176 resultados para sosiaalinen Eurooppa
Resumo:
Schizophrenia is a severe mental disorder affecting 0.4-1% of the population worldwide. It is characterized by impairments in the perception of reality and by significant social or occupational dysfunction. The disorder is one of the major contributors to the global burden of diseases. Studies of twins, families, and adopted children point to strong genetic components for schizophrenia, but environmental factors also play a role in the pathogenesis of disease. Molecular genetic studies have identified several potential positional candidate genes. The strongest evidence for putative schizophrenia susceptibility loci relates to the genes encoding dysbindin (DTNBP1) and neuregulin (NRG1), but studies lack impressive consistency in the precise genetic regions and alleles implicated. We have studied the role of three potential candidate genes by genotyping 28 single nucleotide polymorphisms in the DNTBP1, NRG1, and AKT1 genes in a large schizophrenia family sample consisting of 441 families with 865 affected individuals from Finland. Our results do not support a major role for these genes in the pathogenesis of schizophrenia in Finland. We have previously identified a region on chromosome 5q21-34 as a susceptibility locus for schizophrenia in a Finnish family sample. Recently, two studies reported association between the γ-aminobutyric acid type A receptor cluster of genes in this region and one study showed suggestive evidence for association with another regional gene encoding clathrin interactor 1 (CLINT1, also called Epsin 4 and ENTH). To further address the significance of these genes under the linkage peak in the Finnish families, we genotyped SNPs of these genes, and observed statistically significant association of variants between GABRG2 and schizophrenia. Furthermore, these variants also seem to affect the functioning of the working memory. Fetal events and obstetric complications are associated with schizophrenia. Rh incompatibility has been implicated as a risk factor for schizophrenia in several epidemiological studies. We conducted a family-based candidate-gene study that assessed the role of maternal-fetal genotype incompatibility at the RhD locus in schizophrenia. There was significant evidence for an RhD maternal-fetal genotype incompatibility, and the risk ratio was estimated at 2.3. This is the first candidate-gene study to explicitly test for and provide evidence of a maternal-fetal genotype incompatibility mechanism in schizophrenia. In conclusion, in this thesis we found evidence that one GABA receptor subunit, GABRG2, is significantly associated with schizophrenia. Furthermore, it also seems to affect to the functioning of the working memory. In addition, an RhD maternal-fetal genotype incompatibility increases the risk of schizophrenia by two-fold.
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The purpose of the present study was to increase understanding of the interaction of rural people and, specifically, women with the environment in a dry area in Sudan. The study that included both nomadic pastoralists and farmers aimed at answering two main research questions, namely: What kinds of roles have the local people, and the women in particular, had in land degradation in the study area and what kinds of issues would a gender-sensitive, forestry-related environmental rehabilitation intervention need to consider there? The study adopted the definition of land degradation as proposed by the United Nations Convention to Combat Desertification (UNCCD), which describes land degradation as reduction or loss the biological or economic productivity and complexity of land in arid, semi-arid and dry sub-humid areas. The Convention perceives desertification as land degradation. The dry study area in Sudan, South of the Sahara, has been the subject of land degradation or desertification discussions since the 1970s, and other studies have been also conducted to assess the degradation in the area. Nevertheless, the exact occurrence, scale and local significance of land degradation in the area is still unclear. This study explored how the rural population whose livelihood depended on the area, perceived environmental changes occurring there and compared their conceptions with other sources of information of the area such as research reports. The main fieldwork methods included interviews with open-ended questions and observation of people and the environment. The theoretical framework conceptualised the rural population as land users whose choices of environmental activities are affected by multiple factors in the social and biophysical contexts in which they live. It was emphasised that these factors have their own specific characteristics in different contexts, simultaneously recognising that there are also factors that generally affect environmental practices in various areas such as the land users' environmental literacy (conceptions of the environment), gender and livelihood needs. The people studied described that environmental changes, such as reduced vegetation cover and cropland production, had complicated the maintenance of their livelihoods in the study area. Some degraded sites were also identified through observations during the fieldwork. Whether a large-scale reduction of cropland productivity had occurred in the farmers' croplands remained, however, unclear. The study found that the environmental impact of the rural women's activities varied and was normally limited. The women's most significant environmental impact resulted from their cutting of trees, which was likely to contribute, at least in some places, to land degradation, affecting the environment together with climate and livestock. However, when a wider perspective is taken, it becomes questionable whether the women have really played roles in land degradation, since gender, poverty and the need to maintain livelihood had caused them to conduct environmentally harmful activities. The women have had, however, no power to change the causes of their activities. The findings further suggested that an inadequate availability of food was the most critical problem in the study area. Therefore, an environmental programme in the area was suggested to include technical measures to increase the productivity of croplands, opportunities for income generation and readiness to co-operate with other programmes to improve the local people's abilities to maintain their livelihoods. In order to protect the environment and alleviate the women's work burden, the introduction of fuel-saving stoves was also suggested. Furthermore, it was suggested that increased planting of trees on homesteads would be supported by an easy availability of tree seedlings. Planting trees on common property land was, however, perceived as extremely demanding in the study area, due to scarcity of such land. In addition, it became apparent that the local land users, and women in particular, needed to allocate their labour to maintain the immediate livelihood of their families and were not motivated to allocate their labour solely for environmental rehabilitation. Nonetheless, from the point of view of the existing social structures, women's active participation in a community-based environmental programme would be rather natural, particularly among the farmer women who had already formed a women's group and participated in communal decision making. Forming of a women group or groups was suggested to further support both the farmer women's and pastoral women's active participation within an environmental programme and their general empowerment. An Environmental programme would need to acknowledge that improving rural people's well-being and maintaining their livelihood in the study area requires development and co-operation with various sectors in Sudan.
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Europe was declared malaria free in 1975. The disappearance of malaria has traditionally been attributed to numerous deliberate actions like vector control, the screening of houses, more efficient medication etc. Malaria, however, disappeared from many countries like Finland before any counter measures had even started. The aim of this thesis is to study the population ecology of P. vivax and its interaction with the human host and the vector. By finding the factors that attributed to the extinction of vivax malaria it might be possible to improve the modern strategy against P. vivax. The parasite was studied with data from Finland, which provides the longest time series (1749-2008) of malaria statistics in the world. The malaria vectors, Anopheles messeae and A. beklemishevi are still common species in the country. The eradication of vivax malaria is difficult because the parasite has a dormant stage that can cause a relapse long after a primary infection. It was now shown that P. vivax is able to detect the presence of a potential vector. A dormant stage is triggered even from a bite of an uninfected Anopheles mosquito. This optimizes the chances for the Plasmodium to reach a mosquito vector for sexual reproduction. The longevity of the dormant stage could be shown to be at least nine years. The parasite spends several years in its human host and the behaviour of the human carrier had a profound impact on the decline of the disease in Finland. Malaria spring epidemics could be explained by a previous warm summer. Neither annual nor summer mean temperature had any impact on the long term malaria trend. Malaria disappeared slowly from Finland without mosquito control. The sociological change from extended families to nuclear families led to decreased household size. The decreased household size correlated strongly with the decline of malaria. That led to an increased isolation of the subpopulations of P. vivax. Their habitat consisted of the bedrooms in which human carriers slept together with the overwintering vectors. The isolation of the parasite ultimately led to the extinction of vivax malaria. Metapopulation models adapted to local conditions should therefore be implemented as a tool for settlement planning and socio-economic development and become an integrated part of the fight against malaria.
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Most countries of Europe, as well as many countries in other parts of the world, are experiencing an increased impact of natural hazards. It is often speculated, but not yet proven, that climate change might influence the frequency and magnitude of certain hydro-meteorological natural hazards. What has certainly been observed is a sharp increase in financial losses caused by natural hazards worldwide. Eventhough Europe appears to be a space that is not affected by natural hazards to such catastrophic extents as other parts of the world are, the damages experienced here are certainly increasing too. Natural hazards, climate change and, in particular, risks have therefore recently been put high on the political agenda of the EU. In the search for appropriate instruments for mitigating impacts of natural hazards and climate change, as well as risks, the integration of these factors into spatial planning practices is constantly receiving higher attention. The focus of most approaches lies on single hazards and climate change mitigation strategies. The current paradigm shift of climate change mitigation to adaptation is used as a basis to draw conclusions and recommendations on what concepts could be further incorporated into spatial planning practices. Especially multi-hazard approaches are discussed as an important approach that should be developed further. One focal point is the definition and applicability of the terms natural hazard, vulnerability and risk in spatial planning practices. Especially vulnerability and risk concepts are so many-fold and complicated that their application in spatial planning has to be analysed most carefully. The PhD thesis is based on six published articles that describe the results of European research projects, which have elaborated strategies and tools for integrated communication and assessment practices on natural hazards and climate change impacts. The papers describe approaches on local, regional and European level, both from theoretical and practical perspectives. Based on these, passed, current and future potential spatial planning applications are reviewed and discussed. In conclusion it is recommended to shift from single hazard assessments to multi-hazard approaches, integrating potential climate change impacts. Vulnerability concepts should play a stronger role than present, and adaptation to natural hazards and climate change should be more emphasized in relation to mitigation. It is outlined that the integration of risk concepts in planning is rather complicated and would need very careful assessment to ensure applicability. Future spatial planning practices should also consider to be more interdisciplinary, i.e. to integrate as many stakeholders and experts as possible to ensure the sustainability of investments.
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Being at the crossroads of the Old World continents, Western Asia has a unique position through which the dispersal and migration of mammals and the interaction of faunal bioprovinces occurred. Despite its critical position, the record of Miocene mammals in Western Asia is sporadic and there are large spatial and temporal gaps between the known fossil localities. Although the development of the mammalian faunas in the Miocene of the Old World is well known and there is ample evidence for environmental shifts in this epoch, efforts toward quantification of habitat changes and development of chronofaunas based on faunal compositions were mostly neglected. Advancement of chronological, paleoclimatological, and paleogeographical reconstruction tools and techniques and increased numbers of new discoveries in recent decades have brought the need for updating and modification of our level of understanding. We under took fieldwork and systematic study of mammalian trace and body fossils from the northwestern parts of Iran along with analysis of large mammal data from the NOW database. The data analysis was used to study the provinciality, relative abundance, and distribution history of the closed- and open-adapted taxa and chronofaunas in the Miocene of the Old World and Western Asia. The provinciality analysis was carried out, using locality clustering, and the relative abundance of the closed- and open-adapted taxa was surveyed at the family level. The distribution history of the chronofaunas was studied, using faunal resemblance indices and new mapping techniques, together with humidity analysis based on mean ordinated hypsodonty. Paleoichnological studies revealed the abundance of mammalian footprints in several parts of the basins studied, which are normally not fossiliferous in terms of body fossils. The systematic study and biochronology of the newly discovered mammalian fossils in northwestern Iran indicates their close affinities with middle Turolian faunas. Large cranial remains of hipparionine horses, previously unknown in Iran and Western Asia, are among the material studied. The initiation of a new field project in the famous Maragheh locality also brings new opportunities to address questions regarding the chronology and paleoenvironment of this classical site. Provinciality analysis modified our previous level of understandings, indicating the interaction of four provinces in Western Asia. The development of these provinces was apparently due to the presence of high mountain ranges in the area, which affected the dispersal of mammals and also climatic patterns. Higher temperatures and possibly higher co2 levels in the Middle Miocene Climatic Optimum apparently favored the development of the closed forested environments that supported the dominance of the closed-adapted taxa. The increased seasonality and the progressive cooling and drying of the midlatitudes toward the Late Miocene maintained the dominance of open-adapted faunas. It appears that the late Middle Miocene was the time of transition from a more forested to a less forested world. The distribution history of the closed- and open-adapted chronofaunas shows the presence of cosmopolitan and endemic faunas in Western Asia. The closed-adapted faunas, such as the Arabian chronofauna of the late Early‒early Middle Miocene, demonstrated a rapid buildup and gradual decline. The open-adapted chronofaunas, such as the Late Miocene Maraghean fauna, climaxed gradually by filling the opening environments and moving in response to changes in humidity patterns. They abruptly declined due to demise of their favored environments. The Siwalikan chronofauna of the early Late Miocene remained endemic and restricted through all its history. This study highlights the importance of field investigations and indicates that new surveys in the vast areas of Western Asia, which are poorly sampled in terms of fossil mammal localities, can still be promising. Clustering of the localities supports the consistency of formerly known patterns and augments them. Although the quantitative approach to relative abundance history of the closed- and open-adapted mammals harks back to more than half a century ago, it is a novel technique providing robust results. Tracking the history of the chronofaunas in space and time by means of new computational and illustration methods is also a new practice that can be expanded to new areas and time spans.
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In Finland one of the most important current issues in the environmental management is the quality of surface waters. The increasing social importance of lakes and water systems has generated wide-ranging interest in lake restoration and management, concerning especially lakes suffering from eutrophication, but also from other environmental impacts. Most of the factors deteriorating the water quality in Finnish lakes are connected to human activities. Especially since the 1940's, the intensified farming practices and conduction of sewage waters from scattered settlements, cottages and industry have affected the lakes, which simultaneously have developed in to recreational areas for a growing number of people. Therefore, this study was focused on small lakes, which are human impacted, located close to settlement areas and have a significant value for local population. The aim of this thesis was to obtain information from lake sediment records for on-going lake restoration activities and to prove that a well planned, properly focused lake sediment study is an essential part of the work related to evaluation, target consideration and restoration of Finnish lakes. Altogether 11 lakes were studied. The study of Lake Kaljasjärvi was related to the gradual eutrophication of the lake. In lakes Ormajärvi, Suolijärvi, Lehee, Pyhäjärvi and Iso-Roine the main focus was on sediment mapping, as well as on the long term changes of the sedimentation, which were compared to Lake Pääjärvi. In Lake Hormajärvi the role of different kind of sedimentation environments in the eutrophication development of the lake's two basins were compared. Lake Orijärvi has not been eutrophied, but the ore exploitation and related acid main drainage from the catchment area have influenced the lake drastically and the changes caused by metal load were investigated. The twin lakes Etujärvi and Takajärvi are slightly eutrophied, but also suffer problems associated with the erosion of the substantial peat accumulations covering the fringe areas of the lakes. These peat accumulations are related to Holocene water level changes, which were investigated. The methods used were chosen case-specifically for each lake. In general, acoustic soundings of the lakes, detailed description of the nature of the sediment and determinations of the physical properties of the sediment, such as water content, loss on ignition and magnetic susceptibility were used, as was grain size analysis. A wide set of chemical analyses was also used. Diatom and chrysophycean cyst analyses were applied, and the diatom inferred total phosphorus content was reconstructed. The results of these studies prove, that the ideal lake sediment study, as a part of a lake management project, should be two-phased. In the first phase, thoroughgoing mapping of sedimentation patterns should be carried out by soundings and adequate corings. The actual sampling, based on the preliminary results, must include at least one long core from the main sedimentation basin for the determining the natural background state of the lake. The recent, artificially impacted development of the lake can then be determined by short-core and surface sediment studies. The sampling must be focused on the basis of the sediment mapping again, and it should represent all different sedimentation environments and bottom dynamic zones, considering the inlets and outlets, as well as the effects of possible point loaders of the lake. In practice, the budget of the lake management projects of is usually limited and only the most essential work and analyses can be carried out. The set of chemical and biological analyses and dating methods must therefore been thoroughly considered and adapted to the specific management problem. The results show also, that information obtained from a properly performed sediment study enhances the planning of the restoration, makes possible to define the target of the remediation activities and improves the cost-efficiency of the project.
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Optimal Punishment of Economic Crime: A Study on Bankruptcy Crime This thesis researches whether the punishment practise of bankruptcy crimes is optimal in light of Gary S. Becker’s theory of optimal punishment. According to Becker, a punishment is optimal if it eliminates the expected utility of the crime for the offender and - on the other hand - minimizes the cost of the crime to society. The decision process of the offender is observed through their expected utility of the crime. The expected utility is calculated based on the offender's probability of getting caught, the cost of getting caught and the profit from the crime. All objects including the punishment are measured in cash. The cost of crimes to the society is observed defining the disutility caused by the crime to the society. The disutility is calculated based on the cost of crime prevention, crime damages, punishment execution and the probability of getting caught. If the goal is to minimize the crime profits, the punishments of bankruptcy crimes are not optimal. If the debtors would decide whether or not to commit the crime solely based on economical consideration, the crime rate would be multiple times higher than the current rate is. The prospective offender relies heavily on non-economic aspects in their decision. Most probably social pressure and personal commitment to oblige the laws are major factors in the prospective criminal’s decision-making. The function developed by Becker measuring the cost to society was not useful in the measurement of the optimality of a punishment. The premise of the function that the costs of the society correlate to the costs for the offender from the punishment proves to be unrealistic in observation of the bankruptcy crimes. However, it was observed that majority of the cost of crime for the society are caused by the crime damages. This finding supports the preventive criminal politics.
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This thesis examines the mythology in and social reality behind a group of texts from the Nag Hammadi and related literature, to which certain leaders of the early church attached the label, Ophite, i.e., snake people. In the mythology, which essentially draws upon and rewrites the Genesis paradise story, the snake's advice to eat from the tree of knowledge is positive, the creator and his angels are demonic beasts and the true godhead is depicted as an androgynous heavenly projection of Adam and Eve. It will be argued that this unique mythology is attested in certain Coptic texts from the Nag Hammadi and Berlin 8502 Codices (On the Origin of the World, Hypostasis of the Archons, Apocryphon of John, Eugnostos, Sophia of Jesus Christ), as well as in reports by Irenaeus (Adversus Haereses 1.30), Origen (Contra Celsum 6.24-38) and Epiphanius (Panarion 26). It will also be argued that this so-called Ophite evidence is essential for a proper understanding of Sethian Gnosticism, often today considered one of the earliest forms of Gnosticism; there seems to have occurred a Sethianization of Ophite mythology. I propose that we replace the current Sethian Gnostic category by a new one that not only adds texts that draw upon the Ophite mythology alongside these Sethian texts, but also arranges the material in smaller typological units. I also propose we rename this remodelled and expanded Sethian corpus "Classic Gnostic." I have divided the thesis into four parts: (I) Introduction; (II) Myth and Innovation; (III) Ritual; and (IV) Conclusion. In Part I, the sources and previous research on Ophites and Sethians will be examined, and the new Classic Gnostic category will be introduced to provide a framework for the study of the Ophite evidence. Chapters in Part II explore key themes in the mythology of our texts, first by text comparison (to show that certain texts represent the Ophite mythology and that this mythology is different from Sethianism), and then by attempting to unveil social circumstances that may have given rise to such myths. Part III assesses heresiological claims of Ophite rituals, and Part IV is the conclusion.
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Although shame is a universal human emotion and is one of the most difficult emotions to overcome, its origins and nature as well as its effects on psychosocial functioning are not well understood or defined. While psychological and spiritual counselors are aware of the effects and consequences of shame for an individual s internal well-being and social life, shame is often still considered a taboo topic and is not given adequate attention. This study aims to explain the developmental process and effects of shame and shame-proneness for individuals and provide tools for practitioners to work more effectively with their clients who struggle with shame. This study presents the empirical foundation for a grounded theory that describes and explains the nature, origins, and consequences of shame-proneness. The study focused on Finnish participants childhood, adolescence and adulthood experiences and why they developed shame-proneness, what it meant for them as children and adolescents and what it meant for them as adults. The data collection phase of this study began in 2000. The participants were recruited through advertisements in local and country-wide newspapers and magazines. Altogether 325 people responded to the advertisements by sending an essay concerning their shame and guilt experiences. For the present study, 135 essays were selected and from those who sent an essay 19 were selected for in-depth interviews. In addition to essays and interviews, participants personal notebooks and childhood hospital and medical reports as well as their scores on the Internalized Shame Scale were analyzed. The development of shame-proneness and significant experiences and events during childhood and adolescence (e.g., health, parenting and parents behavior, humiliation, bullying, neglect, maltreatment and abuse) are discussed and the connections of shame-proneness to psychological concepts such as self-esteem, attachment, perfectionism, narcissism, submissiveness, pleasing others, heightened interpersonal subjectivity, and codependence are explained. Relationships and effects of shame-proneness on guilt, spirituality, temperament, coping strategies, defenses, personality formation and psychological health are also explicated. In addition, shame expressions and the development of shame triggers as well as internalized and externalized shame are clarified. These connections and developments are represented by the core category lack of gaining love, validation and protection as the authentic self. The conclusions drawn from the study include a categorization of shame-prone Finnish people according to their childhood and adolescent experiences and the characteristics of their shame-proneness and personality. Implications for psychological and spiritual counseling are also discussed. Key words: shame, internalized shame, external shame, shame development, shame triggers, guilt, self-esteem, attachment, narcissism, perfectionism, submissiveness, codependence, childhood neglect, childhood abuse, childhood maltreatment, emotional abuse, sexual abuse, spiritual abuse, psychological well-being
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"Prayer, a heritage from generation to generation" The elderly and religion in Finland at the turn of the 21st century The strong demographic changes in Europe mean that research on the elderly is highly needed, and also from the viewpoint of their resources and opportunities. Further, it is important to determine, how the elderly could find a meaningful place as members of the chain of generations in our rapidly changing society. The aim of this study was to find out how the elderly build and perceive their place in the society through religious texts. The study was based on religious texts written by elderly people in the study groups of the Finnish pensioners organization Pension Union (Eläkeliitto). These 943 short prayers, poems, and aphorisms were collected during the Tree of Life (Elämänpuu) project in 1998-1999 and were then analysed applying qualitative content analysis and grounded theory methodology. The social construction of aging and the view of communication as a collective signifying process were used as the mainstays of the research perspective. The themes brought forward by the elderly writers were grouped around three key themes: the self, the world and religion. In this examination religion with its forms of expression appeared to be deeply rooted to each of these themes and thus seems a vital part of the elderly writers' culture. In connection with the theme of the self, the religious forms of expression provided a means of building a coherent and culturally accepted self-image which is further supported by positive views of personal history and current life situation. In relation to the world theme, the elderly writers stressed the importance of close social relationships and at the same time expressed anxiety with regard to the changing world. Concerning the theme of religion, the religious forms of expression were first and foremost used in building and creating a sense of personal safety and a belief in the future. The study suggests that skill in the use of religious language enable the elderly to cope with equivocal life events and cognitive dissonance. At the social level the religious forms of expression seemed to connect the writers to the Finnish linguistic culture and identity, as well as to the collective memory, where religion plays a central part. By using religious language the elderly both exploit and maintain these considerable social resources. The key result of the study is that the elderly were found to have a significant and separate role in the continuity and well-being of society. Bound to the religious tradition, the elderly seem to carry significant information as regards the identity of the Finnish people, information which is essentially passed on to future generations. By sustaining traditions and thus the collective identity, they perform a uniquely productive task and their life experience could be seen as a particular type of capital in the society. This result also raises a grave question: Will the elderly of the future be able to undertake this task that so profoundly requires religious literacy?
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Tutkimuksen aihepiirinä on viimeaikaisen (1997-2004) Yhdysvaltain presidentti-instituution uskonnollinen retoriikka William J. Clintonin ja George W. Bushin virkakausina. Tutkimuksen tehtävä on selvittää, miten presidentti-instituutio hyödyntää uskonnollista retoriikkaa legimitaationa virallisissa poliittisissa linjanvetopuheissaan, kuten virkaanastujais- ja liittovaltion tila -puheissaan. Tutkimustehtävä jakautuu seuraaviin alakysymyksiin: 1) Millaisilla kansalaisuskonnollisilla käsityksillä ja keinoilla legimitaatiota yritetään tuottaa? 2) Ovatko kansalaisuskonnon keinot viimeaikaisten presidenttien keskeisintä työvälineistöä identifioinnissa ja erottautumisissa? 3) Ovatko kansalaisuskonnolliset teemat naturalisoituneet, luonnollistuneet? Tiivistetysti on tarkoitus tutkia viimeaikaisten presidenttien virallisista puheiden kautta, kuinka uskonto ja valtio liittyvät toisiinsa. Perusolettamukseni on, että presidentit hyödyntävät keskeisesti kansalaisuskonnollista retoriikkaa vakuuttaakseen yleisönsä ja politiikkansa. Tutkimusaineisto koostuu koostuu kahden Yhdysvaltain presidentin William J. Clintonin (1993-2001) ja George W. Bushin (2001-) presidenttien virallisista puheista, jotka on pidetty vuosina 1997-2004. Viralliset puheet ovat virkaanastujais- (Inaugural Address) ja vuosittaiset liittovaltion tila -puheet (Address Before a Joint Session of the Congress on the State of the Union). Puheita on kymmenen ja niiden pituus on keskimäärin viisi sivua. Tutkielman teoreettinen viitekehys tukeutuu kanadalaisen uskontososiologin Marcela Cristin uudenlaiselle käsitykselle (2001) kansalaisuskonnosta poliittisena uskontona. Tämä hyödyntää kansalaisuskonnon durkheimilaista taustaa yhdistäen Jean-Jacques Rousseuaun religion civile-teesiä. Cristin mukaan kansalaisuskonto manifestoituu kahdella tavalla: sekä durkheimilaisena kulttuurisena kansalaismuotona (civil) ja rousseualaisena ideologiana (political). Nämä eivät hänen mukaansa ole toisilleen vastakohtia, vaan yhden jatkumon osia. Tutkielman metodologinen lähestymistapa on uusretorinen analyysi ja teoreettis-medologisena viitekehyksenä on sosiaalinen konstruktivismi. Analyysin perusolettamus on, että presidentti-instituution luomassa merkityksen rakennetaan sosiaalisesta todellisuutta. Instituution retoriikka suuntautuu tiettyyn sosiaaliseen yhteisöön yrittäen legimitoida mahdollisimman laajaa joukkoa politiikkansa taakse. Analyysin tuloksena huomattiin, että presidentti-instituutio hyödyntää aktiivisesti kansalaisuskonnollisia teemoja. Molempien presidentti-instituutioiden uskonnollisessa nationalismissa hyödynnetään kansalaisuskonnollisuuden sekä protestanttis-puritaanista että valistuksellista taustaa. Kyse on oikeastaan siitä,kuinka nämä puolet saavat painotuksensa. Selvää on, että molemmat presidentit hyödyntävät kaikkia kansalaisuskonnollisuuden kolmea ulottuvuutta. Molemmilta löytyy retorinen tukeutuminen transsendenssiin, moraalistinen yhteisöllisyyden vaatimus. Clintonin uskonnollinen retoriikkaa jakaantuu kahteen ulkoisesti ristiriitaiseen käsitteelliseen linssiin: lupauksellisuus ja perustajallisuus. Ne yhdistyvät hänen nimittämisissään millenniaaliseksi yhteisöksi. Bushin uskonnollinen retoriikka tukeutuu transsendenttiseen ulottuvuuteen. Hänen käsitteelisiä linssejä ovat aktiivisen Jumalan monet roolit ja ajan siunauksellisuus. (Ks. luku 8. johtopäätökset ja jatkotutkimus.) Avainsanat: Yhdysvallat, presidentti-instituutio, kansalaisuskonto, uskonnollinen retoriikka, William J. Clinton, George W.Bush
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Astangajooga perustuu intialaisen Sri K. Pattabhi Joisin (1915-2009) opetukseen, ja siitä on viime vuosina tullut eräs suosituimmista ja kansainvälisesti laajimmalle levinneistä modernin joogan muodoista. Joogaa voidaan pitää yleisnimityksenä Intian uskontojen piirissä muotoutuneille askeettisille soteriologisille opeille. Käsitteellä moderni jooga kuitenkin viitataan sellaisiin intialaisesta joogatraditiosta tehtyihin tulkintoihin, jotka ovat syntyneet länsimaalaisten ja länsimaisen kulttuurin vaikutuspiirissä olleiden intialaisten toimesta viimeisen n. 150 vuoden aikana. Vaikka varhainen jooga olikin kiinteä osa intialaista uskonnollisuutta, modernin joogan suhde uskonnollis-filosofisiin juuriinsa on vähemmän yksiselitteinen. Tämä on havaittavissa myös Astangajoogan tapauksessa. Tutkielmani käsittelee suomalaisten Astangajoogan harjoittajien käsityksiä joogan merkityksistä. Ensisijaisena aineistonani toimivat kymmenen Helsingin Astanga Joogakoulussa harjoittelevan Sri K. Pattabhi Joisin opetusperinteeseen pohjautuvan Astangajoogan harjoittajan haastattelut. Astangajoogan harjoittajilta ei Helsingin Astanga Joogakoulussa vaadita sitoutumista mihinkään oppeihin tai elämäntapavalintoihin. Painopiste on voimakkaasti liikunnallisen ?sana-harjoittelun säännöllisessä ylläpitämisessä. Kuitenkin myös Astangajoogan menetelmissä ja Helsingin Astanga Joogakoulun opetuksessa on piirteitä, joiden perusteella Astangajoogan ei voida sanoa olevan täysin riippumaton sen taustalla vaikuttavasta uskonnollis-filosofisesta perinteestä. Tutkimuskysymykseni ovat 1) liittävätkö Astangajoogan harjoittajat joogaan uskonnollisiksi tai henkisiksi tulkittavia merkityksiä, ja 2) millaisia nämä merkitykset ovat ja miten ne liittyvät harjoituksen muihin ulottuvuuksiin (esim. terveydellinen, sosiaalinen, psykologinen). Tältä pohjalta toivon 3) pystyväni tarkastelemaan, miten Astanga asettuu nykypäivän uskonnolliseen kenttään, ja mitä sen harjoittajien näkemykset mahdollisesti kertovat uskonnon asemasta ja luonteesta nykyaikana. Analyysimetodinani käytän aineistolähtöistä sisällönanalyysia. Vertaan analyysissa esiin nousseita teemoja Paul Heelasin holistisen henkisyyden teoriaan. Holistisella henkisyydellä Heelas tarkoittaa subjektia ja subjektiivista kokemusta painottavaa, ulkoisista instituutioista riippumatonta uskonnollisuutta, jossa ruumiillisuudella, terveydellä ja sosiaalisilla suhteilla on tärkeä asema. Haastatteluaineiston analyysin pohjalta totean, että Astangajoogalla on usein harjoittajilleen henkisenä pidetty ulottuvuus. Haastattelemieni Astangajoogan harjoittajien henkisyyttä määrittelevät sisäisyys, omaehtoisuus ja holistisuus. Astangajoogasta etsittiin mm. vaihtoehtoa dogmaattiseksi koetulle kristinuskolle. Astangajoogan harjoittamista ei kuitenkaan voida pitää uushindulaisuuden muotona, vaan sitä pidettiin ”uskontovapaana henkisyytenä”. Analyysin perusteella voidaankin todeta, että haastateltujen esittämät näkemykset vastasivat yleisesti varsin hyvin Paul Heelasin holistisen henkisyyden teorian keskeisiä teemoja. Kuitenkin myös merkittäviä poikkeuksia tästä esiintyi. Ne antavat aihetta mahdolliselle jatkotutkimukselle.
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Kysymys wiccan määrittelystä nousi ajankohtaiseksi vuosituhannen vaihteessa, kun joukko wiccoja päätti hakea uskonnolleen virallisen yhdyskunnan asemaa. Yritys ei onnistunut, sillä opetusministeriö piti wiccaa liian hajanaisena, eikä katsonut sen täyttävän laissa määriteltyjä uskonnon tunnusmerkkejä. Tutkielman tarkoitus on paneutua nimenomaan virallistamis-prosessin puitteissa käytyyn määrittelykeskusteluun diskurssianalyysin tarjoamin keinoin. Aineistona käytän projektin avuksi perustettua Suomiwicca-keskustelulistaa. Keskeisiä kysymyksiä ovat mm. miksi määrittely loppujen lopuksi on niin vaikeaa, ja miten siihen liittyviä ongelmia on pyritty ratkaisemaan. Samalla kiinnitän huomiota yleiseen uskonnon määrittelyyn uskonnonvapauslain näkökulmasta sekä länsimaissa tapahtuvaan uskonnollisuuden individualistumiseen. Määrittelyvaikeuksien juuret nousevat wiccan historiasta ja avoimen lähteen uskonnolle tyypillisistä piirteistä. Aineistossani lisäväriä keskusteluun tuovat lainsäädännön vaatimukset sekä oman sosiaalisen identiteetin varjeleminen. Teoreettisena viitekehyksenä toimiikin H. Tajfelin ja J. C. Turnerin sosiaalisen identiteetin teoria. Määrittelyyn kiinteässä yhteydessä olevan kategorisoinnin kognitiiviset periaatteet on niin ikään huomioitu. Analyysi paljastaa, että määrittely koetaan vaikeaksi, koska wicca on luonteeltaan epä-dogmaattinen, yksilön autonomiaa korostava mysteeriuskonto. Tällaista uskontoa ei kukaan voi eikä kenenkään pitäisi määritellä, vaan wiccalaisuus perustuu itsemäärittelyyn. Silti tunnustetaan, ettei kaikki wiccaksi nimetty ole wiccaa, ja käytännössä itsemäärittelyn rinnalle astuu muita tekijöitä. Eroa wiccan ja ei-wiccan välille yritetään tehdä mm. erottautumalla sosiaalista identiteettiä heikentävistä liikkeistä (esim. satanismi, new age), jotka ulkopuoliset usein yhdistävät wiccaan. Erotteluja tehdään myös wiccan sisällä. Kritiikin kohteeksi joutuvat sekä yksittäiset henkilöt että eklektinen wicca-suuntaus kokonaisuutena. Oikeudesta wicca-nimitykseen ja siihen liittyvään sosiaaliseen identiteettiin pidetään kuitenkin lujasti kiinni, ja vihjailuja epäaitoudesta pidetään loukkaavina. Käytännössä itsemäärittely osoittatuu siis toimimattomaksi ja liian löyhäksi strategiaksi, vaikka onkin sopusoinnussa wiccan ideologian kanssa. Itseidentifikaatio on toki oleellinen osa wiccana olemista, mutta sen lisäksi on oltava uskottava, ja tultava muiden wiccojen hyväksymäksi perheyhtäläisyyden perusteella. Perheyhtäläisyyspiirteiden sijasta listalla keskitytään kuitenkin wiccaa monoteettisesti määrittävän piirteen etsimiseen. Tällaiseksi ehdotetaan mm. redeä, jumalkäsitystä sekä luontosuhdetta, mutta tulkinnallisten erimieli-syyksien vuoksi yhtäkään niistä ei kelpuuteta. Sen sijaan selkeyttä wiccakenttään näyttää tuovan taksonomisten jaotteluiden tekeminen ja wicca-suuntausten erojen korostaminen. Näin kaikki wiccaksi nimittäytyvät tunnustetaan wiccoiksi, mutta kenenkään sosiaalinen identiteetti ei silti heikkene. Strategia vaikuttaa lupaavalta, mutta sen tasa-arvoinen toteutuminen vaatii vielä hiomista ja uudenlaisten jaottelujen vakiinnuttamista. Tämä kuitenkin todistaa, ettei tyydyttävän määritelmän löytyminen ole täysin mahdotonta, kunhan kaikki wicca-ryhmittymät huomioidaan eikä keneltäkään yritetä väkisin riistää sosiaalista identiteettiä.
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Tutkimus käsittelee hyvinvointiin liittyviä ihanteita yksilön ja yhteisön näkökulmasta Syon Abbeyn birgittalaisluostarissa myöhäiskeskiajalla. Vuonna 1415 perustettu Syon Abbey kuului Englannin varakkaimpien luostarien joukkoon. Se noudatti Birgitan (1302/1303–1373) luostarisääntöä (Regula Salvatoris) ja oli säännön mukaisesti kaksoisluostari, jossa eli nunnien lisäksi myös veljiä. Tutkimuksen päälähteinä käytetään Birgitan sääntöä täydentäviä Syon Abbeyn luostaria varten kirjoitettuja sääntölisäyksiä sekä kahta nunnia varten laadittua hengellistä opaskirjaa. Hyvinvointiin liittyvät ihanteet on tässä tutkimuksessa jaoteltu fyysiseen, sosiaaliseen ja henkis-hengelliseen osa-alueeseen. Fyysisen hyvinvoinnin osalta tarkastellaan luostarin omaisuutta ja työnjakoa sekä ravintoon, vaatetukseen ja terveyteen liittyviä kysymyksiä. Varakkaana luostarina Syon Abbey kykeni tarjoamaan asukkailleen tasokkaat elinolosuhteet. Luostaria johti abbedissa, joka jakoi harkintansa mukaan työtehtävät muille luostarin asukkaille. Nunnien vastuu luostarin talouden ja arkielämän järjestämisessä oli suuri. Veljien vastuulla oli sakramenttien toimittaminen, saarnaaminen ja hengellinen ohjaus. Monilla Syon Abbeyn asukkailla oli aristokraattinen syntyperä, ja tottumus korkeaan elintasoon näkyi muun muassa ruokahankinnoissa kalliina mausteina ja muina ylellisyystuotteina, vaikka ihanteena olikin kohtuullisuus. Fyysisiin tarpeisiin liittyviä säädöksiä perusteltiin terveellisyydellä ja tarkoituksenmukaisuudella. Nunnien henkinen työ edellytti, että he olivat hyvin ravittuja ja terveitä. Vaatetuksen tuli olla yhtenäinen, millä osoitettiin toisaalta yhteenkuuluvuutta, toisaalta erottauduttiin muista sääntökunnista ja maallikoista. Sosiaalinen hyvinvointi liittyy yksittäisen nunnan asemaan yhteisössä ja siihen, miten nunnien (sekä nunnien ja veljien) välistä kommunikaatiota säädeltiin. Lähteet osoittavat, että yhteisöelämän sujuvuutta pidettiin Syon Abbeyssä tärkeänä. Pahan puhuminen, toisten loukkaaminen, juoruilu, ylempien uhmaaminen ja puhuminen hiljaisuusaikoina oli kielletty. Toisia piti kohdella kunnioittavasti ja ystävällisesti, mutta kommunikointi olisi pitänyt rajoittaa välttämättömään. Kieltojen ja määräysten runsaslukuisuus nimenomaan kommunikointiin liittyen kertonee siitä, että näitä sääntöjä ei aina noudatettu. Erityisen tiukasti kontrolloitiin nunnien ja veljien keskinäistä yhteydenpitoa. Henkinen ja hengellinen hyvinvointi liittyy luostarin varsinaiseen tehtävään. Syon Abbeyllä oli maine oppineisuuden keskuksena. Kirjallisuuden rooli luostarin elämänihanteiden luojana oli merkittävä ja sen tarkoitus oli auttaa nunnia hoitamaan hyvin tärkeintä tehtäväänsä, yhteisten hetkipalvelusten toimittamista. Veljet ja ulkopuoliset käänsivät Syon Abbeyn nunnille kirjoja englanniksi, joten myös latinaa taitamattomilla oli mahdollisuus hankkia teologista tietämystä ja ymmärtää hetkipalvelusten sisältöä. Suuri kirjasto takasi hyvät lähtökohdat opiskelulle varsinkin, kun huomioidaan, että naisten mahdollisuudet saada opillista sivistystä olivat keskiajalla rajalliset. Yksilön hengellisen elämän tukeminen palveli yhteisöä, koska luostarin hengellinen työ nähtiin konkreettisena taisteluna pahaa vastaan. Vaikka luostari-ihanteet perusteltiin Syon Abbeyssä hengellisesti, myös maallisista tarpeista huolehdittiin, koska ne loppujen lopuksi palvelivat hengellisiä päämääriä.
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How did Søren Kierkegaard (1813 1855) situate the human subject into historical and social actuality? How did he take into consideration his own situatedness? As key for understanding these questions the research takes the ideal of living poetically that Kierkegaard outlined in his dissertation. In The Concept of Irony (1841) Kierkegaard took up this ideal of the Romantic ironists and made it into an ethical-religious ideal. For him the ideal of living poetically came to mean 1) becoming brought up by God, while 2) assuming ethical-religiously one s role and place in the historical actuality. Through an exegesis of Kierkegaard s texts from 1843 to 1851 it is shown how this ideal governed Kierkegaard s thought and action throughout his work. The analysis of Kierkegaard s ideal of living poetically not only a) shows how the Kierkegaardian subject is situated in its historical context. It also b) sheds light on Kierkegaard s social and political thought, c) helps to understand Kierkegaard s character as a religious thinker, and d) pits his ethical-religious orientation in life against its scientific and commonsense alternatives. The research evaluates the rationality of the way of life championed by Kierkegaard by comparing it with ways of life dominated by reflection and reasoning. It uses Kierkegaard s ideal of living poetically in trying to understand the tensions between religious and unreligious ways of life.