987 resultados para 1964-1983


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In Social Science (Organization Studies, Economics, Management Science, Strategy, International Relations, Political Science…) the quest for addressing the question “what is a good practitioner?” has been around for centuries, with the underlying assumptions that good practitioners should lead organizations to higher levels of performance. Hence to ask “what is a good “captain”?” is not a new question, we should add! (e.g. Tsoukas & Cummings, 1997, p. 670; Söderlund, 2004, p. 190). This interrogation leads to consider problems such as the relations between dichotomies Theory and Practice, rigor and relevance of research, ways of knowing and knowledge forms. On the one hand we face the “Enlightenment” assumptions underlying modern positivist Social science, grounded in “unity-of-science dream of transforming and reducing all kinds of knowledge to one basic form and level” and cause-effects relationships (Eikeland, 2012, p. 20), and on the other, the postmodern interpretivist proposal, and its “tendency to make all kinds of knowing equivalent” (Eikeland, 2012, p. 20). In the project management space, this aims at addressing one of the fundamental problems in the field: projects still do not deliver their expected benefits and promises and therefore the socio-economical good (Hodgson & Cicmil, 2007; Bredillet, 2010, Lalonde et al., 2012). The Cartesian tradition supporting projects research and practice for the last 60 years (Bredillet, 2010, p. 4) has led to the lack of relevance to practice of the current conceptual base of project management, despite the sum of research, development of standards, best & good practices and the related development of project management bodies of knowledge (Packendorff, 1995, p. 319-323; Cicmil & Hodgson, 2006, p. 2–6, Hodgson & Cicmil, 2007, p. 436–7; Winter et al., 2006, p. 638). Referring to both Hodgson (2002) and Giddens (1993), we could say that “those who expect a “social-scientific Newton” to revolutionize this young field “are not only waiting for a train that will not arrive, but are in the wrong station altogether” (Hodgson, 2002, p. 809; Giddens, 1993, p. 18). While, in the postmodern stream mainly rooted in the “practice turn” (e.g. Hällgren & Lindahl, 2012), the shift from methodological individualism to social viscosity and the advocated pluralism lead to reinforce the “functional stupidity” (Alvesson & Spicer, 2012, p. 1194) this postmodern stream aims at overcoming. We suggest here that addressing the question “what is a good PM?” requires a philosophy of practice perspective to complement the “usual” philosophy of science perspective. The questioning of the modern Cartesian tradition mirrors a similar one made within Social science (Say, 1964; Koontz, 1961, 1980; Menger, 1985; Warry, 1992; Rothbard, 1997a; Tsoukas & Cummings, 1997; Flyvbjerg, 2001; Boisot & McKelvey, 2010), calling for new thinking. In order to get outside the rationalist ‘box’, Toulmin (1990, p. 11), along with Tsoukas & Cummings (1997, p. 655), suggests a possible path, summarizing the thoughts of many authors: “It can cling to the discredited research program of the purely theoretical (i.e. “modern”) philosophy, which will end up by driving it out of business: it can look for new and less exclusively theoretical ways of working, and develop the methods needed for a more practical (“post-modern”) agenda; or it can return to its pre-17th century traditions, and try to recover the lost (“pre-modern”) topics that were side-tracked by Descartes, but can be usefully taken up for the future” (Toulmin, 1990, p. 11). Thus, paradoxically and interestingly, in their quest for the so-called post-modernism, many authors build on “pre-modern” philosophies such as the Aristotelian one (e.g. MacIntyre, 1985, 2007; Tsoukas & Cummings, 1997; Flyvbjerg, 2001; Blomquist et al., 2010; Lalonde et al., 2012). It is perhaps because the post-modern stream emphasizes a dialogic process restricted to reliance on voice and textual representation, it limits the meaning of communicative praxis, and weaking the practice because it turns away attention from more fundamental issues associated with problem-definition and knowledge-for-use in action (Tedlock, 1983, p. 332–4; Schrag, 1986, p. 30, 46–7; Warry, 1992, p. 157). Eikeland suggests that the Aristotelian “gnoseology allows for reconsidering and reintegrating ways of knowing: traditional, practical, tacit, emotional, experiential, intuitive, etc., marginalised and considered insufficient by modernist [and post-modernist] thinking” (Eikeland, 2012, p. 20—21). By contrast with the modernist one-dimensional thinking and relativist and pluralistic post-modernism, we suggest, in a turn to an Aristotelian pre-modern lens, to re-conceptualise (“re” involving here a “re”-turn to pre-modern thinking) the “do” and to shift the perspective from what a good PM is (philosophy of science lens) to what a good PM does (philosophy of practice lens) (Aristotle, 1926a). As Tsoukas & Cummings put it: “In the Aristotelian tradition to call something good is to make a factual statement. To ask, for example, ’what is a good captain’?’ is not to come up with a list of attributes that good captains share (as modem contingency theorists would have it), but to point out the things that those who are recognized as good captains do.” (Tsoukas & Cummings, 1997, p. 670) Thus, this conversation offers a dialogue and deliberation about a central question: What does a good project manager do? The conversation is organized around a critic of the underlying assumptions supporting the modern, post-modern and pre-modern relations to ways of knowing, forms of knowledge and “practice”.

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Commentators have predicted bureaucratic organisations would undergo substantial change as a result of social and economic pressures. We ask whether reforms to the Australian public service over the 1983–93 period exemplify this process. We use the methods of organisational analysis to characterise the direction of change, basing our assessment on the standard structural variables of complexity, formalisation and centralisation, together with a cultural variable. We find evidence that, overall, departments of state in the APS were becoming less bureaucratic in their structure, culture and internal function in the 1983–93 period. However, the effect was not uniform across departments, or unambiguous — formalisation, for example, increased in some respects and decreased in others. Centralisation increased overall, despite devolution of some decision-making.

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Since the early 1980s, when confidence in institutions was first measured in an Australian academic social survey, Australia - And the world - has faced many political, social and economic changes. From corporate scandals and company collapses, to unprecedented terrorist attacks, to major ongoing international conflicts, to changes in government and all manner of political machinations, to the global financial crisis and its aftermath. One consequence of such developments has been that many major political, social and economic institutions have come under intense pressure. Using survey research data, this paper investigates how public confidence in various Australian institutions and organisations has changed over time. The results are variable and in some instances surprising. Confidence in some institutions has remained high, and in some low, over an extended period of time. In other cases, confidence has varied quite markedly at different time points. As well as looking at trends in the level of public confidence in institutions, the paper examines different dimensions of confidence together with underpinning socio-political factors. It also discusses theoretical and practical implications of the data.

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This Master's thesis examines two opposite nationalistic discourses on the revolution of Zanzibar. Chama cha Mapinduzi (CCM), the party in power since the 1964 revolution defends its revolutionary and "African" heritage in the current multi-party system. New nationalists, including among others the main opposition party Civic United Front (CUF), question both the 1964 revolution and the post-revolution period and blame CCM for empty promises, corruption and ethnic discrimination. This study analyzes the role of a significant historical event in the creation of nationalistic ideology and national identity. The 1964 revolution forms the nucleus of various debates related to the history of Zanzibar: slavery, colonialism, racial discrimination and political violence. Representations of these Social constructivist principles form the basis of this study, and central concepts in the theoretical framework are nationalism, national identity, ethnicity and race. I use critical discourse analysis as my research method, lean on the work by Teun A. van Dijk and Norman Fairclough as the most significant researchers in this field. I examine particularly the ways in which linguistic methods, such as stereotypes and metaphors are used to form in- and out-groups ("us" vs. "others"). My material, both in Swahili and English, was collected mainly in Tanzania in the fall of 2007 and from online sources in the spring of 2009. It includes publications by the Zanzibari government between the years of 1964-2000 (12), official speeches for the Revolution Day or the Union Day (12), articles from Tanzanian newspapers from the 1990s until the year of 2009 (15), memoirs and political pamphlets (10), blog posts and opinion pieces from four different websites (8), and interviews or personal communication in Zanzibar, Dar es Salaam and Uppsala (8). Nationalistic rhetoric often creates enemy images by using binary good-bad oppositions. Both discourses in this study build identities on the basis of "otherness" and exclusion, with the intent of emphasizing the particularity of the own group and excluding "evilness" outside the own reference group. These opposite views on the 1964 revolution as the main axis of the history of Zanzibar build different portraits of the nation and Zanzibari-ness (Uzanzibari). CCM still relies on the pre-revolutionary enemy images of Arabs as selfish rulers and cruel slave traders. For CCM, Zanzibar is primarily an "African" nation and a part of Tanzania which is threatened by "Arabs", the outsiders. In contrast, the new nationalists stress the long history of Zanzibar as multi-racial, cosmopolitan and formerly independent country which has its own, separate culture and identity from mainland Tanzanians. Heshima, honour/respect, one of the basic values of Swahili culture, occupies a central role in both discourses: the main party emphasizes that the revolution returned "heshima" to the Zanzibari Africans after centuries of humiliation, whereas the new nationalists claim that ever since the revolution all "non-Africans" have been humiliated and lost their "heshima". According to the new nationalists, true Zanzibari values which include tolerance and harmony between different "races" were lost when the "foreign" revolutionaries arrived from the mainland. Consequently, they see the 1964 revolution as Tanganyikan colonialism which began with the help of Western countries, and maintain that this "colonialism" still continues in the violent multi-party elections.

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A survey for various mycotoxins was carried out on samples of all wheat delivered to nine storage and marketing depots in south-eastern Queensland, selected as most likely to receive mycotoxin-contaminated grain. All wheat was surveyed during 1983, when the degree of weather damage was high. Samples of the poorest grade of wheat from these depots were also surveyed in 1984 and 1985. The surveys included all regions where head scab of wheat caused by Fusariurn graminearurn Schwabe Group 2 had been reported to occur at significant levels. 4-Deoxynivalenol was detected in nearly all pooled samples representing bulk wheat at concentrations ranging from traces of <0.01 up to 1.7 mg kg-1. The highest concentration of zearlenone detected in a pooled wheat sample was 0.04 mg kg-1. In a few samples representing individual wheat deliveries and with up to 2.8% by weight of pink grains, 4-deoxynivalenol concentrations ranged up to 11.7 mg kg-' and zearalenone up to 0.43 mg kg-l. Aflatoxins B,, B2, G1 and G2 were detected in only one pooled sample of wheat, at a total aflatoxin concentration of 0.003 mg kg-'. Ochratoxin A, sterigmatocystin and T-2 toxin were not detected. Higher concentrations of mycotoxins were found in the poorer grades of wheat.

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Tutkielman aiheena on Helsingin taidegalleriat ja niiden muodostama galleriakenttä. Tutkielmassa tarkastellaan galleriakenttää, galleriakentän ja galleriatoiminnan muutoksia sekä gallerioiden asemia ja asemien muutoksia kentän sisällä vuosina 1983–2009. Tutkielman tavoitteena on toimia Helsingin galleriakentän ja sen lähihistorian perustutkimuksena ja galleriakentän sisäisten asemien rakentumisen analyysina. Tutkimuskysymykset ovat seuraavat: Millaisia muutoksia Helsingin taidegalleriakentässä, sen toimijajoukossa ja gallerioiden toiminnassa on tapahtunut 1980-luvun alkupuolelta 2000-luvun ensimmäisen vuosikymmenen loppuun tultaessa? Mitkä ja millaiset galleriat ovat tutkittavan ajanjakson eri vaiheissa muodostaneet keskeisten gallerioiden joukon, mihin tämä asema on perustunut ja miten galleriakentän sisäiset asemat ovat muuttuneet? Galleriakenttää analysoidaan ja tarkastellaan yhdistäen taidehistoriallisen perustutkimuksen menetelmiä taiteensosiologiseen analyysiin. Tutkielman teoreettinen näkökulma perustuu sosiologi Pierre Bourdieun kenttää koskevaan teoriaan. Teorian rooli on toimia työkaluna tutkittavan kentän ja sen toimijoiden asemien havainnoinnissa ja analyysissa. Tutkielman empiirinen aineisto muodostuu tutkielman tekijän laatimien 28 galleristin ja muun galleriakentän toimijan haastattelujen muodostamasta haastatteluaineistosta. Haastatellut edustavat 22 galleriaa. Niiden muodostama joukko koostuu yksityisistä gallerioista, taiteilijaliittojen gallerioista ja vaihtoehtoisiksi tai taiteilijavetoisiksi määriteltävissä olevista tutkitulla ajanjaksolla eri tavoin keskeisinä pidetyistä gallerioista. Haastattelujen ohella tärkeänä aineistona toimii tutkittavan ajanjakson lehtikirjoittelu. Sen osalta lähteenä on käytetty Helsingin galleriakenttää ja gallerioita koskevaa lehtikirjoittelua, joka on tallennettu Kuvataiteen keskusarkiston leikearkistoon. Lisäksi lähteinä ovat Taide-lehden vuosikerrat tutkittavalta ajalta. Galleriakentän lähihistorian tarkastelun pohjaksi tutkielmassa analysoidaan gallerioiden roolia kuvataiteen kentän portinvartijoina, galleriakentän toimijoiden näkemyksiä keskeisen gallerian aseman rakentumisesta ja gallerioita koskevia luokituksia ja ryhmityksiä. Tutkielman ytimen muodostaa luku, jossa käydään kronologisesti läpi galleriakentän muutoksia ja keskeisiä toimijoita tutkielmassa tarkastellulla ajanjaksolla. Lopuksi syvennetään kentän kronologisen kuvauksen pohjalta galleriakentän muutosten analyysia Bourdieun teorian ja käsitteiden avulla. Tutkielman yhtenä tuloksena on tutkittavan kentän ajanjakson hahmottuminen seuraaviksi jaksoiksi: vuodet 1983–1990, vuodet 1990–1997, vuodet 1997–2002 ja vuodesta 2002 alkanut kentän nykytilanteeseen sidostuva jakso. Jaksot hahmottuvat tarkastellun kentän, galleriatoiminnan ja kentällä kulloinkin keskeisten toimijoiden joukon muutosten pohjalta. Jaksojen liitoskohdat ovat muutosten tihentymiä kentän keskeisten toimijoiden joukossa. Jaksot liittyvät osittain myös yleisen taloustilanteen muutoksiin siltä osin kuin ne ovat vaikuttaneet galleriatoimintaan ja siihen, millainen galleriatoiminta ja mitkä toimijat kulloinkin ovat nousseet keskeisiksi. Tutkielman ydinluvussa tarkasteltava ja analysoitava kentän muutosten ja gallerioiden asemien kronologinen kuvaus muodostaa kokonaisuudessaan tutkielman tärkeimmät perustutkimukselliset tulokset. Tulosten loppupäätelminä tutkielmassa päädytään seuraavaan analyysiin. Galleriakentän muutokset sidostuvat kuvataiteen muutoksiin ja talouden nousu- ja laskukausiin, ne eivät kuitenkaan ole tämänkaltaisista ulkoisista tekijöistä johdettavissa. Gallerioiden asemien rakentuminen ja muutokset ovat kytköksissä kentän sisäisiin muutoksiin siten, että kentän toimijajoukon muutokset joko sidostuvat toisiinsa tai asettuvat samanaikaisiksi. Kentän asemien tila vaikuttaa siihen, millaisen aseman uusi galleria pyrkii ottamaan sekä millaisen aseman se saa kentällä ja mediassa. Kenttä näyttäytyy tilana, jossa toisen toimijan poistuminen kentältä luo aukkoja ja tilauksia toisten toimijoiden synnylle. Kentän asemien rakentuminen ja muutokset syntyvät toisaalta gallerioiden toiminnan ja niiden esittämän taiteen ja taiteilijoiden perusteella sekä toisaalta myös suhteessa gallerioiden jaotteluihin ja luokitteluihin. Kentän rakenteen muodostuessa kentän voimasuhteiden tilan kautta muodostuvat keskeisiksi koettujen gallerioiden joukon muutokset erityisen oleellisiksi sille, miten asemat kentällä ovat kulloinkin rakentuneet

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Tutkielmassa tarkastellaan jälkitavuissa säilyneen, alun perin vokaalienvälisen h:n nykyedustusta Tornionlaakson Pellossa sosiolingvistisen teorian valossa. Keskeisenä tutkimusongelmana on variaation jasen muuttumisen suunnan selvittäminen, mitä tutkitaan sekä näennäis- että reaaliajallisen metodin turvin. Lisäksi pohditaan, millaiset kielensisäiset tekijät muutoksia ohjaavat. Reaaliaikaisen vertailun mahdollistavat Kirsi Kunnarin vuonna 1983 valmistuneen pro gradu -työn jälkitavujen h:ta koskevat tulokset Pellosta (informantit syntyneet vuosina 1898-1967). Pääpaino on kuitenkin näennäisajallisessa vertailussa; variaatiota tarkastellaan yksityiskohtaisesti erityisesti kielelliseltä kannalta, mikä on vaatinut perusteellista aineiston käsittelyä. Näennäisajallisessa tarkastelussa verrataankahden haastatellun ikäryhmän kieltä: nuorten (syntyneet vuosina 1986-1977) ja keski-ikäisten (syntyneet vuosina 1964-1945). Nuoria informantteja, joita on 14, on haastateltu pääosin pareittan. Vertailuryhmä, keski-ikäiset, koostuu heidän vanhem mistaan (7 informanttia). Nauhatunteja on yhteensä n. 13. Tulokset osoittavat, että toisin kuin muualla Peräpohjolassa, yleiskielen mukainen katovariantti (kou-luun) ei ole merkittävästi yleistynyt pellolaisten puhekielessä viimeisten neljän sukupolven aikana. Vokaalienvälisessä asemassa (koulu-h-un) h:ta ei nykypellolaisilla enää tapaa, ja ns. sisäheittoinenvariantti (koul-huun) on nuorten ryhmässä selvästi vähemmän suosiossa kuin keski-ikäisillä. Tornionjoki­laaksolainen, metateettinen h-variantti (kouh-luun) on yhä elinvoimainen: sen käyttö on nuorillakin lisääntynyt. Metateesi ei ole kuitenkaan kvantitatiivisesti juurikaan yleistynyt niissä fonotaktisissa ympäristöissä, joissa se aiheesta tehdyn väitöskirjan (1992) mukaan on ollut aiemmilla sukupolvilla harvinainen. Tätä saattaa osittain selittää tiettyjen puhekielisyyksien yleistyvä käyttö, mikä vaikuttaa eniten juuri näissä fonotaktisissa ympäristöissä siten, ettei metateesin toteutumiselle ole edellytyksiä. Pellon nykyisessä jälkitavujen h:n variaatiossa on osallisena vielä yksi variantti: assimiloitunut h (talhoon > talloon; toisheen > toisseen; kauphaan > kauppaan). Aiemmin tutkituilla sukupolvilla assimilaatiomuutos on ollut harvinainen, mutta nyt se on yleistynyt erityisesti nuorilla tytöillä. h:n assimilaatiossa syntyvät muodot lankeavat usein yhteen alueella jokseenkin fonemaattisena esiintyvän yleisgeminaation kanssa, osa muodoista muistuttaa erikoisgeminaatiota ja pieni osa yleiskielisiä muotoja. Tutkielmassa kyseenalaistetaan kielellisten seikkojen nojalla kyseisten muotojen tulkitseminen h:n assimilaatiosta johtuvaksi: assimiloituneiksi tulkituissa h-tapauksissa sekä konsonantin että sitä seuraavan vokaalin pituusdistribuutiot tukevat ajatusta, että ainakin yleisgeminaatiokonteksteissa assimilaatiomuodot ovat puhujan kannalta "mentaalista geminaatiota". Assimilaatiomuodot rinnastetaan tutkielmassa katomuotoihin sikäli, että niissäkin h on tasoittunut. Merkittävä ero on tavujen kvantiteettisuhteissa: assimilaatiomuodoissa ne säilyvät ennallaan (tal-hoon > tal-loon), katomuodoissa muuttuvat (ta-loon). h:n assimilaatiolla ja metateesilla epäillään aineistonperusteella olevan yhteisen tehtävän: sisäheittoisten talhoon, satheen -muotojen karttaminen tavujen kavantiteettisuhteita rikkomatta. Esitetyn hypoteesin mukaan syynä ovat suomen fonotaksille vieraat konsonantin + h:n yhtymät, jotka aikoinaan syntyivät murteeseen vokaalin heityttyä h:n edeltä.

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Early-onset psychiatric illnesses effects scatter to academic achievements as well as functioning in familial and social environments. From a public health point of view, depressive disorders are the most significant mental health disorders that begin in adolescence. Using prospective and longitudinal design, this study aimed to increase the understanding of early-onset depressive disorders, related mental health disorders and developing substance use in a large population-derived sample of adolescent Finnish twins. The participants of this study, FinnTwin12, an ongoing longitudinal population-based study, came from Finnish families with twins born in 1983-87 (exhaustive of five birth cohorts, identified from Finland s Central Population Register). With follow-up ongoing at age 20-24, this thesis assessed adolescent mental health in the first three waves, starting from baseline age 11-12 to follow-ups at age 14 and 17½. Some 5600 twins participated in questionnaire assessments of a wide range of health related behaviors. Mental health was further assessed among an intensively studied subsample of 1852 adolescents, who completed also professionally administered interviews at age 14, which provided data for full DSM-IV/III-R (Diagnostic and Statistical Manual for Mental Health disorders, 4th and 3rd editions) diagnoses. The participation rates of the study were 87-92%. The results of the study suggest, that the diagnostic criteria for major depressive disorder (MDD) may not capture youth with clinically significant early-onset depressive conditions outside clinical settings. Milder cases of depression, namely adolescents fulfilling the diagnostic criteria for minor depressive disorder, a qualitatively similar condition to MDD with fewer symptoms are also associated with marked suicidal thoughts, plans and attempts, recurrences and a high degree of comorbidity. Prospectively and longitudinally, early-onset depressive disorders were of substantial importance in the context of other mental health disorders and substance use behaviors: These data from a large population-derived sample established a substantial overlap between early-onset depressive disorders and attention deficit hyperactivity disorder in adolescent females, both of them significantly predictive for development of substance use among girls. Only in females baseline DSM-IV ADHD symptoms were strong predictors of alcohol abuse and dependence and illicit drug use at age 14 and frequent alcohol use and illicit drug use at age 17.½ when conduct disorder and previous substance use were controlled for. Early-onset depressive disorders were also prospectively and longitudinally associated to daily smoking behavior, smokeless tobacco use, frequent alcohol use and illicit drug use and eating disorders. Analysis of discordant twins suggested that these predictive associations were independent of familial confounds, such as family income, structure and parental models. In sum, early-onset depressive disorders predict subsequent involvement of substance use and psychiatric morbidity. A heightened risk for substance use is substantial also among those depressed below categorical diagnosis of MDD. Whether early recognition and interventions among these young people hold potential for substance use prevention further in their lives has potential public health significance and calls for more research. Data from this population-derived sample with balanced representation of boys and girls, suggested that boys and girls with ADHD behaviors may differ from each other in their vulnerability to substance use and depressive disorders: the data suggest more adverse substance use outcome for girls that was not attenuated by conduct disorder or previous substance use. Further, the prospective associations of early-onset depressive disorders and future elevated levels of addictive substance use is not explained by familial factors supporting future substance use, which could have important implications for substance use prevention.