172 resultados para SOTA


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Tanto Alejandro de la Sota como Peter Zumthor se han mantenido a una distancia prudencial respecto a las épocas que les ha tocado vivir, compartiendo ambos una elegancia casi estoica que se hace tangible en la levedad de sus obras. En ocasiones se ha calificado a la arquitectura de Alejandro de la Sota como “ligera”. Preferiremos utilizar a partir de ahora el término “leve”. Leve como ausencia de “gravedad”, no solo desde el punto de vista físico y gravitatorio, sino también como aquello que no duele, silencioso, humilde…. Leve porque el proyecto no “carga” con el gesto del autor, porque la relación entre los objetivos y el esfuerzo que supone alcanzarlos resulta coherente. Leve porque se libera del peso de la historia y de los prejuicios, sometiéndose al duro y silencioso ejercicio de “cuestionar” lo que otros han asumido sin más. En los croquis iniciales de Alejandro de la Sota para el Gimnasio Maravillas (1961) y el realizado por Peter Zumthor para la Bruder Klaus Field Chapel (2007) notamos cómo ambos arquitectos se deshacen de sus propios gestos gracias a la construcción. Es ella quien asume la responsabilidad del proyecto. De esta manera “claridad” y “necesidad”, actúan como marcadores de la levedad proyectual. Una agradable sensación de “sin esfuerzo” o “facilidad aparente”, surge cuando recordamos cómo el proyecto para las aulas de la Universidad de Sevilla (1972) se construyó con los planos de concurso (1/100) y las instrucciones sobre cómo se ponían en contacto los elementos constructivos. Paralelamente, esta “prefabricación de ideas” aparece en la Capilla de Alemania, donde tampoco se necesitaron detalles constructivos, únicamente las precisas instrucciones que fueron dictadas por el arquitecto. Detalles como el techo del Gobierno Civil de Tarragona (1954-57) nos llevan a pensar en las soluciones que fijan el vidrio en techos y fachada en el Kunsthaus de Bregenz (1990-97). ¿Conocería Peter Zumthor los escritos de Sota en defensa de lo que el llamaba arquitectura “física” cuando, en el año 2000, diseñó el proyecto para el Pabellón Suizo en la Exposición de Hannover? Alejandro de la Sota no necesita utilizar piedra del lugar para dar al edificio de Correos en León un carácter “imponente”, sólo trabajar la chapa de la manera adecuada. Tampoco Peter Zumthor necesita diseñar un vidrio aposta para la fachada de Bregenz. Es la precisión de ambos arquitectos quien les permite acercarse a un concepto tan “inasible” como el que les pone en relación.

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El legado de una época, una situación social y unos criterios arquitectónicos, aparecen recogidos en el conjunto de edificios y en la trama urbana, de los pueblos de colonización de La Bazana y Valuengo (Jerez de los Caballeros, Badajoz, 1954), proyectados por Alejandro de la Sota durante la etapa en la que trabajó de forma externa para el Instituto Nacional de Colonización (INC). Al inicio de esta investigación no se habían realizado análisis en profundidad ni valoraciones críticas de su arquitectura, ni eran objeto de estudio en los ambientes universitarios, siendo prácticamente desconocidos para el conjunto de la profesión, que solía tomar como referencia de esta etapa de la arquitectura de Alejandro de la Sota para el INC, el poblado de Esquivel, en Sevilla, profusamente publicitado. Aunque en los últimos tiempos se han elaborado tesis en las Escuelas de Arquitectura abordando el tema de la colonización agraria en España en la década de los 50, los poblados de colonización en Extremadura o la arquitectura de Alejandro de la Sota para el INC, la presente tesis se aleja de la visión global unificadora o biográfica, para centrarse en el estudio monográfico de un objeto arquitectónico singular. El trabajo pretende documentar, estudiar, analizar y poner en valor, estas obras enclavadas en la arquitectura española de la década de los 50, denominados por su propio autor como “pueblos todo de plazas”, donde la arquitectura surge como respuesta a una realidad territorial, social y cultural, y a unas estrictas imposiciones prefijadas, que se resuelven teniendo como punto de partida las condiciones materiales y culturales del lugar en el que se ubican, para concluir planteando interpretaciones y lecturas que incorporan la tradición, pero que trascienden a ella. La metodología empleada consiste en un trabajo de documentación y análisis del objeto arquitectónico en tres fases: proyecto, obra construida y estado actual. En cada una de las fases se realiza un trabajo de campo consistente en la recopilación de la documentación original y en la elaboración de una nueva documentación gráfica, en base a los estudios y análisis realizados. El cotejo entre los datos obtenidos de los proyectos, las obras inicialmente construidas y el estado actual, darán como resultado un material de análisis inédito, que junto con la bibliografía incluida en el trabajo y los anexos que contienen la documentación original recabada sobre las obras en los organismos e instituciones que la custodian, ofrecen una interpretación más precisa de la realidad arquitectónica de estos pueblos, dejando el estudio abierto a nuevas vías de investigación que profundicen en la hipótesis del espacio vacío como organizador y colonizador del paisaje. ABSTRACT The legacy of an age, a social situation and a group of architectural criteria, appears reflected in the group of buildings and the urban design of colonization villages La Bazana and Valuengo (Jerez de los Caballeros, Badajoz, 1954), designed by Alejandro de la Sota during the time that he was working externally to the National Institute of Colonization(INC). At the beginning of this investigation they had not been analyzed or critically evaluated in depth and not even were being studied in university circles and for this reason were practically unknown to the profession, who used as a reference of this architecture period of Alejandro de la Sota for the INC, the colonization village of Esquivel in Seville, widely publicized. Although recently some doctoral thesis have been elaborated in the Architecture Schools about the topic of rural colonization in Spain in the 50s, the colonization villages in Extremadura or the architecture by Alejandro de la Sota for the INC, this thesis wants to get away from unifying or biographical overview, in order to centre the study about a singular architectural object. The work expects to document, study, analyze and push the value of this architectural pieces nestled in the Spanish architecture of 50s,and that were named by their author as “squares-villages”, where the architecture appears like answer to a territorial, social and culture reality, and a strict program impositions by the INC, which are solved by the architect taking as a starting point the material and cultural conditions from the place where are situated, to conclude with a interpretations and readings which incorporate the tradition and transcend it. The methodology used consists in documenting and analyzing work about the architectonic object in three stages: project, building and present state. In every stage, we make a field work in order to compile the original documents and at the same time a new graphical documentation is developed with the studies and analysis that were made before. The information about the projects, the architecture built at the beginning of the process, and the current state were compared and achieved an unpublished material which together with the bibliography and original documents, collected in the organizations and institutions that guard them, offer a more accurate interpretation about the architectural reality of these villages, leaving the study open for a new research which could go into detail about the hypothesis of urban empty space as element for colonize and organize the landscape.

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La tesis aborda el estudio de la Central lechera CLESA, uno de los edificios industriales de Alejandro de la Sota más significativos de la década de los años cincuenta en España. Las centrales lecheras fueron abordadas por Sota en distintas ocasiones entre 1955 y 1969, siendo CLESA la única de todas ellas que llega a construirse. Se trata de uno de los exponentes más brillantes de la arquitectura moderna industrial española de la posguerra, incluido en "La arquitectura de la industria, REGISTRO DOCOMOMO IBÉRICO”1 entre la veintena de edificios seleccionados de la arquitectura madrileña de este periodo. Plantea una solución singular para alcanzar la diafanidad exigida en la implantación del proceso de producción. La estructura de las naves se realiza con hormigón pretensado, siendo uno de los pioneros en la utilización de esta técnica. La hipótesis de partida considera la realidad del proyecto construido como respuesta desde la arquitectura a un programa industrial resuelto con sencillez, que partiendo de una economía de recursos que le es inherente, consigue desde la coherencia del planteamiento, soluciones donde la complejidad espacial constituye una respuesta eficaz y del máximo interés. Los objetivos de esta tesis son contribuir a un conocimiento riguroso del edificio, que permita descubrir la particularidad de su entramado espacial y el interés de las soluciones adoptadas en su configuración final, en aras de contrastar su calidad arquitectónica. El edificio de la Central Lechera CLESA, si bien es un edificio muy conocido, lo es de una manera superficial. Aparece en numerosas publicaciones, en muchas ocasiones formando parte de un relato extenso de la obra de su autor. El libro monográfico publicado en 2007 por la Fundación Alejandro de la Sota, cuya edición está a cargo de Teresa Couceiro, es la única publicación específica sobre él. Tras una breve introducción, en la que se destaca la intensa dedicación de Sota a esta obra, reúne una colección de planos, fotografías y croquis, junto a la memoria del proyecto. Ofrece una visión fragmentada, que permite vislumbrar el interés de esta obra, pero no facilita comprenderla en su integridad. Es importante destacar la publicación de CLESA en el libro editado por Pronaos (1989), que incluye una selección, realizada por el autor, de plantas, alzados y secciones que corresponden al proyecto construido junto a fotografías de la obra terminada, además de un breve texto tan conciso como esclarecedor. Sobre Alejandro de la Sota se han escrito, tesis doctorales, numerosos artículos, varios libros así como realizado exposiciones que recogen su obra global, reflejados en este documento en las consiguientes bibliografías específicas. Cabe destacar la exposición realizada en la sede del COAM en 2014, con ocasión de su centenario, que el edificio CLESA protagoniza en cierto modo, por su riesgo de desaparición.2 La tesis se estructura en cuatro capítulos: descripción, análisis, síntesis y conclusiones. El primer capítulo contempla la descripción del edificio objeto de la tesis, con una introducción que nos sitúa en el contexto histórico, económico, cultural y social en el que se desarrolla el encargo, proyecto y obra de la central lechera. La descripción propiamente dicha del conjunto industrial, partiendo del encargo de la central lechera al autor del proyecto, pasando por el anteproyecto, el proyecto visado y llegando a la obra realizada. Se compara el proyecto visado, la obra terminada y la CLESA publicada, así como el devenir del edificio. La segunda parte corresponde al análisis, en primer lugar desde el programa como planteamiento general, estudiando las circulaciones, relaciones espaciales, geométricas, esqueléticas, geográficas -parte a parte- que integran el conjunto de la central. La estructura, introducción explicativa de las soluciones adoptadas por Alejandro de la Sota; análisis del sistema esquelético del edificio por partes, operaciones geométricas y espaciales. Construcción, análisis de la materialización de la obra, sistemas constructivos empleados en cerramientos, cubiertas, lucernarios; de lo general a lo particular, estudiando los sistemas. Finalmente a través de la pequeña escala se compendian elementos singulares que forman parte de sistemas complejos, como las múltiples escaleras, barandillas, carpinterías, miradores. Se recapitula en una síntesis que configura un todo con la suma de las partes, mediante la utilización de recursos de enlace de esa arquitectura aditiva, como es el módulo, los recorridos y los enlaces visuales. El capítulo final de Conclusiones contrasta la hipótesis de partida de la tesis en cuanto a una arquitectura de espacios máximos con recursos mínimos. Recoge también diversas reflexiones como la dialéctica entre el espacio fragmentado y el espacio único; crecimiento expansivo o inclusivo; imagen singular y representación; escala doméstica y escala industrial; renuncias estructurales o limitaciones de medios. Quizás, el mayor interés de esta tesis reside los dibujos realizados en axonométrica del complejo CLESA, que han permitido restituir y reconstruir idealmente la fábrica al inicio de su actividad. Teniendo en cuenta su posible desaparición total o parcial, esta restitución cobra relevancia como testimonio de lo que fue. ABSTRACT The thesis deals with the study of CLESA's Dairy Plant, one of the most significant industrial buildings of the Decade of the fifties in Spain, by Alejandro de la Sota. The Dairies were addressed by Sota at various occasions between 1955 and 1969, being the CLESA plant the only one that is has been built. This is one of the most brilliant exponents of Spanish industrial post-war modern architecture, included in "The architecture industry, IBERIAN DOCOMOMO RECORD"3 between the score of selected buildings of Madrid architecture of this period. It poses a singular solution to achieve the openness of the space required in the implementation of the manufacturing process. The structure of the nave is done with prestressed concrete, being one of the pioneers in the use of this technique. The initial hypothesis considers the reality of the project built from the architecture in response to an industrial program solved with simplicity, that from a resource economy that is inherent, gets from the consistency of the approach, solutions where the space complexity is an effective response of great interest. The objectives of this thesis are to contribute to a rigorous knowledge of the building, which allows to discover the particularity of its space lattice and the interest of the solutions adopted in its final configuration, in order to contrast its architectural quality. The building of the Central Lechera CLESA, despite it is a well known building, is in a superficial way. It appears in several publications, often as part of an extensive account of the work of its author. The monograph published in 2007 by the Foundation Alejandro de la Sota, whose edition is run by Teresa Couceiro, is the only specific publication about it. After a brief introduction, in which Sota's intense dedication to this work stands out, it brings together a collection of drawings, photographs and sketches, along with the project report. It offers a fragmented view, which enable to glimpse the interest of this work, but not helps to understand it in full. It is important to highlight the publication of CLESA in the book edited by Pronaos (1989), which includes a selection made by the author of plants, elevations and sections corresponding to the project built, next to photographs of the finished construction, in addition to a brief text as concise as enlightening. About Alejandro de la Sota have been written doctoral thesis, numerous articles, several books as well as held exhibitions collecting his global work, which have been reflected in this document in the resulting specific bibliographies. It should be noted the exhibition in COAM headquarters in 2014, on the occasion of its Centennial, where the building CLESA has a leading role, in a certain way, because of its risk of disappearance.4 The thesis is structured in four chapters: description, analysis, synthesis, and conclusions. The first chapter provides the description of the building object of this thesis. Includes an introduction that puts us in the historic, economic, cultural and social context in which it is developed the commission, the project and construction of the dairy building. The description itself of the industrial complex, starts with the order of the dairy to the author of the project, moves through the draft, the visa project and reaches the completion of the work. The visa project, CLESA's finished and published work, as well as the future of the building is compared. The second part corresponds to the analysis, first from the program as a general approach, studying the circulations, geometric, spatial, skeletal, geographical relations - bit by bit - comprising the manufacturing plant ("la central"). The structure, explanatory introduction of the solutions adopted by Alejandro de la Sota; analysis of the skeletal system of the building by parts, geometric and spatial operations. Construction, analysis of the realization of the work, constructive systems used in the building enclosures, roofs, skylights; from the general to the particular and studying the systems. Finally through small scale unique elements that are part of complex systems, such as multiple stairs, railings, carpentry, viewpoints are summarized. It is recapitulated in a synthesis which forms a whole with the sum of the parts, using linking resources that belongs to the additive architecture, such as the module, tours and visual links The final chapter of Conclusions contrast the hypothesis of the thesis regarding the maximum space architecture with minimal resources. It also includes various reflections as the dialectic between the fragmented space and the single space; expansive or inclusive growth; unique image and representation; domestic and industrial scale; structural abandonment or limitation of means. Perhaps the greatest interest of this thesis lies in the axonometric drawings made of the CLESA complex, which ideally have allowed to restore and rebuild the factory back to the beginning of its activity. Considering its potential full or partial disappearance, such recovery becomes relevant as a testimonial evidence of what it was.

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Uusimpiin tutkimuksiin ja julkaistuihin alkuperäisasiakirjoihin perustuva kokonaisesitys, joka tarkastelee neuvostojoukkojen sodankäyntiä Afganis­tanissa ja asettaa sodan myös laajempaan historialliseen ja poliittiseen kontekstiin. Mitkä olivat ne syyt, jotka veivät Neuvostoliiton intervention tielle? Minkälaisia joukkoja käytettiin? Miten suursotaa ja ennen kaikkea Euroopan sotanäyttämöitä varten laaditut sotaopit soveltuivat yhteen­ottoon, jonka toisena osapuolena oli sissitaktiikkaa käyttävä islamilainen vastarintaliike? Miten operaatiotaitoa, taktiikkaa ja joukkojen organisaatioita kehitettiin? Miten Afganistanin oman armeijan kehittämisessä onnistuttiin? Miten intervention kokonaisuutta on arvioitava suhteessa asetettuihin tavoitteisiin? Miksi vastarintaliikettä ei onnistuttu kukistamaan? Kirjan aihe on edelleen ajankohtainen, sillä sota Afganistanissa on - vaihtelevin muodoin - jatkunut nykypäiviin saakka. Jukka Kulomaa on Maanpuolustuskorkeakoulun sotahistorian dosentti. Hän on tutkimus- ja opetustyössään keskittynyt erityisesti Neuvostoliiton sotataitoon.

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A colonização por invertebrados aquáticos no detrito de Salvinia herzogii foi estudada em dois lagos rasos subtropicais de diferentes estados tróficos (eutrófico e oligotrófico) localizados no campus Carreiros da Universidade Federal do Rio Grande, extremo sul do Brasil. Aproximadamente 6g (peso úmido) de S. herzogii foram incubados em experimentos com litter bags (30 X 20 cm com 10 mm de malha) e a decomposição do detrito acompanhada durante 110 dias (entre setembro de 2008 e janeiro de 2009), período no qual o detrito decompôs-se cerca de 95%. Quatro réplicas foram retiradas após os intervalos de 1, 30, 60, 90 e 110 dias de incubação e o detrito foi limpo em água corrente sob peneira de 250µm de malha para que fossem retidos os organismos e depois fixados em álcool 80%. As plantas depois de limpas foram secas à 60ºC por 72 horas para obtenção do peso seco, depois trituradas, para as análises de nitrogênio e fósforo total e para obtenção do peso seco livre de cinzas, equivalente a porcentagem de massa remanescente (%R). Os invertebrados foram identificados até o menor nível taxonômico possível e depositados na coleção de Invertebrados Límnicos – ICB - FURG. Para cada amostra foram calculadas a riqueza e a densidade de táxons, os índices de diversidade de Shannon - Wiener (H’), homogeneidade de Pielou (J). Para determinar qual grupo de invertebrados foi mais importante para a estruturação da comunidade em cada lago, foi realizada a análise de espécies indicadoras (indicator especies analysis). Um total de 32.399 organismos distribuídos em 38 táxons foram registrados para os lagos estudados. Dezoito táxons foram comuns entre os lagos em cada experimento. Um total de 1.449.612 ind. 100g PS no ambiente eutrófico e 372.380 ind. 100g PS para o ambiente oligotrófico foi registrado (p=0,4771). O táxon mais abundante encontrado para o lago eutrófico foi Goeldichironomus (Chironomidae; 81% de todos os organismos coletados), enquanto queno lago oligotrófico, o táxon mais abundante foi Caenis (Caenidae; 29,1% de todos os organismos coletados). A colonização do detrito foi rápida, nas primeiras 24 horas foram registrados 10 táxons nos lagos eutrófico e oligotrófico, sendo os predadores o grupo dominante (52 e 70%, respectivamente) neste período. Durante o período do experimento,no lago eutrófico, os coletores-catadores foram os mais abundantes (91,2 % do número total de organismos), seguido de coletores-filtradores (4,7 %) e predadores (3,5 %). No lago oligotrófico, os coletores-catadores foram os mais abundantes (34,1 % do número total de organismos), seguido de predadores (26,8 %), raspadores (24,9 %) e fragmentadores (10,5 %). O Índice de diversidade acompanhou os aumentos de densidade durante os experimentos, sendo que o valor máximo observado foi no lago oligotrófico(H’=2,31) no 60º dia de incubação, enquanto que o menor valor foi registrado para o lago eutrófico (H’=0,19) no 110º dia de incubação. A taxa de decomposição de S. herzogii foi diferente no lago eutrófico (k = 0,019; R2 = 0,88) e oligotrófico (k = 0,021; R2 = 0,81),porém essa diferença não foi significativa (ANCOVA; F = 6,38 e p = 0,6755).

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Tässä tutkielmassa selvitettiin miten Kyllikki Hiisku kuvasi toisen maailmansodan aikaista Roomaa vuodenvaihteesta 1942 - 1943 syyskuun puoliväliin 1943 asti. Tutkimuksen päälähteenä olen käyttänyt Kyllikki Hiiskun tuosta ajasta kirjoittamaa teosta Italia valinkauhassa nähtyä ja koettua, joka ilmestyi 1945 Gummeruksen kustantamana. Olen pyrkinyt sijoittamaan Hiiskun kokemat tapahtumat tuon aikakauden Rooman historialliseen ja poliittiseen kehitykseen aikalaiskirjallisuuden ja tutkimuskirjallisuuden avulla. Hiisku oli Roomassa Mussolinin hallintokauden viimeisien kuukausien aikana. Hän kuvailee elävästi Mussolinin hallituksen syrjäyttämisen ja italialaisten poliittisten asenteiden muutokset. Samanaikaisesti hän tutustui sodan todellisuuteen Italiassa. Hänelle Rooman saksalaismiehitys oli järkytys, ja hän hämmästeli italialaisten ja saksalaisten huonoja suhteita. Turkulainen Hiisku oli aikaisemmin tutustunut Italiaan lähinnä kulttuurin kannalta. Stipendiaikanaan hän tutustui fasismiin ja maan poliittiseen elämään. Teoksessaan hän ei ota selvää poliittista kantaa, mutta teoksesta heijastuu kirjoittajan oikeistolaisuus. Hiiskun teos ilmestyi heti sodan jälkeen, ja siitä välittyy autenttinen kuva hänen stipendiajastaan Roomassa.

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This paper explores concepts of desire and rhizomatic working through a series of intergenerational collaborative drawing episodes. Particularly, mother/daughter relationships are examined via drawings created by the author and her young daughter. Drawings hold on their surface unpredictable connections to things experienced, known, conceptualized and imagined. In the context of this paper desire is seen to drive adults and children into expressing and making a mark, to make an imprint. Here, the prompts that inform a drawing are regarded as a rhizomatic network of chaotic actions and thoughts that connect each drawer to the tools, the paper and each other in unpredictable and mutable ways. The paper concludes by discussing how these intergenerational collaborative drawing episodes offer opportunities to re-imagine relationships, communications and learning in early childhood education.

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Traditionally the notion of drawing in-situ has suggested the physical presence of the artist in the environment under scrutiny. The assumption here of enhanced connectivity, however, is hasty in light of the idea that situation implies a relative spatial value determined by the interplay of subject and location, where the possibility of not being “in-situ” is problematic. The fact that traditional drawing in-situ, such as the rendering of landscape, requires a framing of the world “out there” suggests a distance between the perceived object of representation and the drawing surface. Rather than suggesting that some drawing is situated and other sorts of drawing are not, however, I argue that situation or site is variously extended and intensified depending on the nature of mediation between surface and environment. The suggestion here is that site is not so much a precondition as a performative function, developed in the act of drawing and always implicating the drawing surface. In my discussion I focus on specific works by Toba Khedoori and Cameron Robbins. As well, in using my own recent drawing practice as a case study, I argue that the geography of site is delimited neither by horizon nor the boundaries of the paper. Rather, I propose that site and drawing surface coincide in variously intensive and extensive ways.

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This doctoral thesis focuses on the translation of Finnish prose literature into English in the United Kingdom between 1945 and 2003. The subject is approached using translation archaeology, interviews, archival material, detailed text analysis and reception material. The main theoretical framework is Descriptive Translation Studies, and certain sociological theories (Bourdieu s field theory, actor-network theory) are also used. After charting the published translations, two periods of time are selected for closer analysis: an earlier period from 1955 to 1959, involving eight translations, and a later one from 1990 to 2003, with a total of six translations. While these translation numbers may appear low, they are actually rather high in proportion to the total number of 28 one-author literary prose translations published in the UK over the approximately 60 years being studied. The two periods of time, the 1950s and 1990s, are compared in terms of the sociological context of translation activity, the reception of translations and their textual features. The comparisons show that the main changes in translation practice between these two periods are increased completeness (translations in the 1950s group often being shortened by hundreds of pages) and lesser use of indirect translation via an intermediary language (about half of the 1950s translations having been translated via Swedish). Otherwise, translation practices have not changed much: except for large omissions, which are far more frequent in the 1950s, variation within each group is larger than between groups. As to the sociological context, the main changes are an increase in long-term institution-level contacts and an increase in the promotion of foreign translation rights by Finnish publishing houses. This is in contrast to the 1950s when translation rights were mainly sold through personal contacts by individual authors and translators. The reception of translations is difficult to study because of scarce material. However, the 1950s translations were aggressively marketed and therefore obtained far more reviews and reprints than the 1990s translations. Several of the 1950s books, mostly historical novels by Mika Waltari, were mainstream bestsellers at the time, while current translations are frequently made for niche markets. The thesis introduces ample new material on the translation of Finnish prose literature into English in the UK. The results are also relevant to translation from a minority literature into a majority one. As to translation theory, they lead us to question the social nature of translation norms and the assumption of a static target culture. The translations analysed here are located in a very fragmented interculture and gain a stronger position in the Finnish culture than in the British one.

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The concept of the American Dream was subject to a strong re-evaluation process in the 1960s, as counterculture became a prominent force in American society. A massive generation of young people, moved by the Vietnam War, the hippie movement, and psychedelic experimentation, created substantial social turbulence in their efforts to break out of conventional patterns and to create a new kind of society. This thesis outlines and analyses the concept of the American Dream in popular imagination through three works of new journalism. My primary data consists of Tom Wolfe’s The Electric Kool-Aid Acid Test (1967), Hunter S. Thompson’s Fear and Loathing in Las Vegas: A Savage Journey to the Heart of the American Dream (1971), and Norman Mailer’s Armies of the Night: History as a Novel, the Novel as History (1968). In defining the American Dream, I discuss the history of the concept as well as its manifestations in popular culture. Because of its elusive and amorphous nature, the concept of the American Dream can only be examined in cultural texts that portray the values, sentiments, and customs of a certain era. I have divided the analytical section of my thesis into three parts. In the first part I examine how the authors discuss the American society of their time in relation to ideology, capitalism, and the media. In the second part I focus on the Vietnam War and the controversy it creates in relation to the notions of freedom and patriotism. In the third part I discuss how the authors portray the countercultural visions of a better America that challenged the traditional interpretations of the American Dream. I also discuss the dark side of the new dream: the problems and disillusions that came with the effort to change the world. This thesis is an effort to trace the relocation of the American Dream in the context of the 1960s counterculture and new journalism. It hopes to provide a valuable addition to the cultural history of the sixties and to the effort of conceptualizing the American Dream.

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The master's thesis concerns the decisions of the imperial policy-makers in their Danish foreign policy during the crisis that culminated in the dissolution of the Nordic union of Kalmar during the years 1521-24. The sources consist of printed sources that mainly are collections of letters and diplomas, and additionally, acquaintance has been made with studies treating the subject. The aim of the study was to clarify the objectives, means and execution of the imperial policy and what priorizations did they make between the different objectives. Also, the part played by Denmark in the imperial foreign policy in general was to be assessed. Particularly, the aim was to find out and state a hierarchy between the importance of the different objectives by analyzing the choices made. It was observed that the continuing of peaceful relations in the North was clearly preferred in the imperial policy, especially as their war against France drew out. A war was seen as deteriorating the freedom of action of the main ally, king Christian II, and an armed conflict was to be prevented. The conceived impossibilty to intervene with armed forces to Christian's favour forced the imperial side to postpone their objectives in the fields of dynastical and alliance policy. In comparison to these, less weight was given to maintaining the rights and position of the empire and the rights granted in its name. To the Habsburgs, maintaining the economical embargo of Sweden, run forcefully by Christian II, was the least preferred objective. In light of the results of the master's thesis, the conceived priorities of the Northern European policy adopted by the imperial side resembled their political priorities in general.

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Tutkielmassa on tarkasteltu Britannian sotilasviranomaisten ja maan sotatarviketeollisuuden välisiä suhteita vuosina 1884-1905. Kiihtyvän kilpavarustelun myötä Britannian sotilasbudjetit kasvoivat nopeasti, mikä johti maan sotatarviketeollisuuden saamien tilausten määrän nopeaan kasvuun samalla kun tuotteiden teknologinen kehitys oli nopeaa. Sotilasmenojen nopea kasvu antoi sotamateriaalihankinnoista vastaaville viranomaisille mahdollisuuden vaikuttaa yksityisen teollisuuden kehitykseen. Keskittämällä tilaukset vain luotettavina pitämilleen yrityksille viranomaiset loivat näiden kanssa puolivirallisia yhteistyösuhteita ja edistivät samalla voimakkaasti alan keskittymistä. Toisaalta muutamien suuryritysten hallitsemasta sotatarviketuotannosta muodostui yksi niistä harvoista teollisuuden aloista, joilla Britannian nopeasti kasvavat kilpailijat eivät pystyneet ohittamaan sitä enempää tuotteiden teknologisessa tasossa kuin markkinaosuuksien suuruudessakaan. Tiettyjen yritysten suosimisen taustalla ei ollut vain maanpuolustuksen kannalta rationaalinen pyrkimys hankkia riittävän laadukasta ja kehittynyttä sotamateriaalia, vaan asiaan vaikutti myös upseerien ja sotilasministeriöiden siviilivirkamiesten perinteiset aristokraattiset ajattelu- ja toimintamallit. Taloudellisen liberalismin hengessä tapahtuneet pyrkimykset uudistaa hankintamenettelyä vastaamaan enemmän vapaan kilpailun ja taloudellisuuden ihanteita jäivät yleensä tuloksettomiksi. Sotamateriaalihankintoihin liittyvä päätöksenteko vaati suurta asiantuntemusta, mikä johti sotaministeriön ja amiraliteetin virkamiesten vaikutusvallan kasvamiseen. Sotateollisuuden laajeneminen kytkeytyy läheisesti 1900-luvun alussa Britannian yhteiskunnallisessa elämässä tapahtuneeseen muutokseen, jota yleensä on luonnehdittu laissez fairen lopuksi. Jo 1880-luvulla alkaneella puuttumisellaan yksityisten sotateollisuusyritysten kehitykseen viranomaiset olivat alkaneet harjoittaa suunniteltua teollisuuspolitiikkaa, jonka tuloksena syntynyt puolivirallinen sotilasteollinen sektori oli aatteellisesti liberaaliin yhteiskuntaan soveltumaton ilmiö. Aseteollisuudessa Britannian valtio oli siten joutunut ensimmäisen kerran läheiseen vuorovaikutussuhteeseen modernien suuryritysten kanssa. Kytkentä, joka 1900-luvun kuluessa levisi yhä uusille aloille samalla kun valtion roolia talouselämässä alettiin vahvistaa. Tutkimuksen varsinaisen lähdemateriaalin muodostavat Britannian parlamentin pöytäkirjat ja sen komiteoiden raportit Niiden ohella on käytetty päätöksien tekemiseen osallistuneiden tai niihin vaikuttamiseen pyrkineiden poliitikkojen ja sotilaiden painettuja puheita, kirjekokoelmia, päiväkirjoja ja muistelmia sekä eräitä aikakauden historiaa koskevia dokumenttikokoelmia ja tilastojulkaisuja. Oleellista valaistusta asiaan tuovat osaltaan aikalaisten kirjoittamat teokset sekä lehdistö, joista kuvastuu ajalle ominainen ajattelutapa. Aihetta suoranaisesti koskevaa, tieteellisen tutkimusten kriteerit täyttävää aikaisempaa tutkimusta on vähän, mutta aihetta sivuavien tutkimusten määrä on erittäin suuri. Sotamateriaalihankintoja ja niiden taustalla olevia syitä voidaan tarkastella niin talous-, sota- aate-, kuin poliittisen historiankin näkökulmista, mutta yksinään mikään niistä ei ole riittävä tämän tutkimuksen kysymyksenasettelun kannalta. Siten tutkielmaa varten on perehdytty laajasti aikakautta koskevaan tutkimuskirjallisuuteen.

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In my master thesis I analyse Byzantine warfare in the late period of the empire. I use military operations between Byzantines and crusader Principality of Achaia (1259–83) as a case study. Byzantine strategy was based (in “oriental manner”) on using ambushes, diplomacy, surprise attacks, deception etc. Open field battles that were risky in comparison with their benefits were usually avoided, but the Byzantines were sometimes forced to seek open encounter because their limited ability to keep strong armies in field for long periods of time. Foreign mercenaries had important place in Byzantine armies and they could simply change sides if their paymasters ran out of resources. The use of mercenaries with short contracts made it possible that the composition of an army was flexible but on the other hand heterogeneous – in result Byzantine armies were sometimes ineffective and prone to confusion. In open field battles Byzantines used formation that was made out from several lines placed one after another. This formation was especially suitable for cavalry battles. Byzantines might have also used other kinds of formations. The Byzantines were not considered equal to Latins in close combat. West-Europeans saw mainly horse archers and Latin mercenaries on Byzantine service as threats to themselves in battle. The legitimacy of rulers surrounding the Aegean sea was weak and in many cases political intrigues and personal relationships can have resolved the battles. Especially in sieges the loyalty of population was decisive. In sieges the Byzantines used plenty of siege machines and archers. This made fast conquests possible, but it was expensive. The Byzantines protected their frontiers by building castles. Military operations against the Principality of Achaia were mostly small scale raids following an intensive beginning. Byzantine raids were mostly made by privateers and mountaineers. This does not fit to the traditional picture that warfare belonged to the imperial professional army. It’s unlikely that military operations in war against the Principality of Achaia caused great demographic or economic catastrophe and some regions in the warzone might even have flourished. On the other hand people started to concentrate into villages which (with growing risks for trade) probably caused disturbance in economic development and in result birth rates might have decreased. Both sides of war sought to exchange their prisoners of war. These were treated according to conventional manners that were accepted by both sides. It was possible to sell prisoners, especially women and children, to slavery, but the scale of this trade does not seem to be great in military operations treated in this theses.