The Subscript View

Author(s):  
Hannah Tierney

Pluralism about personal identity has been understudied and underdeveloped in the literature. It merits greater attention, especially in light of recent work by philosophers and psychologists, which illuminates the great number of our evaluative practices that presuppose personal identity. It is unlikely that traditional monistic approaches to personal identity can ground or explain all of these practices and concerns. If philosophical theories are taken to be saying anything about the commonsense conception of personal identity, then this empirical work ought to be taken seriously. Chapter 5 proposes the author’s own pluralist account of personal identity—the Subscript View. On this view, there typically exist (at least) two individuals whenever it was once thought there was only one, a psychological individual (selfp) and a biological individual (selfb). According to Tierney, the Subscript View can better account for many identity-related practical concerns than traditional monistic approaches to persistence.

Episteme ◽  
2021 ◽  
pp. 1-18
Author(s):  
Jack Warman

Abstract Domestic violence and abuse (DVA) are at last coming to be recognised as serious global public health problems. Nevertheless, many women with personal histories of DVA decline to disclose them to healthcare practitioners. In the health sciences, recent empirical work has identified many factors that impede DVA disclosure, known as barriers to disclosure. Drawing on recent work in social epistemology on testimonial silencing, we might wonder why so many people withhold their testimony and whether there is some kind of epistemic injustice afoot here. In this paper, I offer some philosophical reflections on DVA disclosure in clinical contexts and the associated barriers to disclosure. I argue that women with personal histories of DVA are vulnerable to a certain form of testimonial injustice in clinical contexts, namely, testimonial smothering, and that this may help to explain why they withhold that testimony. It is my contention that this can help explain the low rates of DVA disclosure by patients to healthcare practitioners.


2004 ◽  
Vol 14 (1) ◽  
pp. 141-160 ◽  
Author(s):  
Andrew C. Wicks ◽  
Shawn L. Berman

Abstract:Recent work on the subject speaks to the importance trust has for firm performance (e.g., Hagen and Choe, 1999; Hill, 1995). Yet little work has been done to show how context affects the ability of firms to create trust in relationships with key stakeholders. This paper looks at how the institutional environment may affect the performance of different strategies for managing firm-stakeholder relationships, and in turn, how this affects firm performance. The authors put forward propositions that build on these theoretical insights and offer prospects for future empirical work.


1994 ◽  
Vol 7 (1) ◽  
pp. 43-59 ◽  
Author(s):  
Christine M. Koggel

Affirmative action generates so much controversy that very often proponents and opponents both fail to understand the other’s position. A recent work by Michel Rosenfeld convincingly argues that the incommensurability of the opposing sides is based on fundamental disagreements about the meaning of such concepts as equality and justice: “the affirmative action debate is not between persons who are ‘pro-equality’ and others who are ‘anti-equality’. Both the most ardent advocates of affirmative action and its most vehement foes loudly proclaim their allegiance to the ideal of equality.” Within a liberal framework, two conceptions of equality are commonly defended—formal and substantive equality of opportunity. Both conceptions assume background conditions of the scarcity of goods, a need to compete for educational, social and economic benefits, and the value of rewards for fair competition as a means to individual self-development and self-realization. In the first section, I outline each conception briefly, summarize the sorts of affirmative action each defends, and show that the irreconcilability of the opposing sides is ultimately grounded in different conceptions of the self. I then go on to argue that both conceptions limit our understanding of selves and ultimately constrain attempts to achieve equality in a context in which individuals are also members of groups with identities formed in historical contexts of discrimination.


Author(s):  
Carla Martinez Machain

Since the inception of air power as a technological innovation, both scholars and military practitioners have given much thought to the use of aircraft during conflict settings and how it might influence both outcomes and the way states fight. Air power can greatly expand the targets that are available to an attacker, making it so that it is not necessary to get through the opponent’s military defenses in order to target their population centers or other centers of gravity. At the same time, air power can reduce the costs of the attacker, allowing them to potentially achieve their coercive aims without necessarily incurring the costs, both financial and in terms of casualties, that a ground invasion can entail. Though the writing on air power from the theoretical and military strategic perspectives is vast and informative, there is also a relatively new research agenda focused on empirical work on air power within the field of international relations. This work has expanded in the last 20 years but still has much room for growth. Traditionally, air power has been thought of as a tool used by major powers, the states with the largest militaries and also the most economic resources. Work on air power has found that particularly major powers that are sensitive to incurring costs through military interventions, such as democratic powers, are prone to using air power. The reason for this is that these states perceive air power as a low-cost and low-commitment way to engage in international coercion. More recent work on air power supports some of these expectations, but challenges others. As scholars collect new data on coercive episodes of aerial bombing, evidence shows that air power is also used by powerful autocracies, and that as technologies develop, minor powers may also become involved in the use of coercive air power, particularly when it comes to the use of remotely piloted aircraft (drones). New research has also engaged the question of how different aerial strategies can affect the duration and outcomes of aerial campaigns. Recent work moves beyond traditional distinctions between punishment and denial strategies and considers cases in which mixed strategies are used, as well as distinguishing between how discriminate the cases of bombing either civilian or military targets are. In addition, new research shows that the use of air power during intrastate conflict and against non-state actors such as insurgent groups or terrorist organizations is prevalent and a topic that should be studied by political scientists.


Author(s):  
Daphne S. LaDue ◽  
Phaedra Daipha ◽  
Rebecca M. Pliske ◽  
Robert R. Hoffman

Weather forecasting is a highly technical domain, relying on many kinds of technologies and many kinds of data. This chapter summarizes four research programs ranging from organizational to individual analyses to provide unique, complementary insights about expertise. Forecaster learning was highly dependent on the forecasters’ context, and whether they gained expertise depended on having a strong personal identity as a forecaster. How forecasters coped with risk and uncertainty suggests expertise is not just a deeper causative understanding, but an ability to provide an accurate forecast that serves users well. Novice forecasters employ rule-based knowledge, while experts employ a fluid and flexible application of knowledge. Expert forecasters have extensive, complex knowledge about each type of weather process they forecast, a knowledge that may be lost if not captured and passed on to the next generation. This empirical work on professional activity in context has the potential to invigorate studies of expertise.


2010 ◽  
Vol 24 (3) ◽  
pp. 17-32 ◽  
Author(s):  
Daron Acemoglu

I discuss the role of economic theory in empirical work in development economics with special emphasis on general equilibrium and political economy considerations. I argue that economic theory plays (should play) a central role in formulating models, estimates of which can be used for counterfactual and policy analysis. I discuss why counterfactual analysis based on microdata that ignores general equilibrium and political economy issues may lead to misleading conclusions. I illustrate the main arguments using examples from recent work in development economics and political economy.


PhaenEx ◽  
2016 ◽  
Vol 11 (2) ◽  
pp. 1-22
Author(s):  
JANE DRYDEN

Recent work in the philosophy of biology argues that we must rethink the biological individual beyond the boundary of the species, given that a key part of our essential functioning is carried out by the bacteria in our intestines in a way that challenges any strictly genetic account of what is involved for the biological human. The gut is a kind of ambiguous other within our understanding of ourselves, particularly when we also consider the status of gastro-intestinal disorders. Hegel offers us theoretical tools to describe and understand our relationship to our gut. His description of our selves as continually mediated through otherness is strikingly compatible with the kind of structure contemporary biology presents us with. His accounts of digestion and habit, contextualized by his logic, help point toward an understanding of selfhood as porous and yet still capable of being sufficiently unified for us to make sense of ourselves, one which allows us to acknowledge otherness within us while still having enough unity for agency. 


Author(s):  
Stewart Candlish

This theory owes its name to Hume, who described the self or person (which he assumed to be the mind) as ’nothing but a bundle or collection of different perceptions, which succeed each other with an inconceivable rapidity, and are in a perpetual flux and movement’ (A Treatise of Human Nature I, IV, §VI). The theory begins by denying Descartes’s Second Meditation view that experiences belong to an immaterial soul; its distinguishing feature is its attempt to account for the unity of a single mind by employing only relations among the experiences themselves rather than their attribution to an independently persisting subject. The usual objection to the bundle theory is that no relations adequate to the task can be found. But empirical work suggests that the task itself may be illusory. Many bundle theorists follow Hume in taking their topic to be personal identity. But the theory can be disentangled from this additional burden.


2008 ◽  
Vol 364 (1518) ◽  
pp. 781-789 ◽  
Author(s):  
John R.G Dyer ◽  
Anders Johansson ◽  
Dirk Helbing ◽  
Iain D Couzin ◽  
Jens Krause

This paper reviews the literature on leadership in vertebrate groups, including recent work on human groups, before presenting the results of three new experiments looking at leadership and decision making in small and large human groups. In experiment 1, we find that both group size and the presence of uninformed individuals can affect the speed with which small human groups (eight people) decide between two opposing directional preferences and the likelihood of the group splitting. In experiment 2, we show that the spatial positioning of informed individuals within small human groups (10 people) can affect the speed and accuracy of group motion. We find that having a mixture of leaders positioned in the centre and on the edge of a group increases the speed and accuracy with which the group reaches their target. In experiment 3, we use large human crowds (100 and 200 people) to demonstrate that the trends observed from earlier work using small human groups can be applied to larger crowds. We find that only a small minority of informed individuals is needed to guide a large uninformed group. These studies build upon important theoretical and empirical work on leadership and decision making in animal groups.


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