14,918 research outputs found
Central-provincial Politics and Industrial Policy-making in the Electric Power Sector in China
In addition to the studies that provide meaningful insights into the complexity of technical and economic issues, increasing studies have focused on the political process of market transition in network industries such as the electric power sector. This dissertation studies the centralâprovincial interactions in industrial policy-making and implementation, and attempts to evaluate the roles of Chinese provinces in the market reform process of the electric power sector. Market reforms of this sector are used as an illustrative case because the new round of market reforms had achieved some significant breakthroughs in areas such as pricing reform and wholesale market trading. Other policy measures, such as the liberalization of the distribution market and cross-regional market-building, are still at a nascent stage and have only scored moderate progress. It is important to investigate why some policy areas make greater progress in market reforms than others. It is also interesting to examine the impacts of Chinese central-provincial politics on producing the different market reform outcomes. Guangdong and Xinjiang are two provinces being analyzed in this dissertation. The progress of market reforms in these two provinces showed similarities although the provinces are very different in terms of local conditions such as the stages of their economic development and energy structures. The actual reform can be understood as the outcomes of certain modes of interactions between the central and provincial actors in the context of their particular capabilities and preferences in different policy areas. This dissertation argues that market reform is more successful in policy areas where the central and provincial authorities are able to engage mainly in integrative negotiations than in areas where they engage mainly in distributive negotiations
The place where curses are manufactured : four poets of the Vietnam War
The Vietnam War was unique among American wars. To pinpoint its uniqueness, it was necessary to look for a non-American voice that would enable me to articulate its distinctiveness and explore the American character as observed by an Asian. Takeshi Kaiko proved to be most helpful. From his novel, Into a Black Sun, I was able to establish a working pair of 'bookends' from which to approach the poetry of Walter McDonald, Bruce Weigl, Basil T. Paquet and Steve Mason. Chapter One is devoted to those seemingly mismatched 'bookends,' Walt Whitman and General William C. Westmoreland, and their respective anthropocentric and technocentric visions of progress and the peculiarly American concept of the "open road" as they manifest themselves in Vietnam. In Chapter, Two, I analyze the war poems of Walter McDonald. As a pilot, writing primarily about flying, his poetry manifests General Westmoreland's technocentric vision of the 'road' as determined by and manifest through technology. Chapter Three focuses on the poems of Bruce Weigl. The poems analyzed portray the literal and metaphorical descent from the technocentric, 'numbed' distance of aerial warfare to the world of ground warfare, and the initiation of a 'fucking new guy,' who discovers the contours of the self's interior through a set of experiences that lead from from aerial insertion into the jungle to the degradation of burning human
feces. Chapter Four, devoted to the thirteen poems of Basil T. Paquet, focuses on the continuation of the descent begun in Chapter Two. In his capacity as a medic, Paquet's entire body of poems details his quotidian tasks which entail tending the maimed, the mortally wounded and the dead. The final chapter deals with Steve Mason's JohnnY's Song, and his depiction of the plight of Vietnam veterans back in "The World" who are still trapped inside the interior landscape of their individual "ghettoes" of the soul created by their war-time experiences
Implementing Health Impact Assessment as a Required Component of Government Policymaking: A Multi-Level Exploration of the Determinants of Healthy Public Policy
It is widely understood that the public policies of ânon-healthâ government sectors have greater impacts on population health than those of the traditional healthcare realm. Health Impact Assessment (HIA) is a decision support tool that identifies and promotes the health benefits of policies while also mitigating their unintended negative consequences. Despite numerous calls to do so, the Ontario government has yet to implement HIA as a required component of policy development. This dissertation therefore sought to identify the contexts and factors that may both enable and impede HIA use at the sub-national (i.e., provincial, territorial, or state) government level.
The three integrated articles of this dissertation provide insights into specific aspects of the policy process as they relate to HIA. Chapter one details a case study of purposive information-seeking among public servants within Ontarioâs Ministry of Education (MOE). Situated within Ontarioâs Ministry of Health (MOH), chapter two presents a case study of policy collaboration between health and ânon-healthâ ministries. Finally, chapter three details a framework analysis of the political factors supporting health impact tool use in two sub-national jurisdictions â namely, QuĂ©bec and South Australia.
MOE respondents (N=9) identified four components of policymaking âdue diligenceâ, including evidence retrieval, consultation and collaboration, referencing, and risk analysis. As prospective HIA users, they also confirmed that information is not routinely sought to mitigate the potential negative health impacts of education-based policies. MOH respondents (N=8) identified the bureaucratic hierarchy as the brokering mechanism for inter-ministerial policy development. As prospective HIA stewards, they also confirmed that the ministry does not proactively flag the potential negative health impacts of non-health sector policies. Finally, âlessons learnedâ from case articles specific to QuĂ©bec (n=12) and South Australia (n=17) identified the political factors supporting tool use at different stages of the policy cycle, including agenda setting (âpolicy elitesâ and âpolitical cultureâ), implementation (âjurisdictionâ), and sustained implementation (âinstitutional powerâ).
This work provides important insights into âreal lifeâ policymaking. By highlighting existing facilitators of and barriers to HIA use, the findings offer a useful starting point from which proponents may tailor context-specific strategies to sustainably implement HIA at the sub-national government level
Animating potential for intensities and becoming in writing: challenging discursively constructed structures and writing conventions in academia through the use of storying and other post qualitative inquiries
Written for everyone ever denied the opportunity of fulfilling their academic potential, this is âChloeâs storyâ. Using composite selves, a phrase chosen to indicate multiplicities and movement, to story both the initial event leading to âChloeâsâ immediate withdrawal from a Further Education college and an imaginary second chance to support her whilst at university, this Deleuzo-Guattarian (2015a) âassemblageâ of post qualitative inquiries offers challenge to discursively constructed structures and writing conventions in academia. Adopting a posthuman approach to theorising to shift attention towards affects and intensities always relationally in action in multiple âassemblagesâ, these inquiries aim to decentre individual âlecturerâ and âstudentâ identities. Illuminating movements and moments quivering with potential for change, then, hoping thereby to generate second chances for all, different approaches to writing are exemplified which trouble those academic constraints by fostering inquiry and speculation: moving away from âwhat isâ towards âwhat ifâ.
With the formatting of this thesis itself also always troubling the rigid Deleuzo-Guattarian (2015a) âsegmentary linesâ structuring orthodox academic practice, imbricated in these inquiries are attempts to exemplify Manningâs (2015; 2016) âartfulnessâ through shifts in thinking within and around an emerging PhD thesis. As writing resists organising, the verb thesisising comes into play to describe the processes involved in creating this always-moving thesis. Using âlanding sitesâ (Arakawa and Gins, 2009) as a landscaping device, freely creating emerging âlines of flightâ (Deleuze and Guattari, 2015a) so often denied to students forced to adhere to strict academic conventions, this âmovement-movingâ (Manning, 2014) opens up opportunities for change as in Manningâs (2016) âresearch-creationâ. Arguing for a moving away from writing-representing towards writing-inquiring, towards a writing âthat doesâ (Wyatt and Gale, 2018: 127), and toward writing as immanent doing, it is hoped to animate potential for intensities and becoming in writing, offering opportunities and glimmerings of the not-yet-known
The Grapes of Wrath: An Artful Jurisprudence
By documenting the harsh realities of the era, The Grapes of Wrath (âGOWâ) calls to mind those distressing UN Country Reports that both describe and denounce avoidable landscapes of poverty, hunger, homelessness, and dispossession. Steinbeck embeds the novelâs harrowing images within an unforgiving framework of human rights violations, most of which flow directly from human greed. The novelâs prescient yet timeless warnings speak not only to the various humanitarian crises brought about by climate change and unethical commercial practices, but also to many ongoing, perennial global atrocities: corrupt political regimes, gendered injustices, ethnic cleansing, and displacement of entire populations. It is landscapes such as these that still serve to both spark and underpin refugee existence: the need for a compassionate system of asylum-granting, firmly grounded in human rights law, clearly remains as urgent now as it was in Steinbeckâs time. As witnesses to such chronic disregard for human dignity, readers of the novel are not only tasked with judging those responsible: we must also evaluate the perennial failings of the various global and domestic systems that have enabled and perpetuated such egregious rights violations. The final scene, drenched in symbolism, still serves as a quasi-courtroom: before the bared breast of a Lady Justice figure we become jurists, and cannot help apportioning blame for all that has been witnessed over the course of the Joadâs journeying. A close reading now, almost a century later, serves as a timely reminder that similar atrocities continue: migrant and refugee populations remain especially vulnerable, not least where they have been displaced by poverty or political crises from all that was once familiar. This article argues that the novelâs central focus on âsocial realismâ demands much in the way of âmoral and emotional effortâ (Benson, 9) from the reader: we should leave the book with nothing less than a highly âactive compassion for the dispossessedâ (Wyatt, 12). It is perhaps best viewed as a collection of first-hand witness testimonies, akin to those gathered and collated by the United Nations (UN) various Committees and which serve to reveal, record, and address the horrendously fine detail of abject human rights violations and their impacts upon the most vulnerable. It is Steinbeckâs âconsistently catchy eyewitness qualityâ (De Mott, xiii) which both brings and retains this timeless sense of urgency and immediacy, without directing any clear response: it is up to the conscience of the individual reader to determine how best to process or address the various challenges presented
Towards a more just refuge regime: quotas, markets and a fair share
The international refugee regime is beset by two problems: Responsibility for refuge falls
disproportionately on a few states and many owed refuge do not get it. In this work, I explore
remedies to these problems. One is a quota distribution wherein states are distributed
responsibilities via allotment. Another is a marketized quota system wherein states are free to buy
and sell their allotments with others. I explore these in three parts. In Part 1, I develop the prime
principles upon which a just regime is built and with which alternatives can be adjudicated. The
first and most important principle â âJustice for Refugeesâ â stipulates that a just regime provides
refuge for all who have a basic interest in it. The second principle â âJustice for Statesâ â stipulates
that a just distribution of refuge responsibilities among states is one that is capacity considerate. In
Part 2, I take up several vexing questions regarding the distribution of refuge responsibilities
among states in a collective effort. First, what is a stateâs âfair shareâ? The answer requires the
determination of some logic â some metric â with which a distribution is determined. I argue that
one popular method in the political theory literature â a GDP-based distribution â is normatively
unsatisfactory. In its place, I posit several alternative metrics that are more attuned with the
principles of justice but absent in the political theory literature: GDP adjusted for Purchasing
Power Parity and the Human Development Index. I offer an exploration of both these. Second,
are states required to âtake up the slackâ left by defaulting peers? Here, I argue that duties of help
remain intact in cases of partial compliance among states in the refuge regime, but that political
concerns may require that such duties be applied with caution. I submit that a market instrument
offers one practical solution to this problem, as well as other advantages. In Part 3, I take aim at
marketization and grapple with its many pitfalls: That marketization is commodifying, that it is
corrupting, and that it offers little advantage in providing quality protection for refugees. In
addition to these, I apply a framework of moral markets developed by Debra Satz. I argue that a
refuge market may satisfy Justice Among States, but that it is violative of the refugeesâ welfare
interest in remaining free of degrading and discriminatory treatment
âMental fightâ and âseeing & writingâ in Virginia Woolf and William Blake
This thesis is the first full-length study to assess the writer and publisher Virginia Woolfâs (1882-1941) responses to the radical Romantic poet-painter, and engraver, William Blake (1757-1827). I trace Woolfâs public and private, overt and subtle references to Blake in fiction, essays, notebooks, diaries, letters and drawings. I have examined volumes in Leonard and Virginia Woolfâs library that are pertinent, directly and indirectly, to Woolfâs understanding of Blake. I focus on Woolfâs key phrases about Blake: âMental fightâ, and âseeing & writing.â
I consider the other phrases Woolf uses to think about Blake in the context of these two categories. Woolf and Blake are both interested in combining visual and verbal aesthetics (âseeing & writingâ). They are both critical of their respective cultures (âMental fightâ). Woolf mentions âseeing & writingâ in connection to Blake in a 1940 notebook. She engages with Blakeâs âMental fightâ in âThoughts on Peace in an Air Raidâ (1940).
I map late nineteenth and early twentieth-century opinion on Blake and explore Woolfâs engagement with Blake in these wider contexts. I make use of the circumstantial detail of Woolfâs friendship with the great Blake collector and scholar, Geoffrey Keynes (1887-1982), brother of Bloomsbury economist John Maynard Keynes. Woolf was party to the Blake centenary celebrations courtesy of Geoffrey Keynesâs organisation of the centenary exhibition in London in 1927.
Chapter One introduces Woolfâs explicit references to Blake and examines the record of Woolf scholarship that unites Woolf and Blake. To see how her predecessors had responded, Chapter Two examines the nineteenth-century interest in Blake and Woolfâs engagement with key nineteenth-century Blakeans. Chapter Three looks at the modernist, early twentieth-century engagement with Blake, to contextualise Woolfâs position on Blake. Chapter Four assesses how Woolf and Blake use âMental fightâ to oppose warmongering and fascist politics. Chapter Five is about what Woolf and Blake write and think about the country and the city. Chapter Six discusses Woolfâs reading of John Milton (1608-1674) in relation to her interest in Blake, drawing on the evidence of Blakeâs intense reading of Milton. Chapter Seven examines further miscellaneous continuities between Woolf and Blake. Chapter Eight proposes, in conclusion, that we can only form an impression of Woolfâs Blake.
The thesis also has three appendices. First, a chronology of key publications which chart Blakeâs reputation as well as Woolfâs allusions to Blake. Second a list all of Blakeâs poetry represented in Woolfâs library including contents page. The third lists all the other volumes in Woolfâs library that proved relevant. Although Woolfâs writing is the subject of this thesis, my project necessitates an attempt to recover how Blake was understood and misunderstood by numerous writers in the early twentieth century. The thesis argues Blake is a model radical Romantic who combines the visual and the verbal and that Woolf sees him as a kindred artist
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Home and School Literacy Practices of Children in a Rural Village in India: An Ethnography
The Indian state is responsible for providing free and compulsory education to all its 6-14-year-old children. A significant majority of these children attend state schools and belong to some of the most socio-economically disadvantaged sections of the country. Researchers who document teaching in these schools continue to provide accounts of teacher-led instruction. Both international and Indian assessments of literacy also evidence dismal levels of learning among children.
Unlike previous studies from India which have focused on teachers and teaching, this study broadens its focus to include children and learning. It does this by exploring the range of literacy practices that children engage with at home and school, and by taking into consideration the beliefs of caregivers and teachers shaping these practices. Theoretically rooted in a sociocultural theory, it shines a light on how childrenâs literacy practices are cultural and personal and, consequently, uncovers the relationship between home and school practices.
Ethnography provides the methodological framework for the study. The five participant children live in a resource-poor, agrarian village and attend the state school within the village. The literacy practices of two are discussed in detail in this current study. Participant observation of childrenâs practices in naturalistic settings, that is, their homes and school, and conversations with them lie at the heart of the fieldwork. Interviews with caregivers and teachers were also undertaken. Data were recorded with audio and video devices, in the form of fieldnotes, and childrenâs texts were captured through photographs. Consequently, it is the first known research to endeavour a qualitative exploration of childrenâs home literacy practices in India and to do so within a rural community.
This study makes significant contributions to theory. This has been possible because of the depth of its fieldwork and the theories it has chosen to draw on for analysis. The cultural nature of childrenâs practices has been highlighted using Geeâs (2002, 2012, 2014) conceptualisation of Discourse and identity and their personal nature has been examined using Hedges and her colleagues (Hedges et al., 2011; Hedges & Cooper, 2016) theorisation of interests. As a result, this study has been successful in highlighting the personal nature of childrenâs literacy practices. It also provides evidence of the potential of both theories to illuminate the nature of childrenâs literacy practices
Political Islam and grassroots activism in Turkey : a study of the pro-Islamist Virtue Party's grassroots activists and their affects on the electoral outcomes
This thesis presents an analysis of the spectacular rise of political Islam in Turkey. It has two aims: first to understand the underlying causes of the rise of the Welfare Party which -later became the Virtue Party- throughout the 1990s, and second to analyse how grassroots activism influenced this process. The thesis reviews the previous literature on the Islamic fundamentalist movements, political parties, political party systems and concentrates on the local party organisations and their effects on the party's electoral performance. It questions the categorisation of Islamic fundamentalism as an appropriate label for this movement. An exploration of such movements is particularly important in light of the event of 11`x' September. After exploring existing theoretical and case studies into political Islam and party activism, I present my qualitative case study. I have used ethnographic methodology and done participatory observations among grassroots activists in Ankara's two sub-districts covering 105 neighbourhoods. I examined the Turkish party system and the reasons for its collapse. It was observed that as a result of party fragmentation, electoral volatility and organisational decline and decline in the party identification among the citizens the Turkish party system has declined. However, the WP/VP profited from this trend enormously and emerged as
the main beneficiary of this process. Empirical data is analysed in four chapters, dealing with the different aspects of the Virtue Party's local organisations and grassroots activists. They deal with change and continuity in the party, the patterns of participation, the routes and motives for becoming a party activist, the profile of party activists and the local party organisations. I explore what they do and how they do it. The analysis reveals that the categorisation of Islamic fundamentalism is misplaced and the rise of political Islam in Turkey cannot be explained as religious revivalism or the rise of Islamic fundamentalism. It is a political force that drives its strength from the urban poor which has been harshly affected by the IMF directed neoliberal economy policies. In conclusion, it is shown that the WP/VP's electoral chances were significantly improved by its very efficient and effective party organisations and highly committed grassroots activists
Foundations for programming and implementing effect handlers
First-class control operators provide programmers with an expressive and efficient
means for manipulating control through reification of the current control state as a first-class object, enabling programmers to implement their own computational effects and
control idioms as shareable libraries. Effect handlers provide a particularly structured
approach to programming with first-class control by naming control reifying operations
and separating from their handling.
This thesis is composed of three strands of work in which I develop operational
foundations for programming and implementing effect handlers as well as exploring
the expressive power of effect handlers.
The first strand develops a fine-grain call-by-value core calculus of a statically
typed programming language with a structural notion of effect types, as opposed to the
nominal notion of effect types that dominates the literature. With the structural approach,
effects need not be declared before use. The usual safety properties of statically typed
programming are retained by making crucial use of row polymorphism to build and
track effect signatures. The calculus features three forms of handlers: deep, shallow,
and parameterised. They each offer a different approach to manipulate the control state
of programs. Traditional deep handlers are defined by folds over computation trees,
and are the original con-struct proposed by Plotkin and Pretnar. Shallow handlers are
defined by case splits (rather than folds) over computation trees. Parameterised handlers
are deep handlers extended with a state value that is threaded through the folds over
computation trees. To demonstrate the usefulness of effects and handlers as a practical
programming abstraction I implement the essence of a small UNIX-style operating
system complete with multi-user environment, time-sharing, and file I/O.
The second strand studies continuation passing style (CPS) and abstract machine
semantics, which are foundational techniques that admit a unified basis for implementing deep, shallow, and parameterised effect handlers in the same environment. The
CPS translation is obtained through a series of refinements of a basic first-order CPS
translation for a fine-grain call-by-value language into an untyped language. Each refinement moves toward a more intensional representation of continuations eventually
arriving at the notion of generalised continuation, which admit simultaneous support for
deep, shallow, and parameterised handlers. The initial refinement adds support for deep
handlers by representing stacks of continuations and handlers as a curried sequence of
arguments. The image of the resulting translation is not properly tail-recursive, meaning some function application terms do not appear in tail position. To rectify this the
CPS translation is refined once more to obtain an uncurried representation of stacks
of continuations and handlers. Finally, the translation is made higher-order in order to
contract administrative redexes at translation time. The generalised continuation representation is used to construct an abstract machine that provide simultaneous support for
deep, shallow, and parameterised effect handlers. kinds of effect handlers.
The third strand explores the expressiveness of effect handlers. First, I show that
deep, shallow, and parameterised notions of handlers are interdefinable by way of typed
macro-expressiveness, which provides a syntactic notion of expressiveness that affirms
the existence of encodings between handlers, but it provides no information about the
computational content of the encodings. Second, using the semantic notion of expressiveness I show that for a class of programs a programming language with first-class
control (e.g. effect handlers) admits asymptotically faster implementations than possible in a language without first-class control
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