scholarly journals Connecting Environmental Changes, Migration Causality, and Transnational Practices. Insights from the Moroccan Diaspora in Belgium

Author(s):  
Lore Van Praag ◽  
Loubna Ou-Salah ◽  
Elodie Hut ◽  
Caroline Zickgraf

AbstractIn this chapter we turn to relevant findings arising from fieldwork conducted in Belgium in the context of the MIGRADAPT project. Although the Moroccan case study that forms the core of this book must be interpreted independently from the empirical data provided in this chapter (and vice versa), both case studies hinge on the same theoretical framework and are, as such, inherently complementary and connected, although not meant to be directly comparative.

Author(s):  
Deborah L. Wheeler

This chapter takes as a starting point Gene Sharp’s observation that, “the exercise of power depends on the consent of the ruled who, by withdrawing that consent can control and even destroy the power of their opponent” (Sharp, 1973, p. 4). While this observation applies across the three case studies at the core of this book, in the Egyptian state in particular, Internet use allowed citizens to experiment with withdrawing their consent, in ways that were destructive to the status quo over time, but subtle enough to go relatively undetected until the 25 January revolution. Having a voice, both online and off, resulted in, “the exchange of ideas, information and models” which “created an active citizenry” (Bayat, 2010, p. 247). Throughout the Egyptian case study, explanations for an empowered citizenry linked in part with new media use are considered.


2021 ◽  
Author(s):  
Rolf Kunneke ◽  
Claude Ménard ◽  
John Groenewegen

Infrastructures are complex networks dominated by tight interdependencies between technologies and institutions. These networks supply services crucial to modern societies, services that can be provided only if several critical functions are fulfilled. This book proposes a theoretical framework with a set of concepts to analyse rigorously how these critical functions require coordination within the technological dimension as well as within the institutional dimension. It also shows how fundamental the alignment between these two dimensions is. It argues that this alignment operates along different layers characterized successively by the structure, governance and transactions that connect technologies and institutions. These issues of coordination and alignment, at the core of the book, are substantiated through in-depth case studies of networks from the energy, water and wastewater, and transportation sectors.


2021 ◽  
Vol 0 (0) ◽  
Author(s):  
John A. Bateman

Abstract Many studies investigating the use and effectiveness of multimodal communication are now confronting the need to engage with larger bodies of data in order to achieve more empirically robust accounts, moving beyond the earlier prevalence of small-scale ‘case studies’. In this article, I briefly characterise how recent developments in the theory of multimodality can be drawn upon to encourage and support this change in both scale and breadth. In particular, the contribution will show how refinements in the degree of formality of definitions of the core multimodal constructs of ‘semiotic mode’ and ‘materiality’ can help bridge the gap between exploratory investigations of complex multimodal practices and larger-scale corpus studies.


2015 ◽  
Vol 22 (2) ◽  
pp. 353-356
Author(s):  
Hub Zwart

Abstract I wholeheartedly sympathize conceptually with Coeckelbergh’s paper. The dialectical relationship between vulnerability and technology constitutes the core of Hegel’s Master and Slave (the primal scene of contemporary philosophy). Yet, the empirical dimension is underdeveloped and Coeckelbergh’s ideas could profit from exposure to case studies. Building on a movie/novel (Limitless) devoted to vulnerability coping and living with ICT, I challenge the claim that modern heroism entails overcoming vulnerability with the help of enhancement and computers.


2015 ◽  
Vol 43 (3) ◽  
Author(s):  
Katrin Axel-Tober

AbstractThis paper summarizes recent advances in research on the diachronic syntax of German from a generative perspective on the basis of three case studies. The first case study focuses on the sentence grammar of early German and argues that generalized V(erb)-to-C(omp)-movement, the core property of the verb-second phenomenon, goes back to Old High German times. In contrast to English, German has thus not been subject to a resetting of the verb-second parameter. Two further case studies deal with null subjects in Old High German and the diachrony of sentence negation, thereby addressing the issues of change in surface manifestations in relation to the underlying syntactic representation and the relation between historical syntax and dialect syntax.


Organization ◽  
2021 ◽  
pp. 135050842097330
Author(s):  
George Kokkinidis ◽  
Marco Checchi

This paper develops a materialist and performative conception of power, proposing a theoretical framework that bridges Barad’s intra-active agential ontology and Foucault’s microphysics of power. The article uses empirical data collected from a social clinic in Greece where the traditional apparatus of the clinic is contested and experimentally reconfigured. We focus on three overlapping themes and reflect on how power relations materialize themselves through everyday practices and multiple entanglements between human and non-human agents. We argue that these entanglements constitute the dynamic matter of power: their performative reiteration determines how power matters. By showing how power materially exceeds the manifest intentions of human agents, our case study aims to contribute to an idea of alternative organising that accounts for the materiality of mundane posthuman entanglements within an antagonistic understanding of power.


2018 ◽  
Vol 25 (6) ◽  
pp. 655-671
Author(s):  
Irene Wieczorek

This article contributes to the debate on the functions and limits of cross-border punishment. It uses two existing Framework Decisions as case studies, namely on Transfer of Prisoners (2008/909) and on Transfer of Probationers (2008/947). These texts include promoting the rehabilitative function of punishment in cross-border cases among their objectives. However, they have been criticized for not being fit for their purpose and being just an instrument for ‘covert’ deportation of foreign offenders. This article argues that European Union norms on punishment should be assessed considering the broader EU constitutional law framework, which requires EU norms not to compress disproportionately national regulatory autonomy (Article 5 Treaty on European Union). Against this background, it submits that some of the criticisable features of these Framework Decisions are not a neglect of the core objective of offenders’ rehabilitation but, in fact, the result of a legitimate balance with the interest of national regulatory autonomy. In broader terms, this illustrates that the Europeanization of criminal justice can help to ensure the certainty of punishment in transnational cases. Yet, due to some institutional limits, it can also compromise the effective achievement of all its functions.


1973 ◽  
Vol 6 (2) ◽  
pp. 254-270 ◽  
Author(s):  
Jean Crète

Strategic analysis is used in this article to report on a case study of candidate choice in an urban constituency. Several concepts are presented first. During a game, several agents, pursuing the objectives of a partisan organization, interact. It sometimes happens that the rules of the game do not anticipate completely the actions that ought to be advanced by the agents. There exists then a zone of uncertainty. If the agents come into conflict over the action to be taken there is a “crisis point.” Around a “crisis point” there occurs a particular play that can lead to several results. The agents have preferences regarding the results and they try, with the help of their resources, to impose their preferences on others. In order to leave nothing to chance, these rational agents establish strategies that guide their actions.The game described in this article has at stake the choice of a candidate for legislative elections. The agents are activists (or groups of activists) of the partisan constituency association. At the outset of the study there is one aspirant to the candidature; certain activists, for diverse reasons, reject the aspirant as candidate. They form a coalition and present another candidate. The two aspirants and their organizations campaign among members of the association who will decide the choice of candidate. In the course of the campaign several “crisis points” emerge: the two rival organizations oppose each other.Conclusions were drawn about the utility of case studies when they are made within a certain theoretical framework such as strategic analysis.


2020 ◽  
Author(s):  
Anna O'Brien

Global biodiversity is declining faster than at any time in human history. This loss is largely attributed to human activities, in particular urban, industrial and agricultural development. Biodiversity offsetting seeks to balance the environmental impacts from development through the generation of measurable gains in biodiversity that compensate for loss. To achieve No Net Loss or a Net Gain in biodiversity, the biodiversity gains from offsetting must be at least equivalent or greater to the biodiversity losses from development. But while losses from development are typically immediate, gains from offsetting are generated over longer timeframes, often after the impact has occurred. Determining equivalence between an impact and an offset thereby requires projecting the gains that will be generated over an offset management period. As biodiversity is in decline, gains may be generated from averting further loss in biodiversity, as well as from improving the biodiversity at an offset site. To determine the gains attributable to an offset, assumptions must be made about changes in biodiversity with and without the offset. These assumptions have serious implications on achieving a No Net Loss outcome from offsetting, however they may not always be drawn from empirical data. In this thesis, I review the assumptions used to calculate gains from offsets in two loss-gain exchange case studies under Victorian offsetting policy. These gains were used to offset losses in native vegetation from permitted development impacts, and reflect the gains from projected averted loss and improvement in native vegetation over the 10-year offset management periods. The assumptions of gain vary between the case studies according to the native vegetation condition, foregone land use entitlements and proposed management activities, but the assumptions are not entirely explicit nor supported by empirical data. When compared to available data on native vegetation change without an offset, I reveal that the assumptions of gain from averted loss are significantly over-estimated. Over-estimating gains from offsetting is problematic, as it allows a larger development impact for the same offset, resulting in a net loss of native vegetation and exacerbating biodiversity decline. I conclude that a No Net Loss outcome was unlikely to have been achieved in either case study presented in this thesis, and that it is questionable whether No Net Loss is possible under the current policy framework in Victoria. Based on my analysis of the two case studies, I make eight recommendations to improve the plausibility and transparency of the assumptions of gains under Victorian offsetting policy, and to ensure that the policy is more likely to achieve its No Net Loss objective.


Author(s):  
Jessica Luciano Gomes ◽  
Miriam Gomes Saraiva

This chapter explores the case study, which is a very common research method in the field of social sciences. Case studies are important because they provide the examination of samples of a larger atmosphere, therefore enabling researchers with a variety of possibilities: to deepen the analysis of a particular occurrence in the world, to contribute to an existing theoretical framework, and to serve as an instrument of comparative analysis. Although it might sound simplistic, the research framework for case studies usually has to satisfy a few key points. Case studies can be divided into separate categories: exploratory, descriptive, and explanatory. They are also directly related to the type of research question being posed from the traditional five types of survey questions: ‘who’, ‘what’, ‘where’, ‘how’, and ‘why’. One can often find case studies among both qualitative and quantitative approaches, focusing on a case study per se or on cross-case method.


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