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Abuselidze, George. "Optimal Fiscal Policy – Factors for the Formation of the Optimal Economic and Social Models". Journal of Business and Economics Review (JBER) Vol.3(1) Jan-Mar 2018 3, n.º 1 (26 de fevereiro de 2018): 18–27. http://dx.doi.org/10.35609/jber.2018.3.1(3).

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Objective - The purpose of this paper is to develop the optimal economic and social model for the modern stage and analyze the Social Progress Index in Georgia. The research is based on the paradigm that "what we analyze, this determines the decisions we make". Consequently, emphasis is placed on issues that significantly affect human well-being. Methodology/Technique - In this top-down study, the empirical material is collected from official documents and public statements made by centrally placed politicians and administrators in Georgia as well as research conducted by international organizations in Georgia. The research database used is the legislative and normative acts adopted by the government of Georgia in the modern day, in particular: the National Statistics Office of Georgia, the Economic Development and Finance Ministries, the Georgian National Statistics Office, the Parliamentary Finance and Budget Committee and other related departments. Findings - This study shows that the formation of the optimal economic and social organization model of a country is particularly dependent on the selection and implementation of the most appropriate fiscal policy. The philosophy of social security is one of the greatest achievements of modern civilization. The present work is dedicated to the progress of human development – specifically, welfare issues. This provides the model for creating the optimal social security system of a population, with the following social system parameters: distribution of national income to the population and their families and addressing the issues of financing social security needs. Based on the study of the social experiences of social reform and the social indicators of the European Union, the alternate concept of prosperity and perfection is developed. These topics are the focus of the present work. Novelty - The empirical material contained within focuses on the period after 2005, when some important changes in political leadership took place. In 2003, Saakashvili became President of Georgia, Ivanishvili was elected as Prime Minister in 2012 and Kvirikashvili took over this position in 2015. During this time, there was also a shift in government social policy at a central level. The collection of empirical data for this study ends in 2017, giving a total study period of 12 years. Type of Paper: Empirical. Keywords: Fiscal Policy; Welfare; Social Security; Social Innovation; Household; Employment. JEL Classification: E24, E62, H31, H55, H61, R2, R51.
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Nir, Roman. "The Activity of the W.R.S.-N.C.W.C. American Catholic Social and Charity Organization During the War and Post-War Period". Studia Polonijne 40 (24 de abril de 2020): 243–72. http://dx.doi.org/10.18290/sp.2019.13.

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Działalność Amerykańskiej Katolickiej Organizacji w czasie wojny i w okresie powojennym Celem tego artykułu jest przedstawienie ogólnego zarysu działalności Amerykańskiej Katolickiej Organizacji Charytatywnej i Społecznej – War Relief Services-National Catholic Welfare Conference, a także jej wybranych aspektów w niektórych krajach podczas drugiej wojny światowej i kolejnych lat. Ma on zachęcić innych badaczy do podjęcia dalszych badań na ten temat.
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Hakan, Çora, Mikail Elnur Hasan e Gül Sevda. "Protecting the environment as an international process: Black Sea Economic Cooperation (BSEC)". E3S Web of Conferences 258 (2021): 05025. http://dx.doi.org/10.1051/e3sconf/202125805025.

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At In this paper, it was attempted to examine and analyze the environmental and sociological impact of Black Sea Economic Cooperation Organization (BSEC) that was established in June 1992 in Istanbul. Members of the organization are Albania, Azerbaijan, Bulgaria, Armenia, Georgia, Moldova, Romania, Russia, Turkey, Ukraine and Greece. The researchers and scholars should keep in mind that The Commission on the Protection of the Black Sea Against Pollution (the Black Sea Commission or BSC), through its Permanent Secretariat, is the intergovernmental association founded in execution of the Convention on the Protection of the Black Sea Against Pollution (Bucharest Convention), its Protocols and the Strategic Action Plan for the Environmental Protection and Rehabilitation of the Black Sea. Therefore, through BSEC, in the Summit Declaration signed with the participation of the Heads of State and Government of 11 member countries, the Black Sea region is envisaged to be a zone of peace, stability, and welfare. The mechanism chosen to achieve this goal is environmental, economic and social cooperation.
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Denninger, Erhard. "Government Assistance in the Exercise of Basic Rights (Procedure and Organization)". German Law Journal 12, n.º 1 (1 de janeiro de 2011): 430–50. http://dx.doi.org/10.1017/s2071832200016928.

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For a brief period - during the first half of the 1970s - it appeared as though the fundamental debate concerning the function of basic rights (to a certain extent an individual-oriented reprise of the Rechtsstaat-social state controversy of the 1950s and 1960s was coming down to the alternatives “Basic Rights: (only) Defensive Rights” or “Basic Rights: (also) Rights to Participation and Claims to Performance” Peter Häberle's demand (made at the 1971 Constitutional Law Teachers' Conference) that the base-line substantive legal status of basic rights be supplemented by a “status activus processualis” (in the sense of a “government-performative due process”), and the Federal Constitutional Court's (FCC's) first Numerus-Clausus decision (of 18 July 1972) and its Term Abortion decision (of 25 February 1975), with its recognition of the state's “comprehensive” duty to protect (and promote!) unborn life, all mark advanced positions in theory and judicial decision-making. At the same time, new life was given to the discussion concerning “basic social rights” (such as the “right to work”, “to shelter”, “to education”, “to social security”, etc.), and new and expanded forms of social protection, in short: concerning the concretization of the social state principle. Yet the welfare-state, “social-liberal” reform impulse soon ran up against political-economic limits: the “feasibility proviso” allowed the merely “ideal standard” character of subjective performance rights to become all too quickly apparent.
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Ching-Li, Hu. "International Conference on Child Day-Care Health: Opening Remarks". Pediatrics 94, n.º 6 (1 de dezembro de 1994): 987. http://dx.doi.org/10.1542/peds.94.6.987.

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It is important to recall the definition of health embodied in the Constitution of the World Health Organization (WHO) over 45 years ago: "Health is a state of complete physical, mental, and social well-being and not merely the absence of disease or infirmity. The enjoyment of the highest attainable standard of health is one of the fundamental rights of every human being without distinction of race, religion, political belief, economic, or social condition." Among the Organization's mandated functions is "to promote maternal and child health and welfare and to foster the ability to live harmoniously in a changing total environment." The challenge of that task is no less today than it was then. Historically, societies have evolved various patterns of family structure for social and economic functions. In preindustrial societies there evolved a great concordance between these functions, with many of the health, developmental, and socialization functions taking place first within the family and then within the immediate community. The rapid social changes of both the industrial and information revolutions have changed drastically the functions of the family, and have shifted many of the health, developmental, and social functions to nonfamily institutions, from which families are often excluded or marginally involved. Much of the international attention to child health in this last decade has been directed at simple interventions to prevent the nearly 13 million deaths each year of children under 5: universal child immunization; the control of diarrheal and acute respiratory diseases; and infant and young child nutrition, particularly breast-feeding.
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Restrepo-Espinosa, Helena. "La promoción de la salud: de los griegos a la Carta de Ottawa: ¿Un nuevo campo de acción de la Salud Pública?" Anales de la Academia de Medicina de Medellín 20, n.º 1 (30 de março de 2024): 45–54. http://dx.doi.org/10.56684/ammd/2024.1.06.

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This article reviews the history of principles, concepts, and applications that fall under Health Promotion (HP), an important component of the field of Public Health. It begins with the proposals and hygiene concepts of the Greeks to promote healthier populations, extending the review through various centuries to the Declaration known as the Ottawa Charter, from 1986. This charter resulted from the first International Conference on Health Promotion held in Ottawa, Canada, with the participation of the World Health Organization (WHO), the Ministry of Health and Social Welfare of Canada, and the Canadian Public Health Association. This declaration is considered of utmost importance as it defined the terms, concepts, and strategies for the application and development of the “new Health Promotion.” Health Promotion requires Healthy Public Policies and intersectoral collaboration.
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Ling, Peter. "Local Leadership in the Early Civil Rights Movement: The South Carolina Citizenship Education Program of the Highlander Folk School". Journal of American Studies 29, n.º 3 (dezembro de 1995): 399–422. http://dx.doi.org/10.1017/s0021875800022441.

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Between 1953 and 1961 Myles Horton's Highlander Folk School developed the Citizenship Education Program (CEP) beginning in the Sea Islands of South Carolina. Within the program from 1957 onwards Septima Clark and Bernice Robinson developed Citizenship Schools centered on literacy classes. By slowly developing local leaders, like Esau Jenkins, the CEP evolved as an educational framework for social mobilization, which was later used by the Civil Rights Movement as a whole. In the summer of 1961, since the Folk School faced closure by Tennessee state authorities, Highlander transferred the CEP to the Southern Christian Leadership Conference (SCLC). Between 1961 and 1970, hundreds of civil rights activists from across the South attended the SCLC's Citizenship School teacher training courses at the Dorchester Center near Savannah in south-east Georgia. Moreover, in the mid-1960s the Southwide Voter Education Project enabled civil rights activists from across the region to study the political organization that the CEP had spawned in Charleston county as a model for their own community work. Given its widespread influence, the CEP's work was a vital aspect of the Civil Rights Movement itself and constituted Highlander's chief contribution to it.
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Bucknall, Alison M. "Martha’s Work and Mary’s Contemplation? The Women of the Mildmay Conference and the Keswick Convention 1856–1900". Studies in Church History 34 (1998): 405–20. http://dx.doi.org/10.1017/s0424208400013772.

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For many Evangelical clergy and lay people, the ‘annual conference’ became a vital feature of Christian life during the second half of the nineteenth century. Dominant among these was the Mildmay Conference, only later rivalled by the convention held at Keswick. The small beginnings of ‘conference going’ were a group of friends who responded to the invitation of the Revd William Pennefather to meet together in his parish at Barnet in 1856. He had not intended to found an annual gathering, but the momentum of the movement he set off was such that after he left Barnet in 1856 for the parish of Mildmay in London’s northern suburbs, the Conference which followed him grew into a powerful organization which not only brought together some three thousand Evangelical clergy and lay people each year, but also involved itself in welfare work which extended beyond the parish boundaries into other areas of London, and supported a wider network of workers in Britain and overseas. The Convention which began to meet at Keswick in 1875 was far removed from the social concerns of Mildmay, and its commitment to a controversial teaching of’holiness’ kept it on the fringes of Evangelical respectability for the first decade of its existence; but by the 1890s the popularity of ‘Keswick teaching’ could no longer be denied. While other Evangelicals sought to attack or denounce the perceived evils which were creeping into both Victorian Church and society, these conference goers sought to renew Evangelicalism from within in a way that would enable them to speak to that changing world with a new, but still distinctively Evangelical, voice.
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Hildebrandt, Helmut. "Rural healthcare kiosks with telemedicine connectivity: Germany starts to offer 1.000 health kiosks within the next years". International Journal of Integrated Care 23, S1 (28 de dezembro de 2023): 041. http://dx.doi.org/10.5334/ijic.icic23019.

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A rural healthcare kiosk is an innovative healthcare and social infrastructure for those areas where no physician practices exist and has the goal of not only providing access to healthcare services, but also of preventing social isolation and making possible care, aid to the aged and general welfare. Additionally, the conveyance and development of a digital health competence for the popu-lation is an essential task. A network of healthcare kiosks can provide local inhabitants a first point of contact directly in the rural area of districts in Thuringia, Germany which have limited access to medical care. They serve as points of information, advice and navigation, as a social infrastructure and as preventative healthcare for rural localities and villages, as well as mediators and problem solvers for outpatient care, medical services and nursing. In combination with community care outreach, healthcare kiosks fill the holes in provision of care in extensive rural areas. The first rural healthcare kiosk was built and opened in 2022 in the Unstrut-Hainich district. The organization “Gesundes Landleben GmbH” owned by a local foundation and OptiMedis guides and administers the care for residents through this healthcare kiosk. Through a telemedi-cine link with cooperating doctor’s offices and clinics, residents can have their vital medical data taken at healthcare kiosks and then, using an easily serviced device, securely conveyed to partici-pating medical providers. Implementation has taken place so the first results can be reported to ICIC 2023. Local stakehold-ers are already involved in this on-going project. Additionally, this provision of care should be linked with further new forms of care and consultation in order to provide the best-possible enhancement to local healthcare competence and quality of care, while simultaneously avoiding unnecessary waste of time for patients and healthcare providers. Note: OptiMedis founded as well the first health kiosk in Germany in a deprived urban area in Hamburg and reported on it at the ICIC conference in Dublin in 2017. Today the ministry of health in Germany announced that up to 1.000 health kiosks will be opened in Germany during the next years.
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Alqubbanchi, Fatimah Baqer, e Fadya Yaqoob Al-Hamadani. "A Pharmacoeconomics Study for Anticoagulants used for Hospitalized COVID-19 Patients in Al-Najaf Al-Ashraf city –Iraq(Conference Paper )#". Iraqi Journal of Pharmaceutical Sciences ( P-ISSN: 1683 - 3597 , E-ISSN : 2521 - 3512) 30, Suppl. (12 de janeiro de 2022): 48–59. http://dx.doi.org/10.31351/vol30isssuppl.pp48-59.

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Abstract Background: The novel coronavirus 2 (SARS?CoV?2) pandemic is a pulmonary disease, which leads to cardiac, hematologic, and renal complications. Anticoagulants are used for COVID-19 infected patients because the infection increases the risk of thrombosis. The world health organization (WHO), recommend prophylaxis dose of anticoagulants: (Enoxaparin or unfractionated Heparin for hospitalized patients with COVID-19 disease. This has created an urgent need to identify effective medications for COVID-19 prevention and treatment. The value of COVID-19 treatments is affected by cost-effectiveness analysis (CEA) to inform relative value and how to best maximize social welfare through evidence-based pricing decisions. Objective: compare the clinical outcome and the costs of two anticoagulants (heparin and (enoxaparin)) used to treat hospitalized patients with COVID-19 infection. Patients and method: The study was a retrospective review of medical records of adult, non-pregnant, COVID-19 infected hospitalized patients who had baseline and last outcome measurements at Alamal Epidemiology Center, Al-Najaf city from (Augast 2020 to June 2021). The outcome measures included D-dimer, length of stay (LOS), and mortality rate. Only the cost of the medical treatment was considered in the analysis. The pharmacoeconomics analysis was done in three different cost-effectiveness analysis methods. Microsoft Excel spreadsheet and Statistical Package for the Social Sciences software (SPSS), was used to conduct statistical analysis. Kaplan Meier test was used to compare the mortality rate. T-TEST was used to compare the outcomes of the two groups. Results and discussion: two groups were compared, the first group consists of 72 patients who received heparin, and the second group consists of 72 patients who received enoxaparin. COVID-19 infected patients had a higher abnormal average D-dimer (2534.675 ng/dl). No significant differences between both genders with regards to the basal average D-dimer (males= 2649.95 ng/dl, females= 2374.1mg/dl, P-value>0.05). There was a significant difference between patient's ages 60 years and patients <60. (3177.33 ng/dl, 1763.06 ng/dl, P-value <0.05). It seems that, higher D-dimer levels were associated with a higher mortality rate (died=3166.263 ng/dl, survived= 1729.94 ng/dl, P-value <0.05). Heparin was more effective in decreasing D-dimer levels than enoxaparin which inversely increased the D-dimer levels (-24.4 ng/dl/day, +154.701 ng/dl/day, P-value <0.05). Additionally, heparin was more effective in increasing the survival rate compared to enoxaparin (55% vs, 35%, P-value<0.05). Heparin was associated with a longer duration of stay in hospital than enoxaparin but with no significant difference (13.7 days, 12.3 days, P-value >0.05). Concerning the cost, treatment with heparin cost less than enoxaparin (2.08 U.S $, 9.44 U.S $)/per patient/per day. Conclusion: Originator heparin was a more cost-effective anticoagulant therapy compared to originator enoxaparin, it was associated with a lower cost and better effect, treatment with Heparin resulted in positive INB= 11.3, where a positive result means that heparin is more cost-effective than Enoxaparin. All three methods of pharmacoeconomic analysis decide that heparin was more cost-effective than enoxaparin in treating COVID-19 infected patients.
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Fryxelius, A. "POS0202-PARE CHRONICALLY ACTIVE - A PATIENT EMPOWERMENT PROGRAM WITH PEER SUPPORT". Annals of the Rheumatic Diseases 82, Suppl 1 (30 de maio de 2023): 326.1–327. http://dx.doi.org/10.1136/annrheumdis-2023-eular.2159.

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BackgroundWork life disability as a result from musculoskeletal conditions is a tremendous burden both on society and the individual. In Norway 1/3 of all disability pensions are granted on the background of rheumatic disease and musculoskeletal condition. The actual process of getting access to welfare support or a disability pension is built in such a way that it shames and diminishes the individual’s sense of value. The process of getting help is in essence DIS-empowering, and trains the patients to hopelessness. The health care system and state pension system have no effective means of helping people overcome the mental and psychological stigmas and traumas associated with their disability. As Norway’s largest patient organization in the musculo-skeletal field, we have a strong core of trained and experienced peer supporters. In 2012 we decided to leverage this base of peer supporters to make a positive, solution oriented, patient led self management course that can help patients break the negative cycle of passivity.ObjectivesTo create and test a 5-day intensive intervention leading the patients through a guided empowerment process to learn symptom management and health mastery in a safe setting supported by their peers.MethodsWe combined methods from creative process management with existing science based methods on symptom management, motivation, empowerment and lifestyle change, to build a program for the patients consisting of 5 modules. The modules were designed to lead the participants through a group process that activated each individuals inner motivation for making effective lifestyle changes and healthy choices. As part of the process they received a solid framework for continued social support through their local chapter of the patient organization and in an online community. Each module combines 90 minutes of teaching with 30 minutes of physical activity: One module includes mindfulness practice for stress relief and relaxation. The course was called “Sykt Aktiv” which roughly translates to “Chronically Active”, and was marketed in social media to the age group 25-55. 20 participants were included in the first cohort back in 2014, since then the program has been reiterated, improved and repeated on a yearly basis.ResultsAfter the course, the participants reported that they had learnt a lot and it felt inspiring. But the interesting results came after 1-2 years, when several of the participants were able to go back to work, and they reported that what they learnt in the #SyktAKTIV/ #ChronicallyActive course had been what helped them find the way back.ConclusionA peer supported intervention organized by a patient organization has potential to help people with chronic pain and rheumatic conditions return to work life and lead healthy and active lives despite chronic illness.Additional informationThe creators behind this project have had the intention of sending an abstract about it to EULAR at least for the last 6 years. Unfortunately my organization has not seen itself able to prioritize spending money on sending staff to the EULAR congress for many years.Also, my own rheumatic conditions (I have had Scleroderma and Rheumatoid Arthritis since the age 11 & 19) always flare up during winter, and I am usually unable to work during this time of year. I am aware that this abstract doesn’t hold the correct scientific standard, but I don’t have the spoons (ref. Spoon Theory) to check all the references and have a scientist help me with getting things right.Luckily - the actual conference is in June, and at that time I am usually in a very much stronger physical condition, so I can guarantee that I will be able to participate and present this project orally.ReferencesAs stated above, I don’t have the spoons to find all the references for this now, but you can contact my colleagues at REMEDY to vouch for my method and my ability to deliver good oral presentations:Prof. Dr. Espen Haavardsholm.PhD. Rikke Helene Moen.Also: Read the original Spoon Theory, by Lupus patient Christine Miserandino here:https://butyoudontlooksick.com/articles/written-by-christine/the-spoon-theory/AcknowledgementsKristin Kaldestad Urrang.Disclosure of InterestsAnna Fryxelius Consultant of: Pfizer - I held a creative project management workshop for a small team at the Oslo Office in 2012
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Viloria, Rulina. "Sustainable practices of selected publiclylisted higher educational institutions in ensuring good health and well-being". Bedan Research Journal 7, n.º 1 (30 de abril de 2022): 128–57. http://dx.doi.org/10.58870/berj.v7i1.35.

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This study investigated the sustainability practices of two (2) selected publicly-listed higher education institutions in the Philippines that ensure health and well-being. Research and publication, course offerings leading to health professions, and collaborations and health services were used as variables to measure sustainable practices that ensure good health and well-being. On the other hand, sustainable development was chosen to assess the assurance of good health and well-being. This study is based on the theories of health, well-being, sustainable development, and stakeholder theory. The qualitative exploratory research design was used. Data were from the 2020 websites of the respective universities, which contained annual reports, sustainability reports, and other documents. The information from these sources was analyzed using an analytical method. According to the findings, publicly-listed higher education institutions have published several studies on health and well-being in peer-reviewed journals that are either locally or internationally referred locally or internationally or indexed in World of Science (WoS) or Scopus. Nursing, medicine, dentistry, optometry, medical technology, pharmacy, psychology, and social work are among the health-related courses available to train competent and dedicated health professionals. Graduates of these courses will be expected to promote, protect, and treat the physical, mental, social, emotional, environmental, and holistic well-being of others. The analysis of collaborations and health services revealed numerous programs and activities related to networking with other health institutions, health outreach programs, mental health support, and health care services. It develops solutions to improve the health and well-being of university stakeholders using the skills and resources at its disposal. To ensure good health and well-being, stakeholders should collaborate to ensure an integrated and holistic approach to higher education sustainability. To address the study’s limitations, it is proposed that research be conducted using a different approach that links SDG#3 to other SDGs applicable to a university setting.ReferencesAllardt. E. (1989). An updated indicator system: having, leaving, being. working papers 48, Department of Sociology, University of Helsinki.Aleixo, A., Azeiteiro, U., & Leal, S. (2020). Are the Sustainable Development Goals being implemented in the Portuguese higher education formative offer? International Journal of Sustainability in Higher Education, 21(2). https://doi.org/10.1108/IJSHE-04-2019-0150Aleixo, A. M., Azeiteiro, U., & Leal, S. (2018). The implementation of sustainability practices in Portuguese higher education institutions. International Journal of Sustainability in Higher Education.Aleixo, A., Leal, S., & Azeiteiroet, U. (2016). Conceptualization of sustainable higher education institutions, roles, barriers, and challenges for sustainability: An exploratory study in Portugal. Journal of Cleaner Production. http://dx.doi.org/10.1016/j.jclepro.2016.11.010Alshuwaikhat, H. M., & Abubakar, I. (2008). An integrated approach to achieving campus sustainability: assessment of the current campus environmental management practices. Journal of cleaner production, 16(16), 1777-1785.Bebbington, J., Herzig, C., & Moon, J. (2014). Higher education and sustainable development. Auditing and Accountability Journal, 27(2). p. 218-233. http://dx.doi.org/10.1108/AAAJ-12-2013-1553Brundtland, G. H. (1987). Report of the World Commission on environment and development:" our common future.". UN.Centro Escolar University. (2020). CEU Annual Report 2020. https://issuu.com/ceu-mis/docs/annual_report_2020Cole, L. (2003). Assessing Sustainability on Canadian University Campuses: Development of Sustainability Assessment Framework (Doctoral dissertation, Royal Roads University).Cortese, A. D. (2003). The critical role of higher education in creating a sustainable future. Planning for Higher Education.Dade, A. E. (2010). The impact of individual decision-making on oncampus sustainability initiatives. University of Nevada.Dahan, G. & Senol, I, (2012). Corporate social responsibility in higher education institutions: Istanbul Bilgi university the case. American International Journal of Contemporary Research, 2(3).Diener, E., & Seligman, M. E. (2004). Beyond money: Toward an economy of well-being. Psychological science in the public interest, 5(1), 1-31.Dolan, P., Peasgood, T., & White, M. (2006). Review of research on the influences on personal well-being and application to policy making. Defra.Duderstad J.J. & Weber L.E. (2011), “Global sustainability and the responsibilities of universities", Glion Colloquium Series n. 8, Economica, Londra, 119–129.Far Eastern University. (2021). FEU Annual Corporate Governance Report 2021. https://investors.feu.edu.ph/ corporategovernance. aspElkington, J. (1998). Partnerships from cannibals with forks: The triple bottom line of 21st‐century business. Environmental quality management, 8(1), 37-51.Findler, F., Schonherr, N. , Lozano, R., Reider, D., & Martinuzzi, A. (2019). The impacts of higher education institutions on sustainable development: a review and conceptualization. International Journal of Sustainability in Higher Education, https://www.doi.org/10.1108/Fischer, D., Jenssen, S., & Tappeser, V. (2015). Getting an empirical hold of the sustainable university: a comparative analysis of evaluation frameworks across 12 contemporary sustainability assessment tools. Assessment & Evaluation in Higher Education, 40(6), 785-800. https://doi.or/10.1080/02602938.2015.1043234Freeman, R.E. (1999). Divergent stakeholder theory. Academy of Management Review, 24(2), 233-236.Gray, R., & Bebbington, J. (2000). Environmental accounting, managerialism, and sustainability: Is the planet safe in the hands of business and accounting? Advances in environmental accounting & management. Emerald Group Publishing Limited.Gottlieb, R. (2004). Sustainability on Campus: Stories and strategies for change. MIT Press.Guidi, M. E. (2016). Jeremy Bentham (1748–1832). In Handbook on the History of Economic Analysis Volume I. Edward Elgar Publishing.Govindaraju, B., Jeyasingam, J., Habib, M. (2016). Education supply chain management model to achieve sustainability in private universities in Malaysia: a review. International Journal of Supply Management, 5(4).Govindaraju, B., Jeyasingam, J., Habib, M., Letchmana, U., Ravindran, R. (2018). Factors that contribute to the achievement of sustainability in private universities of Malaysia. International Journal of Supply Management, 7(2),Harsanyi, J. C. (1996). Utilities, preferences, and substantive goods. Social choice and welfare, 14(1), 129-145.Hill, P.S., Buse, K., Brolan, C.E. & Ooms, G. (2014). How can health remain central post-2015 sustainable development paradigm? Globalization and Health, 10(1), 18. https://doi.org/10.1186/1744-8603-10-18Jongbloed, B., Enders, J., & Salerno, C. (2008). Higher education and its communities: interconnections, interdependencies and research agenda. Higher Education, 56, 303-324.Kiron, D., Kruschwitz, N., Haanaes, K., & von Steng Velken, L. (2012). Sustainability nears a tipping point. MIT Sloan Management Review, 53, 69-74.Kiseleva, L. (2013). Health as an economic resource in the context of contemporary theories. Czech Journal of Social Sciences Business and Economics, 2(3), 62-71.Konu, A.& Rimpella, M. (2002). Well-being in schools: a conceptual model. Health Promotion International, 17(1).Kretovics, M.A. (2016) Business practices in higher education: a guide for administrators. University College London.Le Blanc D. Towards integration at last? The sustainable development goals as a network of targets. Sustainable Dev 2015;23:176–87.Leal Filho, W., Azeiteiro, U., Alves, F., Pace, P., Mifsud, M., Brandli, L., Caeiro, S., & Disterheft, A. (2018) Reinvigorating the sustainable development research agenda: the role of the sustainable development goals (SDG). International Journal of Sustainable Development & World Ecology 25 (2), 131-142.Leal Filho, W. (2011). About the role of universities and their contribution to sustainable development. Higher Education Policy. https://doi.org/10.1057/hep.2011.16Leal Filho, W. , Manolas, E., Pace, P. (2015). The future we want: key issues on sustainable development in higher education after Rio and the UN decade of education for sustainable development. International Journal of Sustainability in Higher Education. ISSN. 1467- 6370Lozano, R., et. al., (2014). A review of commitment and implementation of sustainable development in higher education: results from a worldwide survey. Journal of Cleaner Production, http://dx.doi.org/10.1016/j.jclepro.2014.09.048Lozano, R., Lozano, F.J., Mulder, K., Huisingh, D., & Waas, T. (2013). Advancing higher education for sustainable development: international insights and critical reflections. Journal of Cleaner Production, 48(3).Mainardes, E., Alves, H., & Raposo, M. (2013). Portuguese Public University student satisfaction: a stakeholder theory-based approach. Tertiary Education and Management 19(4), 353-372. http://dx.doi.org/10.1080/13583883.2013.841984McKeown, R., Hopkins, C.A., Rizzi, R., Chrystalbridge, M. (2002). Education for Sustainable Development Toolkit, Version 2. Waste Management Research and Education Institute, University of Tennessee. http://www.esdtoolkit.org.Orme, J., & Dooris, M. (2010). Integrating health and sustainability: the higher education sector as a timely catalyst. Health education research, 25(3), 425-437.Osborn, D., Cutter, A., & Ullah, F. (2015). Understanding the transformational challenge for developed countries. Universal Sustainable Development GoalsRieckmann, M. (2012). Future-oriented higher education: which key competencies should be fostered through university teaching and learning? Features 44(2), 127-135.Ryff, C. D., & Keyes, C. L. M. (1995). The structure of psychological wellbeing revisited. Journal of Personality and Social Psychology, 69(4), 719.Scott, S., & Lane, V. (2000). A stakeholder approach to organizational identity. Academy of Management Review, 25, 43-62.Sibbel, A. (2009). Pathways towards sustainability through higher education. International Journal of Sustainable Higher Education, 10(1), 68-82.Steiner, L., Sundstrom, A., & Sammalisto, K. (2013). An analytical model for university identity and reputation strategy work. 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Tahri, Loubna, Kamal Wifaq e Abdeljalil El Kholti. "PL05 MOST WANTED OSH ACTIONS IN MOROCCO: CURRENT STATE, LESSONS LEARNED AND THE WAY FORWARD". Occupational Medicine 74, Supplement_1 (1 de julho de 2024): 0. http://dx.doi.org/10.1093/occmed/kqae023.0006.

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Abstract Introduction Morocco is evolving at a rapid pace, akin to the Bouraq (the Moroccan high speed train)! It is heading towards a future that is certainly more promising. Social, economic, industrial, sporting, and cultural dynamics are fueling this race towards a better Morocco! This is the current sentiment among Moroccans and foreign observers witnessing Morocco's industrial and economic development. Several mega projects are underway, notably since the announcement that Morocco will co-host the 2030 Football World Cup in partnership with Spain and Portugal, and the King of Morocco's speech at the celebration of the Green March on November 6, 2023. This development momentum corroborates the work begun several years ago, as Morocco has embraced the global economy through free trade zones (in several regions of Morocco), industrial progress, and the development of the automotive and aeronautical sectors. The social project aims for optimum medical care for all Moroccans through the generalization of Compulsory Health Insurance (AMO) to all social strata in Morocco. But what about occupational health and safety (OSH) to accompany this progress? Do we have the necessary tools to ensure Moroccan workers can flourish and participate in this development? What are the OHS challenges for improving national indicators in this area? Does the Moroccan OHS management system (policy, strategy, etc.) have a clear vision for achieving OHS promotion objectives? All these questions, and many others, will shed light on the current state of affairs, the challenges ahead, and the recommendations that will enable us to pool the efforts of all public authorities and stakeholders to achieve the desired level of OHS. Problematics The plenary conference aims to highlight various aspects of OHS in Morocco, starting with the royal vision. It seeks inspiration from the highest level of the kingdom through speeches and orientations guiding Morocco's socio-economic aspect. The kingdom's constitution emphasizes the right of trade unions and professional representations to defend and promote the socio-economic interests of the categories they represent. It guarantees the right to security for every person and respects physical or moral integrity, which must not be compromised under any circumstances. The study of various reports and opinions issued by the kingdom's advisory bodies also serves as a foundation for our conference. Our presentation will focus on the analysis of the national profile drawn up in 2017, which includes a number of indicators but, in our opinion, does not reflect the reality of OHS in Morocco. Having ratified the C187 since 2019, Morocco is now obliged to put in place a national OHS policy. What are its orientations? What are the limits of its implementation? What national programs result from it? We will also study the various OHS bodies in Morocco and their involvement in promoting OHS. We will question the effectiveness of these bodies, the degree of their involvement, and the follow-up to actions carried out previously, particularly the occupational medicine and occupational risk prevention council, safety and health committees, etc. A SWOT analysis of the model proposed in the 2017 national OHS profile also enables us to take a critical look at its content and to see how the various topics have evolved over the last six years. This analysis forms the basis of the discussion that follows. Analytics A detailed study of different OHS systems in countries similar to Morocco, in demographic, economic, and locoregional terms, enables us to compare results across different OHS indicators. This allows Morocco to build on best practices and previous experiences. Eight percent of low-income countries have a national OHS program, and 26% have an OHS policy, compared with high-income countries where 58% have a national policy, and over 50% have an updated national program. It is through this benchmark and the results obtained from our SWOT analysis that we propose various recommendations and a vision of OHS adapted to the current socio-economic context in our country. As mentioned above, health coverage is becoming more widespread, but the rate of OHS coverage is barely keeping pace with this trend. Morocco's national profile estimates occupational health service coverage at 20%, while small and medium-sized enterprises (SMEs) account for over 95% of the economic fabric. We know empirically that it is the large and very large companies that implement effective OHS systems for their employees and annexes, while SMEs face a number of economic challenges, neglecting the basics of OHS coverage for their employees. Starting from the elements of the profile represented as a threat, such as the absence of reliable statistics on occupational accidents and diseases, we note that six years later, there is still no organization dedicated to gathering data relating to OHS statistics and capable of consolidating them to propose effective prevention strategies. Apart from the Supervisory Authority of Insurance and Social Welfare (Autorité de Contrôle des Assurances et de la Prévoyance Sociale – ACAPS), which has published some statistics, the use of which is rather timid. According to the ACAPS, 29% of VSEs claim to be covered by workplace accident insurance. Non-affiliated companies deplore the fact that they do not have sufficient income at the company level or a lack of information on the products in question. Workers' compensation insurance is compulsory for companies with more than 10 employees. Efforts should be made to ensure that all employees are covered for occupational accidents and diseases. In terms of insurance premiums, ACAPS states in its 2022 report on the insurance and reinsurance sector that occupational injury insurance has risen by 7.6% to MAD 2.5 billion. This rise could be due to an increase in the number of declarations or to a rise in the severity of injuries, necessitating an extension of the statistics to include a study of the profiles of occupational injuries. As for the number of work-related accidents reported each year, we have no usable figures apart from one for work-related accidents, which estimates them at 40,000 per year, with around 2,000 deaths reported annually. The cost would be around 20,000 MAD (€2,000) per work-related accident in direct costs! Occupational illnesses are largely ignored and rarely reported in Morocco, partly because of the cumbersome procedures that require a court hearing, and partly because the employees concerned are unfamiliar with the reporting system. As a result, statistics on this subject are virtually non-existent. Recommendations Drawing on the ILO's new strategy for its members, three pillars are needed to nurture OHS in Morocco: 1st pillar: strengthen the OHS system based on effective governance, reliable data collection, and evidence-based research, and skills development in OHS services. 2nd pillar: strengthen coordination between the various partners, improve investment in OHS and integrate OHS into policies at the national and global levels. 3rd pillar: promote the principles and values set out in the guidelines on occupational safety and health management systems, while adapting them to the Moroccan socio-economic context. We will also propose a new SWOT analysis based on the progress made in several OSH fields, as well as the transformations and threats to the economic and social fabric that Morocco faces now and in the future. We also need to seize the opportunity offered by Morocco's social and health dynamics to improve the organization of occupational medicine services on a more equitable geographical basis, according to the distribution of economic or industrial agglomerations, by offering and promoting the possibility of creating multidisciplinary occupational health centers with mutualized membership for companies. This would reduce costs for the company and provide more comprehensive care for workers' health. Also, the development of multi-party participation in all existing bodies such as the Safety and Hygiene Committee at company level, or the Occupational Medicine and Risk Prevention Council at the national level, is strongly recommended as a guarantee of continuous improvement for occupational health programs deployed across the country. Conclusion Morocco has marked a milestone on the societal level by adopting several measures to improve health coverage and generalize it to all social categories in Morocco. It is time to accompany this change and seize the opportunity to lay the foundations for a transformation in OHS in order to preserve the human capital of Moroccan workers.
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Scoppola, Margherita. "Agriculture, food and global value chains: issues, methods and challenges". Bio-based and Applied Economics 11, n.º 2 (30 de agosto de 2022): 91–92. http://dx.doi.org/10.36253/bae-13517.

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About one-third of trade in food and agriculture takes place within global value chains (GVC). Coffee, palm oil or biofuels production are examples of the modern organization of agri-food production through GVC (de Becker, Miroudot, 2014; Greenville et al., 2016; Baliè et al., 2019). Agricultural raw materials nowadays may cross borders many times before reaching the final consumers, as they are embedded in intermediate and processed goods which are produced in different countries. Agri-food GVC are typically characterized by a strong coordination between farmers, food processors or traders, and between processors and retailers. Value chain coordination can be initiated by downstream buyers, such as supermarkets and food processors, or by upstream suppliers including farmers or farmer cooperatives (Swinnen and Maertens, 2007; Reardon et al 2007). In a number of cases, a group of “lead firms” plays a critical role by defining the terms of supply chain membership and whom the value is added (Scoppola, 2021). The growth of the agri-food GVC raises new issues for the agricultural and food sectors. Participating to the GVC is expected to have several positive effects, both for countries and farmers, in terms of technology and knowledge spillovers, increased productivity, growth, employment opportunities, and ultimately increase of farmers’ income. On the other hand, market concentration in agri-food GVC raises concerns related to the emergence of market power (Swinnen, Vandeplas, 2014). Further, there are concerns that producing for agri-food GVC may result in the intensification of agricultural production, with negative environmental effects in terms of deployment of natural resources and water stress. Sound knowledge and evidence about the nature and implications of modern agri-food GVC are relevant for policymaker, firms and civil society. The economic analysis of agri-food GVC challenges agricultural and food economists in several respects. The complex nature of GVC and of the issues they raise makes it essential the use of new and multiple lens of analysis (World Bank, 2020). Country-level (macro) approaches to GVC are needed to investigate the drivers of the world-wide fragmentation of agri-food production and the welfare implications of countries participating to GVC. Recent progresses in the empirical trade analysis of GVC are certainly fundamental to the understanding of agri-food GVC. Industry level (meso) approaches are needed to investigate the relationship among the various stages of the GVC. Analytical tools and approaches from the industrial organization literature are to be used to investigate issues such the price transmission along the agri-food GVC, the drivers of vertical coordination or the distributions of benefits along the GVC. A firm level approach (micro) is needed to investigate the implications of the participation to GVC for farmers. The 10th AIEAA Annual Conference contributes to this debate, by putting together different disciplines and approaches to the analysis of agri-food GVC and of their implications in terms of economic, social, and environmental sustainability. Three keynotes explore these issues from different perspectives. The keynotes by Silvia Nenci Ilaria Fusacchia, Anna Giunta, Pierluigi Montalbano and Carlo Pietrobelli entitled Mapping global value chain participation and positioning in agriculture and food (Nenci et al., 2022) reviews key methods and data issues arising in country-level analyses of GVC. They overall conclude that improvements in GVC measurements and mapping are currently still severely limited by data availability. Empirical literature to date mostly uses global Input-Output matrices and aggregate trade data to map and measure GVCs; however, sectoral and country coverage remains rather weak. They further review recent evidence about trends of GVC, by using the GVC participation indicator and the upstreamness positioning indicator (measuring the distance of the sector from final demand in terms of the number of production stages) for two sectors, that is “Agriculture” and “Food and Beverages”. They show that at the country level, GVC participation is globally around 30-35 percent for both agriculture and food and beverages; while GVC linkages in agriculture are mostly forward linked, food and beverages are much more in the middle and at the end of a value chain. Furthermore, they show that, unsurprisingly, agriculture has a higher score on upstreamness with respect to the food and beverages sector. They conclude by discussing some critical issues faced by agriculture and food GVC concerning trade policies, technological innovation and the COVID crises. The keynote by Tim Lloyd entitled “Price transmission and imperfect competition in the food industry” aims at providing insights on how information is conveyed by means of prices between food consumers and agricultural producers along the agri-food value chains. After presenting some basic insights from theory, the keynote addresses the issue of how to detect the degree of market power by reviewing theory-consistent empirical models as well as the approaches developed in the New Empirical Industrial Organisation literature. The increased use of highly detailed retail (‘scanner’) data reveals that the food industry (retailing, manufacturing, and processing) is a major source of the price changes and that it also mediates price signals originating in other parts of the food chain in increasingly nuanced ways; the author concludes that agricultural and food economists should be wary of inferring too much about the competitive setting based on prices alone. The keynote by Miet Maertens entitled “A review of global and local food value chains in Africa: Supply chain linkages and sustainability” highlights the expansion of agri-food GVC in low- and middle-income countries and how GVC are modernizing rapidly through institutional, technical, and commercial innovations. While a large body of literature focusses on the development implications of participation in GVC, the development of local food supply chains in low- and middle-income countries has received less attention. The review assesses potential linkages between global and local value chains in African countries, and the sustainability outcomes of supply chain innovations. The keynotes emphasizes that market competition as well competition for land, labour, water, and other resources may create negative linkages between the development of global and local food value chains. Spill-over effects, such as investment, technical or institutional spillovers, may create positive linkages and complementarities in the process of supply chain development. The existence of such linkages importantly depends on the type of crop and the structure and organisation of supply chains and entail important consequences towards socio-economic and environmental sustainability.
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Kabuye Uthman Sulaiman e Maulana Akbar Shah @ U Tun Aung. "Editorial". AL-BURHĀN: JOURNAL OF QURʾĀN AND SUNNAH STUDIES 7, n.º 2 (10 de dezembro de 2023): i—iv. http://dx.doi.org/10.31436/alburhn.v7i2.330.

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The call for this special issue was prompted by the International Conference on Women Empowerment deliberations. The conference, held on 10th December 2022 at International Islamic University Malaysia (IIUM), was inaugurated by Dr. Maulana Akbar Shah @ U Tun Aung, Head of Research in the department of Fundamental and Inter-Disciplinary Studies, AbdulHamid AbuSulayman Kulliyyah of Islamic Revealed Knowledge and Human Sciences (AHAS KIRKHS), who delivered a welcoming speech, followed by opening remarks by Prof. Shukran Bin Abd Rahman, Dean of AHAS KIRKHS. The event also featured speeches by distinguished guests, including the Honourable Rector of IIUM, Professor Emeritus Tan Sri Dato’ Dzulkifli bin Abdul Razak and Mr. Thomas Albrecht, Representative of UNHCR, Malaysia, Prof. Abdul Aziz Berghout, the Dean of the International Institute of Islamic Thought and Civilisation (ISTAC), IIUM, and Prof. Dawood Al-Hidabi, Director of International Institute for Muslim Unity (IIMU), IIUM. The conference aimed to explore the social conditions of women refugees living in Malaysia with a focus on their social status, living conditions, domestic violence, the impact of criminal activities in their environment, and lack of access to education for their children. It also aimed to promote academic excellence, cultivate future leaders in various disciplines within the realm of Islamic revealed knowledge and human sciences, and encourage high-quality research, scholarship, and academic work in specific areas. The conference brought together experts and professionals from different fields to share their perspectives on the social status of refugee women. It was attended by over 200 participants and its success was attributed to the efforts of the organizers and the dedication of the speakers and participants. Participants presented innovative ideas, findings, and insights that contributed to advancing knowledge in their fields. The call for this special issue, released in the first quota of the year 2023, triggered a number of conversations with a broad number of people about the topic and ultimately resulted in many submissions. Submissions covered a diverse range of topics and came from contributors mainly from AbdulHamid AbuSulayman Kulliyyah of Islamic Revealed Knowledge and Human Sciences. The contributions that make up this special issue are as follows. First, Family empowerment and role transformation: Observations on the importance of religion. This paper is an examination of the concept of family empowerment and role transformation from an Islamic perspective, emphasising the need for integrated value-driven frameworks to address issues of family roles and empowerment. The authors, Abdelaziz Berghout and Ouahiba Saoud, believe that studies and research on family empowerment have increased in recent years, enshrining the discourse, and providing insights and solutions to the questions associated with family empowerment. They argue among other things that there are numerous efforts in the Islamic world to strengthen family empowerment. The article explains the main elements that comprise the Islamic perspective of family empowerment and the need for role transformation. The articles contends that Islam emphasises the importance of understanding the goals and roles of family as a social entity and agent entrusted with the mission of Istikhalf (vicegerency) and I‘mar (civilisation) on earth. Second, Crucial requirements for children’s empowerment: In this paper Kabuye Uthman Sulaiman sheds light on the important and mostly neglected role that parents play in raising their children, namely empowerment through character development, impartment of knowledge and skills. The key objective of this article is to enhance the understanding of the concept of empowerment of children from the Islamic perspective and the importance of character and values education in today’s society. The article is structured around six core sections describing the role of parents in children’s (1) virtues and character formation and development, (2) physical development, (3) emotional development, (4) mental development, (5) intellectual development, and lastly their role in preparing children for the realities of life and death. The focus of this paper is character formation and development. Character development and impartment of knowledge and skills are the three crucial and mandatory requirements for children’s empowerment. The paper outlines the ideas underlying character refinement or character education focusing on its meaning, aims, importance, and the role of parents, teachers, and community as character educators. It outlines some of the moral qualities of the Prophet (peace and blessings be upon him) as the universal model of all virtues and goodness. This is qualitative research employing descriptive methods with literature review analysis. The primary sources of this paper comprise selected verses from the Qur’an and their exegesis (tafsir) and Hadith, both of which constitute the major source of guidance for Muslims. Its secondary sources consist of books, journals, and other materials. The main contention in this paper is that: first, knowledge, skills, and values or personality traits need to be combined for a thriving life; second, moral values are of paramount significance to peaceful coexistence and harmony in society. They are critical for sustainable living. Without them, there is no cohesion and solidarity among people. Hence, there is no civilization; third, learning is of little value and with no soul unless core ethical values are added to it. Hence, one of the aims of education is to graduate ethical individuals; fourth, the development of character in children is not just the responsibility of parents and schools, it is also the responsibility of those who come into contact with them; last but not least, character education should be included as a core component of schools’ curriculum. Third, A Critical Analysis of Bent-Rib Metaphor Ḥadīth: Embracing Women's Uniqueness and Empowerment. The authors, Nurul Jannah Zainan Nazri, Nurul Mukminah and Mohd Arif assert that the Bent-Rib Metaphor ḥadīth can be interpreted as a symbol of diversity, complexity, and complementarity between genders, rather than justifying women's subordination. By promoting a more nuanced understanding of the ḥadīth, this study advocates for a broader role for women in religious, social, economic, and political spheres. Fourth, A critical need for breastmilk collection centres for high-risk premature babies: In this paper Zainol Abidin and Wan Mazwati write that premature babies are very vulnerable and exposed to various life-threatening diseases. According to the report of World Health Organization, they quote, many premature babies are saved from morbidity and mortality when they are fed with breastmilk starting from within the first hour after their birth. They believe that: firstly, the rate of premature birth in Malaysia has increased exponentially since 2018. Therefore, hospitals should have enough supplies of breastmilk to save the lives of the precious premature babies. Secondly, only one hospital in Malaysia provides supplies of breastmilk on demand. Hence, the study argues for the establishment of breastmilk collection centre. It examines the concept of maqāṣid al-sharīʿah to justify the proposal for the establishment of breastmilk collection centres in hospitals throughout Malaysia to save the lives, intellects, and progenies of the at-risk premature babies. Fifth, Empowering Mothers Against a Malaysian Societal Convention: An Islamic Perspective: In this paper Nur Jannah Hassan believes thar: firstly, having greater women participations in the workforce potentially enhances the country’s prospects for growth; secondly, various agencies work towards increasing women’s participations in the labour force; thirdly, women’s contribution to the family’s and the nation’s income is significant. However, it is observed that the race to get women to ‘roll-up their sleeves’ economically is not without worrying downside trends, even at the current rate of only 55.5% of Malaysian women in the labour force. The paper deliberates on how this affects individuals’ and families’ well-beings, thus putting constrains on the family, society and the Nation at large. The paper draws guidance from the Qur’an and Prophetic traditions to propose a more realistic and well-balanced approach to empowerment of mothers. According to Nur Jannah, the demand to get women’s economic participation towards National growth is real. However, this should not endanger and threaten personal, familial, and societal holistic well beings. She adds, the role of motherhood, especially early motherhood must be included in the equation. Thus, the necessity to empower women. Sixth, Women Empowerment from Quranic perspective. The authors, Radwan Jamal, Rahmawati, and Ziyad Alhaq highlight present-day scenario of problems faced by women in education, social status, in job market, domestic violence, sexual assault etc. and presented a balanced Qur’anic approach to empower women. Seventh, Empowering Thinking and Moral Formation in Muslim Women Through the Philosophical Inquiry (PI) Approach: The authors of this paper, namely Norillah Abdullah and Mohamed Abdelmagid believe that much of what has been said about the social problems involving Muslim women in Malaysia is due to the lack of thinking skills and religious understanding. For this reason, this study is an attempt to highlight the PI method which integrates the Socratic questioning approach to help address the issue and lead to moral formation. This, according to them, would allow women to explore their thoughts and generate rational ideas and choices to achieve understanding and sound judgments (hikmah) and finally empower them in executing their roles and tasks. Eighth, The Role of Faith (Iman) in Women Empowerment: While the role of women in any development is undeniably very essential, the author of this paper Abdul Latif believes that there are women who are being side-lined; their role is being marginalized and consequently, they are being denied their rights. The purpose of his paper is to elaborate on the role of Iman in women empowerment. Abdul Latif describes a good believer as the one who upholds all the three integrated conditions that make the person strong and tranquil, namely profession by the tongue, conviction by heart and practice by limbs. He contends that true belief in Allah is the solution to many of the problems faced by women today. Ninth, The Role of Women in Achieving Sustainable Development Goals (SDGs) in Islam. Rownok Jahan and co-authors analyzed the role of women in achieving sustainable development goals according to Islam. The Islamic approach emphasizes a balanced realization of human rights, consumer welfare, social justice, ecological balance, and economic progress. Achieving these aims is not possible without the active involvement of women. Tenth, The Moral-sexual Empowerment of Women and Children in Hadith Literature: In this paper, Bachar Bakour describes sex as a human innate disposition and a basic need for the survival of the human race, and marriage as the primary appropriate avenue for satisfying sexual desire and living a moral and peaceful life. This article aims to briefly delineate the salient features of women and child sexual empowerment within the specific epistemic and cultural soil of Islamic tradition. Eleventh, A Close Study on Domestic Violence Against Women: Islamic Perspectives and Remedies: The authors of this paper, Maulana Akbar Shah @ U Tun Aung and Phoo Pwint Thu Aung, define women empowerment as: firstly, the process of giving women the power to take control of their lives, rights, and decision-making; secondly, the creation of a society where women are treated equally, with respect, and have access to the same opportunities as men. This, in their view, involves promoting women’s education, encouraging their participation in politics and breaking down gender stereotypes. Twelfth, Women’s Empowerment and Participation in Islamic Financial Planning Diversity, Equity and Inclusion: Evidence from Maqasid al-Shariah. Its authors Mohammad Habibullah, Rusni Hassan, and Nor Razinah Mohd Zain assert that it is imperative to consider the role played by women in the financial sector and their contribution to economic progress. Using an experiment, this study examined the relationship between confidence, gender, and race in relation to dealing with a financial planner among various groups and races with color and creed. The study demonstrates how women plan financially for retirement based on psychological concepts and sociodemographic variables, highlighting the importance of financial management and planning for women. Thirteenth, Muslim Women in Politics: Does it Align With Shari‘ah Parameters? In this paper Ahmad Akram Mahmad Robbi, Saidatolakma Mohd Yunus and Mohamad Faiq Mohamad Sharin examine the views of Muslim scholars regarding women's political participation. They opine that political participation is essential for women empowerment. Fourteenth, Empowerment and Faith: Unraveling the HUI Women’s Mosques in China: In this paper Mai Jianjun describes the Hui Muslims as the largest Muslim minority group in China and their mosques as a very unique phenomenon within the broader Muslim world. They (mosques) stand as a testament of the remarkable resilience of the Hui Muslims in preserving their Islamic faith and Muslim identity in a predominantly non-Muslim society heavily influenced by Confucian culture. Mai Jianjun argues that the previous studies on Hui women’s mosques left two crucial questions unanswered, i.e., why did Hui women’s mosque emerge exclusively in the eastern and central regions of China and not in northwestern region where the concentration of Hui Muslims’ population is higher? Why was this phenomenon limited to the Hui Muslim community and not observed among other Muslim ethnic groups in China? This study employs historical, analytical and contexture analysis approaches to accomplish three research objectives. Firstly, it aims to re-examine the historical background of the Hui Muslims and the emergence of Hui women's mosques during the Ming and Qing dynasties within this particular ethnic group. Secondly, the study seeks to address the aforementioned questions and reidentify the possible causes for the emergence of the Hui women’s mosques in specific regions in China. Thirdly, the study intends to provide an Islamic perspective to illuminate the unique phenomenon of Hui women's mosques in China. Fifteenth, Qadaya al-Mar’ah wa Anwa`uha fi daw’ al-Sunnah al-Nabawiyyah. Its author, Saad Eldin, sheds lights on various topics related to women's issues and their types, such as women's rights, sermons, the hadith concerning the deficiency of intellect and religion, and other issues related to women's rights in general. It also addresses the issue of the mahram (forbidden relationships) for women. Sixteenth, Dawr al-Mar’ah fi al-Marwiyyat al-Hadithiyyah: Mafahimuha wa Masaqatuha. Ahmed Elmogtaba in this article deals with the efforts of women in the narration of Hadiths, with a focus on the six major Hadith collections and the topics related to their narrations. It was found that the narrations of female scholars contributed to various areas of jurisprudence in general, and family laws in particular. The above observations and discussions are intended to prompt critical reflection on the current state of women and children and prompt researchers to consider areas where future research is needed. Editorial Team Associate Professor Dr. Kabuye Uthman Sulaiman, HOD, FIDS, AHAS KIRKHS, IIUM Associate Professor Dr. Maulana Akbar Shah @ U Tun Aung December 5, 2023
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16

Marthinsen, Grant. "Turkey’s July 15th Coup: What Happened and Why". American Journal of Islamic Social Sciences 35, n.º 4 (29 de outubro de 2018): 72–75. http://dx.doi.org/10.35632/ajiss.v35i4.477.

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This book is a collection of essays written by a variety of experts on Turkey and social movements and provides a critical analysis of the role of the Gülen Movement (GM)—or Hizmet (“service”), as it is referred to by its adherents—in the coup attempt which was undertaken by one or more factions of the Turkish armed forces in July 2016. Edited and contributed to by M. Hakan Yavuz and Bayram Balci, this work began at a conference in October of 2016, where these experts gathered to discuss the coup itself as well as its implications and ramifications. The chapters in the book all build off of each other to some degree, with earlier chapters covering the history of the GM and the ways in which it has acquired influence both in Turkey and abroad; the coup and structural factors both within Turkish society; and the GM alliance with the Justice and Development Party (AKP) led by Recep Tayyip Erdoğan, the current president of Turkey. Later chapters expand in scope, covering the foreign policy implications of the coup both for Turkey and the United States, where Fethullah Gülen, the eponymous leader of the movement, resides today. Several chapters engage the state of the scholarship on the GM itself, effectively unpacking the ways in which the organization has actively co-opted academia by offering paid trips to Turkey, publishing non-peer-reviewed material, and funding conferences which avoid critical analysis of the GM. In the introduction Balci and Yavuz discuss the history of the Turkish state, giving particular focus to the place of religion under Kemal Atatürk; the pair discusses how the Turkish concept of secularism hews much more closely to the Jacobin tradition than the Anglo-American understanding. This is quite important as the alliance between the AKP and the GM (following Turkish elections in 2002 wherein the AKP swept to power) rested on a shared desire to overthrow the Kemalist conception of secularism, which seeks to dominate religion and prevent its expression in the public sphere. The book’s first chapter, written by Yavuz, charts the GM’s development over time, enumerating three key stages in its history. The first was that of a loosely bound religious network, encouraged by their leader to do good works; the second marked the expansion of the GM both within and outside of Turkey as an education-providing and media powerhouse; the third saw the GM create a parallel state structure in Turkey, which was mobilized to further increase the movement’s power throughout the 2000s and this current decade, most famously during the coup itself, though a variety of other incidents are discussed here and throughout the book. The next chapter details the coup itself, giving background which is necessary to understand the rest of the work and underlining four key junctures which put Turkey on the path to the July 15th event. The chapter’s author, Mujeeb R. Khan, notes that the structure of Turkish institutions (particularly its version of secularism), the continued domination of the Turkish deep state following the introduction of multi-party elections several decades ago, the neo-liberal opening Turkey experienced in the 1980s, and the rise of the AKP in the early 2000s all played integral roles in the rise of the GM and, eventually, the coup. Yavuz collaborated with Rasim Koç to write the third chapter, which examines the relationship between the GM and Erdoğan’s AKP (beginning with the unspoken alliance between the two which started after AKP’s 2002 electoral victory and whose disintegration led to the coup) as well as foreign policy consequences it had for Turkey. Chapters 4 and 5, written by Michael A. Reynolds and Kiliç Kanat, examine the coup, including the factors and events which led to both its occurrence and its failure. Kanat’s examination of why the coup failed is particularly interesting; he compares and contrasts the failure with previous successful coups which occurred in Turkey during the mid- to late-twentieth century. The next chapter, written by Caroline Tee, returns specifically to the topic of the AKP-GM relationship, digging deeply into the events which caused what on the surface seemed like a natural alliance to fracture and, during 2016, turn upon itself. Sabine Dreher’s chapter follows Tee’s, and is one of the most theoretical in the book, as it places the GM in the contexts of neoliberal and globalist theory, and notes internal contradictions within the movement itself. She considers how the global goals of the organization—the eradication of ignorance through educational work, the alleviation of poverty through private enterprise run by movement members, and the hosting of intercultural and interfaith dialogue— stand at odds with the nationalist project of the GM in Turkey, where movement members attempted to seize control of the state they had been infiltrating for some time as opposed to working outside of it. Balci wrote the eighth chapter, which deals with the GM movement’s presence in former Soviet satellites, namely Georgia, Azerbaijan, Uzbekistan, Turkmenistan, Kazakhstan, Kyrgyzstan, and Tajikistan. Following the coup attempt in 2016, the Turkish government pressured all of these states to shut down any GM movement activities within their countries, which was difficult as the GM provided excellent education to the children of elites in these nations. He then charts the differing reactions of the states mentioned above. The ninth chapter, by David Tittensor, turns to the structure of the GM and how secrecy and hierarchy play crucial roles in it, a reality which is often denied by the majority of scholarship—though he and other contributors to the work might dispute the use of the term “scholarship”, or at least qualify it. He does end his chapter with a criticism of the theory that GM members were key leaders of the coup, a conclusion which is at odds with that of most other contributors to the volume. The tenth chapter, by Yavuz Çobanoĝlu, provides insight into the role of women in the GM, criticizing some of Gülen’s writings and detailing the experiences of female students living in GM dormitories in Turkey, an experience that many of the women surveyed found to be repressive. Kristina Dohrn’s contribution outlines the activities and role of the GM movement in Tanzania, which, similar to Balci’s chapter, deals with repercussions of the coup and examines potential paths forward for the GM outside of Turkey. The work’s final chapter, written by Joshua Hendrick, is about how the GM presented itself as a “good” Islam in the wake of the 9/11 attacks, during a period in which the West writ large was searching for a “modern” version of the religion which it could champion in opposition to extremism. He effectively critiques the idea that religion itself can be good or bad, and rightly puts the onus on the actors themselves. The book ends with a postscript which examines the four major theories about how the coup may have come to pass, and comes to the conclusion that GM members were central and sole actors in the coup, which was in all likelihood approved by Gülen himself. This work does an excellent job of unpacking the GM and its various religious and political facets, even for the relatively uninitiated reader, and pushes back strongly against what it identifies as the prevailing anti-Erdoĝan Western narratives about the coup, which try to shift blame away from the GM and onto the shoulders of other actors, including the AKP leader. Particularly interesting is the book’s criticism of GM-sponsored scholarship, which is cited as one of the primary ways in which the GM has ingratiated itself worldwide, as it frames the group as “good” Islam. The work refrains from being speculative but does examine possible futures for the GM, mostly outside of Turkey, as the country’s government has gone to extreme lengths to uproot the movement in its homeland—lengths that the authors do rightly criticize as going too far, if somewhat tepidly at times. The US-Turkey relationship as it relates to the GM issue, specifically hisresidence in the US, is also examined in some depth and leads a student of either Islam in the US or the country’s politics to wonder if the GM has successfully insinuated itself into any institutions here, as it has done in Turkey. The author of this review once believed that Erdoĝan may have permitted or even been behind the coup attempt as a vehicle to consolidate power, but the evidence and arguments presented by the authors of this work have swayed his point of view; the GM was almost certainly responsible for the coup attempt, and it seems likely that Gülen himself gave his blessing to the members of his movement who carried it out. Grant MarthinsenMA, Center for Contemporary Arab StudiesGeorgetown University
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17

CHIKOVANI, ELENE. "ABOUT WORKING OUT OF THE SOCIAL SECURITY INDICATORS IN GEORGIA". Globalization and Business, 23 de dezembro de 2020, 86–93. http://dx.doi.org/10.35945/gb.2020.10.011.

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Article is devoted to the problems of the working out of the social security indicators in Georgia. It considers the essence of the social security and its importance for crisis and post crisis economies. It evaluates existing deficiencies in working out of the social security indicators in Georgia. It singles out the issues of the necessity and importance of consideration of the security as a compound part of the welfare in the crisis economy. Marking out, the circle of the security indicators related to the development of the basic needs, welfare foundations and capacities. The necessity of the dissociate of the indicators on the national, family and individual (personal) levels is substantiated. Inevitability of the setting out of the new circle of the social equality indicators in Georgia is grounded. The existing situation in the informational provision of the main directions of the social security recommended by the conventions and guidelines of the international labor organization is characterized. Special attention is paid to the existing backdowns in development of the food security information system in Georgia. The interrelation of the food security to the problems of the health, food insufficiency of the complex and sustainable development, as well as environmental issues is pointed out. The problems of the evaluation of the food security situation and elaboration of the relevant policy in Georgia are accentuated. The necessity of the further measures towards the improvement of the informational provision of the food security system is substantiated.
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18

Anh, Nguyen Hoang, e Hoang Bao Tram. "Policy Implications to Improve the Business Environment to Encourage Female Entrepreneurship in the North of Vietnam". VNU Journal of Science: Economics and Business 33, n.º 5E (28 de dezembro de 2017). http://dx.doi.org/10.25073/2588-1108/vnueab.4078.

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Abstract: Nowadays, Vietnamese women are participating actively in parts of the economy that were previously deemed male domain. Women are involved in business activities at all levels in Vietnam, making significant contributions to the economic development of the country. By December 2011, there were 81,226 small and medium enterprises headed by women, accounting for 25% of the total number of enterprises in the country (GSO, 2013). In Vietnam, despite recent economic development, socio-cultural and legal barriers are still very difficult for women since the general perception in society is that a woman’s main duty is to be a good housewife and mother and they are also often perceived as weak, passive and irrational (VWEC, 2007). Even though the studies related to women entrepreneurship development are quite extensive, amongst them only a limited number of researches on the role of legal and socio - cultural barriers on women entrepreneurs in the context of Vietnam have been investigated. Thus, supported by the World Trade Institute (WTI) in Bern, Switzerland, the researchers have chosen this as the subject of this study. Based on a quantitative survey of 110 companies in Hanoi and adjacent areas, the research has taken legal and socio - cultural barriers and explored their effect on the development of women entrepreneurship in the context of Vietnam in order to indicate how women entrepreneurs perceive the impact of socio-cultural factors, economic impacts, and policy reforms on their entrepreneurial situations and initiatives, and to then provide policy implications for promoting women’s entrepreneurship and gender equality in Vietnam. Keywords Entrepreneurship, female entrepreneurs, gender equality, Vietnam References Acs, Z. & Varga, A. (2005) ‘Entrepreneurship, agglomeration and technological change’, Small Business Economics, 24, 323---334. Avin, R.M & Kinney, L.P (2014). Trends in Female Entrepreneurship in Vietnam Preliminary paper presented at the 23th Annual Conference on Feminist Economics sponsored by IAFFE, University of Ghana, Accra, Ghana, June 27-29, 2014.Avin, R.-M., & Kinney, L. P. (2014) ‘Trends in Women entrepreneurship in Vietnam’, 23rd Annual Conference on Feminist Economics, Ghana: 27 – 29 June.Bruton, G. D., Ahlstrom, D., & Obloj, K. (2008). Entrepreneurship in emerging economies: where are we today and where should the research go in the future. Entrepreneurship: Theory and Practice, 32(1), 1–14.Bunck, J. M. (1997) Women and Post Cold War Socialism: the cases of Cuba and Vietnam, 7th Annual Meeting, Association for the Study of Cuban Economy, University of Miami, Knight Center, Hyatt Hotel, August 7-9 1997 Central Population and Housing Census Steering Committee (2010), The 2009 Vietnam Population and Housing Census: Completed Results, Statistical Publishing House, available at: http://vietnam.unfpa.org/webdav/site/vietnam/shared/Census%20publications/3_Completed-Results.pdf Chari, M. D., & Dixit, J. (2015). Business groups and entrepreneurship in developing countries after reforms. Journal Of Business Research,68, 1359-1366.Djankov, S. , R. L. Porta , F. Lopez-de-Silanes and A. Schleifer (2002) The Regulation of Entry, Quarterly Journal of Economics CXVII (1): 1-37Food and Agricultural Organisation and United Nations Development Programme (2002) ‘Gender Differences in the Transitional Economy of Vietnam: Key Gender Findings – Second Vietnam Living Standards Survey, 1997 – 1998’. Vietnam: Food and Agricultural Organisation and United Nations Development Programme. Available at: http://www.fao.org/docrep/005/ac685e/ac685e00.htm [Accessed 7 December 2015].Fuentelsaz, L., González, C., Maícas, J., & Montero, J. (2015). ‘How different formal institutions affect opportunity and necessity entrepreneurship’. Business Research Quarterly, 18(4), 246-258. Gallup, J (2004) The wage labor market and inequality in Vietnam. In Economic growth, poverty, and household welfare in Vietnam edited by Paul Glewwe, Nisha Agrawal, and David Dollar. Washington, D.C.: The World Bank.General Statistics Office of Vietnam (GSO) (2014), Population and employment Report 2014Global Entrepreneurship Monitor. (2013). Vietnam report 2013. United Kingdom. Retrieved from: www.gemconsortium.orgHampel-Milagrosa, A., Pham, H., Nguyen, Q., and Nguyen, T. (2010) ‘Gender-Related Obstacles to Vietnamese Women Entrepreneurs’. Vietnam: United Nations Industrial Development Organisation and Vietnam Chamber of Commerce and Industry. Available at: http://www.un.org.vn/en/publications/publications-by-agency/doc_details/294-gender-related-obstacles-to-vietnamese-women-entrepreneurs. html [Accessed 7 December 2015].Hang, T.T.T. (2008), “Women’s leadership in Vietnam: opportunities and challenges”, Signs, Vol. 34 No. 1, pp. 16-21. Hirschman, C. and V. M. Loi (1996) Family and Household Structure in Vietnam: Some glimpses from a recent survey, Pacific Affairs Vol 69 (No. 2 (Summer 1996)): 229-249Hoang, B.T. (2010), “Rural employment and life: challenges to gender roles in Vietnam’s agriculture at present”, paper presented at the FAO-IFAD-ILO Workshop on Gaps, Trends and Current Research in Gender Dimensions of Agricultural and Rural Employment: Differentiated Pathways Out of Poverty Rome, 31 March-2 April 2009, available at: www.fao-ilo.org/fileadmin/user_upload/fao_ilo/pdf/Papers/16_march/Thinh_final.pdf Hoang, C., Hoang, C.L.T.S, Nguyen, T.P.C, Ngo, T.P.L, Tran, T.N, Vu, T.L (2013), The women’s access to land in contemporary Vietnam. UNDP Report 2013Hoskisson, R. E., Eden, L., Lau, C.M., &Wright, M. (2000). Strategy in emerging economies. Academy of Management Journal, 43(3), 249–267.ILO (2011) ‘Creation of an enabling environment for women entrepreneur in Vietnam: Mainstreaming gender issues in government policy on enterprise development’, Hanoi.International Finance Corporation (2006) A National Survey of Women Business Owners in Vietnam. Joint survey with Gender and Entrepreneurship Markets (GEM) and the Mekong Private Sector Development Facility (MPDF), Washington, DC, IFCInternational Labour Organisation (2007) ‘Women’s Entrepreneurship Development in Vietnam’. Vietnam: International Labour Organisation.International Labour Organization and the Ministry of Labour, Invalids and Social Affairs of Vietnam (2010), The Informal Economy in Vietnam, ILO/MOLISA, Hanoi.Kibria, N. (1990) Power Patriarchy and Gender Conflict in the Vietnamese Immigrant Community, Gender and Society Vol 4 (No 1 (March 1990)): 9-24 Luke, N. , S. R. Schuler , B. T. T. Mai , P. V. Thien and T. H. Minh (2007) Exploring Couple Attributes and Attitudes and Marital Violence in Vietnam, New York, Sage PublicationsMai thi Thanh Thai, Nguyen Hoang Anh (2016): The impact of culture on the creation of enterprises (2016), Journal for International Business and Entrepreneurship Development, Vol.9, No.1, pp.1 – 22McChesney, F. (1987) Rent extraction and rent creation in the economic theory of regulation, Journal of Legal Studies 16 de Soto, H. (2000) The Mystery of Capital: Why capitalism Triumphs in the west and Fails everywhere Else, New York, Basic BooksMinniti, M. (2010) ‘Women entrepreneurship and Economic Activity’, European Journal of Development Research, 22, pp. 294 – 312.Nguyen, B. (2011) ‘The Changes of Women’s Position: The Vietnam Case’, International Journal of Innovative Interdisciplinary Research, 1, pp. 126 – 138.Nguyen, B. (2012) ‘Abortion in Present Day Vietnam’, International Journal of Academic Research in Business and Social Sciences, 2 (1), pp. 56 – 61.Nguyen, C., Frederick, H., & Nguyen, H. (2014). Female entrepreneurship in rural Vietnam: An exploratory study. International Journal Of Gender And Entrepreneurship, 6(1), 50-67. Nijssen, E.J. (2014), Entrepreneurial Marketing: An Effectual Approach, Routledge, New York, NY.Raven, P., & Le, Q. (2015). Teaching business skills to women: Impact of business training on women’s microenterprise owners in Vietnam. International Journal Of Entrepreneurial Behaviour And Research, 21(4), 622-641. Rubio-Bañón, A., & Esteban-Lloret, N. (2015). Research article: Cultural factors and gender role in female entrepreneurship. Suma De Negocios Terrell, K., and Troilo, M. (2010) ‘Values and Women entrepreneurship’, International Journal of Gender and Entrepreneurship, 2 (3), pp. 260 – 286.Thanh, H.X., Anh, D.N. and Tacoli, C. (2005), “Livelihood diversification and rural-urban linkages in Vietnam’s red river delta”, Discussion Paper No. 193, International Food Policy Research Institute (IFPRI), available at: http://ideas.repec.org/p/fpr/fcnddp/193.htmlThe World Economic Forum (2015) ‘The Global Gender Gap Report 2015’. Switzerland: The World Economic Forum. Available at: http://reports.weforum.org/global-gender-gap-report-2015/ [Accessed 8 December 2015].Thi, L. (1995) Doi Moi and female workers: a case study of Ha Noi, in: V. M. Moghadam (ed.), Economic reforms, women's employment and social politics, Helsinki, World Institute for Development Research Tien, P. N. (2010) Overarching view of Gender Equality in Vietnam”, 2010, Conference on Commemoration of International Women’s Day 2010, “Beijing + 15, Looking back, reaching forward, Gender Equality and Women Empowerment 15 years after the Fourth World Conference on Women, Ha Noi, 12 March 2010.United Nations Development Programme (2012) ‘Women’s Representation in Leadership in Vietnam’. Vietnam: United Nations Development Programme.United Nations Development Programme (2015) ‘Human Development Report 2014’. USA: United Nations Development Programme. Available at: http://hdr.undp. org/en/content/human-development-report-2014 [Accessed 10 December 2015].United Nations Industrial Development Organization (UNIDO). (2010). Gender related obstacles to Vietnamese Women Entrepreneurs. Vienna, Austria.Vietnam Women Entrepreneurs Council (2007) Women’s entrepreneurship development in Vietnam. International Labor Organization, Vietnam.Vuong, H., and Tran, D. (2009) ‘The Cultural Dimensions of the Vietnamese Private Entrepreneurship’, The IUP Journal of Entrepreneurship Development, 6 (3 & 4), pp. 54 – 78.VWEC (2007), Women’s Entrepreneurship Development in Vietnam, Vietnam Chamber of Commerce and Industry (VCCI) and the International Labour Organization (ILO) Report, Vietnam Women Entrepreneurs Council, available at: www.ilo.org/wcmsp5/groups/public/@asia/@ro-bangkok/documents/publication/wcms_100456.pdf Williamson, O. (2000) ‘The New Institutional Economics: Taking Stock, Looking ahead’, Economic Literature, 38, pp. 595 – 693.World Bank (2011a) ‘Vietnam Country Gender Assessment’. USA: World Bank. Available at: http://documents.worldbank.org/curated/en/2011/11/15470188/vietnam-country-gender-assessment [Accessed 7 December 2015]. World Bank (2011b). Vietnam development report 2012: Market economy for a middle- income Vietnam, Washington DC: The World Bank.World Bank (2012), Vietnam Country Gender Assessment, World Bank Country Office, HanoiWorld Bank (2015), World Bank Database, Available at: http://data.worldbank.org/country/vietnam [Accessed 9 December 2015].World Development Indicators (WDI) (2012), The World Bank, Washington, DC.Zhu, L., Kara, O., Chu, H.M.,Chu, A. (2015), ‘Women entrepreneurship: Evidence from Vietnam’, Journal of Business and Entrepreneurship, vol. 26, no. 3, pp. 103-128 lity in Vietnam.
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Griffin, Fiona. "Conscientious Objection to Emergency Contraception". Voices in Bioethics 8 (20 de julho de 2022). http://dx.doi.org/10.52214/vib.v8i.9327.

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Photo by Reproductive Health Supplies Coalition on Unsplash INTRODUCTION Emergency contraception is formally recognized as the only effective way to prevent pregnancy after sexual intercourse by the World Health Organization.[1] The word emergency is used due to the brief time during which it is efficacious. It is useful only when administered within 72 hours of a sexual encounter.[2] When pharmacists withhold emergency contraception, they permanently eliminate the only window of opportunity in which the emergency contraception can take effect. If patients do not find another source of contraception, they may become pregnant. Yet, both abortion and pregnancy present more risks to patient health than emergency contraception.[3] Conscientious objection deserves heightened scrutiny. In light of both Dobbs v. Jackson Women’s Health Organization[4](allowing states to limit access to abortion) and the COVID-19 pandemic, emergency contraception is an important tool that people must be able to access to prevent pregnancy. ANALYSIS So why are providers allowed to bar access to such invaluable care? Conscientious objection is the refusal to perform a task because of a personal value or belief. Conscientious objection to the dispensing of emergency contraception is legal in several states including Idaho, Arkansas, Georgia, Missouri, Arizona, and South Dakota.[5] There are no exceptions made for sexual assault. In Texas, which also permits pharmacists to refuse to distribute emergency contraception, there were 13,509 forcible rape cases in 2020, the highest number in all fifty states.[6] With many states imposing strict limits on accessing abortion care, emergency contraception is more important than ever. Emergency contraception is also an important tool for people who oppose abortion for themselves, but whose health would be endangered by a pregnancy. Conscientious objection to emergency contraception considering Dobbs could be even more punitive to women who need or wish to avoid pregnancy. Once pregnant, women in some states may have few options. Emergency contraception also avoids the moral conundrum that abortion creates for many pregnant women. Avoiding pregnancy is generally far safer, simpler, and less morally charged than abortion care. Advocates supporting conscientious objection frequently mistake emergency contraception for an abortifacient. However, emergency contraception does not terminate a pregnancy. Instead, it prevents fertilization or implantation from occurring. Some argue that distinction should negate religious rationales.[7] However, religion is a common rationale for conscientious objection to providing emergency contraception. In the initial months of the government-mandated COVID-19 lockdown, rates of sexual assault and rape escalated.[8] Rape crisis centers surveyed across the country reported a 40 percent increase in demand for their services.[9] Societal repercussions of COVID-19 include economic insecurity, social isolation, quarantine, and job loss, all of which have been associated with an increased risk for sexual assault.[10] In the context of strained hospital resources and limited in-person medical and mental health resources, access to emergency contraception became increasingly important for sexual assault victims during the pandemic. Several arguments have been set forth to justify placing limitations on conscientious objection.[11] First, pharmacists choose to enter a profession bound by fiduciary duties. These duties demand that pharmacists respect the autonomy and dignity of individual patients.[12] A pharmacist that withholds emergency contraception is infringing on a patient’s autonomy. Secondly, pharmacists are expected to prioritize the needs of their patients over their own. The principle of beneficence obligates clinicians to act in the interests of their patients.9 In the act of requesting emergency contraception, patients express their intentions and interests. A pharmacist’s denial of emergency contraception violates the principle of beneficence and directly counters patient interests. States allowing pharmacists to withhold emergency care risk contributing to increasing rates of unwanted pregnancies. They fail to recognize the wrongdoing to patients by prioritizing the rights of the withholding pharmacists over the rights of people seeking emergency contraception. Denying patient access to emergency contraception neglects the principle of nonmaleficence, as this objection significantly compromises patient health. Patients denied contraception after sexual assault face increased mental and physical health risks. COVID-19 exacerbated the risk of psychological harms as social isolation impacted rates of anxiety and depression.[13] COVID-19 further exposed social and political unrest, racial and other forms of discrimination, and widening health disparities.[14] Sexual and reproductive health services were scaled back and essential support services including hotlines, crisis centers, protection, and counseling services were disrupted.[15] The limitations disproportionately burdened patients who lack access to alternative healthcare channels.[16] For example, patients in rural settings may not have access to the alternative healthcare channels available in metropolitan or suburban settings. Counterarguments include that pharmacists deserve autonomy. Forcing them to provide emergency contraception infringes the pharmacist’s ability to make an autonomous decision. However, emergency contraception is significantly different from other types of birth control pills due to the rushed timeframe. A pharmacists’ refusal to dispense emergency contraception imposes the pharmacist’s moral and social values on patients who are in immediate need of care. If pharmacists choose to prioritize their own social and moral values above their professional duties, they fail to fulfil their job obligations. One solution, or middle ground, would be allowing the objector to recommend a nearby pharmacy as long as there is one that is open and convenient. Many support that stance despite its inconveniencing the patient. Other alternatives may entail pharmacists switching shifts to times when emergency contraception is least in demand or working in groups to avoid personally dispensing emergency contraception. Yet, absent these simple alternatives, conscientious objection that causes a person to become pregnant who otherwise would not have is ethically impermissible. CONCLUSION In conclusion, conscientious objection to emergency contraception should be eliminated, especially considering the other hardships posed by the pandemic. Conscientious objection of emergency contraception under the circumstances of COVID-19 is an unethical stance that violates the bioethical principles of autonomy, beneficence, nonmaleficence, and justice. - [1] World Health Organization. 2014. “Emergency contraception.” World Health Organization, November 28, 2014. https://www.who.int/reproductivehealth/topics/family_planning/ec/en/ [2] Cu-IUDs are highly effective as emergency contraception (283) and can be continued as regular contraception. UPA and levonorgestrel ECPs have similar effectiveness when taken within 3 days after unprotected sexual intercourse; however, UPA has been shown to be more effective than the levonorgestrel formulation 3–5 days after unprotected sexual intercourse Glasier AF, Cameron ST, Fine PM, et al. Ulipristal acetate versus levonorgestrel for emergency contraception: a randomised non-inferiority trial and meta-analysis. Lancet 2010;375:555–62. http://dx. doi. org/10. 1016/S0140-6736(10)60101-8external iconPubMedexternal icon. Raymond E, Taylor D, Trussell J, Steiner MJ. Minimum effectiveness of the levonorgestrel regimen of emergency contraception. Contraception 2004;69:79–81. http://dx. doi. org/10. 1016/j. contraception. 2003. 09. 013external icon [3] American College of Obstetricians and Gynecologists. 2019. “Access to emergency contraception.” ACOG, December 2019. https://www.acog.org/clinical/clinical-guidance/committee-opinion/articles/2017/07/access-to-emergency-contraception [4] 597 US _ (2022) [5] National Conference of State Legislators. 2018. “Pharmacist conscience clauses: Laws and information.” National Conference of State Legislators, September, 2018. https://www.ncsl.org/research/health/pharmacist-conscience-clauses-laws-and-information.aspx [6] Statistica. 2021. “Total number of forcible rape cases reported in the United States in 2020, by state.” Statista, June 30, 2021. https://www.statista.com/statistics/232524/forcible-rape-cases-in-the-us-by-state/ [7] Planned Parenthood. 2016. “Difference between the morning-after pill and the abortion.” Planned Parenthood, 2016. https://www.plannedparenthood.org/files/3914/6012/8466/Difference_Between_the_Morning-After_Pill_and_the_Abortion_Pill.pdf [8] Katherine A. Muldoon et al. “COVID-19 pandemic and violence.” [9] Taylor Walker. 2020. “A second, silent pandemic: Sexual violence in the time of covid-19.” Primary Care Review, May 1, 2020. http://info.primarycare.hms.harvard.edu/review/sexual-violence-and-covid [10]Katherine A. Muldoon et al. “COVID-19 pandemic and violence.” BMC Med, February 5, 2021. https://doi.org/10.1186/s12916-020-01897-z [11] Beauchamp TL, Childress JF. Principles of biomedical ethics, 5th ed. New York City, NY: Oxford University Press; 2001. [12] Ken Baum and Julie Cantor. 2004. “The Limits of Conscientious Objection – May Pharmacists Refuse to Fill Prescriptions for Emergency Contraception.” New England Journal of Medicine, November 4, 2004. https://www.nejm.org/doi/full/10.1056/nejmsb042263 [13] Min Luo et al. 2020. “The psychological and mental impact of coronavirus disease 2019 (COVID-19) on medical staff and general public - A systematic review and meta-analysis.” Psychiatry Research, Sep. 2020. https://doi.org/10.1016/j.psychres.2020.113190 [14] Tai, D., Shah, A., Doubeni, C. A., Sia, I. G., & Wieland, M. L. (2021). The Disproportionate Impact of COVID-19 on Racial and Ethnic Minorities in the United States. Clinical Infectious Diseases: An Official Publication of The Infectious Diseases Society of America, 72(4), 703–706. https://doi.org/10.1093/cid/ciaa815 ; Chen, J. A., Zhang, E., & Liu, C. H. (2020). Potential Impact of COVID-19-Related Racial Discrimination on the Health of Asian Americans. American Journal of Public Health, 110(11), 1624–1627. https://doi.org/10.2105/AJPH.2020.305858; Strassle, P. D., Stewart, A. L., Quintero, S. M., Bonilla, J., Alhomsi, A., Santana-Ufret, V., Maldonado, A. I., Forde, A. T., & Nápoles, A. M. (2022). COVID-19-Related Discrimination Among Racial/Ethnic Minorities and Other Marginalized Communities in the United States. American Journal of Public Health, 112(3), 453–466. https://doi.org/10.2105/AJPH.2021.306594; Johnson-Mann, C., Hassan, M., & Johnson, S. (2020). COVID-19 pandemic highlights racial health inequities. The Lancet. Diabetes & Endocrinology, 8(8), 663–664. https://doi.org/10.1016/S2213-8587(20)30225-4 [15] Elisabeth Roesch et al. 2020. “Violence against women during covid-19 pandemic restrictions.” BMJ, May 7, 2020. https://doi.org/10.1136/bmj.m1712 [16] Delan Devakumar et al. 2020. “Racism and discrimination in COVID-19 responses.” The Lancet, April 1, 2020. https://doi.org/10.1016/S0140-6736(20)30792-3
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20

Matthews, Nicole. "Creating Visible Children?" M/C Journal 11, n.º 3 (2 de julho de 2008). http://dx.doi.org/10.5204/mcj.51.

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I want to argue here that the use of terms like “disabled” has very concrete and practical consequences; such language choices are significant and constitutive, not simply the abstract subject of a theoretical debate or a “politically correct” storm in a teacup. In this paper I want to examine some significant moments of conflict over and resistance to definitions of “disability” in an arts project, “In the Picture”, run by one of the UK’s largest disability charities, Scope. In the words of its webpages, this project “aims to encourage publishers, illustrators and writers to embrace diversity - so that disabled children are included alongside others in illustrations and story lines in books for young readers” (http://www.childreninthepicture.org.uk/aboutus.htm). It sought to raise awareness of “ableism” in the book world and through its webpage, offer practical advice and examples of how to include disabled children in illustrated children’s books. From 2005 to 2007, I tracked the progress of the project’s Stories strand, which sought to generate exemplary inclusive narratives by drawing on the experiences of disabled people and families of disabled children. My research drew on participant observation and interviews, but also creative audience research — a process where, in the words of David Gauntlett, “participants are asked to create media or artistic artefacts themselves.” Consequently, when I’m talking here about definitions of “disability’, I am discussing not just the ways people talk about what the word “disabled” might mean, but also the ways in which such identities might appear in images. These definitions made a real difference to those participating in various parts of the project and the types of inclusive stories they produced. Scope has been subject to substantial critique from the disability movement in the past (Benjamin; Carvel; Shakespeare, "Sweet Charity"). “In the Picture” was part of an attempt to resituate the charity as a campaigning organization (Benjamin; O’Hara), with the campaign’s new slogan “Time to get Equal” appearing prominently at the top of each page of the project’s website. As a consequence the project espoused the social model of disability, with its shift in focus from individual peoples’ bodily differences, towards the exclusionary and unequal society that systematically makes those differences meaningful. This shift in focus generates, some have argued, a performative account of disability as an identity (Sandhal; Breivik). It’s not simply that non-normative embodiment or impairment can be (and often is) acquired later in life, meaning that non-disabled people are perhaps best referred to as TABs — the “temporarily able bodied” (Duncan, Goggin and Newell). More significantly, what counts as a “disabled person” is constituted in particular social, physical and economic environments. Changing that environment can, in essence, create a disabled person, or make a person cease to be dis-abled. I will argue that, within the “In the Picture” project, this radically constructionist vision of disablement often rubbed against more conventional understandings of the term “disabled people”. In the US, the term “people with disabilities” is favoured as a label, because of its “people first” emphasis, as well as its identification of an oppressed minority group (Haller, Dorries and Rahn, 63; Shakespeare, Disability Rights). In contrast, those espousing the social model of disability in the UK tend to use the phrase “disabled people”. This latter term can flag the fact that disability is not something emanating from individuals’ bodily differences, but a social process by which inaccessible environments disable particular people (Oliver, Politics). From this point of view the phrase “people with disabilities” might appear to ascribe the disability to the individual rather than the society — it suggests that it is the people who “have” the disability, not the society which disables. As Helen Meekosha has pointed out, Australian disability studies draws on both US civil rights languages and the social model as understood in the UK. While I’ve chosen to adopt the British turn of phrase here, the broader concept from an Australian point of view, is that the use of particular sets of languages is no simple key to the perspectives adopted by individual speakers. My observations suggest that the key phrase used in the project — “ disabled people” — is one that, we might say, “passes”. To someone informed by the social model it clearly highlights a disabling society. However, it is a phrase that can be used without obvious miscommunication to talk to people who have not been exposed to the social model. Someone who subscribes to a view of “disability” as impairment, as a medical condition belonging to an individual, might readily use the term “disabled people”. The potentially radical implications of this phrase are in some ways hidden, unlike rival terms like “differently abled”, which might be greeted with mockery in some quarters (eg. Purvis; Parris). This “passing” phrase did important work for the “In the Picture” project. As many disability activists have pointed out, “charity” and “concern” for disabled people is a widely espoused value, playing a range of important psychic roles in an ableist society (eg. Longmore; Hevey). All the more evocative is a call to support disabled children, a favoured object of the kinds of telethons and other charitable events which Longmore discusses. In the words of Rosemarie Garland Thomson, the sentimentality often used in charity advertising featuring children “contains disability’s threat in the sympathetic, helpless child for whom the viewer is empowered to act” (Garland Thomson, 63). In calling for publishers to produce picture books which included disabled children, the project had invested in this broad appeal — who could argue against such an agenda? The project has been successful, for example, in recruiting support from many well known children’s authors and illustrators, including Quentin Blake and Dame Jackie Wilson. The phrase “disabled children”, I would argue, smoothed the way for such successes by enabling the project to graft progressive ideas —about the need for adequate representation of a marginalized group — onto existing conceptions of an imagined recipient needing help from an already constituted group of willing givers. So what were the implications of using the phrase “disabled children” for the way the project unfolded? The capacity of this phrase to refer to both a social model account of disability and more conventional understandings had an impact on the recruitment of participants for writing workshops. Participants were solicited via a range of routes. Some were contacted through the charity’s integrated pre-school and the networks of the social workers working beside it. The workshops were also advertised via a local radio show, through events run by the charity for families of disabled people, through a notice in the Disabled Parents site, and announcements on the local disability arts e- newsletter. I am interested in the way that those who heard about the workshops might have been hailed by —or resisted the lure of — those labels “disabled person” or “parent of a disabled child” or at least the meaning of those labels when used by a large disability charity. For example, despite a workshop appearing on the programme of Northwest Disability Arts’ Deaf and Disability Arts Festival, no Deaf participants became involved in the writing workshops. Some politicised Deaf communities frame their identities as an oppressed linguistic minority of sign language users, rather than as disabled people (Corker; Ladd). As such, I would suggest that they are not hailed by the call to “disabled people” with which the project was framed, despite the real absence of children’s books drawing on Deaf culture and its rich tradition of visual communication (Saunders; Conlon and Napier). Most of those who attended were (non-disabled) parents or grandparents of disabled children, rather than disabled people, a fact critiqued by some participants. It’s only possible to speculate about the reasons for this imbalance. Was it the reputation of this charity or charities in general (see Shakespeare, "Sweet Charity") amongst politicised disabled people that discouraged attendance? A shared perspective with those within the British disabled peoples’ movement who emphasise the overwhelming importance of material changes in employment, education, transport rather than change in the realm of “attitudes” (eg Oliver, Politics)? Or was it the association of disabled people undertaking creative activities with a patronising therapeutic agenda (eg Hevey, 26)? The “pulling power” of a term even favoured by the British disability movement, it seems, might be heavily dependent on who was using it. Nonetheless, this term did clearly speak to some people. In conversation it emerged that most of those who attended the workshops either had young family members who were disabled or were imbricated in educational and social welfare networks that identified them as “disabled” — for example, by having access to Disability Living Allowance. While most of the disabled children in participants’ families were in mainstream education, most also had an educational “statement” enabling them to access extra resources, or were a part of early intervention programmes. These social and educational institutions had thus already hailed them as “families of disabled children” and as such they recognised themselves in the project’s invitation. Here we can see the social and institutional shaping of what counts as “disabled children” in action. One participant who came via an unusual route into the workshops provides an interesting reflection of the impact of an address to “disabled people”. This man had heard about the workshop because the local charity he ran had offices adjacent to the venue of one of the workshops. He started talking to the workshop facilitator, and as he said in an interview, became interested because “well … she mentioned that it was about disabilities and I’m interested in people’s disabilities – I want to improve conditions for them obviously”. I probed him about the relationship between his interest and his own experiences as a person with dyslexia. While he taught himself to read in his thirties, he described his reading difficulties as having ongoing impacts on his working life. He responded: first of all it wasn’t because I have dyslexia, it was because I’m interested in improving people’s lives in general. So, I mean particularly people who are disabled need more care than most of us don’t they? …. and I’d always help whenever I can, you know what I mean. And then thinking that I had a disability myself! The dramatic double-take at the end of this comment points to the way this respondent positions himself throughout as outside of the category of “disabled”. This self- identification points towards the stigma often attached to the category “disabled”. It also indicates the way in which this category is, at least in part, socially organised, such that people can be in various circumstances located both inside and outside it. In this writer’s account “people who are disabled” are “them” needing “more care than most of us”. Here, rather than identifying as a disabled person, imagined as a recipient of support, he draws upon the powerful discourses of charity in a way that positions him giving to and supporting others. The project appealed to him as a charity worker and as a campaigner, and indeed a number of other participants (both “disabled” and “non-disabled”) framed themselves in this way, looking to use their writing as a fundraising tool, for example, or as a means of promoting more effective inclusive education. The permeability of the category of “disabled” presented some challenges in the attempt to solicit “disabled peoples’” voices within the project. This was evident when completed stories came to be illustrated by design, illustration and multimedia students at four British universities: Liverpool John Moores University, the University of Wolverhampton, the University of Teeside and the North East Wales Institute. Students attending an initial briefing on the project completed a questionnaire which included an item asking whether they considered themselves to be disabled. While around eight of the eighty respondents answered “yes” to this question, the answers of these students and some others were by no means clear cut. A number of students identified themselves as dyslexic, but contested the idea that this diagnosis meant that they were disabled. One respondent commented along similar lines: “My boyfriend was very upset that the university considers him to be disabled because he is dyslexic”. How can we make sense of these responses? We could note again that the identity of “disabled” is highly stigmatised. Many disabled students believe that they are seen as lazy, demanding excessive resources, or even in the case of some students with non- visible impairments, lying (Kleege; Olney and Brockman). So we could view such responses as identity management work. From this point of view, an indicator of the success of the project in shifting some of the stigma attached to the label of “disabled” might be the fact that at least one of the students participants “came out” as dyslexic to her tutors in the course of her participation in the project. The pattern of answers on questionnaire returns suggests that particular teaching strategies and administrative languages shape how students imagine and describe themselves. Liverpool John Moores University, one of the four art schools participating in the project, had a high profile programme seeking to make dyslexic students aware of the technical and writing support available to them if they could present appropriate medical certification (Lowy). Questionnaires from LJMU included the largest number of respondents identifying themselves as both disabled and dyslexic, and featured no comment on any mismatch between these labels. In the interests of obtaining appropriate academic support and drawing on a view of dyslexia not as a deficit but as a learning style offering significant advantages, it might be argued, students with dyslexia at this institution had been taught to recognise themselves through the label “disabled”. This acknowledgement that people sharing some similar experiences might describe themselves in very different ways depending on their context suggests another way of interpreting some students’ equivocal relationship to labels like “dyslexia” and “disabled”. The university as an environment demanding the production of very formal styles of writing and rapid assimilation of a high volume of written texts, is one where particular learning strategies of people with dyslexia come to be disabling. In many peoples’ day to day lives – and perhaps particularly in the day to day lives of visual artists – less conventional ways of processing written information simply may not be disabling. As such, students’ responses might be seen less as resistance to a stigmatised identity and more an acknowledgement of the contingent nature of disablement. Or perhaps we might understand these student responses as a complex mix of both of these perspectives. Disability studies has pointed to the coexistence of contradictory discourses around disability within popular culture (eg, Garland-Thomson; Haller, Dorries and Rahn). Similarly, the friezes, interactive games, animations, illustrated books and stand-alone images which came out of this arts project sometimes incorporate rival conceptions of disability side by side. A number of narratives, for example, include pairs of characters, one of which embodies conventional narratives of disability (for example, being diagnostically labelled or ‘cured’), while the other articulates alternative accounts (celebrating diversity and enabling environments). Both students and staff reported that participation in the project prompted critical thinking about accessible design and inclusive representation. Some commented in interviews that their work on the project had changed their professional practice in ways they thought might have longer term impact on the visual arts. However, it is clear that in student work, just as in the project itself, alternative conceptions of what “disability” might mean were at play, even as reframing such conceptions are explicitly the aim of the enterprise. Such contradictions point towards the difficulties of easily labelling individual stories or indeed the wider project “progressive” or otherwise. Some illustrated narratives and animations created by students were understood by the project management to embody the definitions of “disabled children” within the project’s ten principles. This work was mounted on the website to serve as exemplars for the publishing industry (http://www.childreninthepicture.org.uk/stories.htm). Such decisions were not unreflective, however. There was a good deal of discussion by students and project management about how to make “disabled children” visible without labelling or pathologising. For example, one of the project’s principles is that “images of disabled children should be used casually or incidentally, so that disabled children are portrayed playing and doing things alongside their non- disabled peers” (see also Bookmark). Illustrator Jane Ray commented wryly in an article on the website on her experience of including disabled characters in a such a casual way in her published work that no-one notices it! (Ray). As I’ve discussed in more detail elsewhere (Matthews, forthcoming), the social model, espoused by the project, with its primary focus on barriers to equality rather than individual impaired bodies, presented some challenges to such aims. While both fairytales and, increasingly, contemporary books for young people, do sometimes engage with violence, marginalisation and social conflict (Saunders), there is a powerful imperative to avoid such themes in books for very young children. In trying to re-narrativise disabled children outside conventional paradigms of “bravery overcoming adversity”, the project may have also pushed writers and illustrators away from engaging with barriers to equality. The project manager commented in an interview: “probably in the purest form the social model would show in stories the barriers facing disabled children, whereas we want to show what barriers have been knocked down and turn it round into a more positive thing”. While a handful of the 23 stories emerging from the writing workshops included narratives around bullying and or barriers to equal access, many of the stories chose to envisage more utopian, integrated environments. If it is barriers to inequality that, at least in part, create “disabled people”, then how is it possible to identify disabled children with little reference to such barriers? The shorthand used by many student illustrators, and frequently too in the “images for inspiration” part of the project’s website, has been the inclusion of enabling technologies. A white cane, a wheelchair or assistive and augmentative communication technologies can be included in an image without making a “special” point of these technologies in the written text. The downside to this shorthand, however, is the way that the presence of these technologies can serve to naturalise the category of “disabled children”. Rather than being seen as a group identity constituted by shared experiences of discrimination and exclusion, the use of such “clues” to which characters “are disabled” might suggest that disabled people are a known group, independent of particular social and environmental settings. Using this arts project as a case study, I have traced here some of the ways people are recognised or recognise themselves as “disabled”. I’ve also suggested that within this project other conceptions of what “disabled” might mean existed in the shadows of the social constructionist account to which it declared its allegiances. Given the critiques of the social model which have emerged within disability studies over the last fifteen years (e.g. Crowe; Shakespeare, Disability Rights), this need not be a damning observation. The manager of this arts project, along with writer Mike Oliver ("If I Had"), has suggested that the social model might be used strategically as a means of social transformation rather than a complete account of disabled peoples’ lives. However, my analysis here has suggested that we can not only imagine different ways that “disabled people” might be conceptualised in the future. Rather we can see significant consequences of the different ways that the label “disabled” is mobilised here and now. Its inclusion and exclusions, what it makes it easy to say or difficult to imagine needs careful thinking through. References Benjamin, Alison. “Going Undercover.” The Guardian, Society, April 2004: 8. Bookmark. Quentin Blake Award Project Report: Making Exclusion a Thing of the Past. The Roald Dahl Foundation, 2006. Breivik, Jan Kare. “Deaf Identities: Visible Culture, Hidden Dilemmas and Scattered Belonging.” In H.G. Sicakkan and Y.G. Lithman, eds. What Happens When a Society Is Diverse: Exploring Multidimensional Identities. Lewiston, New York: Edwin Mellen Press, 2006. 75-104. Carvel, John. “Demonstrators Rattle Scope.” The Guardian, Society section, 6 Oct. 2004: 4. Conlon, Caroline, and Jemina Napier. “Developing Auslan Educational Resources: A Process of Effective Translation of Children’s Books.” Deaf Worlds 20.2. (2004): 141-161. Corker, Mairian. Deaf and Disabled or Deafness Disabled. Buckingham: Open University Press, 1998. Crow, Liz. “Including All of Our Lives: Renewing the Social Model of Disability.” In Jenny Morris, ed. Encounters with Strangers: Feminism and Disability. Women’s Press, 1996. 206-227. Davis, John, and Nick Watson. “Countering Stereotypes of Disability: Disabled Children and Resistance.” In Mairian Corker and Tom Shakespeare, eds. Disability/Postmodernity: Embodying Disability Theory. London: Continuum, 2002. 159-174. Duncan, Kath, Gerard Goggin, and Christopher Newell. “Don’t Talk about Me… like I’m Not Here: Disability in Australian National Cinema.” Metro Magazine 146-147 (2005): 152-159. Garland Thomson, Rosemarie. “The Politics of Staring: Visual Rhetorics of Disability in Popular Photography.” In Sharon L. Snyder, Brenda Jo Bruggemann, and Rosemarie Garland Thomson, eds. Disability Studies: Enabling the Humanities. New York: MLAA, 2002. 56-75. Gauntlett, David. “Using Creative Visual Research Methods to Understand Media Audiences.” MedienPädagogik 4.1 (2005). Haller, Beth, Bruce Dorries, and Jessica Rahn. “Media Labeling versus the US Disability Community Identity: A Study of Shifting Cultural Language.” In Disability & Society 21.1 (2006): 61-75. Hevey, David. The Creatures Time Forgot: Photography and Disability Imagery. London: Routledge, 1992. Kleege, Georgia. “Disabled Students Come Out: Questions without Answers.” In Sharon Snyder, Brenda Jo Brueggeman, and Rosemarie Garland Thomson, eds. Disability Studies: Enabling the Humanities. New York: Modern Language Association of America, 2002. 308-316. Ladd, Paddy. Understanding Deaf Culture: In Search of Deafhood. Clevedon: Multilingual Matters, 2003. Longmore, Paul. “Conspicuous Contribution and American Cultural Dilemma: Telethon Rituals of Cleansing and Renewal.” In David T. Mitchell and Sharon L. Snyder, eds. The Body and Physical Difference: Discourses of Disability. Ann Arbor: The University of Michigan Press, 1997. 134-158. Lowy, Adrienne. “Dyslexia: A Different Approach to Learning?” JMU Learning and Teaching Press 2.2 (2002). Matthews, Nicole. “Contesting Representations of Disabled Children in Picture Books: Visibility, the Body and the Social Model of Disability.” Children’s Geographies (forthcoming). Meekosha, Helen. “Drifting Down the Gulf Stream: Navigating the Cultures of Disability Studies.” Disability & Society 19.7 (2004): 720-733. O’Hara, Mary. “Closure Motion.” The Guardian, Society section, 30 March 2005: 10. Oliver, Mike. The politics of Disablement. London: Macmillan, 1990. ———. “If I Had a Hammer: The Social Model in Action.” In John Swain, Sally French, Colin Barnes, and Carol Thomas, eds. Disabling Barriers – Enabling Environments. London: Sage, 2002. 7-12. Olney, Marjorie F., and Karin F. Brockelman. "Out of the Disability Closet: Strategic Use of Perception Management by Select University Students with Disabilities." Disability & Society 18.1 (2003): 35-50. Parris, Matthew. “Choose Your Words Carefully If You Want to Be Misunderstood.” The Times 10 July 2004. Purves, Libby. “Handicap, What Handicap?” The Times 9 Aug. 2003. Ray, Jane. “An Illustrator’s View: Still Invisible.” In the Picture. < http://www.childreninthepicture.org.uk/au_illustrateview.htm >.Sandhal, Carrie. “Queering the Crip or Cripping the Queer: Intersections of Queer and Crip Identities in Solo Autobiographical Performance.” GLQ: A Journal of Lesbian and Gay Studies 9.1-2 (2003): 25-56. Saunders, Kathy. Happy Ever Afters: A Storybook Guide to Teaching Children about Disability. London: Trenton Books, 2000. Shakespeare, Tom. “Sweet Charity?” 2 May 2003. Ouch! < (http://www.bbc.co.uk/ouch/features/charity.shtml >. Shakespeare, Tom. Disability Rights and Wrongs. London: Routledge, 2006.
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