 1979. Personality Development. Second Edition. New Delhi :McGraw-Hill.Ife, Jim, Community Development: Creating Community Alternatives, Vision, Analysis & Practice, Australia: Logman,1995.Lasswell, Harold, The Structure and Function of Communication in Society, dalam Mass Communications, a Book of Readings Selected and Edited by the Director of the Institute for Communication Research at Stanford University, Editor: Wilbur Schramm, Urbana: University of Illinois Press, 1960. Malinowski, Bronislaw K., A Scientific Theory of Culture, New York: The University of North Carolina Press, 1944.Mas’oed, Mohtar., Politik, Birokrasi dan Pembangunan, Yogyakarta: Pustaka Pelajar. 2003.Miles, M. B. Dan Hubermen, A. M., Analisis Data Kualitatif Buku Sumber Sumber tentang Metode – Metode Baru, Alih Bahasa Tjetjep Rohendi Rohidi, Jakarta: UI-Press, 1984.Moh. Nazir, MetodePenelitian, Jakarta: Ghalia Indonesia, 1988.Nasikun, SistemSosial Indonesia, Jakarta: Penerbit Raja GrafindoPersada, 1995.Ndraha, Taliziduhu, Budaya Organisasi, Jakarta: Rineka Cipta, 2003_______________, Metodologi Ilmu Penelitian, Jakarta: PT. Rineka Cipta, 1997.Pamudji S, Kerjasama Antar Daerah Dalam Rangka Pembinaan Wilayah, Jakarta: Bina Aksara, 1985.Parson, et. Al, The Integration Of Social Work Practice, California Wardworth.inc., 1994.Prijono, O.S. dan Pranaka A.M.W.(ed), Pemberdayaan: Konsep, Kebijakan dan Implementasi, Jakarta: CSIS, 1996.Rappaport, J., Studies in empowerment: Introduction to the issue, prevention in human issue, New York, 1984.Rousseau, Jean Jacques, Kontrak Sosial, Terjemahan, Sumardjo, Jakarta: Erlangga, 1986.Slameto, Belajar dan Faktor-faktor yang Mempengaru-hinya. Jakarta: Rineka Cipta, 2003.Soekanto, Soerjono, Sosiologi Suatu Pengantar. Jakarta: Raja Grafindo Persada, 2007._______________, Sosiologi Suatu Pengantar. Jakarta: Rajawali Pers, 2012.Soetrisno, Loekman.,Menuju Masyarakat Partisipatif, Yogyakarta: Kanisius, 1995.Sugiyono, Memahami Penelitian Kualitatif. Bandung: Afabet, 2005.Suharto,Edi.,Membangaun Masyara-kat Memberdayakan Rakyat, Bandung: Refika Aditama, 2006. Suradinata, Ermaya, Peranan Kepala Wilayah Dalam Analisis Masalah dan Potensi Wilayah, Bandung: Ramadan, 1995._____________,Manajemen Sumber Daya Manusia. Bandung: CV Ramadhan, 1996._______________,Pemimpin dan Kepemimpinan Pemerintah Suatu Pendekatan Budaya, Jakarta: PT. Gramedia Pustaka Utama, 1997.Surbakti, Ramlan, Memahami Ilmu Politik, Jakarta: Gramedia Widya Sarana, 1992.Suyanto, Bagong, Metode Penelitian Sosial: Berbagai Alternatif Pendekatan, Jakarta: Prenada Media, 2005.Swift, C. dan G. Levin., Empowerment: An emerging mental health technology, New York: Journal of primary prevention,1987.Syafiie, Inu Kencana, Kepemimpinan Pemerintahan Indonesia, Bandung:Refika Aditama, 2003._______________,Sistem Pemerin-tahan Indonesia. Jakarta: Rineka Cipta, 2002.Tannen baum, R, et al, Partisipasi dan Dinamika Kelompok, Cetakan Pertama, Semarang: Dahara Pres, 1992.Walter S. Jones., Logika Hubungan Internasional; Kekuasaan, Ekonomi Politik Internasional dan Tatanan Dunia, Jakarta: PT. Gramedia Pustaka Utama, 1993. B. Dokumen Undang-Undang Dasar Negara Republik Indonesia 1945 Amandemen ke 4 tentang Hak dan Kewajiban Negara, Pasal 31 ayat (4)Undang-Undang Nomor 20 tahun 2003 pasal 1 Tentang Sistem Pendidikan Nasional, Pasal 49 ayat (1)Undang-Undang Nomor 32 Tahun 2004 tentang Pemerintah Daerah, Pasal 46.Undang-Undang Nomor 20 tahun 2003 pasal 1 Tentang Sistem Pendidikan Nasioal, Pasal 49.Undang-Undang Nomor 32 Tahun 2004 tentang Pemerintah Daerah, Pasal 46.Undang-Undang Negara Republik Indonesia Tahun 1945 tentang MPR, Pasal 3 ayat (1)Undang-Undang Negara Republik Indonesia Tahun 1945 tentang Presiden Republik Indonesia memegang kekuasaan Pemerintahan menurut Undang-undang Dasar, Pasal 4 ayat (1)Undang-Undang Negara Republik Indonesia Tahun 1945 tentang Dewan Perwakilan Rakyat memegang kekuasaan membentuk undang-undang, Pasal 20 ayat (1)Undang-Undang Negara Republik Indonesia Tahun 1945 tetang Kekuasaan kehakiman, Pasal 24 ayat (2).Undang-Undang Negara Republik Indonesia Tahun 1945 tentang pengelolaan dan tanggung-jawab tentang keuangan negara, Pasal 23 E ayat (1).Undang-Undang Negara Republik Indonesia Tahun 1945 tentang Otonomi Daerah, Pasal 18 ayat (1).Undang-Undang Nomor 17 Tahun 2014 tentang MPR, DPR, DPD, dan DPRD, Bab V DPRD Provinsi, dan pasal 217.Undang-Undang Nomor 23 Tahun 2014 tentang Pemerintah Daerah dan Tata Tertib DPRDPeraturan Pemerintah Nomor 25 Tahun 2004 tentang Pedoman Penyusunan Tata Tertib DPRD, Pasal 43.Putusan Mahkamah Konstitusi Nomor : 013/PUU-VI/2008, Perihal Pengujian UU No 15 Tahun 2008.Peraturan DPRD Provinsi DKI Jakarta No. 1 Tahun 2014 tentang Tata Tertib Anggota Dewan Perwakilan Rakyat Daerah.BPS Prov DKI Jakarta, Statistik Kesejahteraan Jakarta,2016. C. Internethttp://jakarta.bps.go.id/backend/pdf_publikasi/Jakarta-Dalam-Angka-2016.pdf http://dprd-dkijakartaprov.go.id/ http://peraturan.go.id/pp/nomor-25-tahun-2004 11e44c4edccf11e0b846313231373132.html
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Gunarti, Winda, Raden Sri Martini Meilanie et Happy Karlina Marjo. « The Impact of Co-Viewing on Attachment Between Parents and Children ». JPUD - Jurnal Pendidikan Usia Dini 17, no 1 (30 avril 2023) : 31–43. http://dx.doi.org/10.21009/jpud.171.03.

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Watching (screen viewing) has become a common activity carried out in early childhood. Generally, children aged 2-5 years do watching activities for about 3 hours more a day. This study aims to see how watching activities together can increase attachment between parents and children. This study uses a qualitative approach that produces descriptive data in the form of written words or messages from people and observed behavior and uses observation, interview, or document review methods. Observations were made on co-viewing activities carried out by a child and his parents at home because this activity was found to have an impact on the attachment relationship between the two parties. The selected respondent is one of the parents of a 3-year-old child (G) (Mrs. B). Data collection was carried out at the residence of Mrs. B and G for several weeks. The data collection techniques used were interviews and observations. The results show that watching activities together has a positive impact on the attachment between parents and early childhood. This can be seen from the characteristics of the safe attachment that children have after watching the activities together, after previously the attachment they had characterized as an avoidant attachment. It can also be seen how parents have a big role in the formation of this secure attachment. Keywords: secure attachment, co-viewing watching activities, parent-children interaction References: Arianda, V., Salim, I. K., & Ruzain, R. B. (2022). Secure Attachment (Kelekatan Aman) Ibu dan Anak dengan Perkembangan Sosial Emosional Pada Anak. Journal of Islamic and Contemporary Psychology (JICOP), 1(2), 67–74. https://doi.org/10.25299/jicop.v1i2.8603 Barr, R., Zack, E., Garcia, A., & Muentener, P. (2008). Infants’ Attention and Responsiveness to Television Increases with Prior Exposure and Parental Interaction. Infancy, 13(1), 30–56. https://doi.org/10.1080/15250000701779378 Belsky, J., & Nezworski, T. (1988). Clinical Implications of Attachment. L. Erlbaum Associates. https://books.google.co.id/books?id=NY1AQTAkhKAC Crain, W. C. (2011). Theories of Development: Concepts and Applications. Prentice Hall. https://books.google.co.id/books?id=z0ZeRwAACAAJ Dearing, E., McCartney, K., Weiss, H. B., Kreider, H., & Simpkins, S. (2004). The promotive effects of family educational involvement for low-income children’s literacy. Journal of School Psychology, 42(6), 445–460. https://doi.org/10.1016/j.jsp.2004.07.002 Elias, N., & Sulkin, I. (2017). YouTube viewers in diapers: An exploration of factors associated with amount of toddlers’ online viewing. Cyberpsychology: Journal of Psychosocial Research on Cyberspace, 11(3). https://doi.org/10.5817/CP2017-3-2 Haridakis, P., & Hanson, G. (2009). Social Interaction and Co-Viewing With YouTube: Blending Mass Communication Reception and Social Connection. Journal of Broadcasting & Electronic Media, 53(2), 317–335. https://doi.org/10.1080/08838150902908270 Hiniker, A., Suh, H., Cao, S., & Kientz, J. A. (2016). Screen Time Tantrums: How Families Manage Screen Media Experiences for Toddlers and Preschoolers. Proceedings of the 2016 CHI Conference on Human Factors in Computing Systems, 648–660. https://doi.org/10.1145/2858036.2858278 Holloway, D., Green, L., & Livingstone, S. (2013). Zero to eight: Young children and their internet use (pp. 10–13). LSE, London and EU Kids Online. Iskandar, T. P., & Nadhifa, R. A. F. (2021). Fenomena Penggunaan Youtube Channel Pada Anak Usia Dini di Masa Pendemic Covid-19 [The Phenomenon of Using Youtube Channels in Early Childhood During the Covid-19 Pandemic.]. Jurnal Ilmiah LISKI (Lingkar Studi Komunikasi), 7(2). http://journals.telkomuniversity.ac.id/liski Kabali, H. K., Irigoyen, M. M., Nunez-Davis, R., Budacki, J. G., Mohanty, S. H., Leister, K. P., & Bonner, R. L. (2015). Exposure and Use of Mobile Media Devices by Young Children. PEDIATRICS, 136(6), 1044–1050. https://doi.org/10.1542/peds.2015-2151 Keene, J. R., Rasmussen, E. E., Berke, C. K., Densley, R. L., Loof, T., Adams, R. B., Mumma, G. H., & Marshall, A. (2019). The effect of plot explicit, educational explicit, and implicit inference information and coviewing on children’s internal and external cognitive processing. Journal of Applied Communication Research, 47(2), 153–174. https://doi.org/10.1080/00909882.2019.1581367 Kirkorian, H. L., Pempek, T. A., Murphy, L. A., Schmidt, M. E., & Anderson, D. R. (2009). The Impact of Background Television on Parent-Child Interaction. Child Development, 80(5), 1350–1359. https://doi.org/10.1111/j.1467-8624.2009.01337.x Lemish, D., & Rice, M. L. (1986). Television as a talking picture book: A prop for language acquisition. Journal of Child Language, 13(2), 251–274. Cambridge Core. https://doi.org/10.1017/S0305000900008047 Moleong, L. J., & Surjaman, T. (1989). Metodologi penelitian kualitatif. Remadja Karya. https://books.google.co.id/books?id=YXsknQEACAAJ Papalia, D. E., Olds, S. W., & Feldman, R. D. (2007). Human Development. McGraw-Hill. https://books.google.co.id/books?id=tGHmxgEACAAJ Pempek, T. A., Demers, L. B., Hanson, K. G., Kirkorian, H. L., & Anderson, D. R. (2011). The impact of infant-directed videos on parent–child interaction. Journal of Applied Developmental Psychology, 32(1), 10–19. https://doi.org/10.1016/j.appdev.2010.10.001 Pempek, T. A., Kirkorian, H. L., & Anderson, D. R. (2014). The Effects of Background Television on the Quantity and Quality of Child-Directed Speech by Parents. Journal of Children and Media, 8(3), 211–222. https://doi.org/10.1080/17482798.2014.920715 Pires de Sá, F. (2015). The co-viewing 2.0: Detaching from History and Applying in the New Media Age. КУЛТУРА/CULTURE, 5(11). Rachmat, I. F. (2019). Pengaruh Kelekatan Orang Tua Dan Anak Terhadap Penggunaan Teknologi Digital Anak Usia Dini [The Influence of Attachment of Parents and Children to the Use of Digital Technology in Early Childhood]. Jurnal Jendela Bunda Program Studi PG-PAUD Universitas Muhammadiyah Cirebon, 6(1), 14–29. https://doi.org/10.32534/jjb.v6i1.546 Santrock, J. W. (2009). Child Development. McGraw Hill. https://books.google.co.id/books?id=I58GLwAACAAJ Sims, C. E., & Colunga, E. (2013). Parent-Child Screen Media Co-Viewing: Influences on Toddlers’ Word Learning and Retention. Cognitive Science, 35. Skaug, S., Englund, K. T., & Wichstrøm, L. (2018). Young children’s television viewing and the quality of their interactions with parents: A prospective community study. Scandinavian Journal of Psychology, 59(5), 503–510. https://doi.org/10.1111/sjop.12467 Tamis-LeMonda, C. S., & Rodriguez, E. T. (2015). Parents’ Role in Fostering Young Children’s Learning and Language Development. In Encyclopedia of the Centre of Excellence for Early Childhood Development (CEECD). Toth, S. L., & Cicchetti, D. (2013). A Developmental Psychopathology Perspective on Child Maltreatment. Child Maltreatment, 18(3), 135–139. https://doi.org/10.1177/1077559513500380 Vaala, S. E., & Hornik, R. C. (2014). Predicting US Infants’ and Toddlers’ TV/Video Viewing Rates: Mothers’ Cognitions and Structural Life Circumstances. Journal of Children and Media, 8(2), 163–182. https://doi.org/10.1080/17482798.2013.824494 Vandewater, E. A., Bickham, D. S., & Lee, J. H. (2006). Time Well Spent? Relating Television Use to Children’s Free-Time Activities. Pediatrics, 117(2), e181–e191. https://doi.org/10.1542/peds.2005-0812 Zimmerman, F. J., Christakis, D. A., & Meltzoff, A. N. (2007). Television and DVD/Video Viewing in Children Younger Than 2 Years. Archives of Pediatrics & Adolescent Medicine, 161(5), 473–479. https://doi.org/10.1001/archpedi.161.5.473
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Stein, Guido. « David B. YOFFIE y Mary KWAK (2001), Judo Strategy. Turning your Competitor's Strenght to your Advantage, Harvard Bussiness School Press, Cambridge, Mass. » Revista Empresa y Humanismo, 22 novembre 2018, 213–15. http://dx.doi.org/10.15581/015.5.34643.

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Furse, Samuel, Stuart G. Snowden, Laurentya Olga, Philippa Prentice, Ken K. Ong, Ieuan A. Hughes, Carlo L. Acerini, David B. Dunger et Albert Koulman. « Evidence from 3-month-old infants shows that a combination of postnatal feeding and exposures in utero shape lipid metabolism ». Scientific Reports 9, no 1 (4 octobre 2019). http://dx.doi.org/10.1038/s41598-019-50693-0.

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Abstract We tested the hypothesis that both postnatal feeding and conditions in utero affect lipid metabolism in infants. Infants who experienced restrictive growth conditions in utero and others exposed to maternal hyperglycaemia were compared to a control group with respect to feeding mode. Dried blood spots were collected from a pilot subset of infant participants of the Cambridge Baby Growth Study at 3mo. Groups: (a) a normal gestation (control, n = 40), (b) small for gestational age (SGA, n = 34) and (c) whose mothers developed hyperglycaemia (n = 59). These groups were further stratified by feeding mode; breastfed, formula-fed or received a mixed intake. Their phospholipid, glyceride and sterol fractions were profiled using direct infusion mass spectrometry. Statistical tests were used to identify molecular species that indicated differences in lipid metabolism. The abundance of several phospholipids identified by multivariate analysis, PC(34:1), PC(34:2) and PC-O(34:1), was 30–100% higher across all experimental groups. SM(39:1) was around half as abundant in in utero groups among breastfed infants only. The evidence from this pilot study shows that phospholipid metabolism is modulated by both conditions in utero and postnatal feeding in a cohort of 133 Caucasian infants, three months post partum.
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« Solutions To Calendar ». Mathematics Teacher 89, no 2 (février 1996) : 130–31. http://dx.doi.org/10.5951/mt.89.2.0130.

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Problems 1–3 were submitted by Karen Doyle Walton, Allentown College of Saint Francis de Sales, Center Valley, PA 18034, and Zachary Walton, a student at Haryard Uniyersity, Cambridge, Mass. Problems 4–5 were furnished by Doug Wagner, 1995 PineDa Drive, Grayson, GA 30221. Problems 6–14 and 16–20 were sent in by teachers at Adlai E. Stevenson High School, Lincolnshire, IL 60069: 6, 7, and 19 by Dene Hamilton; 8, 9, and 10 by Joe Bettina; 11, 12, and 20 by Kathie Rauch; 13 by Neal Roys; 14 and 16 by Tim Kanold; and 17 and 18 by Scott Oliver. Problems 21–24 and 26–28 were created by the Mathematics Education Student Association at the University of Georgia, Athens, GA 30602: Karen Bell, Denise Spangler Mewborn, Mary Beth Searcy, Barry Shealy, Ron Tzur, and Bryan Whitfield. Problems 15 and 25 were taken from 101 Puzzle Problems by Nathaniel B. Bates and Sanderson M. Smith (Concord, Mass.: Bates Publishing Co., 1980). Problem 29 was submitted by Melvin R. Wilson, 610 E. University, Ann Arbor, MI 48109.
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Nelsen, Matthew D. « Closed for Democracy : How Mass School Closure Undermines the Citizenship of Black Americans By Sally A. Nuamah . New York : Cambridge University Press, 2023. 232, pp., $29.99, Paperback. » Journal of Race, Ethnicity, and Politics, 31 mars 2023, 1–3. http://dx.doi.org/10.1017/rep.2023.6.

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« Language learning ». Language Teaching 38, no 3 (juillet 2005) : 123–32. http://dx.doi.org/10.1017/s0261444805222991.

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05–225Acevedo Butcher, Carmen (Sogang U, Korea), The case against the ‘native speaker’. English Today (Cambridge, UK) 21.2 (2005), 13–24.05–226Barcroft, Joe & Mitchell S. Sommers (Washington U in St. Louis, USA; barcroft@wustl.edu), Effects of acoustic variability on second language vocabulary learning. Studies in Second Language Acquisition (Cambridge, UK) 27.3 (2005), 387–414.05–227Barr, David, Jonathan Leakey & Alexandre Ranchoux (U of Ulster, UK), Told like it is! An evaluation of an integrated oral development pilot project. Language Learning & Technology (U of Hawaii, Manoa, USA) 9.3 (2005), 55–78.05–228Belz, Julie A. (Pennsylvania State U, USA), Intercultural questioning, discovery and tension in Internet-mediated language learning partnerships. Language and Intercultural Communication (Clevedon, UK) 5.1 (2005), 3–39.05–229Berry, Roger (Lingan U, Hong Kong, China), Who do they think ‘we’ is? Learners' awareness of personality in pedagogic grammars. Language Awareness (Clevedon, UK) 14.2/3 (2005), 84–97.05–230Braun, Sabine (U of Tübingen, Germany; sabine.braun@uni-tuebingen.de), From pedagogically relevant corpora to authentic language learning contents. ReCALL (Cambridge, UK) 17.1 (2005), 47–64.05–231Chambers, Angela (U of Limerick, Ireland; Angela.Chambers@ul.ie), Integrating corpus consultation in language studies. Language Learning & Technology (Hawaii, Manoa, USA) 9.2 (2005), 111–125.05–232Cortés, Ileana, Jesús Ramirez, María Rivera, Marta Viada & Joan Fayer (U of Puerto Rico, Puerto Rico), Dame un hamburger plain con ketchup y papitas. English Today (Cambridge, UK) 21.2 (2005), 35–42.05–233Dewaele, Jean-Marc (U of London, UK), Sociodemographic, psychological and politicocultural correlates in Flemish students' attitudes towards French and English. Journal of Multilingual and Multicultural Development (Clevedon, UK) 26.2 (2005), 118–137.05–234Elkhafaifi, Hussein (Washington U, USA; hme3@u.washington.edu), Listening comprehension and anxiety in the Arabic language classroom. The Modern Language Journal (Malden, MA, USA) 89.2 (2005), 206–220.05–235Flowerdew, Lynne (Hong Kong U of Science and Technology, Hong Kong, China; lclynne@ust.hk), Integrating traditional and critical approaches to syllabus design: the ‘what’, the ‘how’ and the ‘why?’. Journal of English for Academic Purposes (Amsterdam, the Netherlands) 4.2 (2005), 135–147.05–236Fortune, Alan (King's College London, UK), Learners' use of metalanguage in collaborative form-focused L2 output tasks. Language Awareness (Clevedon, UK) 14.1 (2005), 21–39.05–237Garner, Mark & Erik Borg (Northumbria U, UK; mark.garner@unn.ac.uk), An ecological perspective on content-based instruction. Journal of English for Academic Purposes (Amsterdam, the Netherlands) 4.2 (2005), 119–134.05–238Gourlay, Lesley (Napier U, UK; l.gourlay@napier.ac.uk), Directions and indirect action: learner adaptation of a classroom task. ELT Journal (Oxford, UK) 59.3 (2005), 209–216.05–239Granville, Stella & Laura Dison (U of the Witwatersrand, Johannesburg, South Africa; granvils@iweb.co.za), Thinking about thinking: integrating self-reflection into an academic literacy course. Journal of English for Academic Purposes (Amsterdam, the Netherlands) 4.2 (2005), 99–118.05–240Greidanus, Tine, Bianca Beks (Vrije Universiteit Amsterdam, the Netherlands; t.greidanus@worldonline.nl) & Richard Wakely, Testing the development of French word knowledge by advanced Dutch- and English-speaking learners and native speakers. The Modern Language Journal (Malden, MA, USA) 89.2 (2005), 221–233.05–241Gumock Jeon-Ellis, Robert Debski & Gillian Wigglesworth (U of Melbourne, Australia), Oral interaction around computers in the project oriented CALL classroom. Language Learning & Technology (U of Hawaii, Manoa, USA) 9.3 (2005), 121–145.05–242Haig, Yvonne, Oliver Rhonda & Judith Rochecouste (Edith Cowan U, Australia), Adolescent speech networks and communicative competence. English in Australia (Norwood, Australia) 141 (2004), 49–57.05–243Harwood, Nigel (U of Essex, UK; nharwood@essex.ac.uk), What do we want EAP teaching materials for?Journal of English for Academic Purposes (Amsterdam, the Netherlands) 4.2 (2005), 149–161.05–244Heift, Trude (Simon Fraser U, Canada; heift@sfu.ca.), Inspectable learner reports for web-based language learning. 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RELC Journal (Thousand Oaks, CA, USA) 36.2 (2005), 189–209.05–263Uschi, Felix (Monash U, Australia; uschi.felix@arts.monash.edu.au), E-learning pedagogy in the third millennium: the need for combining social and cognitive constructivist approaches. ReCALL (Cambridge, UK) 17.1 (2005), 85–100.05–264Volle, Lisa M. (Central Texas College, USA), Analyzing oral skills in voice and e-mail and online interviews. Language Learning & Technology (U of Hawaii, Manoa, USA) 9.3 (2005), 145–163.05–265Williams, John N. (Cambridge U, UK; jnw12@cam.ac.uk), Learning without awareness. Studies in Second Language Acquisition (Cambridge, UK) 27.2 (2005), 269–304.05–266Yongqi Gu, Peter, Guangwei Hu & Lawrence Jun Zhang (Nanyang Technological U, Singapore; yqpgu@nie.edu.sg), Investigating language learner strategies among lower primary school pupils in Singapore. Language and Education (Clevedon, UK) 19.4 (2005), 281–303.
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Rice, AJ. « Closed for Democracy : How Mass School Closure Undermines the Citizenship of Black Americans. By Sally A. Nuamah. New York : Cambridge University Press, 2022. 240p. $90.00 cloth, $29.99 paper. » Perspectives on Politics, 11 janvier 2024, 1–2. http://dx.doi.org/10.1017/s1537592723002724.

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« Rolf Wiggershaus. The Frankfurt School : Its History, Theories, and Political Significance. Translated by Michael Robertson. (Studies in Contemporary German Social Thought.) Cambridge, Mass. : MIT Press. 1994. Pp. ix, 787. $60.00 ». American Historical Review, juin 1996. http://dx.doi.org/10.1086/ahr/101.3.840.

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« Subrahmanyan Chandrasekhar, 19 October 1910 - 21 August 1995 ». Biographical Memoirs of Fellows of the Royal Society 42 (novembre 1996) : 80–94. http://dx.doi.org/10.1098/rsbm.1996.0006.

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In August 1930 Subrahmanyan Chandrasekhar arrived in London at the age of 19 years and 10 months with the aim of studying for a doctorate at Cambridge. He had already published several papers, including one which had been communicated to the Royal Society by R.H. (later Sir Ralph) Fowler, F.R.S. During his sea journey he had made considerable progress towards the solution of the problem of the maximum mass of a white dwarf star, which was a key topic in the award of the Nobel Prize for Physics to him in 1983. How could he have done so much at such a young age? Although Chandrasekhar (known to all of his friends and colleagues as Chandra) was born in Lahore, in what is now Pakistan, his paternal ancestors were brahmins and small landowners in the Madras Presidency in south India. His grandfather, Ramanathan Chandrasekhar, was educated in an English school and subsequently obtained college degrees while working as a teacher; he eventually became a college vice-principal. The two oldest of his eight children were Chandra’s father, C. Subrahmanyan Ayyar and C. Ventakaraman (later Sir C.V. Raman, F.R.S. and Nobel Laureate). They were brilliant students who entered government service as accountants and auditors. Raman’s interest in science later led him to give up his secure employment to take up full-time research. Chandra’s father was assistant auditor to the Northwest Railways when Chandra was born on 19 October 1910. He was the third child and first son of C.S. Ayyar and his wife Sitalaksmi and he was to have three younger brothers and four younger sisters. In 1912 Chandra’s family moved to Lucknow and then his father became deputy accountant general in Madras, which meant that Chandra grew up where his family had its roots.
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Brien, Donna Lee. « Why Foodies Thrive in the Country : Mapping the Influence and Significance of the Rural and Regional Chef ». M/C Journal 11, no 5 (8 septembre 2008). http://dx.doi.org/10.5204/mcj.83.

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Introduction The academic area known as food studies—incorporating elements from disciplines including anthropology, folklore, history, sociology, gastronomy, and cultural studies as well as a range of multi-disciplinary approaches—asserts that cooking and eating practices are less a matter of nutrition (maintaining life by absorbing nutrients from food) and more a personal or group expression of various social and/or cultural actions, values or positions. The French philosopher, Michel de Certeau agrees, arguing, moreover, that there is an urgency to name and unpick (what he identifies as) the “minor” practices, the “multifarious and silent reserve of procedures” of everyday life. Such practices are of crucial importance to all of us, as although seemingly ordinary, and even banal, they have the ability to “organise” our lives (48). Within such a context, the following aims to consider the influence and significance of an important (although largely unstudied) professional figure in rural and regional economic life: the country food preparer variously known as the local chef or cook. Such an approach is obviously framed by the concept of “cultural economy”. This term recognises the convergence, and interdependence, of the spheres of the cultural and the economic (see Scott 335, for an influential discussion on how “the cultural geography of space and the economic geography of production are intertwined”). Utilising this concept in relation to chefs and cooks seeks to highlight how the ways these figures organise (to use de Certeau’s term) the social and cultural lives of those in their communities are embedded in economic practices and also how, in turn, their economic contributions are dependent upon social and cultural practices. This initial mapping of the influence and significance of the rural and regional chef in one rural and regional area, therefore, although necessarily different in approach and content, continues the application of such converged conceptualisations of the cultural and economic as Teema Tairu’s discussion of the social, recreational and spiritual importance of food preparation and consumption by the unemployed in Finland, Guy Redden’s exploration of how supermarket products reflect shared values, and a series of analyses of the cultural significance of individual food products, such as Richard White’s study of vegemite. While Australians, both urban and rural, currently enjoy access to an internationally renowned food culture, it is remarkable to consider that it has only been during the years following the Second World War that these sophisticated and now much emulated ways of eating and cooking have developed. It is, indeed, only during the last half century that Australian eating habits have shifted from largely Anglo-Saxon influenced foods and meals that were prepared and eaten in the home, to the consumption of a wider range of more international and sophisticated foods and meals that are, increasingly, prepared by others and eaten outside the consumer’s residence. While a range of commonly cited influences has prompted this relatively recent revolution in culinary practice—including post-war migration, increasing levels of prosperity, widespread international travel, and the forces of globalisation—some of this change owes a debt to a series of influential individual figures. These tastemakers have included food writers and celebrity chefs; with early exponents including Margaret Fulton, Graham Kerr and Charmaine Solomon (see Brien). The findings of this study suggests that many restaurant chefs, and other cooks, have similarly played, and continue to take, a key role in the lives of not only the, necessarily, limited numbers of individuals who dine in a particular eatery or the other chefs and/or cooks trained in that establishment (Ruhlman, Reach), but also the communities in which they work on a much broader scale. Considering Chefs In his groundbreaking study, A History of Cooks and Cooking, Australian food historian Michael Symons proposes that those who prepare food are worthy of serious consideration because “if ‘we are what we eat’, cooks have not just made our meals, but have also made us. They have shaped our social networks, our technologies, arts and religions” (xi). Writing that cooks “deserve to have their stories told often and well,” and that, moreover, there is a “need to invent ways to think about them, and to revise our views about ourselves in their light” (xi), Symons’s is a clarion call to investigate the role and influence of cooks. Charles-Allen Baker-Clark has explicitly begun to address this lacunae in his Profiles from the Kitchen: What Great Cooks Have Taught Us About Ourselves and Our Food (2006), positing not only how these figures have shaped our relationships with food and eating, but also how these relationships impact on identities, culture and a range of social issues including those of social justice, spirituality and environmental sustainability. With the growing public interest in celebrities, it is perhaps not surprising that, while such research on chefs and/or cooks is still in its infancy, most of the existing detailed studies on individuals focus on famed international figures such as Marie-Antoine Carême (Bernier; Kelly), Escoffier (James; Rachleff; Sanger), and Alexis Soyer (Brandon; Morris; Ray). Despite an increasing number of tabloid “tell-all” surveys of contemporary celebrity chefs, which are largely based on mass media sources and which display little concern for historical or biographical accuracy (Bowyer; Hildred and Ewbank; Simpson; Smith), there have been to date only a handful of “serious” researched biographies of contemporary international chefs such as Julia Child, Alice Waters (Reardon; Riley), and Bernard Loiseux (Chelminski)—the last perhaps precipitated by an increased interest in this chef following his suicide after his restaurant lost one of its Michelin stars. Despite a handful of collective biographical studies of Australian chefs from the later-1980s on (Jenkins; O’Donnell and Knox; Brien), there are even fewer sustained biographical studies of Australian chefs or cooks (Clifford-Smith’s 2004 study of “the supermarket chef,” Bernard King, is a notable exception). Throughout such investigations, as well as in other popular food writing in magazines and cookbooks, there is some recognition that influential chefs and cooks have worked, and continue to work, outside such renowned urban culinary centres as Paris, London, New York, and Sydney. The Michelin starred restaurants of rural France, the so-called “gastropubs” of rural Britain and the advent of the “star-chef”-led country bed and breakfast establishment in Australia and New Zealand, together with the proliferation of farmer’s markets and a public desire to consume locally sourced, and ecologically sustainable, produce (Nabhan), has focused fresh attention on what could be called “the rural/regional chef”. However, despite the above, little attention has focused on the Australian non-urban chef/cook outside of the pages of a small number of key food writing magazines such as Australian Gourmet Traveller and Vogue Entertaining + Travel. Setting the Scene with an Australian Country Example: Armidale and Guyra In 2004, the Armidale-Dumaresq Council (of the New England region, New South Wales, Australia) adopted the slogan “Foodies thrive in Armidale” to market its main city for the next three years. With a population of some 20,000, Armidale’s main industry (in economic terms) is actually education and related services, but the latest Tourist Information Centre’s Dining Out in Armidale (c. 2006) brochure lists some 25 restaurants, 9 bistros and brasseries, 19 cafés and 5 fast food outlets featuring Australian, French, Italian, Mediterranean, Chinese, Thai, Indian and “international” cuisines. The local Yellow Pages telephone listings swell the estimation of the total number of food-providing businesses in the city to 60. Alongside the range of cuisines cited above, a large number of these eateries foreground the use of fresh, local foods with such phrases as “local and regional produce,” “fresh locally grown produce,” “the finest New England ingredients” and locally sourced “New England steaks, lamb and fresh seafood” repeatedly utilised in advertising and other promotional material. Some thirty kilometres to the north along the New England highway, the country town of Guyra, proclaimed a town in 1885, is the administrative and retail centre for a shire of some 2,200 people. Situated at 1,325 metres above sea level, the town is one of the highest in Australia with its main industries those of fine wool and lamb, beef cattle, potatoes and tomatoes. Until 1996, Guyra had been home to a large regional abattoir that employed some 400 staff at the height of its productivity, but rationalisation of the meat processing industry closed the facility, together with its associated pet food processor, causing a downturn in employment, local retail business, and real estate values. Since 2004, Guyra’s economy has, however, begun to recover after the town was identified by the Costa Group as the perfect site for glasshouse grown tomatoes. Perfect, due to its rare combination of cool summers (with an average of less than two days per year with temperatures over 30 degrees celsius), high winter light levels and proximity to transport routes. The result: 3.3 million kilograms of truss, vine harvested, hydroponic “Top of the Range” tomatoes currently produced per annum, all year round, in Guyra’s 5-hectare glasshouse: Australia’s largest, opened in December 2005. What residents (of whom I am one) call the “tomato-led recovery” has generated some 60 new local jobs directly related to the business, and significant flow on effects in terms of the demand for local services and retail business. This has led to substantial rates of renovation and building of new residential and retail properties, and a noticeably higher level of trade flowing into the town. Guyra’s main street retail sector is currently burgeoning and stories of its renewal have appeared in the national press. Unlike many similar sized inland towns, there are only a handful of empty shops (and most of these are in the process of being renovated), and new commercial premises have recently been constructed and opened for business. Although a small town, even in Australian country town terms, Guyra now has 10 restaurants, hotel bistros and cafés. A number of these feature local foods, with one pub’s bistro regularly featuring the trout that is farmed just kilometres away. Assessing the Contribution of Local Chefs and Cooks In mid-2007, a pilot survey to begin to explore the contribution of the regional chef in these two close, but quite distinct, rural and regional areas was sent to the chefs/cooks of the 70 food-serving businesses in Armidale and Guyra that I could identify. Taking into account the 6 returns that revealed a business had closed, moved or changed its name, the 42 replies received represented a response rate of 65.5per cent (or two thirds), representatively spread across the two towns. Answers indicated that the businesses comprised 18 restaurants, 13 cafés, 6 bistro/brasseries, 1 roadhouse, 1 takeaway/fast food and 3 bed and breakfast establishments. These businesses employed 394 staff, of whom 102 were chefs and/cooks, or 25.9 per cent of the total number of staff then employed by these establishments. In answer to a series of questions designed to ascertain the roles played by these chefs/cooks in their local communities, as well as more widely, I found a wide range of inputs. These chefs had, for instance, made a considerable contribution to their local economies in the area of fostering local jobs and a work culture: 40 (95 per cent) had worked with/for another local business including but not exclusively food businesses; 30 (71.4 per cent) had provided work experience opportunities for those aspiring to work in the culinary field; and 22 (more than half) had provided at least one apprenticeship position. A large number had brought outside expertise and knowledge with them to these local areas, with 29 (69 per cent) having worked in another food business outside Armidale or Guyra. In terms of community building and sustainability, 10 (or almost a quarter) had assisted or advised the local Council; 20 (or almost half) had worked with local school children in a food-related way; 28 (two thirds) had helped at least one charity or other local fundraising group. An extra 7 (bringing the cumulative total to 83.3 per cent) specifically mentioned that they had worked with/for the local gallery, museum and/or local history group. 23 (more than half) had been involved with and/or contributed to a local festival. The question of whether they had “contributed anything else important, helpful or interesting to the community” elicited the following responses: writing a food or wine column for the local paper (3 respondents), delivering TAFE teacher workshops (2 respondents), holding food demonstrations for Rotary and Lions Clubs and school fetes (5 respondents), informing the public about healthy food (3 respondents), educating the public about environmental issues (2 respondents) and working regularly with Meals on Wheels or a similar organisation (6 respondents, or 14.3 per cent). One respondent added his/her work as a volunteer driver for the local ambulance transport service, the only non-food related response to this question. Interestingly, in line with the activity of well-known celebrity chefs, in addition to the 3 chefs/cooks who had written a food or wine column for the local newspaper, 11 respondents (more than a quarter of the sample) had written or contributed to a cookbook or recipe collection. One of these chefs/cooks, moreover, reported that he/she produced a weblog that was “widely read”, and also contributed to international food-related weblogs and websites. In turn, the responses indicated that the (local) communities—including their governing bodies—also offer some support of these chefs and cooks. Many respondents reported they had been featured in, or interviewed and/or photographed for, a range of media. This media comprised the following: the local newspapers (22 respondents, 52.4 per cent), local radio stations (19 respondents, 45.2 per cent), regional television stations (11 respondents, 26.2 per cent) and local websites (8 respondents, 19 per cent). A number had also attracted other media exposure. This was in the local, regional area, especially through local Council publications (31 respondents, 75 per cent), as well as state-wide (2 respondents, 4.8 per cent) and nationally (6 respondents, 14.3 per cent). Two of these local chefs/cooks (or 4.8 per cent) had attracted international media coverage of their activities. It is clear from the above that, in the small area surveyed, rural and regional chefs/cooks make a considerable contribution to their local communities, with all the chefs/cooks who replied making some, and a number a major, contribution to those communities, well beyond the requirements of their paid positions in the field of food preparation and service. The responses tendered indicate that these chefs and cooks contributed regularly to local public events, institutions and charities (with a high rate of contribution to local festivals, school programs and local charitable activities), and were also making an input into public education programs, local cultural institutions, political and social debates of local importance, as well as the profitability of other local businesses. They were also actively supporting not only the future of the food industry as a whole, but also the viability of their local communities, by providing work experience opportunities and taking on local apprentices for training and mentorship. Much more than merely food providers, as a group, these chefs and cooks were, it appears, also operating as food historians, public intellectuals, teachers, activists and environmentalists. They were, moreover, operating as content producers for local media while, at the same time, acting as media producers and publishers. Conclusion The terms “chef” and “cook” can be diversely defined. All definitions, however, commonly involve a sense of professionalism in food preparation reflecting some specialist knowledge and skill in the culinary arts, as well as various levels of creativity, experience and responsibility. In terms of the specific duties that chefs and professional cooks undertake every day, almost all publications on the subject deal specifically with workplace related activities such as food and other supply ordering, staff management, menu planning and food preparation and serving. This is constant across culinary textbooks (see, for instance, Culinary Institute of America 2002) and more discursive narratives about the professional chef such as the bestselling autobiographical musings of Anthony Bourdain, and Michael Ruhlman’s journalistic/biographical investigations of US chefs (Soul; Reach). An alternative preliminary examination, and categorisation, of the roles these professionals play outside their kitchens reveals, however, a much wider range of community based activities and inputs than such texts suggest. It is without doubt that the chefs and cooks who responded to the survey discussed above have made, and are making, a considerable contribution to their local New England communities. It is also without doubt that these contributions are of considerable value, and valued by, those country communities. Further research will have to consider to what extent these contributions, and the significance and influence of these chefs and cooks in those communities are mirrored, or not, by other country (as well as urban) chefs and cooks, and their communities. Acknowledgements An earlier version of this paper was presented at the Engaging Histories: Australian Historical Association Regional Conference, at the University of New England, September 2007. I would like to thank the session’s participants for their insightful comments on that presentation. A sincere thank you, too, to the reviewers of this article, whose suggestions assisted my thinking on this piece. Research to complete this article was carried out whilst a Visiting Fellow with the Research School of Humanities, the Australian National University. References Armidale Tourist Information Centre. Dining Out in Armidale [brochure]. Armidale: Armidale-Dumaresq Council, c. 2006. Baker-Clark, C. A. Profiles from the Kitchen: What Great Cooks have Taught us about Ourselves and our Food. Lexington: UP of Kentucky, 2006. Bernier, G. Antoine Carême 1783-1833: La Sensualité Gourmande en Europe. Paris: Grasset, 1989. Bourdain, A. Kitchen Confidential: Adventures in the Culinary Underbelly. New York: Harper Perennial, 2001. Bowyer, A. Delia Smith: The Biography. London: André Deutsch, 1999. Brandon, R. The People’s Chef: Alexis Soyer, A Life in Seven Courses. Chichester: Wiley, 2005. Brien, D. L. “Australian Celebrity Chefs 1950-1980: A Preliminary Study.” Australian Folklore 21 (2006): 201–18. Chelminski, R. The Perfectionist: Life and Death In Haute Cuisine. New York: Gotham Books, 2005. Clifford-Smith, S. A Marvellous Party: The Life of Bernard King. Milson’s Point: Random House Australia, 2004. Culinary Institute of America. The Professional Chef. 7th ed. New York: Wiley, 2002. de Certeau, M. The Practice of Everyday Life. Berkeley: U of California P, 1988. Hildred, S., and T. Ewbank. Jamie Oliver: The Biography. London: Blake, 2001. Jenkins, S. 21 Great Chefs of Australia: The Coming of Age of Australian Cuisine. East Roseville: Simon and Schuster, 1991. Kelly, I. Cooking for Kings: The Life of Antoine Carême, The First Celebrity Chef. New York: Walker and Company, 2003. James, K. Escoffier: The King of Chefs. London and New York: Hambledon and London, 2002. Morris, H. Portrait of a Chef: The Life of Alexis Soyer, Sometime Chef to the Reform Club. Cambridge: Cambridge UP, 1938. Nabhan, G. P. Coming Home to Eat: The Pleasures and Politics of Local Foods. New York: W.W. Norton, 2002. O’Donnell, M., and T. Knox. Great Australian Chefs. Melbourne: Bookman Press, 1999. Rachleff, O. S. Escoffier: King of Chefs. New York: Broadway Play Pub., 1983. Ray, E. Alexis Soyer: Cook Extraordinary. Lewes: Southover, 1991. Reardon, J. M. F. K. Fisher, Julia Child, and Alice Waters: Celebrating the Pleasures of the Table. New York: Harmony Books, 1994. Redden, G. “Packaging the Gifts of Nation.” M/C: A Journal of Media and Culture 2.7 (1999) accessed 10 September 2008 http://www.uq.edu.au/mc/9910/gifts.php. Riley, N. Appetite For Life: The Biography of Julia Child. New York: Doubleday, 1977. Ruhlman, M. The Soul of a Chef. New York: Viking, 2001. Ruhlman, M. The Reach of a Chef. New York: Viking, 2006. Sanger, M. B. Escoffier: Master Chef. New York: Farrar Straus Giroux, 1976. Scott, A. J. “The Cultural Economy of Cities.” International Journal of Urban and Regional Research 212 (1997) 323–39. Simpson, N. Gordon Ramsay: The Biography. London: John Blake, 2006. Smith, G. Nigella Lawson: A Biography. London: Andre Deutsch, 2005. Symons, M. A History of Cooks and Cooking. Urbana and Chicago: U of Illinois P, 2004. Tairu, T. “Material Food, Spiritual Quest: When Pleasure Does Not Follow Purchase.” M/C: A Journal of Media and Culture 2.7 (1999) accessed 10 September 2008 http://www.uq.edu.au/mc/9910/pleasure.php. White, R. 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« Language learning ». Language Teaching 37, no 3 (juillet 2004) : 183–93. http://dx.doi.org/10.1017/s0261444805222395.

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04–314 Alloway, N., Gilbert, P., Gilbert, R., and Henderson, R. (James Cook University, Australia Email: Nola.Alloway@jcu.edu.au). Boys Performing English. Gender and Education (Abingdon, UK), 15, 4 (2003), 351–364.04–315 Barcroft, Joe (Washington U., USA; Email: barcroft@wustl.edu). Distinctiveness and bidirectional effects in input enhancement for vocabulary learning. Applied Language Learning (Monterey, CA, USA), 13, 2 (2003), 133–159.04–316 Berman, Ruth, A. and Katzenberger, Irit (Tel Aviv U., Israel; Email: rberman@post.tau.ac.il). Form and function in introducing narrative and expository texts: a developmental perspective. Discourse Processes (New York, USA), 38, 1 (2004), 57–94.04–317 Byon, Andrew Sangpil (State University of New York at Albany, USA; Email: abyon@albany.edu). Language socialisation and Korean as a heritage language: a study of Hawaiian classrooms. Language, Culture and Curriculum (Clevedon, UK), 16, 3 (2003), 269–283.04–318 Chambers, Angela (University of Limerick, Ireland; Email: Angela.Chambers@ul.ie) and O'Sullivan, Íde. Corpus consultation and advanced learners' writing skills in French. ReCALL (Cambridge, UK), 16, 1 (2004), 158–172.04–319 Chan, Alice Y. W. (City U. of Hong Kong; Email: enalice@cityu.edu.hk). Noun phrases in Chinese and English: a study of English structural problems encountered by Chinese ESL students in Hong Kong. Language, Culture and Curriculum (Clevedon, UK), 17, 1 (2004), 33–47.04–320 Choi, Y-J. (U. of Durham, UK; Email: yoonjeongchoi723@hotmail.com). Intercultural communication through drama in teaching English as an international language. English Teaching (Anseonggun, South Korea), 58, 4 (2003), 127–156.04–321 Chun, Eunsil (Ewha Womens U., South Korea; Email: aceunsil@hananet.net). Effects of text types and tasks on Korean college students' reading comprehension. English Teaching (Anseonggun, South Korea), 59, 2 (2004), 75–100.04–322 Collentine, Joseph (Northern Arizona U., USA; Email: Joseph.Collentine@nau.edu). The effects of learning contexts on morphosyntactic and lexical development. Studies in Second Language Acquisition (New York, USA), 26 (2004), 227–248.04–323 Davies, Beatrice (Oxford Brookes U., UK). The gender gap in modern languages: a comparison of attitude and performance in year 7 and 10. Language Learning Journal (Oxford, UK), 29 (2004), 53–58.04–324 Díaz-Campos, Manuel (Indiana U., USA; Email: mdiazcam@indiana.edu). Context of learning in the acquisition of Spanish second language phonology. Studies in Second Language Acquisition (New York, USA), 26 (2004), 249–273.04–325 Donato, Richard. Aspects of collaboration in pedagogical discourse. Annual Review of Applied Linguistics (Cambridge, UK), 24 (2004), 284–302.04–326 Felix, Uschi (Monash U., Australia; Email: Uschi.Felix@arts.monash.edu.au). A multivariate analysis of secondary students' experience of web-based language acquisition. ReCALL (Cambridge, UK), 16, 1 (2004), 237–249.04–327 Feuerhake, Evelyn, Fieseler, Caroline, Ohntrup, Joy-Sarah and Riemer, Claudia (U. of Bielefeld, Germany). Motivation und Sprachverlust in der L2 Französisch: eine retrospektive Übungsstudie. [Motivation and language attrition in French as a second language (L2): a retrospective research exercise.] Zeitschrift für Interkulturellen Fremdsprachenunterricht (Alberta, Canada), 9, 2 (2004), 29.04–328 Field, John (U. of Leeds & Reading, UK; Email: jcf1000@dircon.co.uk). An insight into listeners' problems: too much bottom-up or too much top-down?System (Oxford, UK), 32, 3 (2004) 363–377.04–329 Freed, Barbara F., Segalowitz, Norman, and Dewey, Dan D. (Carnegie Mellon, U., USA; Email: bf0u+@andrew.cmu.edu). Context of learning and second language fluency in French. Studies in Second Language Acquisition (New York, USA), 26 (2004), 275–301.04–330 Grotjahn, Rüdiger (U. of Bochum, Germany). Test and Attitudes Scale for the Year Abroad (TESTATT): Sprachlernmotivation und Einstellungen gegenüber Sprechern der eigenen und der fremden Sprache. [Test and Attitudes Scale for the Year Abroad (TESTATT): Motivation to learn foreign languages and attitudes toward speakers of one's own and foreign language.] Zeitschrift für Interkulturellen Fremdsprachenunterricht (Alberta, Canada), 9, 2 (2004), 23.04–331 Helbig-Reuter, Beate. Das Europäische Portfolio der Sprache (I). [The European Language Portfolio (I).] Deutsch als Fremdsprache (Leipzig, Germany), 2 (2004), 104–110.04–332 Hopp, Marsha A. and Hopp, Theodore H. (ZigZag, Inc., USA; Email: marsha.hopp@newSLATE.com). NewSLATE: building a web-based infrastructure for learning non-Roman script languages. Calico Journal (Texas, USA), 21, 3 (2004), 541–555.04–333 Jun Zhang, Lawrence (Nanyang Tech. U., Singapore; Email: izhang@nie.edu.sg). Research into Chinese EFL learner strategies: methods, findings and instructional issues. RELC Journal (Singapore), 34, 3 (2003), 284–322.04–334 Kim, H-D. (The Catholic U. of Korea, Korea). Individual Differences in Motivation with Regard to Reactions to ELT Materials. English Teaching (Anseonggun, South Korea), 58, 4 (2003), 177–203.04–335 Kirchner, Katharina (University of Hamburg, Germany). Motivation beim Fremdsprachenerwerb. Eine qualitative Pilotstudie zur Motivation schwedischer Deutschlerner. [Motivation in foreign language acquisition. A qualitative pilot study on motivation of Swedish learners of German.] Zeitschrift für Interkulturellen Fremdsprachenunterricht (Alberta, Canada), 9, 2 (2004), 32.04–336 Kleppin, Karin (U. of Leipzig, Germany). ‘Bei dem Lehrer kann man ja nichts lernen”. Zur Unterstützung der Motivation durch Sprachlernberatung. [‘You cannot learn anything from the teacher”: counselling in foreign language learning and its role as motivational support.] Zeitschrift für Interkulturellen Fremdsprachenunterricht (Alberta, Canada), 9, 2 (2004), 16.04–337 Kormos, Judith (Eötvös Loránd University in Budapest, Hungary) and Dörnyei, Zoltán. The interaction of linguistics and motivational variables in second language task performance. Zeitschrift für Interkulturellen Fremdsprachenunterricht (Alberta, Canada), 9, 2 (2004), 19.04–338 Lafford, Barbara A. (Arizona State U., USA; Email: blafford@asu.edu). The effect of the context of learning on the use of communication strategies by learners of Spanish as a foreign language. Studies in Second Language Acquisition (New York, USA), 26 (2004), 201–225.04–339 Leahy, Christine (Nottingham Trent U., UK; Email: echristine.leahy@ntu.ac.uk). Observations in the computer room: L2 output and learner behaviour. ReCALL (Cambridge, UK), 16, 1 (2004), 124–144.04–340 Lee, Cynthia F. K. (Hong Kong Baptist U.; Email: cfklee@hkbu.edu.hk). Written requests in emails sent by adult Chinese learners of English. Language, Culture and Curriculum (Clevedon, UK), 17, 1 (2004) 58–72.04–341 Leow, Ronald P. (Georgetown U., USA; Email: RLEOW@guvax.georgetown.edu), Egi, Takako, Nuevo, Ana María and Tsai, Ya-Chin. The roles of textual enhancement and type of linguistic item in adult L2 learners' comprehension and intake. Applied Language Learning (California, USA), 13, 2 (2003), 93–108.04–342 Lund, Randall J. Erwerbssequenzen im Klassenraum. [Order of acquisition in the classroom.]. Deutsch als Fremdsprache (Leipzig, Germany), 2 (2004), 99–103.04–343 McBride, Nicole (London Metropolitan University, UK; Email: n.mcbride@londonmet.ac.uk). The role of the target language in cultural studies: two surveys in UK universities. Language, Culture and Curriculum (Clevedon, UK), 16, 3 (2003), 298–311.04–344 McIntosh, N. Cameron and Noels, A. Kimberly (U. of Alberta, Canada). Self-Determined Motivation for Language Learning: The Role of Need for Cognition and Language Learning Strategies. Zeitschrift für Interkulturellen Fremdsprachenunterricht (Alberta, Canada), 9, 2 (2004), 28.04–345 Montrul, Silvina (U. of Illinois at Urbana-Champaign, USA; Email: montrul@uiuc.edu). Psycholinguistic evidence for split intransitivity in Spanish second language acquisition. Applied Psycholinguistics (Cambridge, UK), 25 (2004), 239–267.04–346 Orsini-Jones, Marina (Coventry U., UK; Email: m.orsini@coventry.ac.uk). Supporting a course in new literacies and skills for linguists with a Virtual Learning Environment. ReCALL (Cambridge, UK), 16, 1 (2004), 189–209.04–347 Philip, William (Utrecht U., Netherlands; Email: bill.philip@let.uu.nl) and Botschuijver, Sabine. Discourse integration and indefinite subjects in child English. IRAL (Berlin, Germany), 42, 2 (2004), 189–201.04–348 Rivalland, Judith (Edith Cowan U., Australia). Oral language development and access to school discourses. Australian Journal of Language and Literacy (Norwood, South Australia), 27, 2 (2004), 142–158.04–349 Rosa, Elena, M. and Leow, Ronald, P. (Georgetown U., USA). Awareness, different learning conditions, and second language development. Applied Psycholinguistics (Cambridge, UK), 25 (2004), 269–292.04–350 Schwarz-Friesel, Monika. Kognitive Linguistik heute – Metaphernverstehen als Fallbeispiel. [Cognitive Linguistics today – the case of understanding metaphors.] Deutsch als Fremdsprache (Leipzig, Germany), 2 (2004), 83–89.04–351 Segalowitz, Norman and Freed, Barbara, F. (Concordia U., USA; Email: sgalow@vax2.concordia.ca). Context, contact, and cognition in oral fluency acquisition. Studies in Second Language Acquisition (New York, USA), 26 (2004), 173–199.04–352 Sleeman, Petra (U. of Amsterdam, Netherlands; Email: A.P.Sleeman@uva.nl). Guided learners of French and the acquisition of emphatic constructions. IRAL (Berlin, Germany), 42, 2 (2004), 129–151.04–353 Takanashi, Yoshiri (Fukuoka U. of Education, Japan; Email: yt0917@fukuoka-edu.ac.jp). TEFL and communication styles in Japanese culture. Language, Culture and Curriculum (Clevedon, UK), 17, 1 (2004), 1–14.04–354 Wang, Judy Huei-Yu (Georgetown U., USA; Email: jw235@Georgetown.edu) and Guthrie, John T. Modeling the effects of intrinsic motivation, extrinsic motivation, amount of reading, and past reading achievement on text comprehension between U.S. and Chinese students. Reading Research Quarterly (Newark, USA), 39, 2 (2004), 162–186.04–355 Watts, Catherine (U. of Brighton, UK). Some reasons for the decline in numbers of MFL students at degree level. Language Learning Journal (Oxford, UK), 29 (2004), 59–67.04–356 Wingate, Ursula (Oxford U., UK). Dictionary use – the need to teach strategies. Language Learning Journal (Oxford, UK), 29 (2004), 5–11.04–357 Wong, Wynne (Ohio State U., USA; Email: wong.240@osu.edu). Textual enhancement and simplified input effects on L2 comprehension and acquisition of non-meaningful grammatical form. Applied Language Learning (Monterey, CA, USA), 13, 2 (2003), 109–132.
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« Teacher education ». Language Teaching 39, no 3 (juillet 2006) : 212–16. http://dx.doi.org/10.1017/s0261444806253692.

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06–521Barbera, Michele (Munich, Germany; barbera@netseven.it), The HyperLearning Project: Towards a distributed and semantically structured e-research and e-learning platform. Literary and Linguistic Computing (Oxford University Press) 21.1 (2006), 77–82.06–522Bean, Wendy, STELLA: Professional Learning Pilot Project. Australian Journal of Language and Literacy (Australian Literacy Educators' Association) 29.1 (2006), 79–86.06–523Commins, Nancy L. & Ofelia B. Miramontes (U Colorado-Boulder, USA), Addressing linguistic diversity from the outset. Journal of Teacher Education (Sage) 57.3 (2006), 240–246.06–524Darling-Hammond, Linda (Stanford U, USA; ldh@stanford.edu), Assessing teacher education: The usefulness of multiple measures for assessing program outcomes. Journal of Teacher Education (Sage) 57.2 (2006), 120–138.06–525Fahmi Bataineh, Ruba & Lamma Hmoud Zghoul (Yarmouk U, Irbid, Jordan), Jordanian TEFL graduate students' use of critical thinking skills (as measured by the Cornell Critical Thinking Test, Level Z). International Journal of Bilingual Education and Bilingualism (Multilingual Matters) 9.1 (2006), 33–50.06–526Fallon, Daniel (Carnegie Corporation of New York, USA), The buffalo upon the chimneypiece: The value of evidence. Journal of Teacher Education (Sage) 57.2 (2006), 139–154.06–527Grant, Carl A. (U Wisconsin-Madison, USA) & Maureen Gillette, A candid talk to teacher educators about effectively preparing teachers who can teach everyone's children. Journal of Teacher Education (Sage) 57.3 (2006), 292–299.06–528Kaí-Cheung Poon, Franky (Tai Po Secondary School, Hong Kong, China), Hong Kong English, China English and World English. English Today (Cambridge University Press) 22.2 (2006), 23–28.06–529McDonough, Kim (Northern Arizona U, USA; kim.mcdonough@nau.edu), Action research and the professional development of graduate teaching assistants. The Modern Language Journal (Blackwell) 90.1 (2006), 33–47.06–530Mullock, Barbara (U New South Wales, Sydney, Australia; b.mullock@unsw.edu.au), The pedagogical knowledge base of four TESOL teachers. The Modern Language Journal (Blackwell) 90.1 (2006), 48–66.06–531O'Dwyer, Shaun (David English House, Japan/U New South Wales, Australia; shaunodwyer@yahoo.com.au), The English teacher as facilitator and authority. TESL-EJ (http://www.tesl-ej.org) 9.4 (2006), 15 pp.06–532Otero, Valerie K. (U Colorado-Boulder, USA), Moving beyond the ‘get it or don't’ conception of formative assessment. Journal of Teacher Education (Sage) 57.3 (2006), 240–246.06–533Rybicki, Jan (Kraków Pedagogical U, Poland; jrybicki@ap.krakow.pl), Burrowing into translation: Character idiolects in Henryk Sienkiewicz's Trilogy and its two English translations. Literary and Linguistic Computing (Oxford University Press) 21.1 (2006), 91–103.06–534Son, Jeong-Bae (U Southern Queensland, Australia; sonjb@usq.edu.au), Using online discussion groups in a CALL teacher training course. RELC Journal (Sage) 37.1 (2006), 123–135.06–535Velazquez-Torres, Nancy (Metropolitan College of New York, USA; NvtowerV@aol.com), How well are ESL teachers being prepared to integrate technology in their classrooms?TESL-EJ (http://www.tesl-ej.org) 9.4 (2006), 28 pp.
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43

« APCP CONFERENCE ABSTRACTS : 2023 ». APCP Journal Volume 14 14 (19 décembre 2023). http://dx.doi.org/10.59481/197305.

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The translations and cross-cultural adaptation of the Scoliosis Research Society Revised (SRS-22r) into Urdu Ahmed ATR *1,2, Rye C 1,3, Rand S 1, Simmonds JV 1 1.Great Ormond Street Institute of Child Health, University College London. 2. West London NHS Healthcare Trust. 3. Great Ormond Street Hospital NHS Foundation Trust ___________________________ Development of an evidence-based pathway of care for children presenting with Toe-Walking gait to the Royal National Orthopaedic Hospital. Christine Douglas *1,2, Jane Simmonds 2, Jonathan Wright 1 1 Royal National Orthopaedic Hospital (RNOH), Stanmore UK 2 Great Ormond Street Institute for Child Health, UCL, UK __________________________ Trends in notification of cases to the Northern Ireland Cerebral Palsy Register Claire Kerr*, Oliver Perra, Róisín Keenan, Karen McConnell ____________________________ Moving towards a better understanding of well-being for children with complex disabilities who use a robotic device, the Innowalk ©Made for Movement (This research is supported by an APCP bursary 2022-2023) Dr Dawn Pickering, Cardiff University __________________________ Translation and cross-cultural adaptation of Indian (Hindi) version of the Paediatric Motor Activity Log Scale-Revised (PMAL-R). Surve ER *1,2, Coomer A 1,3,4, Rand S 1, Simmonds JV 1 1.Great Ormond Street Institute of Child Health, University College London. 2. West London NHS Healthcare Trust. 3. St Mary’s Hospital, Imperial Healthcare Trust. 4. St Georges, University of London __________________________ The Paediatric Physiotherapy Curricula Landscape: A Survey of United Kingdom Entry-Level Programs. Jennifer Chesterton, Faculty of Health Science and Wellbeing. University of Sunderland. Paul Chesterton, School of Health and Life Sciences, Teesside University __________________________ Physiotherapy and Occupational Therapy Hip Hop Collaboration Jenny Thomas, Advanced Physiotherapist, Sheffield Children’s Hospital * __________________________ Community-based gym exercise for non-ambulant adults with childhood onset disability Karen McConnell *1, Claire McFeeters2, Joanne Marley2, Alix Crawford3, Katy Pedlow2 1. School of Nursing and Midwifery, Queen’s University Belfast, 2. School of Health Sciences, Ulster University, 3. Mae Murray Foundation __________________________ Burden or Blessing? Evaluating parental satisfaction of a parent-mediated approach to a pilot interdisciplinary therapy Early Intervention Programme. Brimlow K*., McKenzie A., Philips A. Scottish Centre for Children with Motor Impairments, Cumbernauld, United Kingdom __________________________ Walk tall and look the world right in the eye: A service evaluation of a 4-week trial to assess if the Innowalk Pros could provide physical activity for children with complex neuro-disabilities within a Special School Kath Brimlow*, Jenni Coulter, Aida de La Torre Romero, Georgina Farquhar Scottish Centre for Children with Motor Impairments __________________________ ‘FUNdamentals in Athletics’ Lynsey Cunningham and Clare Gardiner* (South Eastern H&SC Trust) Lee Campbell (Athletics Coach) __________________________ A call to action: gasping for attention Naomi Winfield*, University College London, Milton Keynes University Hospital Madeline Pilbury, Stockport NHS Foundation Trust Carolyn Aitken Arbuckle, NHS Lothian Jason Kettle, Lincolnshire Community Health Services NHS Trust Samantha Grace, St George’s Hospital London Laura Lowndes, Cambridge University Hospitals NHS Trust. __________________________ The translation and cultural adaptation of the Paediatric Balance Scale to Hindi Nikita Dcruz*, Cambridgeshire Community Services NHS Trust Professor Jane Simmonds, University College London Naomi Winfield, University College London, Milton Keynes University Hospital __________________________ Re-SPLASH - Re-Starting Physiotherapy Led Aquatic Therapy Services in Hospital Sarah Brown*, Susan Leiper, Barry Johnstone __________________________ Breathe-Easy: a pilot study to examine the acceptability and feasibility of a novel postural management night-time intervention to improve respiratory health of children with complex neuro-disability. Crombie S*, Sellers D, Kapur A, Hillman G, Baskerville J, Morris C, Bremner S, Lundin J. __________________________ Validation of the Spider, a multisystemic symptom impact tool for symptomatic hypermobility. Busby, V 1,2, Ewer, E,1,3 Simmonds, J.V.1,4 1.UCL Great Ormond Street Institute of Child Health, 2. Buckinghamshire Healthcare NHS Trust, 3. Hounslow and Richmond Community Healthcare NHS Trust, 4. London Hypermobility Unit, Central Health Physiotherapy __________________________ The heROIC trial: Does the use of a Robotic rehabilitation trainer change Quality Of Life, range of movement and function In children with Cerebral Palsy? Clare Grodon (Whittington Health NHS Trust) Harriet Shannon (UCL Great Ormond Street Institute of Child Health) Paul Bassett (Statsconsultancy Ltd) __________________________ Making sense of ‘sport as a therapy choice’ for paediatric physiotherapists working with young people who have disabilities. Susan Booth* (studying at University of Salford) Lecturer in Paediatric Physiotherapy, University of Bolton Professor Garry Crawford (University of Salford) Dr Nicky Spence (University of Salford) __________________________ Effectiveness of integrated hip care pathways for pain, function and quality of life in children with Cerebral Palsy: A systematic literature review. Tanya M. McGrath*, Senior Lecturer, University of the West of England, Bristol, England (UK) Shea T. Palmer, Professor of Physiotherapy, Cardiff University, Wales (UK) __________________________ The differences between skeletal muscle in children with Cerebral Palsy and children who are typically developing. Rebekah Moynihan, Physiotherapist, Leckey __________________________ A focus group of experienced paediatric physiotherapists sharing their perspectives on physiotherapy management of Patellar Dislocation Holly Heighway* - MSc Paediatric Physiotherapy, University College London Daniel Armitage – Lecturer (Teaching), University College London Sarah Rand – Lecturer (Teaching), University College London Dr Louise Kedroff - Lecturer (Teaching), University College London __________________________ Ankle plantarflexor volume appears reduced in some Idiopathic toe walkers. A service evaluation. McNee AE1*, Noble J2, Evans S1, Zeigler K1, Ng Man Sun S1, Hulme A1, Fry NR2, Shortland AP2. 1Paediatric Orthopaedic Team, Chelsea and Westminster Hospital, London 2One Small Step Gait Laboratory, Evelina Children’s Hospital, London __________________________ Children and Young People (CYP) with acute finger injuries do not need referral to Physiotherapy. Nikki Thorpe, Royal Free NHS Trust, Barnet Hospital Children and Young People’s Musculoskeletal outpatient service. __________________________ Barriers and Facilitators for families of children with neurodisability participating in research: implications for physiotherapy research design and delivery. Candiss Argent*1, Claire Ingleby1, Elizabeth Thompson1, Malabika Ghosh1, Sarah Edney1,2 1.Lancashire Teaching Hospitals NHS Foundation Trust, UK, 2. Newcastle University, UK __________________________ “It kind of hurts …I still do it because it’s my physio’: Children’s experiences of physiotherapy within a feasibility RCT Rachel Rapson*, Bernie Carter, Jos M. Latour, Wendy Ingram, Jonathan Marsden. __________________________ A feasibility randomised controlled trial of an interactive exercise-training device for children with cerebral palsy. Rachel Rapson*, Bernie Carter, Jos M. Latour, Wendy Ingram, Jonathan Marsden.
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Hackett, Lisa J., et Jo Coghlan. « The Mutability of Uniform ». M/C Journal 26, no 1 (15 mars 2023). http://dx.doi.org/10.5204/mcj.2968.

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The word ‘uniform’ can be a noun, adjective, or verb. As a noun it relates to prescribed dress, often in occupational settings. As an adjective it relates the sameness between objects and thoughts. As a verb it means to make the same. Underlying each grammatical usage is the concept sameness, to align thoughts, ideas, and physicality. In society where heightened individualism is a key characteristic, the persistence of ‘uniform-ness’ is an intriguing area of research. This issue of M/C Journal embraces the range of meanings that word uniform encompasses, and examines how they present in our culture(s) and how they are represented in the media. In the opening to their book Uniform: Clothing and Discipline in the Modern World, Jane Tynan and Lisa Godson argue that “as state, society, and nation converged towards the end of the nineteenth century uniform became part of a modern culture increasingly concerned with regulating time, space, and bodies” (Tynan and Godson 6). The modern state demanded uniformity of ideas and thought, underpinned by the rationalism that dominated the enlightenment. To dress in a uniform was to transform the body into that rational, uniform being. At the same time uniformity “suppresses individuality”, controlling social interaction (Joseph and Alex 723-24), and centralising the organisation or state in our social lives. As an item of dress, uniforms are distinctive. Yet they only become distinctive when they become different from everyday dress, such as spurs on Cavalry officers who have no horses or wigs on lawyers when everyone else has dispensed with them (Hobsbawm 4). Dress in general is governed by unwritten social rules, perhaps none so pervasive as being required to dress to your gender. The history of uniform reveals that occupational dress often demarked the appropriate gender for the job. Early military uniforms were masculine, nanny uniforms feminine. Uniform explicates status of both the wearer and the non-wearer, who then becomes the ‘other’, the outsider or the non-conformer. The dichotomy between wearer and non-wearer is not so clear, however, as the power of the uniform also provides the means through which the non-conformer can subvert its meanings through incorrect wearing of the uniform. Similarly, too, we see others subverting uniform social norms to make their political points or for political gain. As Jennifer Craik states, “there is a constant play between the intended symbolisms of uniforms … and the informal codes of wearing and denoting uniforms” (Craik 7). As one of “modernity’s practices; [uniforms represent] resistance to tradition and the embrace of rationality” (Tynan and Godson 1-2). Yet, as the twentieth century progressed, we can see uniforms and uniformity of thought being co-opted to create ‘tradition’ and ‘ritual’ particularly around the state (see Cannadine; Hobsbawn). Concurrently, formal occupational dress for many workers entered a decline near the beginning of the twentieth century (Williams-Mitchell 101), yet other forms of uniform arose. A tendency arose towards what Jennifer Craik calls the ‘quasi-uniform’, those “modes of dress that are consensually imposed as appropriate” (17), for example the business suit, a wedding dress or gym wear. This mode of uniform shifts the dynamic from a top-down directive (such as that in an institution or by government) to a more democratic one, where the general populace seemingly consents to, and socially police. With the advent of film, television, and later the Internet, the access to information has led to what some argue as the homogenisation of culture, albeit one that is dominated by particular western cultures. This too can be seen in international diplomacy. First the League of Nations, and then the United Nations, standardised international dialogue between countries. Uniform processes were put in place, with institutions such as the International Court playing a pivotal role. The English language came to dominate, with over 67 countries counting it as an official language, and many others having it in common use. This was arguably as a result of its primacy in both media and diplomatic communications, creating a uniform language which paradoxically retains its localised character. Although this too may be dissipating as this primacy is being challenged through the reinvigoration of languages from former colonies, from Irish to the Indigenous Australian languages, and the growing populations speaking Spanish and Chinese. Diversity too is being demanded in our media and politics, through more balanced and nuanced representations of people. Uniforms are often products of their time, and in their physical form can appear as from another era, staying static while fashion swiftly moves on. The butler or the chauffeur can look like a relic from a previous age. So too can uniform ways of thinking. The recent changing of state school uniform polices in Australia from gendered to gender-neutral clothing reflects how uniforms can be slow to catch up to social norms of women wearing trousers and shorts for sport, leisure, and work. This reflects not only the clothing, but the institutional beliefs that underpinned uniform policy. In reflection of the ways that uniform has changed, for this edition we have chosen to present the feature article followed by the articles in chronological order. The feature article addresses much of the shift in uniforms. This is followed by ten articles which explore several different types of uniform, both physical and metaphysical, revealing how uniforms have changed in society in the last 125 years. This issue’s feature article takes up the theme of how a dress code has developed into an imposed uniform in parliaments, and how female politicians have challenged the gender norms embedded in these codes. Taking a longitudinal view, “Parliamentary Dress: Gendered Contestation of the Political Uniform” by Jo Coghlan and Lisa J. Hackett first situates the development of parliamentary dress in its historical context that assumes masculine attire. It then highlights how female politicians have used these codes to both signal their adherence to norms and their rejection of the same norms. It further examines the ways that prominent female politicians have subverted the parliamentary uniform to make political statements. Our first article, “The Inculcative Power of Australian Cadet Corps Uniforms in the 1900s and 1910s” by Nathan Wise and Lisa J. Hackett, takes us to the start of the twentieth century and examines how military uniforms entered the classroom in the years leading up to, and during, the First World War. It notes how cadet programmes were part of a wider social movement that sought to instil middle-class values throughout society. By donning uniforms, it was believed, boys would also ‘wear’ the ideology prescribed within them. It also served as a signifier to wider society of the status of these boys and the future possibility of service to their country. The experience of the First World War and the mass-uniforming of the population provided a blue-print for the organisation of labour during wartime. Trends that were established during the First World War developed further, perhaps driven by the social and political upheavals of the inter-war years; the Roaring 20s, the Great Depression, the rise of Fascism. Among this was the continuation of the idea that schoolboys undertake Army cadet programmes as part of their education. Some schools had continued this after the First World War, whilst others would introduce it at the start of the war. Liam Barnsdale’s article “Trooping the (School) Colour: Australian School Cadet Uniforms and Masculine Identities during the Second World War” examines how the cadet programmes within schools increased in popularity during the war period. Central to this was the debate over uniforming boys in appropriate uniforms. As Barnsdale points out, Australia had no official uniform for use by cadets. Instead, individual schools designed their own uniforms, which often revealed the ideology of the school rather than the armed forces. The result was that in Australia cadet uniforms were diverse in their offerings. Founded in the dying days of the Second World War, uniformity of political ideals was encapsulated in the fledging United Nations. Replacing the League of Nations which was founded to maintain world peace, the United Nations has proven to be more effective and long-lasting than its predecessor. The central mission of peacekeeping brought about a new form of military uniform, the distinctive blue berets worn by the United Nations Peace Keepers. Simone Strungaru’s article “The Blue Beret: Representations and Symbolism of UN Peacekeeper’s Uniforms” examines the history of the distinctive uniform. Here Strungaru reveals the rich symbolism that the blue beret leverages in forging a distinctive identity for the men and women who wear it. The centrality of military uniforms in historical state events, such as wars, have meant that their iconography has often been linked to the grand ceremonies of state. David Cannadine argued in 1983 that ceremonies surrounding the British royal family have become “so well stage managed” that the British (and arguably Australians) believe they are good at tradition and ritual (Cannadine 160). The next article in our volume examines the careful management of a royal visit to an Australian beach. Donna Lee Brien’s article “Planning Queen Elizabeth II’s Visit to Bondi Beach in 1954: An Object-Inspired History” examines the material remnants of uniform and how it provides a gateway to historical knowledge. Brien’s examination starts with a commemorative medal handed out to school children as part of the royal visit to Bondi Beach. This medal deliberately ties the school uniform to royalty through the use of a signifier usually worn as a military achievement. This tangible connection allows the organisers to assign royalist identities to the school uniform. Brien’s article further extrapolates how other uniforms, such as those worn by Surf Life Savers, Nurses, and a Pipe Band were used in a carefully orchestrated display of royal pageantry at the beach. A pageantry that was uniquely Imperial and Australian all at once. Xiang Gao’s article “A ‘Uniform’ for all States? International Norm Diffusion and Localisation” takes up how norms within different countries have evolved, arguing that such norms become a type of ‘national uniform’. While states adhere to international norms such as those enshrined in the United Nations, they also have to negotiate with domestic actors and the ideals held by them. Thus, norms have to adapt to local sensibilities. The ability of a state to define its own norms on the international stage is affected by its relative positioning in international relations and diplomacy. Gao argues that more powerful states have increased capacity to define and challenge normative behaviour than smaller powers. The results of this can be seen through international treaties: for example, climate change negotiations. Uniformness and uniforms are not just the apparatus of the state, they also exist to identify members of groups that hold themselves apart from society. From subcultural uniforms to religious cults denoting their affiliation to a power beyond the mortal realm, uniforms have been utilised to exclude both the wearer from society and outsiders from the group. In their article “The Clothes Maketh the Cult: The Myth of the Cult and Pop Culture”, Huw Nolan, Jenny Wise, and Lesley McLean examine how the cult ‘uniform’ is used in popular culture as a device to denote cults as ‘the other’. Pope Francis uses his uniform as a way of challenging international norms when it comes to environmental issues, as argued in Aidan Moir’s article: “The Pope’s New Clothes: The Brand Politics of the Papal Uniform in Popular Culture”. Pope Francis, Moir argues, has deliberately chosen modest religious vestments to signify his environmental ethics and his emulation of his namesake, St Francis of Assisi. This uniform also marks a shift away from the more ornate vestments preferred by his predecessor, Pope Benedict. Moir also notes how each pope has personalised their uniform through the use of accessories, noting both John Paul II and Benedict conspicuously wearing accessories from established brand names such as Prada or Rolex. Pope Francis’s aesthetic rejects these items of conspicuous consumption, creating a humbler appearance, reducing the distance between the Catholic leader and his flock. Uniformity does not necessarily mean homogeneity, but rather, as Fredericks and Bradfield argue, a collective whole that can work together. Their article, “‘Uniting Hearts’: The Uluru Statement from the Heart and the Need for a Uniformed Front for a Constitutionally Enshrined First Nations’ Voice to Parliament” also introduces to our discussion how digital icons, a unique feature of contemporary life, become virtual uniforms, signalling the ideological position of the communicator. The ‘Uluru heart’ icon can be both worn physically and shared online to denote support for the Uluru Statement. The simple use of a recognisable symbol communicates identity and allows for widespread dissemination of support for the Uluru Statement. Nicholas Hookway continues the discussion on the use of uniform to denote support for social causes in his article “‘I decked myself out in pink’: Examining the Role of the Pink Uniform in a Virtual Sports Charity Event”. This article also demonstrates the mutability of the uniform: by adhering to the colour pink, individuals have a wide scope of clothing choices, accessories, makeup, and hair colour, etc., to choose from. Examining the pink uniform through the concept of embodied philanthropy, Hookway demonstrates how sports participants are able to create their own uniform, creating a community among themselves. This article also shows how a uniform can be created that allows for high levels of individualisation, a significant change to the reformers of the late nineteenth and early twentieth centuries. This lack of ‘uniformity’ within the uniform appears to have had little negative effect on the wearer’s sense of purpose or unity. The article also shows how, despite pink’s association with femininity, men were prepared to wear the uniform colour to show their support of the cause. The association of the colour with cancer replaces other sociological meanings in this context. The final article in this issue offers a look at how attempts to create a social uniform can be foiled through the lack of a distinctive character, despite the availability of distinct iconography. In “Ayo, Bisexual Check: Bi Bobs, Cuffed Jeans, and Prototypes for a Bisexual Uniform on TikTok”, Collin Knopp-Schwyn examines the difficulties of establishing a uniform when the intended audience struggles to understands its meaning. Despite this, the author locates where the online bisexual community have developed a distinct style that promises the become a prototype for a recognisable bisexual uniform. The articles in this issue provide a comprehensive investigation into various facets of what uniform means both historically and contemporarily. A discernible shift away from highly regimented styles to distinct looks has occurred as society integrates the twin desires of inclusivity and individuality with the long held social need to be part of a recognisable group. References Cannadine, David. "The Context, Performance and Meaning of Ritual: The British Monarchy and the 'Invention of Tradition', c. 1820–1977." The Invention of Tradition. Eds. Eric Hobsbawm and Terence Ranger. Canto ed. Cambridge: Cambridge UP, 1992. 101-64. Craik, Jennifer. Uniforms Exposed. Oxford: Berg, 2005. Hobsbawm, Eric. "Introduction: Inventing Traditions." The Invention of Tradition. Eds. Eric Hobsbawm and Terence Ranger. Canto ed. Cambridge: Cambridge UP, 1992. 1-14. Joseph, Nathan, and Nicholas Alex. "The Uniform: A Sociological Perspective." The American Journal of Sociology 77.4 (1972): 719-30. Tynan, Jane, and Lisa Godson. "Understanding Uniform: An Introduction." Uniform: Clothing and Discipline in the Modern World. Eds. Jane Tynan and Lisa Godson. London and New York: Bloomsbury, 2019. Williams-Mitchell, Christobel. Dressed for the Job: The Story of Occupational Costume. Poole, Dorset: Blandford Press, 1982.
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Rossiter, Ned. « Creative Industries and the Limits of Critique from ». M/C Journal 6, no 3 (1 juin 2003). http://dx.doi.org/10.5204/mcj.2208.

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‘Every space has become ad space’. Steve Hayden, Wired Magazine, May 2003. Marshall McLuhan’s (1964) dictum that media technologies constitute a sensory extension of the body shares a conceptual affinity with Ernst Jünger’s notion of ‘“organic construction” [which] indicates [a] synergy between man and machine’ and Walter Benjamin’s exploration of the mimetic correspondence between the organic and the inorganic, between human and non-human forms (Bolz, 2002: 19). The logo or brand is co-extensive with various media of communication – billboards, TV advertisements, fashion labels, book spines, mobile phones, etc. Often the logo is interchangeable with the product itself or a way or life. Since all social relations are mediated, whether by communications technologies or architectonic forms ranging from corporate buildings to sporting grounds to family living rooms, it follows that there can be no outside for sociality. The social is and always has been in a mutually determining relationship with mediating forms. It is in this sense that there is no outside. Such an idea has become a refrain amongst various contemporary media theorists. Here’s a sample: There is no outside position anymore, nor is this perceived as something desirable. (Lovink, 2002a: 4) Both “us” and “them” (whoever we are, whoever they are) are all always situated in this same virtual geography. There’s no outside …. There is nothing outside the vector. (Wark, 2002: 316) There is no more outside. The critique of information is in the information itself. (Lash, 2002: 220) In declaring a universality for media culture and information flows, all of the above statements acknowledge the political and conceptual failure of assuming a critical position outside socio-technically constituted relations. Similarly, they recognise the problems inherent in the “ideology critique” of the Frankfurt School who, in their distinction between “truth” and “false-consciousness”, claimed a sort of absolute knowledge for the critic that transcended the field of ideology as it is produced by the culture industry. Althusser’s more complex conception of ideology, material practices and subject formation nevertheless also fell prey to the pretence of historical materialism as an autonomous “science” that is able to determine the totality, albeit fragmented, of lived social relations. One of the key failings of ideology critique, then, is its incapacity to account for the ways in which the critic, theorist or intellectual is implicated in the operations of ideology. That is, such approaches displace the reflexivity and power relationships between epistemology, ontology and their constitution as material practices within socio-political institutions and historical constellations, which in turn are the settings for the formation of ideology. Scott Lash abandons the term ideology altogether due to its conceptual legacies within German dialectics and French post-structuralist aporetics, both of which ‘are based in a fundamental dualism, a fundamental binary, of the two types of reason. One speaks of grounding and reconciliation, the other of unbridgeability …. Both presume a sphere of transcendence’ (Lash, 2002: 8). Such assertions can be made at a general level concerning these diverse and often conflicting approaches when they are reduced to categories for the purpose of a polemic. However, the work of “post-structuralists” such as Foucault, Deleuze and Guattari and the work of German systems theorist Niklas Luhmann is clearly amenable to the task of critique within information societies (see Rossiter, 2003). Indeed, Lash draws on such theorists in assembling his critical dispositif for the information age. More concretely, Lash (2002: 9) advances his case for a new mode of critique by noting the socio-technical and historical shift from ‘constitutive dualisms of the era of the national manufacturing society’ to global information cultures, whose constitutive form is immanent to informational networks and flows. Such a shift, according to Lash, needs to be met with a corresponding mode of critique: Ideologycritique [ideologiekritik] had to be somehow outside of ideology. With the disappearance of a constitutive outside, informationcritique must be inside of information. There is no outside any more. (2002: 10) Lash goes on to note, quite rightly, that ‘Informationcritique itself is branded, another object of intellectual property, machinically mediated’ (2002: 10). It is the political and conceptual tensions between information critique and its regulation via intellectual property regimes which condition critique as yet another brand or logo that I wish to explore in the rest of this essay. Further, I will question the supposed erasure of a “constitutive outside” to the field of socio-technical relations within network societies and informational economies. Lash is far too totalising in supposing a break between industrial modes of production and informational flows. Moreover, the assertion that there is no more outside to information too readily and simplistically assumes informational relations as universal and horizontally organised, and hence overlooks the significant structural, cultural and economic obstacles to participation within media vectors. That is, there certainly is an outside to information! Indeed, there are a plurality of outsides. These outsides are intertwined with the flows of capital and the imperial biopower of Empire, as Hardt and Negri (2000) have argued. As difficult as it may be to ascertain the boundaries of life in all its complexity, borders, however defined, nonetheless exist. Just ask the so-called “illegal immigrant”! This essay identifies three key modalities comprising a constitutive outside: material (uneven geographies of labour-power and the digital divide), symbolic (cultural capital), and strategic (figures of critique). My point of reference in developing this inquiry will pivot around an analysis of the importation in Australia of the British “Creative Industries” project and the problematic foundation such a project presents to the branding and commercialisation of intellectual labour. The creative industries movement – or Queensland Ideology, as I’ve discussed elsewhere with Danny Butt (2002) – holds further implications for the political and economic position of the university vis-à-vis the arts and humanities. Creative industries constructs itself as inside the culture of informationalism and its concomitant economies by the very fact that it is an exercise in branding. Such branding is evidenced in the discourses, rhetoric and policies of creative industries as adopted by university faculties, government departments and the cultural industries and service sectors seeking to reposition themselves in an institutional environment that is adjusting to ongoing structural reforms attributed to the demands by the “New Economy” for increased labour flexibility and specialisation, institutional and economic deregulation, product customisation and capital accumulation. Within the creative industries the content produced by labour-power is branded as copyrights and trademarks within the system of Intellectual Property Regimes (IPRs). However, as I will go on to show, a constitutive outside figures in material, symbolic and strategic ways that condition the possibility of creative industries. The creative industries project, as envisioned by the Blair government’s Department of Culture, Media and Sport (DCMS) responsible for the Creative Industry Task Force Mapping Documents of 1998 and 2001, is interested in enhancing the “creative” potential of cultural labour in order to extract a commercial value from cultural objects and services. Just as there is no outside for informationcritique, for proponents of the creative industries there is no culture that is worth its name if it is outside a market economy. That is, the commercialisation of “creativity” – or indeed commerce as a creative undertaking – acts as a legitimising function and hence plays a delimiting role for “culture” and, by association, sociality. And let us not forget, the institutional life of career academics is also at stake in this legitimating process. The DCMS cast its net wide when defining creative sectors and deploys a lexicon that is as vague and unquantifiable as the next mission statement by government and corporate bodies enmeshed within a neo-liberal paradigm. At least one of the key proponents of the creative industries in Australia is ready to acknowledge this (see Cunningham, 2003). The list of sectors identified as holding creative capacities in the CITF Mapping Document include: film, music, television and radio, publishing, software, interactive leisure software, design, designer fashion, architecture, performing arts, crafts, arts and antique markets, architecture and advertising. The Mapping Document seeks to demonstrate how these sectors consist of ‘... activities which have their origin in individual creativity, skill and talent and which have the potential for wealth and job creation through generation and exploitation of intellectual property’ (CITF: 1998/2001). The CITF’s identification of intellectual property as central to the creation of jobs and wealth firmly places the creative industries within informational and knowledge economies. Unlike material property, intellectual property such as artistic creations (films, music, books) and innovative technical processes (software, biotechnologies) are forms of knowledge that do not diminish when they are distributed. This is especially the case when information has been encoded in a digital form and distributed through technologies such as the internet. In such instances, information is often attributed an “immaterial” and nonrivalrous quality, although this can be highly misleading for both the conceptualisation of information and the politics of knowledge production. Intellectual property, as distinct from material property, operates as a scaling device in which the unit cost of labour is offset by the potential for substantial profit margins realised by distribution techniques availed by new information and communication technologies (ICTs) and their capacity to infinitely reproduce the digital commodity object as a property relation. Within the logic of intellectual property regimes, the use of content is based on the capacity of individuals and institutions to pay. The syndication of media content ensures that market saturation is optimal and competition is kept to a minimum. However, such a legal architecture and hegemonic media industry has run into conflict with other net cultures such as open source movements and peer-to-peer networks (Lovink, 2002b; Meikle, 2002), which is to say nothing of the digital piracy of software and digitally encoded cinematic forms. To this end, IPRs are an unstable architecture for extracting profit. The operation of Intellectual Property Regimes constitutes an outside within creative industries by alienating labour from its mode of information or form of expression. Lash is apposite on this point: ‘Intellectual property carries with it the right to exclude’ (Lash, 2002: 24). This principle of exclusion applies not only to those outside the informational economy and culture of networks as result of geographic, economic, infrastructural, and cultural constraints. The very practitioners within the creative industries are excluded from control over their creations. It is in this sense that a legal and material outside is established within an informational society. At the same time, this internal outside – to put it rather clumsily – operates in a constitutive manner in as much as the creative industries, by definition, depend upon the capacity to exploit the IP produced by its primary source of labour. For all the emphasis the Mapping Document places on exploiting intellectual property, it’s really quite remarkable how absent any elaboration or considered development of IP is from creative industries rhetoric. It’s even more astonishing that media and cultural studies academics have given at best passing attention to the issues of IPRs. Terry Flew (2002: 154-159) is one of the rare exceptions, though even here there is no attempt to identify the implications IPRs hold for those working in the creative industries sectors. Perhaps such oversights by academics associated with the creative industries can be accounted for by the fact that their own jobs rest within the modern, industrial institution of the university which continues to offer the security of a salary award system and continuing if not tenured employment despite the onslaught of neo-liberal reforms since the 1980s. Such an industrial system of traditional and organised labour, however, does not define the labour conditions for those working in the so-called creative industries. Within those sectors engaged more intensively in commercialising culture, labour practices closely resemble work characterised by the dotcom boom, which saw young people working excessively long hours without any of the sort of employment security and protection vis-à-vis salary, health benefits and pension schemes peculiar to traditional and organised labour (see McRobbie, 2002; Ross, 2003). During the dotcom mania of the mid to late 90s, stock options were frequently offered to people as an incentive for offsetting the often minimum or even deferred payment of wages (see Frank, 2000). It is understandable that the creative industries project holds an appeal for managerial intellectuals operating in arts and humanities disciplines in Australia, most particularly at Queensland University of Technology (QUT), which claims to have established the ‘world’s first’ Creative Industries faculty (http://www.creativeindustries.qut.com/). The creative industries provide a validating discourse for those suffering anxiety disorders over what Ruth Barcan (2003) has called the ‘usefulness’ of ‘idle’ intellectual pastimes. As a project that endeavours to articulate graduate skills with labour markets, the creative industries is a natural extension of the neo-liberal agenda within education as advocated by successive governments in Australia since the Dawkins reforms in the mid 1980s (see Marginson and Considine, 2000). Certainly there’s a constructive dimension to this: graduates, after all, need jobs and universities should display an awareness of market conditions; they also have a responsibility to do so. And on this count, I find it remarkable that so many university departments in my own field of communications and media studies are so bold and, let’s face it, stupid, as to make unwavering assertions about market demands and student needs on the basis of doing little more than sniffing the wind! Time for a bit of a reality check, I’d say. And this means becoming a little more serious about allocating funds and resources towards market research and analysis based on the combination of needs between students, staff, disciplinary values, university expectations, and the political economy of markets. However, the extent to which there should be a wholesale shift of the arts and humanities into a creative industries model is open to debate. The arts and humanities, after all, are a set of disciplinary practices and values that operate as a constitutive outside for creative industries. Indeed, in their creative industries manifesto, Stuart Cunningham and John Hartley (2002) loath the arts and humanities in such confused, paradoxical and hypocritical ways in order to establish the arts and humanities as a cultural and ideological outside. To this end, to subsume the arts and humanities into the creative industries, if not eradicate them altogether, is to spell the end of creative industries as it’s currently conceived at the institutional level within academe. Too much specialisation in one post-industrial sector, broad as it may be, ensures a situation of labour reserves that exceed market needs. One only needs to consider all those now unemployed web-designers that graduated from multi-media programs in the mid to late 90s. Further, it does not augur well for the inevitable shift from or collapse of a creative industries economy. Where is the standing reserve of labour shaped by university education and training in a post-creative industries economy? Diehard neo-liberals and true-believers in the capacity for perpetual institutional flexibility would say that this isn’t a problem. The university will just “organically” adapt to prevailing market conditions and shape their curriculum and staff composition accordingly. Perhaps. Arguably if the university is to maintain a modality of time that is distinct from the just-in-time mode of production characteristic of informational economies – and indeed, such a difference is a quality that defines the market value of the educational commodity – then limits have to be established between institutions of education and the corporate organisation or creative industry entity. The creative industries project is a reactionary model insofar as it reinforces the status quo of labour relations within a neo-liberal paradigm in which bids for industry contracts are based on a combination of rich technological infrastructures that have often been subsidised by the state (i.e. paid for by the public), high labour skills, a low currency exchange rate and the lowest possible labour costs. In this respect it is no wonder that literature on the creative industries omits discussion of the importance of unions within informational, networked economies. What is the place of unions in a labour force constituted as individualised units? The conditions of possibility for creative industries within Australia are at once its frailties. In many respects, the success of the creative industries sector depends upon the ongoing combination of cheap labour enabled by a low currency exchange rate and the capacity of students to access the skills and training offered by universities. Certainly in relation to matters such as these there is no outside for the creative industries. There’s a great need to explore alternative economic models to the content production one if wealth is to be successfully extracted and distributed from activities in the new media sectors. The suggestion that the creative industries project initiates a strategic response to the conditions of cultural production within network societies and informational economies is highly debateable. The now well documented history of digital piracy in the film and software industries and the difficulties associated with regulating violations to proprietors of IP in the form of copyright and trademarks is enough of a reason to look for alternative models of wealth extraction. And you can be sure this will occur irrespective of the endeavours of the creative industries. To conclude, I am suggesting that those working in the creative industries, be they content producers or educators, need to intervene in IPRs in such a way that: 1) ensures the alienation of their labour is minimised; 2) collectivising “creative” labour in the form of unions or what Wark (2001) has termed the “hacker class”, as distinct from the “vectoralist class”, may be one way of achieving this; and 3) the advocates of creative industries within the higher education sector in particular are made aware of the implications IPRs have for graduates entering the workforce and adjust their rhetoric, curriculum, and policy engagements accordingly. Works Cited Barcan, Ruth. ‘The Idleness of Academics: Reflections on the Usefulness of Cultural Studies’. Continuum: Journal of Media & Cultural Studies (forthcoming, 2003). Bolz, Norbert. ‘Rethinking Media Aesthetics’, in Geert Lovink, Uncanny Networks: Dialogues with the Virtual Intelligentsia. Cambridge, Mass.: MIT Press, 2002, 18-27. Butt, Danny and Rossiter, Ned. ‘Blowing Bubbles: Post-Crash Creative Industries and the Withering of Political Critique in Cultural Studies’. Paper presented at Ute Culture: The Utility of Culture and the Uses of Cultural Studies, Cultural Studies Association of Australia Conference, Melbourne, 5-7 December, 2002. Posted to fibreculture mailing list, 10 December, 2002, http://www.fibreculture.org/archives/index.html Creative Industry Task Force: Mapping Document, DCMS (Department of Culture, Media and Sport), London, 1998/2001. http://www.culture.gov.uk/creative/mapping.html Cunningham, Stuart. ‘The Evolving Creative Industries: From Original Assumptions to Contemporary Interpretations’. Seminar Paper, QUT, Brisbane, 9 May, 2003, http://www.creativeindustries.qut.com/research/cirac/documen... ...ts/THE_EVOLVING_CREATIVE_INDUSTRIES.pdf Cunningham, Stuart; Hearn, Gregory; Cox, Stephen; Ninan, Abraham and Keane, Michael. Brisbane’s Creative Industries 2003. Report delivered to Brisbane City Council, Community and Economic Development, Brisbane: CIRAC, 2003. http://www.creativeindustries.qut.com/research/cirac/documen... ...ts/bccreportonly.pdf Flew, Terry. New Media: An Introduction. Oxford: Oxford University Press, 2002. Frank, Thomas. One Market under God: Extreme Capitalism, Market Populism, and the End of Economic Democracy. New York: Anchor Books, 2000. Hartley, John and Cunningham, Stuart. ‘Creative Industries: from Blue Poles to fat pipes’, in Malcolm Gillies (ed.) The National Humanities and Social Sciences Summit: Position Papers. Canberra: DEST, 2002. Hayden, Steve. ‘Tastes Great, Less Filling: Ad Space – Will Advertisers Learn the Hard Lesson of Over-Development?’. Wired Magazine 11.06 (June, 2003), http://www.wired.com/wired/archive/11.06/ad_spc.html Hardt, Michael and Negri, Antonio. Empire. Cambridge, Mass.: Harvard University Press, 2000. Lash, Scott. Critique of Information. London: Sage, 2002. Lovink, Geert. Uncanny Networks: Dialogues with the Virtual Intelligentsia. Cambridge, Mass.: MIT Press, 2002a. Lovink, Geert. Dark Fiber: Tracking Critical Internet Culture. Cambridge, Mass.: MIT Press, 2002b. McLuhan, Marshall. Understanding Media: The Extensions of Man. London: Routledge and Kegan Paul, 1964. McRobbie, Angela. ‘Clubs to Companies: Notes on the Decline of Political Culture in Speeded up Creative Worlds’, Cultural Studies 16.4 (2002): 516-31. Marginson, Simon and Considine, Mark. The Enterprise University: Power, Governance and Reinvention in Australia. Cambridge: Cambridge University Press, 2000. Meikle, Graham. Future Active: Media Activism and the Internet. Sydney: Pluto Press, 2002. Ross, Andrew. No-Collar: The Humane Workplace and Its Hidden Costs. New York: Basic Books, 2003. Rossiter, Ned. ‘Processual Media Theory’, in Adrian Miles (ed.) Streaming Worlds: 5th International Digital Arts & Culture (DAC) Conference. 19-23 May. Melbourne: RMIT University, 2003, 173-184. http://hypertext.rmit.edu.au/dac/papers/Rossiter.pdf Sassen, Saskia. Losing Control? Sovereignty in an Age of Globalization. New York: Columbia University Press, 1996. Wark, McKenzie. ‘Abstraction’ and ‘Hack’, in Hugh Brown, Geert Lovink, Helen Merrick, Ned Rossiter, David Teh, Michele Willson (eds). Politics of a Digital Present: An Inventory of Australian Net Culture, Criticism and Theory. Melbourne: Fibreculture Publications, 2001, 3-7, 99-102. Wark, McKenzie. ‘The Power of Multiplicity and the Multiplicity of Power’, in Geert Lovink, Uncanny Networks: Dialogues with the Virtual Intelligentsia. Cambridge, Mass.: MIT Press, 2002, 314-325. Links http://hypertext.rmit.edu.au/dac/papers/Rossiter.pdf http://www.creativeindustries.qut.com/ http://www.creativeindustries.qut.com/research/cirac/documents/THE_EVOLVING_CREATIVE_INDUSTRIES.pdf http://www.creativeindustries.qut.com/research/cirac/documents/bccreportonly.pdf http://www.culture.gov.uk/creative/mapping.html http://www.fibreculture.org/archives/index.html http://www.wired.com/wired/archive/11.06/ad_spc.html Citation reference for this article Substitute your date of access for Dn Month Year etc... MLA Style Rossiter, Ned. "Creative Industries and the Limits of Critique from " M/C: A Journal of Media and Culture< http://www.media-culture.org.au/0306/11-creativeindustries.php>. APA Style Rossiter, N. (2003, Jun 19). Creative Industries and the Limits of Critique from . M/C: A Journal of Media and Culture, 6,< http://www.media-culture.org.au/0306/11-creativeindustries.php>
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Panek, Elliot. « Creative Communities after Television : The Collective Authorship of Channel 101 ». M/C Journal 9, no 2 (1 mai 2006). http://dx.doi.org/10.5204/mcj.2615.

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The recent proliferation of the video shorts on the Internet may provide a glimpse of the future of production and distribution of motion pictures. One such short, Lazy Sunday, was produced by cast members of the long-running network television program Saturday Night Live. Cast member Andy Samberg had come to the attention of network producers when they saw several comedy sketches he produced and starred in on the Internet. The popularity of Samberg’s original online-distributed videos did not occur strictly as the result of the virus-like linking and e-mailing distribution pattern that is quickly becoming more common. Rather, these videos achieved exposure on Channel101.com, a Website that functions as a forum and distribution outlet for short video makers. Channel 101 is an interesting example of a hybrid mode of production and distribution of motion pictures, borrowing elements of a film festival and a Website to showcase five-minute videos created by members of the general public. It is the brainchild of two freelance television writers, Dan Harmon and Rob Schrab. There are two key components to Channel 101: a monthly competitive screening of short videos held in Los Angeles and a Website that features downloadable short videos as well as a forum for discussing the creation and content of those videos. When a short video is submitted to Channel 101 by a member of the general public, the selection committee will reject it immediately or pick it up as a “pilot.” If chosen as a pilot, it is then screened in front of a live audience of roughly 300 at Cinespace, a screening room-cum-bar in Los Angeles. The members of the audience are shown ten videos, five pilots and five ongoing series, and are asked to vote for their five favourites. At this point, the audience can elect to reject the pilot, thereby “cancelling” the show. If the audience decides that the video is one of the best five of the ten, the show is “renewed,” and the creators of the video make a new episode for the next month’s screening, resulting in a video series with ongoing characters. These shows are referred to as “prime time” shows and their creators are referred to as “Prime Timers.” These Prime Timers become the selection committee that screens initial submissions. The inception of Channel 101 in the spring of 2003 coincided with the rapid proliferation of broadband Internet access that has made downloading short video clips possible for a growing number of people. The popularity of the site, as well as the rhetoric used by Channel 101’s creators in forums, articles, and other elements of the Website’s discourse, indicate a demand for media that is not a product of the increasingly consolidated media production and distribution infrastructure. It is gaining popularity at a time when two popular modes of regulated production and distribution of motion pictures—film and television—have developed massive infrastructures and standardised labour that, by virtue of their size, are resistant to rapid change. The Channel 101 enterprise presents an alternative arrangement of creators, distributors, and audience members by shortening the time period that any single individual may occupy any of these roles and by increasing the accountability of the creators and distributors to the audience. As a result, the short videos produced and distributed by Channel 101 are products of a creative community, rather than creations of individuals with discrete artistic sensibilities. The creators of Channel 101 claim their unique mode of production and distribution of serialised entertainment constitutes an improvement on the network television system because it prevents creative control from residing in an individual or a small group of individuals for a sustained period of time. However, upon closer examination, it may have much more in common with the television mode of production and distribution than the haphazard home-video quality of viral videos, as well as the ephemeral paths they take to reach viewers online. In this analysis, I aim to discover the ways in which Channel 101 actually differs from that traditional television model and the ways in which it duplicates the consolidation of creative power that exists in the corporate creation and distribution of serialised entertainment. If one examines the aesthetics of the videos on the site, one finds that they are as homogeneous as those of any cable or network television prime time line-up, if not more so. This is not the result of a single, powerful individual controlling the content of the enterprise, but rather a product of a unique power structure that encourages a consistent tone, style, and content by promoting collective authorship. Though the occupiers of the creative roles may change, the individuals who occupy those positions are all equally obliged to indulge the relatively stable and homogeneous desires of the entire community. In “Unconventional Programs on Commercial Television,” Joseph Turow makes connections between personnel shifts at the network executive level and changes in the content and style of programming. By accounting for the implicit social aspect of production and distribution, including friendships and working relationships, Turow sheds light on processes that have an impact on programming but may not necessarily show up in official documentation of the producer/distributor’s day to day affairs (Turow 126). While the programs Turow studied exhibited properties that set them apart from most network television fare, they were often produced or written by members of a single social network. There was an internal implicit norm that members of this creative community adhered to. This “web of relationships” reduced the risk for network executives and producers by guaranteeing some regularity in the product (Turow 126). Even in a system where there is no financial risk to creators or gatekeepers, such as the Channel 101 system, which is vehemently not-for-profit, the need for programming that is both unconventional yet predictable in terms of its perceived quality persists. Social networks have always been a part of the tightly knit community of television writers and producers. The rise of social networking sites on the Internet has made these connections visible, and arguably increased the size of such networks, as well as the speed with which they change. As much as the variations in visibility, size and rate of change of the social connections impact the end product, its worth keeping in mind that Channel 101, like so many online entertainment collectives, draws together groups of people who have pre-established social bonds from the offline world. Several of the video makers who contribute to Channel 101 have worked in the television industry. The importance of existing social networks to the collaborative creative process cannot be overestimated. Message boards play an integral role in conveying what shows are popular with the Channel 101 audience, as well as providing a way for video makers to organise collaborations. In these ways, Channel 101 is as much a social enterprise as it as an entertainment enterprise. As more and more structural functionalist analyses of the culture industry reveal its increasingly Byzantine inner workings, the romantic twentieth-century notion of the individual author appears to be not long for this world. Collective authorship may well be the paradigm for studying a society in which Internet use is constantly gaining ground on more traditional forms of recreation such as film and television. However, something is misleading about the term “collective authorship.” The term implies that members of this creative collective contribute equally to the finished product, when this is rarely, if ever, the case. Similarly, there may be the temptation to believe that a collective author is less likely to be out of touch with the desires of the audience than an individual who stubbornly follows his or her muse, oblivious to the preferences of others. In truth, collective authorship, as a practice or an analytical approach, may merely paper over unequal levels of creative power within the cultural production scheme. By scrutinizing creative communities such as Channel 101 from a structural functionalist standpoint, we may move towards a more nuanced view of the collective author. References Channel 101. 25 Nov. 2005 http://www.channel101.com/>. DiMaggio, Paul, and Paul Hirsch. “Production Organizations in the Arts.” American Behavioral Scientist 19.7/8 (1976): 735-752. Lin, Nan. Social Capital: A Theory of Social Structure and Action. Cambridge, MA: Cambridge UP, 2001. Turow, Joseph. “Unconventional Programs on Commercial Television: An Organizational Perspective.” Mass Communication in Context. Ed. Charles D. Whitney and Ettema James. Beverly Hills, CA: Sage, 1982. 107-129. Citation reference for this article MLA Style Panek, Elliot. "Creative Communities after Television: The Collective Authorship of Channel 101." M/C Journal 9.2 (2006). echo date('d M. Y'); ?> <http://journal.media-culture.org.au/0605/12-panek.php>. APA Style Panek, E. (May 2006) "Creative Communities after Television: The Collective Authorship of Channel 101," M/C Journal, 9(2). Retrieved echo date('d M. Y'); ?> from <http://journal.media-culture.org.au/0605/12-panek.php>.
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Krøvel, Roy. « The Role of Conflict in Producing Alternative Social Imaginations of the Future ». M/C Journal 16, no 5 (28 août 2013). http://dx.doi.org/10.5204/mcj.713.

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Introduction Greater resilience is associated with the ability to self-organise, and with social learning as part of a process of adaptation and transformation (Goldstein 341). This article deals with responses to a crisis in a Norwegian community in the late 1880s, and with some of the many internal conflicts it caused. The crisis and the subsequent conflicts in this particular community, Volda, were caused by a number of processes, driven mostly by external forces and closely linked to the expansion of the capitalist mode of production in rural Norway. But the crisis also reflects a growing nationalism in Norway. In the late 1880s, all these causes seemed to come together in Volda, a small community consisting mostly of independent small farmers and of fishers. The article employs the concept of ‘resilience’ and the theory of resilience in order better to understand how individuals and the community reacted to crisis and conflict in Volda in late 1880, experiences which will cast light on the history of the late 1880s in Volda, and on individuals and communities elsewhere which have also experienced such crises. Theoretical Perspectives Some understandings of social resilience inspired by systems theory and ecology focus on a society’s ability to maintain existing structures. Reducing conflict to promote greater collaboration and resilience, however, may become a reactionary strategy, perpetuating inequalities (Arthur, Friend and Marschke). Instead, the understanding of resilience could be enriched by drawing on ecological perspectives that see conflict as an integral aspect of a diverse ecology in continuous development. In the same vein, Grove has argued that some approaches to anticipatory politics fashion subjects to withstand ‘shocks and responding to adversity through modern institutions such as human rights and the social contract, rather than mobilising against the sources of insecurity’. As an alternative, radical politics of resilience ought to explore political alternatives to the existing order of things. Methodology According to Hall and Lamont, understanding “how individuals, communities, and societies secured their well-being” in the face of the challenges imposed by neoliberalism is a “problem of understanding the bases for social resilience”. This article takes a similarly broad approach to understanding resilience, focusing on a small group of people within a relatively small community to understand how they attempted to secure their well-being in the face of the challenges posed by capitalism and growing nationalism. The main interest, however, is not resilience understood as something that exists or is being produced within this small group, but, rather, how this group produced social imaginaries of the past and the future in cooperation and conflict with other groups in the same community. The research proceeds to analyse the contributions mainly of six members of this small group. It draws on existing literature on the history of the community in the late 1800s and, in particular, biographies of Synnøve Riste (Øyehaug) and Rasmus Steinsvik (Gausemel). In addition, the research builds on original empirical research of approximately 500 articles written by the members of the group in the period from 1887 to 1895 and published in the newspapers Vestmannen, Fedraheimen and 17de Mai; and will try to re-tell a history of key events, referring to a selection of these articles. A Story about Being a Woman in Volda in the Late 1880s This history begins with a letter from Synnøve Riste, a young peasant woman and daughter of a local member of parliament, to Anders Hovden, a friend and theology student. In the letter, Synnøve Riste told her friend about something she just had experienced and had found disturbing (more details in Øyehaug). She first sets her story in the context of an evangelical awakening that was gaining momentum in the community. There was one preacher in particular who seemed to have become very popular among the young women. He had few problems when it comes to women, she wrote, ironically. Curious about the whole thing, Synnøve decided to attend a meeting to see for herself what was going on. The preacher noticed her among the group of young women. He turned his attention towards her and scolded her for her apparent lack of religious fervour. In the letter she explained the feeling of shame that came over her when the preacher singled her out for public criticism. But the feeling of shame soon gave way to anger, she wrote, before adding that the worst part of it was ‘not being able to speak back’; as a woman at a religious meeting she had to hold her tongue. Synnøve Riste was worried about the consequences of the religious awakening. She asked her friend to do something. Could he perhaps write a poem for the weekly newspaper the group had begun to publish only a few months earlier? Anders Hovden duly complied. The poem was published, anonymously, on Wednesday 17 March 1888. Previously, the poem says, women enjoyed the freedom to roam the mountains and valleys. Now, however, a dark mood had come over the young women. ‘Use your mind! Let the madness end! Throw off the blood sucker! And let the world see that you are a woman!’ The puritans appreciated neither the poem nor the newspaper. The newspaper was published by the same group of young men and women who had already organised a private language school for those who wanted to learn to read and write New Norwegian, a ‘new’ language based on the old dialects stemming from the time before Norway lost its independence and became a part of Denmark and then, after 1814, Sweden. At the language school the students read and discussed translations of Karl Marx and the anarchist Peter Kropotkin. The newspaper quickly grew radical. It reported on the riots following the hanging of the Haymarket Anarchists in Chicago in 1886. It advocated women’s suffrage, agitated against capitalism, argued that peasants and small farmers must learn solidarity from the industrial workers defended a young woman in Oslo who was convicted of killing her newborn baby and published articles from international socialist and anarchist newspapers and magazines. Social Causes for Individual Resilience and Collaborative Resilience Recent literature on developmental psychology link resilience to ‘the availability of close attachments or a supportive and disciplined environment’ (Hall and Lamont 13). Some psychologists have studied how individuals feel empowered or constrained by their environment. Synnøve Riste clearly felt constrained by developments in her social world, but was also resourceful enough to find ways to resist and engage in transformational social action on many levels. According to contemporary testimonies, Synnøve Riste must have been an extraordinary woman (Steinsvik "Synnøve Riste"). She was born Synnøve Aarflot, but later married Per Riste and took his family name. The Aarflot family was relatively well-off and locally influential, although the farms were quite small by European standards. Both her father and her uncle served as members of parliament for the (‘left’) Liberal Party. From a young age she took responsibility for her younger siblings and for the family farm, as her father spent much time in the capital. Her grandfather had been granted the privilege of printing books and newspapers, which meant that she grew up with easy access to current news and debates. She married a man of her own choosing; a man substantially older than herself, but with a reputation for liberal ideas on language, education and social issues. Psychological approaches to resilience consider the influence of cognitive ability, self-perception and emotional regulation, in addition to social networks and community support, as important sources of resilience (Lamont, Welburn and Fleming). Synnøve Riste’s friend and lover, Rasmus Steinsvik, later described her as ‘a mainspring’ of social activity. She did not only rely on family, social networks and community support to resist stigmatisation from the puritans, but she was herself a driving force behind social activities that produced new knowledge and generated communities of support for others. Lamont, Welburn and Fleming underline the importance for social resilience of cultural repertoires and the availability of ‘alternative ways of understanding social reality’ (Lamont, Welburn and Fleming). Many of the social activities Synnøve Riste instigated served as arenas for debate and collaborative activity to develop alternative understandings of the social reality of the community. In 1887, Synnøve Riste had relied on support from her extended family to found the newspaper Vestmannen, but as the group around the language school and newspaper gradually produced more radical alternative understandings of the social reality they came increasingly into conflict with less radical members of the Liberal Party. Her uncle owned the printing press where Vestmannen was printed. He was also a member of parliament seeking re-election. And he was certainly not amused when Rasmus Steinsvik, editor of Vestmannen, published an article reprimanding him for his lacklustre performance in general and his unprincipled voting in support of a budget allocating the Swedish king a substantial amount of money. Steinsvik advised the readers to vote instead for Per Riste, Synnøve Riste’s liberal husband and director of the language school. The uncle stopped printing the newspaper. Social Resilience in Volda The growing social conflicts in Volda might be taken to indicate a lack of resilience. This, however, would be a mistake. Social connectedness is an important source of social resilience (Barnes and Hall 226). Strong ties to family and friends matter, as does membership in associations. Dense networks of social connectedness are related to well-being and social resilience. Inversely, high levels of inequality seem to be linked to low levels of resilience. Participation in democratic processes has also been found to be an important source of resilience (Barnes and Hall 229). Volda was a small community with relatively low levels of inequality and local cultural traditions underlining the importance of cooperation and the obligations of everyone to participate in various forms of communal work. Similarly, even though a couple of families dominated local politics, there was no significant socioeconomic division between the average and the more prosperous farmers. Traditionally, women on the small, independent farms participated actively in most aspects of social life. Volda would thus score high on most indicators predicting social resilience. Reading the local newspapers confirms this impression of high levels of social resilience. In fact, this small community of only a few hundred families produced two competing newspapers at the time. Vestmannen dedicated ample space to issues related to education and schools, including adult education, reflecting the fact that Volda was emerging as a local educational centre; local youths attending schools outside the community regularly wrote articles in the newspaper to share the new knowledge they had attained with other members of the community. The topics were in large part related to farming, earth sciences, meteorology and fisheries. Vestmannen also reported on other local associations and activities. The local newspapers reported on numerous political meetings and public debates. The Liberal Party was traditionally the strongest political party in Volda and pushed for greater independence from Sweden, but was divided between moderates and radicals. The radicals joined workers and socialists in demanding universal suffrage, including, as we have seen, women’s right to vote. The left libertarians in Volda organised a ‘radical left’ faction of the Liberal Party and in the run-up to the elections in 1888 numerous rallies were arranged. In some parts of the municipality the youth set up independent and often quite radical youth organisations, while others established a ‘book discussion’. The language issue developed into a particularly powerful source for social resilience. All members of the community shared the experience of having to write and speak a foreign language when communicating with authorities or during higher education. It was a shared experience of discrimination that contributed to producing a common identity. Hing has shown that those who value their in-group ‘can draw on this positive identity to provide a sense of self-worth that offers resilience’. The struggle for recognition stimulated locals to arrange independent activities, and it was in fact through the burgeoning movement for a New Norwegian language that the local radicals in Volda first encountered radical literature that helped them reframe the problems and issues of their social world. In his biography of Ivar Mortensson Egnund, editor of the newspaper Fedraheimen and a lifelong collaborator of Rasmus Steinsvik, Klaus Langen has argued that Mortensson Egnund saw the ideal type of community imagined by the anarchist Leo Tolstoy in the small Norwegian communities of independent small farmers, a potential model for cooperation, participation and freedom. It was not an uncritical perspective, however. The left libertarians were constantly involved in clashes with what they saw as repressive forces within the communities. It is probably more correct to say that they believed that the potential existed, within these communities, for freedom to flourish. Most importantly, however, reading Fedraheimen, and particularly the journalist, editor and novelist Arne Garborg, infused this group of local radicals with anti-capitalist perspectives to be used to make sense of the processes of change that affected the community. One of Garborg’s biographers, claims that no Norwegian has ever been more fundamentally anti-capitalist than Garborg (Thesen). This anti-capitalism helped the radicals in Volda to understand the local conflicts and the evangelical awakening as symptoms of a deeper and more fundamental development driven by capitalism. A series of article in Vestmannen called for solidarity and unity between small farmers and the growing urban class of industrial workers. Science and Modernity The left libertarians put their hope in science and modernity to improve the lives of people. They believed that education was the key to move forward and get rid of the old and bad ways of doing things. The newspaper was reporting the latest advances in natural sciences and life sciences. It reported enthusiastically about the marvels of electricity, and speculated about a future in which Norway could exploit the waterfalls to generate it on a large scale. Vestmannen printed articles in defence of Darwinism (Egnund), new insights from astronomy (Steinsvik "Kva Den Nye Astronomien"), health sciences, agronomy, new methods of fishing and farming – and much more. This was a time when such matters mattered. Reports on new advances in meteorology in the newspaper appeared next to harrowing reports about the devastating effects of a storm that surprised local fishermen at sea where many men regularly paid with their lives. Hunger was still a constant threat in the harsh winter months, so new knowledge that could improve the harvest was most welcome. Leprosy and other diseases continued to be serious problems in this region of Norway. Health could not be taken lightly, and the left libertarians believed that science and knowledge was the only way forward. ‘Knowledge is a sweet fruit,’ Vestmannen wrote. Reporting on Darwinism and astronomy again pitted Vestmannen against the puritans. On several occasions the newspaper reported on confrontations between those who promoted science and those who defended a fundamentalist view of the Bible. In November 1888 the signature ‘-t’ published an article on a meeting that had taken place a few days earlier in a small village not far from Volda (Unknown). The article described how local teachers and other participants were scolded for holding liberal views on science and religion. Anyone who expressed the view that the Bible should not be interpreted literally risked being stigmatised and ostracised. It is tempting to label the group of left libertarians ‘positivists’ or ‘modernists’, but that would be unfair. Arne Garborg, the group’s most important source of inspiration, was indeed inspired by Émile Zola and the French naturalists. Garborg had argued that nothing less than the uncompromising search for truth was acceptable. Nevertheless, he did not believe in objectivity; Garborg and his followers agreed that it was not possible or even desirable to be anything else than subjective. Adaptation or Transformation? PM Giærder, a friend of Rasmus Steinsvik’s, built a new printing press with the help of local blacksmiths, so the newspaper could keep afloat for a few more months. Finally, however, in 1888, the editor and the printer took the printing press with them and moved to Tynset, another small community to the east. There they joined forces with another dwindling left libertarian publication, Fedraheimen. Generations later, more details emerged about the hurried exit from Volda. Synnøve Riste had become pregnant, but not by her husband Per. She was pregnant by Rasmus Steinsvik, the editor of Vestmannen and co-founder of the language school. And then, after giving birth to a baby daughter she fell ill and died. The former friends Per and Rasmus were now enemies and the group of left libertarians in Volda fell apart. It would be too easy to conclude that the left libertarians failed to transform the community and a closer look would reveal a more nuanced picture. Key members of the radical group went on to play important roles on the local and national political scene. Locally, the remaining members of the group formed new alliances with former opponents to continue the language struggle. The local church gradually began to sympathise with those who agitated for a new language based on the Norwegian dialects. The radical faction of the Liberal Party grew in importance as the conflict with Sweden over the hated union intensified. The anarchists Garborg and Steinsvik became successful editors of a radical national newspaper, 17de Mai, while two other members of the small group of radicals went on to become mayors of Volda. One was later elected member of parliament for the Liberal Party. Many of the more radical anarchist and communist ideas failed to make an impact on society. However, on issues such as women’s rights, voting and science, the left libertarians left a lasting impression on the community. It is fair to say that they contributed to transforming their society in many and lasting ways. Conclusion This study of crisis and conflict in Volda indicate that conflict can play an important role in social learning and collective creativity in resilient communities. There is a tendency, in parts of resilience literature, to view resilient communities as harmonious wholes without rifts or clashes of interests (see for instance Goldstein; Arthur, Friend and Marschke). Instead, conflicts should rather be understood as a natural aspect of any society adapting and transforming itself to respond to crisis. Future research on social resilience could benefit from an ecological understanding of nature that accepts polarisation and conflict as a natural part of ecology and which helps us to reach deeper understandings of the social world, also fostering learning, creativity and the production of alternative political solutions. This research has indicated the importance of social imaginaries of the past. Collective memories of ‘what everybody knows that everybody else knows’ about ‘what has worked in the past’ form the basis for producing ideas about how to create collective action (Swidler 338, 39). Historical institutions are pivotal in producing schemas which are default options for collective action. In Volda, the left libertarians imagined a potential for freedom in the past of the community; this formed the basis for producing an alternative social imaginary of the future of the community. The social imaginary was not, however, based only on local experience and collective memory of the past. Theories played an important role in the process of trying to understand the past and the present in order to imagine future alternatives. The conflicts themselves stimulated the radicals to search more widely and probe more deeply for alternative explanations to the problems they experienced. This search led them to new insights which were sometimes adopted by the local community and, in some cases, helped to transform social life in the long-run. References Arthur, Robert, Richard Friend, and Melissa Marschke. "Fostering Collaborative Resilience through Adaptive Comanagement: Reconciling Theory and Practice in the Management of Fisheries in the Mekong Region." Collaborative Resilience: Moving through Crisis to Opportunity. Ed. Bruce Evan Goldstein. Cambridge, Mass., and London: MIT Press, 2012. 255-282. Barnes, Lucy, and Peter A. Hall. "Neoliberalism and Social Resilience in the Developed Democracies." Social Resilience in the Neoliberal Era. Eds. Peter A. Hall and Michèle Lamont. New York: Cambridge University Press, 2013. 209-238. Egnund, Ivar Mortensson. "Motsetningar." Vestmannen 13.6 (1889): 3. Gausemel, Steffen. Rasmus Steinsvik. Oslo: Noregs boklag, 1937. Goldstein, Bruce Evan. "Collaborating for Transformative Resilience." Collaborative Resilience: Moving through Crisis to Opportunity. Ed. Bruce Evan Goldstein. Cambridge, Mass., and London: MIT Press, 2012. 339-358. Hall, Peter A., and Michèle Lamont. "Introduction." Social Resilience in the Neoliberal Era. Eds. Peter A. Hall and Michèle Lamont. New York: Cambridge University Press, 2013. Lamont, Michèle, Jessica S Welburn, and Crystal M Fleming. "Responses to Discrimination and Social Resilience under Neoliberalism: The United States Compared." Social Resilience in the Neoliberal Era. Eds. Peter A. Hall and Michèle Lamont. New York: Cambridge University Press, 2013. 129-57. Steinsvik, Rasmus. "Kva Den Nye Astronomien Kan Lære Oss." Vestmannen 8.2 (1889): 1. ———. "Synnøve Riste." Obituary. Vestmannen 9.11 (1889): 1. Swidler, Ann. "Cultural Sources of Institutional Resilience: Lessons from Chieftaincy in Rural Malawi." Social Resilience in the Neoliberal Era. Eds. Peter A. Hall and Michèle Lamont. New York: Cambridge University Press, 2013.
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Thanh, Le Trung, et Nguyen Thi Hai Ha. « Narrow the Gap between Research and Practice - Some Suggestions for Vietnam ». VNU Journal of Science : Economics and Business 34, no 3 (24 septembre 2018). http://dx.doi.org/10.25073/2588-1108/vnueab.4176.

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An important objective of research is to create guiding evidences or propose improvements, solutions for practical activities. In order to apply proven research results, all institutions, organizations and individuals should consider appropriate research topics to better understand the issues and select information for the decision-making process and identify solutions for each specific situation. Although research is very important, there is a large gap that makes the widespread application of research evidence into practice difficult. On the basis of synthesizing and evaluating research documents as well as analyzing the real situations of the gap between the research results and the practical applications, the paper examines the origins and causes for the existence of the gap. Some suggestions to narrow down this gap are raised for Vietnam. References 1. Van de Ven, A. H., & Johnson, P. E., “Knowledge for theory and practice”, Academy of Management Review, 31 (2006) 4, 802-821.2. Khurana, R., “From higher aims to hired hands: The social transformation of American business schools and the unfulfilled promise of management as a profession”, Princeton and Oxford: Princeton University Press, 2007.3. Kieser, A., & Leiner, L., “Why the rigour-relevance gap in management research is unbridgeable”, Journal of Management Studies, 46 (2009) 3, 516-533.4. Rousseau, D. M., Manning, J., & Denyer, D., “Evidence in management and organizational science: Assembling the field’s full weight of scientific knowledge through syntheses”, Academy of Management Annals, 2 (2008) 1, 475-515. 5. Pfeffer, J., & Sutton, R. I., “Hard facts, dangerous half-truths and total nonsense: Profiting from evidence-based management”, Cambridge, MA: Harvard Business School, 2006. 6. Van de Ven, A. H., Engaged scholarship: A guide for organizational and social research, London: Oxford University Press, 2007.7. Bartunek, J. M., “Academic-practitioner collaboration need not require joint or relevant research: Toward a relational scholarship of integration”, Academy of Management Journal, 50 (2017) 6, 1323-1333.8. Briner, R. B., & Denyer, D., “Systematic review and evidence synthesis as a practice and scholarship tool”. In D. Rousseau (Ed.), Handbook of evidence-based management: Companies, classrooms, and research, Oxford University Press, 2010, from www.evidencebased-management.com/wp-content/ uploads/2010/01/chapter-8.doc 9. Briner, R. B., Denyer & Rousseau, D. M., “Evidence-based management: Concept cleanup time?”, Academy of Management Perspectives, 23 (2009) 4, 19-32.10. Smith, W. K., & Lewis, M. W., “Toward a theory of paradox: A dynamic equilibrium model of organizing”, Academy of Management Review, 36 (2011) 2, 381-403.11. Phạm Hồng Quất, “Khai thác, ứng dụng kết quả nghiên cứu trong các doanh nghiệp Việt nam: Nút thắt và những nguyên nhân”, Tạp chí Khoa học và Công nghệ Việt Nam, Số 9 (2013), 6-9.12. Mạnh Bôn, “Phần lớn ngân sách chi cho khoa học công nghệ để nuôi bộ máy, thực chi cho đề tài hiệu quả còn ít”, Báo Đầu tư online, 2018, truy cập tại: https://goo.gl/fFh7Pz.13. Đại học Quốc gia Hà Nội, Tọa đàm “Phát triển Khoa học công nghệ thông qua kết nối với doanh nghiệp”, 2018.14. Cục Sở hữu Trí tuệ, Báo cáo thường niên 2016.15. Phạm Xuân Khánh, “Nghiên cứu khoa học và sản xuất sản phẩm công nghệ có khả năng thương mại hóa trong các cơ sở giáo dục nghề nghiệp – Thực trạng và giải pháp”, 2018, truy cập tại: https://goo.gl/wN1NNZ 16. Minh Phong, “Mô hình sàn giao dịch công nghệ quốc gia trong cuộc cách mạng công nghiệp 4.0”, Báo Điện tử Tầm nhìn, 2018, truy cập tại: https://goo.gl/B6Ma8E 17. Vũ Trường Sơn, Lê Vũ Toàn, “Định giá công nghệ và vai trò của Nhà nước trên thị trường công nghệ”, Tin Chiến lược Chính sách, 2015, Bộ Khoa học và Công nghệ, truy cập tại: https://goo.gl/Hp4zvg18. Nguyễn Quang Tuấn, “Thúc đẩy thương mại hóa kết quả nghiên cứu và phát triển ở Việt Nam”, Tạp chí Cộng sản, 2010, truy cập tại: https://goo.gl/CGXef119. Nguyễn Đình Phúc, Nguyễn Trung Thành, Trịnh Minh Tâm, “Thực trạng và giải pháp thúc dẩy dịch vụ chuyển giao công nghệ ở Việt Nam hiện nay”, Tạp chí Khoa học và Công nghệ Việt Nam, Số 6 (2017), 10-12.20. Flodgren G, Parmelli E, Doumit G, Gattellari M, O’Brien MA, Grimshaw JA, “Local opinion leaders: effects on professional practice and health care outcomes”, Cochrane Database Syst Rev, 2011 Aug 10; (8):CD000125.21. ExpandNet, World Health Organization (WHO). “Beginning with the end in mind: planning pilot projects and other programmatic research for successful scaling up”, Geneva (Switzerland): WHO, 2011, view in this link: http://www.expandnet.net/tools.htm.
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Melleuish, Greg. « Taming the Bubble ». M/C Journal 24, no 1 (15 mars 2021). http://dx.doi.org/10.5204/mcj.2733.

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When I saw the word ‘bubbles’ my immediate thought went to the painting by John Millais of a child blowing bubbles that subsequently became part of the advertising campaign for Pears soap. Bubbles blown by children, as we all once did, last but a few seconds and lead on naturally to the theme of transience and constant change. Nothing lasts forever, even if human beings make attempts to impose permanence on the world. A child’s disappointment at having a soap bubble burst represents a deep human desire for permanence which is the focus of this article. Before the modern age, human life could be considered to be somewhat like a bubble in that it could be pricked at any time. This was especially the case with babies and young children who could be easily carried off. As Jeremy Taylor put it: but if the bubble stands the shock of a bigger drop, and outlives the chances of a child, of a careless nurse, of drowning in a pail of water, of being overlaid by a sleepy servant, or such little accidents. (9) More generally, human beings understood that there was nothing permanent about their existing circumstances and that the possibility of famine, disease and, even war was ever present. Pax Romana, which is eulogised by Edward Gibbon as a felicitous time, did not suffer much in the way of war, famine, or epidemics but it was still a time when many Romans would have suffered from a range of diseases and not always have been well nourished. It was, however, a time of considerable security for most Romans who did not need to fear a band of marauders turning up on their doorstep. Disease and war would follow in the wake of climate change during the next century (Harper). Pax Romana was a bubble of relative tranquillity in human history. For a short period of time, climatic conditions, economic circumstances and political stability coalesced to still the winds of time temporarily. But such bubbles were unusual in the European context, which was usually riven by war. Peace reigned, by and large, in the long nineteenth century and in the period following World War II, to which it is possible to attach the name ‘pax moderna’. In China, much longer bubbles have been the norm, but they were succeeded by terrible periods of famine, dislocation, and war. The Ming bubble burst in the seventeenth century amidst a time of cold, famine, and plague (Parker 115-151). In such circumstances there was an appreciation of the precariousness of human existence. This had two major effects: A search for permanence in a world of change and uncertainty, a means of creating a bubble that can resist that change. When living in a time of relative stability, dealing with the fear that that stability will only last so long and that bad things may be just around the corner. These two matters form the basis of this article. Human beings create bubbles as they attempt to control change. They then become attached to their bubbles, even to the extent of believing that their bubbles are the real world. This has the effect of bubbles continuing to exist even if they harm human understanding of the world rather than enhancing it. Impermanence is the great reality of human existence; as Heraclitus (Burnet 136) correctly stated, we cannot place our foot in the same river twice. The extraordinary thing is that human beings possess a plastic nature that allows them to adapt to that impermanence (Melleuish & Rizzo ‘Limits’). The plasticity of human beings, as expressed in their culture, can be seen most clearly in the way that human languages constantly change. This occurs both in terms of word usage and grammatical structure. English was once an inflected language but cases now only really survive in personal pronouns. Words constantly change their meanings, both over time and in different places. Words appear to take on the appearance of permanence; they appear to form bubbles that are encased in lead, even when the reality is that words form multiple fragile bubbles that are constantly being burst and remade. The changing nature of the meaning of words only becomes known to a literate society, in particular a literate society that has a genuine sense of history. In an oral society words are free to change over time and there is little sense of those changes. Writing has the effect of fixing texts into a particular form; at the very least it makes creative reworking of texts much more difficult. Of course, there are counter examples to such a claim, the most famous of which are the Vedas which, it is argued, remained unchanged despite centuries of oral transmission (Doniger104-7). This fixed nature could be achieved because of the strict mode of transmission, ensuring that the hymns did not change when transmitted. As the Vedas are linked to the performance of rituals this exactness was necessary for the rituals to be efficacious (Olivelle xli-xlv). The transmission of words is not the same thing as the transmission of meaning. Nor does it mean that many words that today are used as seemingly universal ideas have always existed. Religion (Nongeri), state (Melleuish, ‘State’), civilisation, and culture (Melleuish, ‘Civilisation’) are all modern creations; ‘identity’ is only about sixty years old (Stokes 2). New words emerge to deal with new circumstances. For example, civilisation came into being partially because the old term ‘Christendom’ had become redundant; ‘identity’ replaced an earlier idea of national character. Words, then, are bubbles that human beings cast out onto the world and that appear to create the appearance of permanence. These bubbles encase the real world giving the thing that they name ‘being’, even as that thing is in flux and a condition of becoming. For Parmenides (loc. 1355-1439), the true nature of the world is being. The solidity provided by ‘being’ is a comfort in a world that is constantly changing and in which there is a constant threat of change. Words and ideas do not form stable bubbles, they form a string of bubbles, with individuals constantly blowing out new versions of a word, but they appear as if they were just the one bubble. One can argue, quite correctly, I believe, that this tendency to meld a string of bubbles into a single bubble is central to the human condition and actually helps human beings to come to terms with their existence in the world. ‘Bubble as being’ provides human beings with a considerable capacity to gain a degree of control over their world. Amongst other things, it allows for radical simplification. A.R. Luria (20-47), in his study of the impact of literacy on how human beings think, noted that illiterate Uzbeks classified colour in a complex way but that with the coming of literacy came to accept the quite simple colour classifications of the modern world. Interestingly, Uzbeks have no word for orange; the ‘being’ of colours is a human creation. One would think that this desire for ‘being’, for a world that is composed of ‘constants’, is confined to the world of human culture, but that is not the case. Everyone learns at school that the speed of light is a constant. Rupert Sheldrake (92-3) decided to check the measurement of the speed of light and discovered that the empirical measurements taken of its speed actually varied. Constants give the universe a smooth regularity that it would otherwise lack. However, there are a number of problems that emerge from a too strong attachment to these bubbles of being. One is that the word is mistaken for the thing; the power of the word, the logos, becomes so great that it comes to be assumed that all the objects described by a word must fit into a single model or type. This flies in the face of two realities. One is that every example of a named object is different. Hence, when one does something practically in the world, such as construct a building, one must adjust one’s activities according to local circumstances. That the world is heterogeneous explains why human beings need plasticity. They need to adapt their practices as they encounter new and different circumstances. If they do not, it may be the case that they will die. The problem with the logos introduced by literacy, the bubble of being, is that it makes human beings less flexible in their dealings with the world. The other reality is human plasticity itself. As word/bubbles are being constantly generated then each bubble will vary in its particular meaning, both at the community and, even, individual, level. Over time words will vary subtly in meaning in different places. There is no agreed common meaning to any word; being is an illusion. Of course, it is possible for governments and other institutions to lay down what the ‘real’ meaning of a word is, much in the same way as the various forms of measurement are defined by certain scientific criteria. This becomes dangerous in the case of abstract nouns. It is the source of ‘heresy’ which is often defined in terms of the meaning of particular words. Multiple, almost infinite, bubbles must be amalgamated into one big bubble. Attempts by logos professionals to impose a single meaning are often resisted by ordinary human beings who generally seem to be quite happy living with a range of bubbles (Tannous; Pegg). One example of mutation of meaning is the word ‘liberal’, which means quite different things in America and Australia. To add to the confusion, there are occasions when liberal is used in Australia in its American sense. This simply illustrates the reality that liberal has no specific ‘being’, some universal idea of which individual liberals are particular manifestations. The problem becomes even worse when one moves between languages and cultures. To give but one example; the ancient Greek word πολις is translated as state but it can be argued that the Greek πολις was a stateless society (Berent). There are good arguments for taking a pragmatic attitude to these matters and assuming that there is a vague general agreement regarding what words such as ‘democracy’ mean, and not to go down the rabbit hole into the wonderland of infinite bubbles. This works so long as individuals understand that bubbles of being are provisional in nature and are capable of being pricked. It is possible, however, for the bubbles to harden and to impose on us what is best described as the ‘tyranny of concepts’, whereby the idea or word obscures the reality. This can occur because some words, especially abstract nouns, have very vague meanings: they can be seen as a sort of cloudy bubble. Again, democracy is good example of a cloudy bubble whose meaning is very difficult to define. A cloudy bubble prevents us from analysing and criticising something too closely. Bubbles exist because human beings desire permanence in a world of change and transience. In this sense, the propensity to create bubbles is as much an aspect of human nature as its capacity for plasticity. They are the product of a desire to ‘tame time’ and to create a feeling of security in a world of flux. As discussed above, a measure of security has not been a common state of affairs for much of human history, which is why the Pax Romana was so idealised. If there is modern ‘bubble’ created by the Enlightenment it is the dream of Kantian perpetual peace, that it is possible to bring a world into being that is marked by permanent peace, in which all the earlier horrors of human existence, from famine to epidemics to war can be tamed and humanity live harmoniously and peacefully forever. To achieve this goal, it was necessary to ‘tame’ history (Melleuish & Rizzo, ‘Philosophy’). This can be done through the idea of progress. History can be placed into a bubble of constant improvement whereby human beings are constantly getting better, not just materially but also intellectually and morally. Progress very easily turns into a utopian fantasy where people no longer suffer and can live forever. The horrors of the first half of the twentieth century did little to dent the power of this bubble. There is still an element of modern culture that dreams of such a world actually coming into being. Human beings may try to convince themselves that the bubble of progress will not burst and that perpetual peace may well be perpetual, but underlying that hope there are deep anxieties born of the knowledge that ‘nothing lasts forever’. Since 1945, the West has lived through a period of peace and relative prosperity, a pax moderna; the European Union is very much a Kantian creation. Underneath the surface, however, contemporary Western culture has a deep fear that the bubble can burst very easily and that the veneer of modern civilisation will be stripped away. This fear manifests itself in a number of ways. One can be seen in the regular articles that appear about the possibility of a comet or asteroid hitting the earth (Drake). Such a collision will eventually occur but it is sixty five million years since the dinosaurs became extinct. Another is the fear of solar storm that could destroy both electricity grids and electronic devices (Britt). Another expression of this fear can be found in forms of artistic expression, including zombie, disaster, and apocalypse movies. These reveal something about the psyche of modernity, and modern democracy, in the same way that Athenian tragedy expressed the hopes and fears of fifth-century Athenian democracy through its elaboration of the great Greek myths. Robert Musil remarks in The Man without Qualities (833) that if humanity dreamed collectively it would dream Moosbrugger, a serial murderer. Certainly, it appears to be the case that when the modern West dreams collectively it dreams of zombies, vampires, and a world in which civilised values have broken down and everyone lives in a Hobbesian state of nature, the war of all against all (Hobbes 86-100). This theme of the bursting of the ‘civilised bubble’ is a significant theme in contemporary culture. In popular culture, two of the best examples of this bursting are the television shows Battlestar Galactica and The Walking Dead. In Galactica, human beings fall prey to the vengeful artificial creatures that they have created and mistreated. In The Walking Dead, as in all post-apocalyptic Zombie creations, the great fear is that human beings will turn into zombies, creatures that have been granted a form of immortality but at the cost of the loss of their souls. The fear of death is primal in all human beings, as is the fear of the loss of one’s humanity after death. This fear is expressed in the first surviving work of human literature, The Epic of Gilgamesh, in which Gilgamesh goes unsuccessfully in search of immortal life. In perhaps the bleakest modern portrayal of a post-apocalyptic world, Cormac McCarthy’s The Road, we encounter the ultimate Hobbesian universe. This is a world that has undergone an apocalypse of unknown origin. There is only darkness and dust and ash; nothing grows any longer and the few survivors are left to scavenge for the food left behind in tins. Or they can eat each other. It is the ultimate war of all against all. The clipped language, the lack of identity of the inhabitants, leads us into something that is almost no longer human. There is little or no hope. Reading The Road one is drawn back to the ‘House of Darkness’ described in The Epic of Gilgamesh, which describes the afterlife in terms of dust (“The Great Myths”): He bound my arms like the wings of a bird, to lead me captive to the house of darkness, seat of Irkalla:to the house which none who enters ever leaves, on the path that allows no journey back, to the house whose residents are deprived of light, where soil is itself their sustenance and clay their food,where they are clad like birds in coats of feathers, and see no light, but dwell in darkness. The Road is a profoundly depressing work, and the movie is barely watchable. In bursting the bubble of immortality, it plays on human fears and anxieties that stretch back millennia. The really interesting question is why such fears should emerge at a time when people in countries like America are living through a period of peace and prosperity. Much as people dream of a bubble of infinite progress and perpetual peace, they instinctively understand that that particular bubble is very fragile and may very easily be punctured. My final example is the less than well-known movie Zardoz, dating from the 1970s and starring Sean Connery. In it, some human beings have achieved ‘immortality’ but the consequences are less than perfect, and the Sean Connery character has the task, given to him by nature, to restore the balance between life and death, just as Gilgamesh had to understand that the two went together. There are some bubbles that are meant to be burst, some realities that human beings have to face if they are to appreciate their place in the scheme of things. Hence, we face a paradox. Human beings are constantly producing bubbles as they chart their way through a world that is also always changing. This is a consequence of their plastic nature. For good reasons, largely out of a desire for stability and security, they also tend to bring these infinite bubbles together into a much smaller number of bubbles that they view as possessing being and hence permanence. The problem is that these ‘bubbles of being’ are treated as if they really described the world in some sort of universal fashion, rather than treated as useful tools. Human beings can become the victims of their own creations. At the same time, human beings have an instinctive appreciation that the world is not stable and fixed, and this appreciation finds its expression in the products of their imagination. They burst bubbles through the use of their imagination in response to their fears and anxieties. Bubbles are the product of the interaction between the changing nature of both the world and human beings and the desire of those human beings for a degree of stability. Human beings need to appreciate both the reality of change and the strengths and weaknesses of bubbles as they navigate their way through the world. References Berent, M. “Stasis, or the Greek Invention of Politics.” History of Political Thought XIX.3 (1998). Britt, R.R. “150 Years Ago: The Worst Solar Storm Ever.” Space.com, 2 Sep. 2009. <https://www.space.com/7224-150-years-worst-solar-storm.html>. Burnet, J. Early Greek Philosophy. London: Adam and Charles Black, 1892. Doniger, W. The Hindus: An Alternative History. Oxford: Oxford University Press, 2009. Drake, N. “Why NASA Plans to Slam a Spacecraft into an Asteroid.” National Geographic, 28 Apr. 2020. <https://www.nationalgeographic.com/science/2020/04/giant-asteroid-nasa-dart-deflection/>. Gibbons, E. The Decline and Fall of the Roman Empire. Vol. 1. New York: Harper, 1836. <https://www.gutenberg.org/files/25717/25717-h/25717-h.htm#chap02.1>. “The Great Myths #6: Enkidu in the Underworld.” <https://wordandsilence.com/2017/11/30/6-enkidu-in-the-underworld-mesopotamian/>. Harper, K. The Fate of Rome: Climate, Disease, & the End of an Empire. Princeton: Princeton University Press, 2017. Hobbes, T. Leviathan. Cambridge: Cambridge University Press, 1991. Kant I. “Perpetual Peace.” In Political Writings, ed. H.S. Reiss. Trans. H.B. Nisbet. Cambridge: Cambridge UP, 1991. 93-130. Luria, A.R. Cognitive Development: Its Cultural and Social Foundations. Trans. M. Lopez-Morillas and L. Solotaroff. Cambridge, Mass.: Harvard UP, 1976. McCarthy, C. The Road. London: Picador, 2006. Melleuish, G.. “The State in World History: Perspectives and Problems.” Australian Journal of Politics and History 48.3 (2002): 322–336. ———. “Civilisation, Culture and Police.” Arts 20 (1998): 7–25. Melleuish, G., and S. Rizzo. “Limits of Naturalism: Plasticity, Finitude and the Imagination.” Cosmos & History 11.1 (2015): 221-238. Melleuish, G., and S.G. Rizzo. “Philosophy of History: Change, Stability and the Tragic Human Condition.” Cosmos and History: The Journal of Natural and Social Philosophy 13.3 (2017): 292-311. Musil, Robert. The Man without Qualities. Vol. 2. Trans. Sophie Wilkins. New York: Vintage International, 1996. Nongeri, B. Before Religion: A History of a Modern Concept. New Haven: Yale UP, 2013. Olivelle, P. Introduction. Upanisads. Trans. Patrick Olivelle. Oxford: Oxford UP, 1996. Parker, G. Global Crisis: War, Climate & Catastrophe in the Seventeenth Century. New Haven: Yale, 2013. Parmenides. Fragments: A Text and Translation with an Introduction by David Gallop. Toronto: U of Toronto P, 1984. Kindle edition. Pegg, M.G. A Most Holy War: The Albigensian Crusade and the Battle for Christendom. Oxford: Oxford UP, 2008. Sheldrake, Rupert. The Science Illusion. London: Coronet: 2013. Stokes, G. Introduction. In The Politics of Identity in Australia, ed. Geoffrey Stokes. Cambridge: Cambridge UP, 1997. Tannous, J. The Making of the Medieval Middle East. Princeton: Princeton UP, 2019. Taylor, J. Holy Dying. Grand Rapids, Mich.: Christian Classics Ethereal Library, 2000.
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Ting, Tin-yuet. « Digital Narrating for Contentious Politics : Social Media Content Curation at Movement Protests ». M/C Journal 18, no 4 (7 août 2015). http://dx.doi.org/10.5204/mcj.995.

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IntroductionThe popularity of social networking sites (SNSs) bears witness to thriving movement protests worldwide. The development of new hardware technologies such as mobile devices and digital cameras, in particular, has fast enhanced visual communications among users that help document and broadcast contemporary social movements. Using social media with these technologies thus presents new opportunities for grassroots social movement organisations (SMOs) and activist groups to become narrators of their activist lives, and to promote solidarity and recognition for advancing varied civic and political agendas. With the case of a student activist group that led and organised a 10-day occupation protest in Hong Kong, this article examines the idea of new media-savvy SMOs as political curators that employ SNS platforms to (co-)create digital narratives at large-scale movement protests. Invoking the concepts of curation and choreography, it highlights how these processes can work together to encourage contentious engagement and collaboration in contemporary social movements.The New Media-Savvy SMO as Political CuratorWhereas traditional social movement studies stressed the importance of pre-existing social networks and organisational structures for collective action, developments in new information and communication technologies (ICTs) challenge the common theories of how people are drawn into and participate in social movements. In recent years, a spate of research has particularly emphasised the ability of individuals and small groups to self-organise on the Internet (e.g. Rheingold). Lately, observing the use of SNSs such as Facebook and Twitter in contemporary social movements, work in this area has focused on how SNSs enable movement diffusion through personal networks and individuals’ online activities even without either the aid or the oversight of an organisation (e.g. Shirky).However, horizontal activism self-organised by atomised new media users seems insufficient as an explanation of how many recent protest movements achieved their high tides. While the flourishing literature shows writers have correctly centred their study on the changing dynamics in control over information and the growing importance of individual users’ contributions, it fails to account for the crucial role that SMOs continue to play. In fact, recent studies consistently observe the continuing importance of SMOs in mobilising and coordinating collective actions in online environments (Bimber, Flanagin, and Stohl, Collective). Whereas new ICTs have provided activist groups with the instrument to deal with their contentious activities with less cueing and leadership from conventional institutionalised structures, SMOs have created their own new media resources. Nowadays, a significant percentage of protest participants have received their information from online platforms that are run by or affiliated with these organisations. The critical questions remain about the kinds of communication methods they utilise to activate and integrate independent activists’ networks and participation, especially in emerging social media environments.Unfortunately, existing research tends to overlook the discursive potentials and cultural dimensions in online activism while emphasising the cost-effectiveness and organisational function of new ICTs. In particular, social movement and new media scholars merely attended to the ways in which digital media enable widescale, relatively un-coordinated contributions to repositories of resources for networks of activists and interest groups, as SNS applications stress the importance of user participation, openness, and network effects in the processes of content production and sharing. However, the mere existence or even “surplus” (Shirky 27) of “second-order communal goods” (Bimber, Flanagin, and Stohl, “Reconceptualizing” 372)—a collection of resources created collectively but without a bounded community, through video-posting, tagging, and circulation practices engaged in by individuals—does not accidentally result in critical publics that come to take part in political activism. Rather, social movements are, above all, the space for manifesting ideas, choices, and a collective will, in which people produce their own history through their cultural creations and social struggles (Touraine). As such, the alteration of meaning, the struggle to define the situation, and the discursive practices carried out within a social movement are all major aspects of social movements and change (Melucci).Indeed, SMOs and marginalised communities worldwide have increasingly learnt the ability to become narrators of their activist and community lives, and to express solidarity and recognition afforded through technology adoption. The recent proliferation of social media applications and mobile digital technologies has allowed activist groups to create and distribute their own stories regarding concrete actions, ongoing campaigns, and thematic issues of protest movements on more multimedia platforms. In order to advance political ideas and collective action frames, they may bring together a variety of online content in such a way that the collated materials offer a commentary on a subject area by articulating and negotiating new media artefacts, while also inviting responses. Therefore, not only are the new media channels for activist communication comparatively inexpensive, but they also provide for a richer array of content and the possibility of greater control by SMOs over its (re-)creation, maintenance, and distribution for potential digital narrating. To understand how digital narrating takes place in contemporary protest movements with SNSs, we now turn to two analytic concepts—curation and choreography.Social Media Content Curation and Choreography Curation, as a new media practice, involves finding, categorising, and organising relevant online content on specific issues. For instance, museums and libraries may have curators to select and feature digital items for collection and display, improving the types of information accessible to a public audience. In protest movements, SMOs and political actors may also curate peer-produced content on SNS platforms so as to filter and amplify useful information for mobilising collective action. In fact, this process by SMOs and political actors is particularly important, as it helps sort and draw timely attention to these information sources, especially at times when users are faced with a large amount of noise created by millions of producers (Bennett, Segerberg, and Walker). More importantly, not only does content curating entail the selection and preservation of online materials that may facilitate collective action, but it may also involve the (re-)presentation of selected content by telling stories not being told or by telling existing stories in a different way (Fotopoulou and Couldry). In contrast to professional collecting, it is a much more deliberate process, one which clearly articulates and puts forwards (opportunities for) new meanings or new understanding of a subject (Franks). For example, when new media content is re-posted or shared in its original form but in a new context, digital narrating occurs as it may result in a new or additional layer of meaning (Baym and Shah). Therefore, more than merely expending information resources available to activists, the power of curation can be understood primarily as discursive, as users may pick up particular versions of reality in interpreting social issues and protest movements (Bekkers, Moody, and Edwards).Moreover, nowadays, social media curating is not restricted to text but also includes image and video streaming, as the development of mobile devices and digital cameras has facilitated and enhanced instant communication and information retrieval almost regardless of location. The practice of content curating with SNSs may also involve the process of choreographing with various social media modules, such as posting a series of edited pictures under an overarching schema and organising user-generated photos into an album that suggests a particular theme. Rather than simply using a single visual item designed to tell a story, the idea of choreographing is thus concerned with how curated items are seen and experienced from the users’ perspectives as it “allows curators not just to expose elements of a story but to tell a structured tale with the traditional elements of beginning, middle and end” (Franks 288).In practice, the implementation of choreography can be envisioned to bring together the practice of content curating and that of enhancing and connecting contentious engagement at protest movements. For example, when SMOs make use of images and video to help frame an issue in a more advanced way by sharing a picture with a comment added on Facebook, they may at once, whether consciously or unconsciously, suggest possible endorsement to the selected content and/or the source—may it be that of an individual user or a formal organisation—while drawing attention to the image and circulating it beyond the original network for which it was posted (Bennett, Segerberg, and Walker). As such, by posting pictures with captions and sharing user-generated photos that do not belong to the SMO but are produced by other users, curating and choreographing with social media content can create a temporary space for practicing mutual recognition and extending the relationship between the SMO and the larger public. Combined, they may therefore “entail the creation of norms and boundaries in particular user communities and their platforms” (Bennett, Segerberg, and Walker 239).This article examines the ways in which a new media-savvy SMO employed SNS platforms to (co-)create digital narratives, with the case of the 2012 Anti-National Education Movement in Hong Kong. By highlighting how social media content curating and choreographing may work together to encourage engagement and collaboration at large-scale protests, we can better understand how emerging SNS-enabled affordances can be translated into concrete contentious activities, as well as the discursive aspects and cultural expressions of using new media platforms and digital technologies in contemporary protest movements.Digital Narrating for Grassroots Mobilisation Since 2010, the Hong Kong Special Administrative Region government has undertaken “national education” curriculum reform. However, the worry about mainland-Chinese style national education in schools brought people out to defend values that were held dear in Hong Kong. Scholarism, a new media-savvy SMO founded by about 20 secondary school students in May 2011, became the first pressure group formed against the “Moral and National Education” curriculum and became the leading activist group. On 30 August 2012, about 50 members and supporters of Scholarism started occupying the public area in front of the government’s headquarters, while three of its members went on a hunger strike. At the same time, Scholarism made active use of Facebook to undertake grassroots mobilisation, prompting both online activism and offline participation. On 7 September, over 120,000 people went to Occupy Headquarters. The next day, the Chief Executive, C. Y. Leung, succumbed to the pressure and declared that the curriculum would not be imposed in Hong Kong schools. In order to initiate a grassroots mobilisation, upon the beginning of Occupy Headquarters, Scholarism carried out the new media practice of telling the story of the student hunger strikers on Facebook to create a “moral shock” (Jasper 106) among the general public. On the first day of the occupation protest, 30 August, a poster on the hunger strike was released by Scholarism on its Facebook page. Instead of providing detailed information about the protest movement, this poster was characterised by the pictures of the three student hunger strikers. The headline message simply stated “We have started the hunger strike.” This poster was very popular among Facebook users; it accumulated more than 16,000 likes.By appealing to the hardships and sufferings of the three student hunger strikers, more photos were uploaded to narrate the course of the hunger strike and the occupation protest. In particular, pictures with captions added were posted on Facebook every couple of hours to report on the student hunger strikers’ latest situation. Although the mobilising power of these edited pictures did not come from their political ideology or rational argumentation, they sought to appeal to the “martyr-hood” of the student activists. Soon thereafter, as the social media updates of the student hunger strikers spread, feelings of shock and anger grew rapidly. Most of the comments that were posted under the updates and photos of the student hunger strikers on Scholarism’s Facebook page protested against the government’s brutality.In addition, as the movement grew, Scholarism extended the self-reporting activities on Facebook from members to non-members. For instance, it frequently (self-)reported on the amount of people joining the movement days and nights. This was especially so on 7 September, when Scholarism uploaded multiple photos and text messages to report on the physical movement of the 120,000 people. As a movement strategy, the display of images of protests and rallies on the Internet can help demonstrate the legitimacy, unity, numbers, and commitment of people supporting the movement goals (Carty and Onyett). Curating and choreographing with protest images on Facebook therefore facilitated the symbolic interactions and emotional exchanges among activists for maintaining movement solidarity and consolidating activist identity.To demonstrate the public support for its organisation and the movement, Scholarism extensively reported on its own, as well as other, protest activities and efforts on Facebook against the introduction of the “Moral and National Education” curriculum, creating unprecedented parallel public records of these events. In fact, throughout the entire movement protest, Scholarism took tight photo records of protest activities, systematically organised them into albums, and uploaded them onto Facebook every day between 30 August and 8 September.Content Co-Creation for Counter-Hegemonic ExpressionsFrom a (neo-)Gramscian perspective, counter-hegemony is often embedded and embodied in music, novels, drama, movies, and so on (Boggs). An example of counter-hegemony in the traditional media is a documentary that questions the government’s involvement in a war (Cohen). Therefore, popular culture in the media may help foster counter-hegemony on the terrain of civil society in preparation for political change (Pratt). For Chinese communities in East Asia, pop music, for example, had played a significant role in organising patriotic feelings in mass protest events, such as the Tiananmen demonstrations of 1989 and the many subsequent protests in Hong Kong, Taiwan, and elsewhere against the violence of the Beijing government (Chow 153). During the occupation protest, Facebook was turned into an open and flexible discursive space, in which cutting-edge counter-hegemonic narratives were produced, distributed, and expressed. Scholarism and many individual activists adopted the social media platform to (co-)create activists’ discourses and knowledge in order to challenge the dominant political and cultural codes (Melucci). An example is a poster created by Scholarism, posted on its Facebook page on 4 September. The title message of this poster is: “This is not the government headquarters. This is our CIVIC SQUARE. Come and occupy!” This message represents a discursive intervention that seeks to “illuminate the limits of normative discourses of knowledge and power” (Lane 138). It did so by replacing the original, official name and meaning of the government headquarters as well as its authority with the counter-hegemonic idea of “civic square,” a term developed and coined by Scholarism during the occupation protest to represent the public space in front of the headquarters.Moreover, the Facebook page of Scholarism was by no means the only source of content out of which counter-hegemonic knowledge and discourses were produced. Conversely, most of the new media artefacts observed on the Facebook page of Scholarism were originally created by and posted on, and therefore re-posted and shared from, the Facebook pages of other individual or group users. They are in forms of text, picture, video, and the like that sought to undermine the legitimacy of the Hong Kong government, ridicule the rationale of the “Moral and National Education” curriculum, and discredit figures in the opposition.An example is a cartoon made by an individual user and re-posted on the Facebook page of Scholarism on 2 September, the day before schools restarted in Hong Kong after the summer break. This cartoon features a schoolboy in his school uniform, who is going to school with a bunch of identical locks tied to his head. The title message is: “School begins, keep your brain safe.” This cartoon was created to ridicule the rationale of the introduction of the “Moral and National Education” by “making visible the underlying and hidden relations of power on which the smooth operation of government repression depends” (Lane 136).Another new media artefact re-posted on the Facebook page of Scholarism was originally created by a well-known Hong Kong cartoon painter of a major local newspaper. This cartoon sought to humanise the student activists and to condemn the brutality of the Hong Kong government. It paints an imagined situation in which a public conversation between the Secretary for Education, Hak-kim Eddie Ng, and the three students on the hunger strike takes place. In this cartoon, Ng is cast as the wholesaler of the “Moral and National Education” curriculum. Holding a bottle of liquid in his hand, he says to the students: “This is the tears of the chief executive from last night. Kids, should you all go home now?”Thus, counter-hegemonic expressions did not flow unidirectionally from Scholarism to the society at large. The special role of Scholarism was indeed to curate and choreograph new media artefacts by employing social media modules such as re-posting and sharing user-generated content. In so doing, it facilitated the mobilisation of the occupation protest and instant collaboration, as it connected scattered activities, turned them into a collective, and branded it with a common identity, conviction, and/or purpose.ConclusionThis article has briefly looked at the case of a new media-savvy SMO in Hong Kong as an example of how activist groups can become political curators at large-scale protest events. In particular, it highlights the concepts of curation and choreography in explaining how emerging SNS-enabled affordances can be translated into concrete contentious activities. 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