202 resultados para julkinen alue


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Pyrin Pro gradu -tutkielmassani hahmottamaan ne tekijät, jotka konstituoivat julkista aluetta demokraattista legitimiteettiä tuottavana poliittisena foorumina. Työni keskiössä on deliberatiivisen demokratian teorian ydinajatus, että ihmiset ja ihmisryhmät kykenevät muodostamaan mielipiteensä ja tuomaan sen esille julkisissa keskusteluissa. Hyvin argumentoitu vaade ryhmän oikeuksien puolesta kerää julkista kannatusta muualtakin kuin asianomaisen ryhmän sisältä. Tämä puolestaan saa aikaan poliittisia muutoksia. Ryhmä, jota yhdistää epäoikeudenmukaisuuden kokemus, tuo agendansa julkisuuteen ja pyrkii vaikuttamaan yleiseen mielipiteeseen ja sitä kautta poliittiseen päätöksentekoon. Oleellinen kysymys tässä kontekstissa on, kuinka paljon yleisen mielipiteen tulisi vaikuttaa poliittiseen päätöksentekoon ja minkälaisiin aiheisiin poliittisesti vaikuttava yleinen mielipide on rajattu. Keskustelun julkisen alueen demokraattistra legitimiteettiä tuottavasta voimasta käynnisti Jürgen Habermasin teos Strukturwandel der Öffentlichkeit vuonna 1962. Olen käyttänyt kyseisen teoksen lisäksi lähteinäni Habermasin myöhäisempää tuotantoa. Habermasin pääasiallisina kommentaattoreina työssäni toimivat John Rawls, Nancy Fraser, Chantal Mouffe ja Seyla Benhabib. Tarkastelutapani on systemaattinen. Pyrin selventämään julkisen alueen käsitettä sekä liittyen julkiselle alueelle postuloituihin funktioihin, episteemiseen asemaan, sosiaaliseen ontologiaan, ekstensioon ja sitä konstituoiviin periaatteisiin. Käyn läpi deliberatiivisen demokratian teorian, poliittisen liberalismin ja agonistisen politiikan teorian käsitykset politiikan ja julkisen alueen luonteesta. Pyrin puolustamaan deliberatiivisen demokratian mukaista näkemystä julkisen alueen funktiosta. Käyn tutkielmassani läpi myös niitä ongelmia, jotka nousevat viime vuosikymmenien aikana demokraattisen päätöksenteon kannalta oleellisissa instituutionaalisissa rakanteissa tapahtuneista muutoksista. Keskeinen kysymys on, kykeneekö habermasilainen teoria vielä säilyttämään deskriptiivisen ja normatiivisen arvonsa globalisoituneessa maailmassa. Tutkimuksessani selvisi, että demokraattinen legitimiteetti vaatii tuekseen julkisen alueen mielipiteenmuodostusta. Julkista aluetta ei kuitenkaan ole tarkoituksenmukaista hahmottaa yhtenä laajana diskursiivisena areenana vaan useiden kommunikatiivisten alueiden verkostona, joista jotkut alueet ovat kattavampia kuin toiset.

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The dissertation analyzes Finnish consensual culture in public discussion and journalism in Helsingin Sanomat (HS). The consensual Finnish political culture has evolved and persisted over a long period of time and it has been affected by historical circumstances as well as the dynamics of political and journalistic structures and actors. A historical chronology is drawn in the study regarding the nature and development of consensus culture in 20th century Finland. This political culture is traced by looking at public discussion on globalization at the turn of the millennium. Globalization as a concept has been contested and various societal actors have given different meanings to it. This research looks at how the globalization discussion in HS during the years 1992-2004 constructs consensus. Helsingin Sanomat (and its predecessor Päivälehti) has been an important actor in Finnish journalism and the public sphere almost since its founding 120 years ago. The history of the paper is tightly connected to Finland s general political history and history of the public sphere. Moreover, the paper s connections to the societal elite have always been close. The central question in this research was to see how the globalization discussion in HS evolved in relation to consensus as well as legitimate controversies. As a result it is stated that the globalization question has clearly divided the Finnish societal actors. The most powerful societal elites (government, most civil servants, corporate sector) had a profile of being pro globalization. They communicated their globalization strategy as a national, unified way of thinking. Other elites which have been losing their influence (the president, labor union, part of members of parliament), as well as civil society actors tried to bring forward conflicting views in relation to globalization. The paper did give some room to these elements, but on the other hand it also tried to keep up the consensual discussion culture especially in the editorial section. In line with its traditions Helsingin Sanomat strived to create national unity. At the same time it did not give adequate attention to the changes brought about by globalization to the positions and roles of various elites and civil society actors. In this discussion HS seemed more like a medium of the state than as a critical and independent actor. Journalism has an important role in upholding and also reviving the Finnish political culture and public discussion. From this point of view it is problematic if the area of so called legitimate controversy in broad societal questions like globalization becomes very limited. As the Finnish elites are small and there is no considerable competition between them, journalism should actively bring up controversial issues. This task becomes complicated, however, if the elite circles are closed up and no initiatives come from their ranks. Political decision making as well as democracy can suffer, if issues are not brought to the public agenda.

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This master s thesis examines tourism related housing and related discourses in the village of Kilpisjärvi, Finland. I study the tourism development in Kilpisjärvi and the debate related to this process. My methodology is based on discourse and content analysis. The purpose of this study is to examine and classify the discourses of tourism related housing and what are the lessons learned from the recent development of Kilpisjärvi. Kilpisjärvi is the northernmost village in western Finnish Lapland, located in the middle of the highest mountain area of Finland. The area has been reindeer herding area of Saami people for centuries, but it has lacked permanent settlement until the beginning of 20th century. The first tourist accommodation was built in 1930s, followed by the road in 1940s and the hotel in 1950s. Traditionally the area has attracted skiers and hikers. The area is also known for its extraordinary nature and rare plant life. Tourism development was slow in Kilpisjärvi until the turn of millennium when rapid growth in tourism related housing was triggered by extensive land use planning. Small wilderness village of Kilpisjärvi has grown to a tourism centre with over 800 beds in commercial enterprises, more than hundred second-homes, and two large caravan areas. This development has raised conflicts among villagers. The empirical part of this study is based on the interviews of 17 permanent dwellers of Kilpisjärvi and three Norwegian cottage owners. Six discourses can be distinguished: 1) Nature and landscape, 2) Economy, 3) Place, 4)Reindeer herding, 5) Governance and 6) Possibilities to influence decision-making. The first discourse stressed that tourism development and building should adapt to nature and landscape, while economic discourse stressed the economical importance of tourism to Kilpisjärvi and the municipality of Enontekiö. The third discourse noted the change of Kilpisjärvi as a place due to the boom of tourism development. The discourse of reindeer herding was clearly distinguished from others, seeing tourism development merely negative. Governance was seen as an important tool in regulating development, but many saw that the municipal administration has failed to take into account other aspects of tourism development than economical factors. Many villagers saw their influence in decision-making weak, while landowners and municipal decision-makers were seen as oligarchy in land-use planning regardless of formal participatory planning process enforced by law. I conclude that it is important to take into account the diversity of local discourses in tourism development and land use issues. Transparent and genuine participatory planning process would promote sustainable development, prevent conflicts and allow decisions and development which would satisfy larger number of local dwellers than presently.

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Tarkastelen pro gradu -tutkielmassani turvallisuuden yksityistämisen vaikutuksia turvallisuussektorin uudistukseen konfliktin jälkeisessä tilanteessa. Turvallisuuden yksityistäminen on ilmiö, joka on saanut yhä enemmän huomiota kansainvälisen politiikan tutkimuksessa, ja se liitetään usein myös turvallisuussektorin uudistusta käsitteleviin tutkimuksiin. Yleensä turvallisuuden yksityistäminen nähdään uudistuksen kohteena tilanteessa, jossa yksityiset sotilas- ja turvallisuuspalvelut pyritään saamaan uudistuksen kautta valvonnan ja sääntelyn piiriin. Liberiassa yksityiset sotilas- ja turvallisuuspalvelut ovat kuitenkin olleet turvallisuussektorin uudistuksen toteuttajia, kun Yhdysvallat ulkoisti oman osuutensa Liberian turvallisuussektorin uudistuksesta yksityiselle sektorille. Tutkielman ensimmäinen tutkimustehtävä jakautuu kahteen tutkimuskysymykseen: 1. Miten turvallisuuden yksityistäminen vaikuttaa turvallisuussektorin uudistuksen pääperiaatteisiin eli kokonaisvaltaisuuteen, paikalliseen omistajuuteen ja paikallisen kontekstin huomioimiseen? 2. Mitkä aikaisemmissa tutkimuksissa esitetyistä hypoteeseista turvallisuuden yksityistämisen eduista ja ongelmista saavat tukea Liberian tapauksessa? Lähestyn ensimmäistä tutkimustehtävää Liberian ja Sierra Leonen turvallisuussektorin uudistusten tapaustutkimuksilla, joiden aineistoina ovat uudistuksia käsittelevät aikaisemmat tutkimukset ja raportit. Vertaan Liberian tapausta Sierra Leonen tapaukseen, koska jälkimmäistä pidetään esimerkkinä onnistuneesta turvallisuussektorin uudistuksesta konfliktin jälkeisessä tilanteessa ja monet tapausten taustamuuttujista ovat samoja. Tällöin erojen voidaan olettaa johtuvan turvallisuuden yksityistämisestä. Tutkielman toinen tutkimustehtävä on Liberian ja Sierra Leonen turvallisuussektorin uudistusten tehokkuus- ja valvontaosa-alueiden kehityksen vertailu. Tähän tarkoitukseen kokosin oleellisista indikaattoreista ja indekseistä valtiokeskeisen turvallisuuden, inhimillisen turvallisuuden ja turvallisuuden hallinnan mittarit, jotka kuvaavat Liberian ja Sierra Leonen tilannetta vuosien 2003 ja 2008 välillä. Tapaustutkimuksista käy ilmi, että turvallisuussektorin uudistuksen pääperiaatteista erityisesti paikallisen kontekstin huomioimisessa oli Liberian tapauksessa puutteita. Uudistuksen ohjenuorana käytetty suunnitelma perustui enemmän taloudellisille laskemille kuin paikallisten tai alueellisten uhkien arvioinnille, ja lisäksi voidaan kyseenalaistaa yksityisten sotilas- ja turvallisuuspalveluiden käyttö uudistuksen toteuttajina alueella, joka on aikaisemmin kärsinyt palkkasotilaiden toiminnasta. Paikallisen omistajuuden suhteen ongelmat olivat Liberiassa ja Sierra Leonessa samoja. Liberian uudistuksen kokonaisvaltaisuuden ongelmat eivät liittyneet varsinaisesti yritysten käyttöön, vaan uudistuksen pilkkomiseen useiden eri toimijoiden välillä. Yksityistämisen perusteluna käytetty joustavuusargumentti saa tukea, mutta edullisuusargumentti horjuu, ja yksityisen sektorin käytön uutena etuna esiin nousi poliittisesti arkojen kysymysten, kuten vanhan armeijan demobilisoinnin, helpottuminen. Turvallisuuden yksityistämisen mahdollisista ongelmista turvallisuussektorin uudistuksessa nousee aineistosta selvimmin esiin päämies–agentti-ongelma, koska yrityksillä oli koko uudistusprosessin ajan enemmän tietoa kuin rahoittajavaltiolla ja kohdevaltiolla ja sitä kautta parempi neuvotteluasema. Turvallisuussektorin uudistuksen mittareilla Liberian ja Sierra Leonen kehitys näyttäytyy hyvin samanlaisena. Turvallisuuden yksityistämistä ei voida suoraan tulkita huonommaksi vaihtoehdoksi, jos Sierra Leonea pidetään esimerkkinä onnistuneesta uudistuksesta. Jatkotutkimuksen kannalta mielenkiintoinen havainto on Sierra Leonen kehityksen pysähtyminen tai jopa taantuminen vuoden 2004 jälkeen kaikilla tässä tutkielmassa käytetyillä mittareilla.

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Tutkimuksen tavoite on selvittää, millä tavoin oppilaan psyyke huomioidaan ilmavoimien lennonopetuksessa ja kuinka oppilaan persoonallisia ominaisuuksia pyritään tukemaan ja kehittämään koulutuksessa. Tutkimusongelmina ovat psyykkisen valmennuksen toteutuminen ilmavoimissa, onko psyykkinen valmennus ilmavoimissa tiedostettua vai tiedostamatonta ja tarvitaanko ilmavoimissa psyykkistä valmennusta. Tuloksista pyritään tekemään päätelmiä psyykkisen valmennuksen mahdollisista kehitystarpeista lennonopetuksessa. Tutkimuksen viitekehyksen runkona käytetään Lintusen ja Haaralan kehittämää psyykkisen valmennuksen mallia, joka määrittelee psyykkisen valmennuksen menetelmät, sisällöt ja tavoitteet. Mallissa erotetaan omiksi osa-alueiksi psyykkistä hyvinvointia ja persoonallisuuden kehittymistä tukeva opetus ja valmennus, psyykkisten taitojen opettaminen sekä ongelmien hoito.(Lintunen, Orava & Haarala 1997.) Tutkimuksessa käytetyt menetelmät ovat kvalitatiivisia. Tutkimusongelmiin etsitään vastauksia haastattelemalla neljää ilmavoimien lennonopettajaa. Haastattelut suoritetaan teemahaastatteluina, ja haastatteluista syntynyt aineisto analysoidaan laadullisen tutkimuksen sisällönanalyysilla. Aihetta ei ole aikaisemmin tutkittu ilmavoimissa, joten tutkimuksessa on pyritty luomaan yleiskuvaa psyykkisen valmennuksen toteutumisesta lennonopetuksessa. Lennonopetuksen tarkastelu Lintusen ynnä muiden kehittämän psyykkisen valmennuksen mallin avulla osoittaa, että lennonopetukseen kuuluu joiltain osin psyykkistä valmennusta ja psyykkinen valmennus on pääosin tiedostamatonta. Valmennukselle on keskeistä, että se tähtää käytetystä menetelmästä riippumatta kiinteästi varsinaisen suorituksen parantamiseen. Valmennuksella pyritään vaikuttamaan ensisijaisesti lentämisen erityiskysymyksiin. Näitä ovat esimerkiksi tilannetietoisuuden kasvattaminen sekä päätöksentekokyvyn kehittäminen. Tutkimus osoittaa, että vaikka lennonopetuksessa annetaankin suoritukseen liittyvien taitojen valmennusta, yksi keskeinen osa-alue puuttuu opetuksesta. Suorituksen hallintaa ei käsitellä lennonopetuksessa ja se näkyy aikaisempien tutkimusten perusteella myös oppilaiden psyykkisenä oireilemisena. Lentokoulutus aiheuttaa ohjaajille muun muassa stressiä, ahdistusta ja jännittyneisyyttä, mutta koulutukseen ei sisälly niiden ennaltaehkäisyä eikä hoitoa. Ilmavoimissa tarvitaan psyykkistä valmennusta. Pelkkien suoritukseen liittyvien psyykkisten taitojen opettelu ei kuitenkaan yksin riitä. Suorituksen hallinta on ratkaiseva toiminnan säätelijä muiden taitotekijöiden yläpuolella. Tämän vuoksi lentäjän suorituksen hallintaan vaikuttavien osa-alueiden, kuten itseluottamuksen, stressin hallinnan sekä keskittymisen on oltava kunnossa.

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The dissertation analyzes and elaborates upon the changing map of U.S. ethno-racial formation from the vantage point of North American Studies, multi-disciplinary cultural studies, and the criticism of visual culture. The focus is on four contemporary Mexican American (Chicana) women photographers, whose art production is discussed, on the one hand, in the context of the Euro-American history of photographic genres and, on the other hand, in the context of so-called decolonizing cultural and academic discourses produced by Mexican Americans themselves. The manuscript consists of two parts. Part I outlines the theoretical and methodological domain of the study, positioning it in the interstices of American studies, European postmodern criticism, postcolonial feminist theory, and the theories of visual culture, particularly of art photography. In addition, the main issues and paradigms of Chicano Studies (Mexican American ethnic studies) are introduced. Part II consists of seven essays, each of which discusses rather independently a particular photographic work or a series of photographs, formulating and defending arguments about their meaning, position in the history of photographic genres, and their cultural and socio-political significance. The study closes with a discussion about ethno-racial identity formation and the role of Chicana photography therein - in embodying and reproducing new subjectivities, alternative categories of knowledge, and open ended historical narratives. It is argued that, symbolically, the "Wild Zone" of gendered and race-specific knowledge becomes associated with the body of the mother, a recurrent image in Chicana art works under discussion. Embedded in this image, the construction of an alternative notion of a family thus articulates the parameters of a matrifocal ethno-racial community unified by the proliferation of differences rather than by conformities typical of nationalistic ideologies. While focusing on art photography, the study as a whole simultaneously constructs, from a European vantage point, a "thick" description of Mexican American history, identities, communities, cultural practices, and self-representations about which very little is known in Finland.

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The aim of the study is to explain how paradise beliefs are born from the viewpoint of mental functions of the human mind. The focus is on the observation that paradise beliefs across the world are mutually more similar than dissimilar. By using recent theories and results from the cognitive and evolutionary study of religion as well as from studies of environmental preferences, I suggest that this is because pan-human unconscious motivations, the architecture of mind, and the way the human mind processes information constrain the possible repertoire of paradise beliefs. The study is divided into two parts, theoretical and empirical. The arguments in the theoretical part are tested with data in the empirical part with two data sets. The first data set was collected using an Internet survey. The second data set was derived from literary sources. The first data test the assumption that intuitive conceptions of an environment of dreams generally follow the outlines set by evolved environmental preferences, but that they can be tweaked by modifying the presence of desirable elements. The second data test the assumption that familiarity is a dominant factor determining the content of paradise beliefs. The results of the study show that in addition to the widely studied belief in supernatural agents, belief in supernatural environments wells from the natural functioning of the human mind attesting the view that religious thinking and ideas are natural for human species and are produced by the same mental mechanisms as other cultural information. The results also help us to understand that the mental structures behind the belief in the supernatural have a wider scope than has been previously acknowledged.

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Valency Realization in Short Excerpts of News Text. A Pragmatics-funded analysis This dissertation is a study of the so-called pragmatic valency. The aim of the study is to examine the phenomenon both theoretically by discussing the research literature and empirically based on evidence from a text corpus consisting of 218 short excerpts of news text from the German newspaper Frankfurter Allgemeine Zeitung. In the theoretical part of the study, the central concepts of the valency and the pragmatic valency are discussed. In the research literature, the valency denotes the relation among the verb and its obligatory and optional complements. The pragmatic valency can be defined as modification of the so-called system valency in the parole, including non-realization of an obligatory complement, non- realization of an optional complement and realization of an optional complement. Furthermore, the investigation of the pragmatic valency includes the role of the adjuncts, elements that are not defined by the valency, in the concrete valency realization. The corpus study investigates the valency behaviour of German verbs in a corpus of about 1500 sentences combining the methodology and concepts of valency theory, semantics and text linguistics. The analysis is focused on the about 600 sentences which show deviations from the system valency, providing over 800 examples for the modification of the system valency as codified in the (valency) dictionaries. The study attempts to answer the following primary question: Why is the system valency modified in the parole? To answer the question, the concept of modification types is entered. The modification types are recognized using distinctive feature bundles in which each feature with a negative or a positive value refers to one reason for the modification treated in the research literature. For example, the features of irrelevance and relevance, focus, world and text type knowledge, text theme, theme-rheme structure and cohesive chains are applied. The valency approach appears in a new light when explored through corpus-based investigation; both the optionality of complements and the distinction between complements and adjuncts as defined in the present valency approach seem in some respects defective. Furthermore, the analysis indicates that the adjuncts outside the valency domain play a central role in the concrete realization of the valency. Finally, the study suggests a definition of pragmatic valency, based on the modification types introduced in the study and tested in the corpus analysis.

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This doctoral dissertation examines the description of the North as it appears in the Old English Orosius (OE Or.) in the form of the travel accounts by Ohthere and Wulfstan and a catalogue of peoples of Germania. The description is discussed in the context of ancient and early medieval textual and cartographic descriptions of the North, with a special emphasis on Anglo-Saxon sources and the intellectual context of the reign of King Alfred (871-899). This is the first time that these sources, a multidisciplinary approach and secondary literature, also from Scandinavia and Finland, have been brought together. The discussion is source-based, and archaeological theories and geographical ideas are used to support the primary evidence. This study belongs to the disciplines of early medieval literature and (cultural) history, Anglo-Saxon studies, English philology, and historical geography. The OE Or. was probably part of Alfred s educational campaign, which conveyed royal ideology to the contemporary elite. The accounts and catalogue are original interpolations which represent a unique historical source for the Viking Age. They contain unparalleled information about peoples and places in Fennoscandia and the southern Baltic and sailing voyages to the White Sea, the Danish lands, and the Lower Vistula. The historical-philological analysis reveals an emphasis on wealth and property, rank, luxury goods, settlement patterns, and territorial divisions. Trade is strongly implied by the mentions of central places and northern products, such as walrus ivory. The references to such peoples as the Finnas, the Cwenas, and the Beormas appear in connection with information about geography and subsistence in the far North. Many of the topics in the accounts relate to Anglo-Saxon aristocratic culture and interests. The accounts focus on the areas associated with the Northmen, the Danes and the Este. These areas resonated in the Anglo-Saxon geographical imagination: they were curious about the northern margin of the world, their own continental ancestry and the geography of their homeland of Angeln, and they had an interest in the Goths and their connection with the southern Baltic in mythogeography. The non-judgemental representation of the North as generally peaceful and relatively normal place is related to Alfredian and Orosian ideas about the unity and spreading of Christendom, and to desires for unity among the Germani and for peace with the Vikings, who were settling in England. These intellectual contexts reflect the innovative and organizational forces of Alfred s reign. The description of the North in the OE Or. can be located in the context of the Anglo-Saxon worldview and geographical mindset. It mirrors the geographical curiosity expressed in other Anglo-Saxon sources, such as the poem Widsith and the Anglo-Saxon mappa mundi. The northern section of this early eleventh-century world map is analyzed in detail here for the first time. It is suggested that the section depicts the North Atlantic and the Scandinavian Peninsula. The survey of ancient and early medieval sources provides a comparative context for the OE Or. In this material, produced by such authors as Strabo, Pliny, Tacitus, Jordanes, and Rimbert, the significance of the North was related to the search for and definition of the northern edge of the world, universal accounts of the world, the northern homeland in the origin stories of the gentes, and Carolingian expansion and missionary activity. These frameworks were transmitted to Anglo-Saxon literary culture, where the North occurs in the context of the definition of Britain s place in the world.

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Venäjän kieleen on kautta historian lainautunut sanoja muista kielistä. Historian tapahtumat ovat vaikuttaneet siihen, mistä kielistä sanoja on lainautunut eri aikakausina. Viime vuosikymmeninä venäjän kieleen on tulvinut lainasanoja englannin kielestä yhteiskunnan eri alueille. Tiiviit poliittiset, taloudelliset ja kulttuurisuhteet maiden ja kansojen välillä ovat ulkoisia, ei-kielellisiä syitä sanojen lainaamiseen. Kielen osa-alueista sanasto on kaikista avoimin ulkoisille vaikutteille ja samalla se on alue, johon heijastuvat yhteiskunnassa tapahtuvat muutokset. Lainasanojen ilmaantumiselle kieleen on myös sisäisiä, kielellisiä syitä. Lainasanojen ilmaantumisessa kirjallisessa muodossa venäjän kieleen voidaan erottaa kolme tapaa: transplantaatio eli sitaattilaina, translitteraatio sekä käytännöllinen transkriptio, jossa jokainen vieraskielinen foneemi pyritään esittämään vastaavalla venäjän foneemilla, jolloin vieraskielisen sanan ääntämys säilyy mahdollisimman alkuperäisenä. Lider-sana on esimerkki käytännöllisestä transkriptiosta, jossa venäläinen kirjoitusasu vastaa englannin kielen ääntämystä. Tutkimuksen kohteena on englanninkielinen lainasana lider, joka on ilmaantunut venäjän kieleen jo 1800-luvun puolivälissä. Sana on johdettu verbistä lead, merkityksessä ’johtaa, olla johdossa’, ja siinä on muodostunut substantiivi leader, ’johtaja’. Tutkimusaineistoa varten on poimittu 100 poliittiseen kielenkäyttöön liittyvää lider-sanaa sähköisessä tietokannassa Integrumissa olevassa Izvestija-lehdestä kahtena eri ajanjaksona, vuoden 1994 alusta alkaen sekä vuoden 2004 alusta alkaen. Tutkimuksessa keskityttiin lider-sanan käyttöön poliittisessa kielenkäytössä, mutta tutkimusaineiston keräysvaiheessa kirjattiin ylös myös muilla aihealueilla esiintyneet lider-sanat niidenkin käytön tarkastelua varten. Tutkimusta varten tarkasteltiin, millaisia määrityksiä lider-sanalle löytyy erilaisista nykykielen sanakirjoista eri vuosikymmeniltä. Vanhin mukana oleva sanakirja on venäläis-suomalainen sanakirja vuodelta 1912, jossa lider-sana määritellään yhdellä sanalla, ’puolueenjohtaja’. Aineisto jaettiin myös kolmeen ryhmään maantieteellisen sijainnin mukaan: Venäjä, entiset neuvostotasavallat ja ulkomaat. Tällä haluttiin selvittää, käytetäänkö lider-sanaa enemmän ulkomaisten vai venäläisten tapahtumin yhteydessä. Tutkimuksessa ilmeni, että suurin osa lider-sanoista liittyi Venäjän tapahtumiin molempina tarkasteluajanjaksoina – v. 1994 osuus oli 54 % ja v. 2004 50 %. Tähän tulokseen vaikuttavat varmaankin v. 1993 joulukuussa pidetyt ensimmäiset parlamenttivaalit sekä vuoden 2003 joulukuussa pidetyt duuman vaalit. Tutkimuksessa lider-sana jaettiin seitsemään eri kategoriaan käyttöyhteytensä mukaan ja saatujen tulosten perusteella suuri9n osa sanoista kuului kategoriaan ”puolueen johtaja”, v. 1994 osuus oli 47 % ja v. 2004 oli 40 %. Lider-sanan käyttö on levinnyt myös monelle muulle alueelle: urheilu, liike-elämä, kulttuuri, taide, tiede ja tekniikka. Venäjän kieleen ilmaantuu koko ajan vieraskielisiä sanoja, mutta kaikki niistä eivät sopeudu eivätkä juurru kieleen. Lainasanan on täytettävä tiettyjä edellytyksiä, jotta sitä voitaisiin pitää kieleen sopeutuneena: mukautumien kielen foneettiseen järjestelmään, sopeutuminen kielen graafiseen järjestelmään, sopeutuminen kieliopilliseen ympäristöön, semanttinen vakiintuminen sekä vakiintuminen vähintään kahdelle temaattiselle alueelle. Lainasanan juurtumisesta ja sopeutumisesta ovat todisteena myös siitä johdetut sanat. Lider-sana täyttää kaikki em. ehdot, joten sitä voidaan pitää venäjän kieleen sopeutuneena ja juurtuneena.

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This study analyses British military planning and actions during the Suez Crisis in 1956. It seeks to find military reasons for the change of concepts during the planning and compares these reasons with the tactical doctrines of the time. The thesis takes extensive advantage of military documents preserved in the National Archives, London. In order to expand the understanding of the exchange of views during the planning process, the private papers of high ranking military officials have also been consulted. French military documents preserved in the Service Historique de la Defence, Paris, have provided an important point of comparison. The Suez Crisis caught the British armed forces in the middle of a transition phase. The main objective of the armed forces was to establish a credible deterrence against the Soviet Union. However, due to overseas commitments the Middle East playing a paramount role because of its economic importance the armed forces were compelled to also prepare for Limited War and the Cold War. The armed forces were not fully prepared to meet this demand. The Middle Eastern garrison was being re-organised after the withdrawal from the Canal Base and the concept for a strategic reserve was unimplemented. The tactical doctrines of the time were based on experiences from the Second World War. As a result, the British view of amphibious operations and the subsequent campaigns emphasised careful planning, mastery of the sea and the air, sufficient superiority in numbers and firepower, centralised command and extensive administrative preparations. The British military had realized that Nasser could nationalise the Suez Canal and prepared an outline plan to meet this contingency. Although the plan was nothing more than a concept, it was accepted as a basis for further planning when the Canal was nationalised at the end of July. This plan was short-lived. The nominated Task Force Commanders shifted the landing site from Port Said to Alexandria because it enabled faster expansion of the bridgehead. In addition, further operations towards Cairo the hub of Nasser s power would be easier to conduct. The operational concept can be described as being traditional and was in accordance with the amphibious warfare doctrine. This plan was completely changed at the beginning of September. Apparently, General Charles Keightley, the Commander-in-Chief, and the Chairman of the Chiefs of Staff Committee developed the idea of prolonged aerial operations. The essence of the concept was to break the Egyptian will to resist by attacking the oil facilities, the transportation system and the armed forces. This victory through air concept would be supported by carefully planned psychological operations. This concept was in accordance with the Royal Air Force doctrine, which promoted a bomber offensive against selected target categories. General Keightley s plan was accepted despite suspicions at every planning level. The Joint Planning Staff and the Task Force Commanders opposed the concept from the beginning to the end because of its unpredictability. There was no information that suggested the bombing would persuade the Egyptians to submit. This problem was worsened by the fact that British intelligence was unable to provide reliable strategic information. The Task Force Commanders, who were responsible for the tactical plans, were not able to change Keightley s mind, but the concept was expanded to include a traditional amphibious assault on Port Said due to their resistance. The bombing campaign was never tested as the Royal Air Force was denied authorisation to destroy the transportation and oil targets. The Chiefs of Staff and General Keightley were too slow to realise that the execution of the plan depended on the determination of the Prime Minister. However, poor health, a lack of American and domestic support and the indecisiveness of the military had ruined Eden s resolve. In the end, a very traditional amphibious assault, which was bound to succeed at the tactical level but fail at the strategic level, was launched against Port Said.

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The aim of this study is to examine the relationship of the Roman villa to its environment. The villa was an important feature of the countryside intended both for agricultural production and for leisure. Manuals of Roman agriculture give instructions on how to select a location for an estate. The ideal location was a moderate slope facing east or south in a healthy area and good neighborhood, near good water resources and fertile soils. A road or a navigable river or the sea was needed for transportation of produce. A market for selling the produce, a town or a village, should have been nearby. The research area is the surroundings of the city of Rome, a key area for the development of the villa. The materials used consist of archaeological settlement sites, literary and epigraphical evidence as well as environmental data. The sites include all settlement sites from the 7th century BC to 5th century AD to examine changes in the tradition of site selection. Geographical Information Systems were used to analyze the data. Six aspects of location were examined: geology, soils, water resources, terrain, visibility/viewability and relationship to roads and habitation centers. Geology was important for finding building materials and the large villas from the 2nd century BC onwards are close to sources of building stones. Fertile soils were sought even in the period of the densest settlement. The area is rich in water, both rainfall and groundwater, and finding a water supply was fairly easy. A certain kind of terrain was sought over very long periods: a small spur or ridge shoulder facing preferably south with an open area in front of the site. The most popular villa resorts are located on the slopes visible from almost the entire Roman region. A visible villa served the social and political aspirations of the owner, whereas being in the villa created a sense of privacy. The area has a very dense road network ensuring good connectivity from almost anywhere in the region. The best visibility/viewability, dense settlement and most burials by roads coincide, creating a good neighborhood. The locations featuring the most qualities cover nearly a quarter of the area and more than half of the settlement sites are located in them. The ideal location was based on centuries of practical experience and rationalized by the literary tradition.

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Tolerance of Noise as a Necessity of Urban Life. Noise pollution as an environmental problem and its cultural perceptions in the city of Helsinki This study looks at the noise pollution problem and the change in the urban soundscape in the city of Helsinki during the period from the 1950s to the present day. The study investigates the formation of noise problems, the politicization of the noise pollution problem, noise-related civic activism, the development of environmental policies on noise, and the expectations that urban dwellers have had concerning their everyday soundscape. Both so-called street noise and the noise caused by, e.g., neighbors are taken into account. The study investigates whether our society contains or has for some time contained cultural and other elements that place noise pollution as an essential or normal state of affairs as part of urban life. It is also discussed whether we are moving towards an artificial soundscape, meaning that the auditory reality, the soundscape, is more and more under human control. The concept of an artificial soundscape was used to crystallize the significance of human actions and the role of modern technology in shaping soundscapes and also to link the changes in the modern soundscape to the economic, political, and social changes connected to the modernization process. It was argued that the critical period defining noise pollution as an environmental problem were the years from the end of the 1960s to the early 1970s. It seems that the massive increase of noise pollution caused by road traffic and the introduction of the utopian traffic plans was the key point that launched the moral protest against the increase of noise pollution, and in general, against the basic structures and mindsets of society, including attitudes towards nature. The study argues that after noise pollution was politicized and institutionalized, the urban soundscape gradually became the target of systematic interventions. However, for various reasons, such as the inconsistency in decision making, our increased capacity to shape the soundscape has not resulted in a healthy or pleasant urban soundscape. In fact the number of people exposed to noise pollution is increasing. It is argued that our society contains cultural and other elements that urge us to see noise as a normal part of urban life. It is also argued that the possibility of experiencing natural, silent soundscapes seems to be the yardstick against which citizens of Helsinki have measured how successful we are in designing the (artificial) soundscape and if the actions of noise control have been effective. This work discusses whose interests it serves when we are asked to accept noise pollution as a normal state of affairs. It is also suggested that the quality of the artificial soundscape ought to be radically politicized, which might give all citizens a better and more equal chance to express their needs and wishes concerning the urban soudscape, and also to decide how it ought to be designed.

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Empire is central to U.S. history. When we see the U.S. projecting its influence on a global scale in today s world it is important to understand that U.S. empire has a long history. This dissertation offers a case study of colonialism and U.S. empire by discussing the social worlds, labor regimes, and culture of the U.S. Army during the conquest of southern Arizona and New Mexico (1866-1886). It highlights some of the defining principles, mentalities, and characteristics of U.S. imperialism and shows how U.S. forces have in years past constructed their power and represented themselves, their missions, and the places and peoples that faced U.S. imperialism/colonialism. Using insights from postcolonial studies and whiteness studies, this work balances its attention between discursive representations (army stories) and social experience (army actions), pays attention to silences in the process of historical production, and focuses on collective group mentalities and identities. In the end the army experience reveals an empire in denial constructed on the rule of difference and marked by frustration. White officers, their wives, and the white enlisted men not only wanted the monopoly of violence for the U.S. regime but also colonial (mental/cultural) authority and power, and constructed their identity, authority, and power in discourse and in the social contexts of the everyday through difference. Engaged in warfare against the Apaches, they did not recognize their actions as harmful or acknowledge the U.S. invasion as the bloody colonial conquest it was. White army personnel painted themselves and the army as liberators, represented colonial peoples as racial inferiors, approached colonial terrain in terms of struggle, and claimed that the region was a terrible periphery with little value before the arrival of white civilization. Officers and wives also wanted to place themselves at the top of colonial hierarchies as the refined and respectable class who led the regeneration of the colony by example: they tried to turn army villages into islands of civilization and made journeys, leisure, and domestic life to showcase their class sensibilities and level of sophistication. Often, however, their efforts failed, resulting in frustration and bitterness. Many blamed the colony and its peoples for their failures. The army itself was divided by race and class. All soldiers were treated as laborers unfit for self-government. White enlisted men, frustrated by their failures in colonial warfare and by constant manual labor, constructed worlds of resistance, whereas indigenous soldiers sought to negotiate the effects of colonialism by working in the army. As colonized labor their position was defined by tension between integration and exclusion and between freedom and colonial control.