Inside and Outside of Hillforts

Author(s):  
Dennis Harding

By the 1960s, a greater interest in the social and economic role of hillforts demanded more extensive excavation of their interiors. Whilst fieldwork was still dependent on volunteer labour and limited research funds, the expense of large-scale stripping by hand would have been prohibitive, and only with public funding of ‘rescue’ or ‘salvage’ excavation in advance of development was it practical to contemplate large-scale area excavation. Hillforts that were extensively excavated included Balksbury (Wainwright 1969; Wainwright and Davies 1995; Ellis and Rawlings 2001) and Winklebury (Smith 1977; Robertson-Mackay 1977; Fisher 1985) in Hampshire. Whilst large-scale examination of hillfort interiors is plainly essential to an understanding of their economic and social functions, there is a high probability that ephemeral features, the foundations of which did not penetrate into subsoil or bedrock, will be destroyed by mechanical stripping, if they have not already been damaged beyond retrieval by ploughing. So the question remains: how partial and therefore potentially misleading are the surviving plans of hillfort interiors thus exposed? Hillfort exteriors, arguably equally important to an understanding of the role of the enclosure as its interior, have been even more neglected, first because of an implicit assumption that the earthworks defined the area of the ‘site’, and second, because the logistical problems of excavating outside the limits of the ramparts increased exponentially with distance from the enclosure. The possibility, indeed probability, of activity contemporary with the occupation of the hillfort having extended beyond the limits of the rampart need not necessarily imply a social division between acropolis and polis on the eastern Mediterranean model. It simply requires a redefinition of the concept of what constituted the ‘site’ in which the enclosure earthworks are not the definitive criterion. The issue was identified more than thirty years ago (Harding 1979; Hingley 1980), and excavation and survey at Battlesbury Camp, Wiltshire (Ellis and Powell 2008) and Castle Hill, Little Wittenham (Allen et al. 2011), has shown its importance for future research. There are three principal, non-intrusive ways of investigating hillfort interiors and immediate exteriors. The first is by surface survey, not in itself as simple as may appear at first sight, since detecting and meaningfully depicting the highly fugitive traces of prehistoric occupation requires an experienced eye, sensitive to the residual surface signs of constructional activity.

1999 ◽  
Vol 03 (01) ◽  
pp. 111-131 ◽  
Author(s):  
YONG-TAE PARK ◽  
CHUL-HYUN KIM ◽  
JI-HYO LEE

In spite of the recent extension of our knowledge on technological innovation, little inquiry has been made of the distinctive characteristics between R&D firms and non-R&D firms, as well as between product-innovative firms and process-innovative firms. To this end, the main objective of this empirical study, grounded on a large-scale innovation survey of Korean manufacturing firms, is to contrast these two types of firms. The results were mixed. Some hypotheses were confirmed while others were discordant with expectation. By and large, R&D firms and product-innovative firms seem to share a similar propensity, whereas non-R&D firms and process-innovative firms are alike in character. However, there were some unexpected findings which merit attention and are worthy of in-depth examination. Although the study is subject to limitations in terms of its research design and data gathering, the results render some important policy implications. Furthermore, comparative analyses between different types of innovations need to be addressed more extensively in future research.


Author(s):  
William B. Meyer

If the average citizen's surroundings defined the national climate, then the United States grew markedly warmer and drier in the postwar decades. Migration continued to carry the center of population west and began pulling it southward as well. The growth of what came to be called the Sunbelt at the "Snowbelt's" expense passed a landmark in the early 1960s when California replaced New York as the most populous state. Another landmark was established in the early 1990s when Texas moved ahead of New York. In popular discussion, it was taken for granted that finding a change of climate was one of the motives for relocating as well as one of the results. It was not until 1954, though, that an American social scientist first seriously considered the possibility. The twentieth-century flow of Americans to the West Coast, the geographer Edward L. Ullman observed in that year, had no precedent in world history. It could not be explained by the theories of settlement that had worked well in the past, for a substantial share of it represented something entirely new, "the first large-scale in-migration to be drawn by the lure of a pleasant climate." If it was the first of its kind, it was unlikely to be the last. For a set of changes in American society, Ullman suggested, had transformed the economic role of climate. The key changes included a growth in the numbers of pensioned retirees; an increase in trade and service employment, much more "footloose" than agriculture or manufacturing was; developments in technology making manufacturing itself more footloose; and a great increase in mobility brought about by the automobile and the highway. All in one way or another had weakened the bonds of place and made Americans far freer than before to choose where to live. Whatever qualities made life in any spot particularly pleasant thus attracted migration more than in the past. Ullman grouped such qualities together as "amenities." They ranged from mountains to beaches to cultural attractions, but climate appeared to be the most important, not least because it was key to the enjoyment of many of the rest. Ullman did not suppose that all Americans desired the same climate. For most people, in this as in other respects, "where one was born and lives is the best place in the world, no matter how forsaken a hole it may appear to an outsider."


1979 ◽  
Vol 11 (2) ◽  
pp. 325-342 ◽  
Author(s):  
Steven Topik

The economic role of the Brazilian State has received much attention recently from economists. Those who have studied it generally assume that the State first became economically active on a large scale after 1930 when it fostered industrialization. They also assume, often implicitly, that politicians and bureaucrats have had a great deal of freedom of action in policy formulation and that greater state economic intervention increases national independence from foreign markets and capitalists.1


2018 ◽  
Vol 62 (13) ◽  
pp. 1833-1843 ◽  
Author(s):  
Theo N. M. Schuyt ◽  
Barbara M. Gouwenberg ◽  
Barry L. K. Hoolwerf

This article describes the history, development, and current position of Dutch foundations. In the past, the philanthropy sector and foundations initiated many nonprofit services in the Netherlands. Along with the growth of the welfare state, philanthropy was sidelined. Due to public funding, the pillarized Dutch nonprofit sector extended strongly. However, despite its large scale it shows a special feature. Most nonprofits are still privately governed institutions although publicly funded. In the 1980s, governmental budget cuts forced the nonprofits to embrace the market as income source. A dualistic model got dominancy or state or market. At the end of the 20th century, however, philanthropy revived and a new philanthropy sector emerged. The article addresses the issue of the role of philanthropy in changing (European) welfare states. Are we experiencing further marketization and privatization—toward a so-called Anglo-Saxon shareholder model—or are we seeing a continuation of the so-called Rhineland, multistakeholder model of government, market, and philanthropy?


Author(s):  
David M. Lewis

This chapter examines the legal position and economic role of slaves in Punic Carthage. First, through an examination of the evidence of Graeco-Roman and Punic sources, it shows that Finley was mistaken to dismiss Carthage as relying on non-slave dependants and that slavery was an important institution at Carthage. Second, this chapter looks at the evidence for large-scale exploitation of slave labour in Carthage’s large agricultural hinterland and the scale of slave ownership among the Carthaginian aristocracy. It ends by showing how the Romans drew on the technical expertise of Carthaginian slaveholding agronomists in their own approach to slave-based agriculture in Italy.


1970 ◽  
Vol 35 (1) ◽  
pp. 74-86 ◽  
Author(s):  
Michael West

AbstractA recent surface survey was conducted at the site of Chan Chan, Peru, for purposes of investigating the nature of community settlement patterns. Previous writers have tended to view these in terms of the speculated sociological implications of specific largescale architectural features known as ciudadelas. In doing so they have neglected an extremely important body of information regarding the many small and inconspicuous building units that are closely associated with the ciudadelas. The present survey concentrated on the smaller complexes and provided data that were relevant to studying aspects of community settlement patterning such as house types, distribution of public buildings, street layouts, distribution of population types, population size and density. The results indicate that the range of social activities that were engaged in at Chan Chan during its flourish cannot possibly be understood in terms of the implications of large-scale architecture. It is suggested here that the overall community settlement pattern of Chan Chan is coincidental to the configuration described by Sjoberg (1965) for the typical preindustrial city. The hypotheses and suggestions generated by this study provide a base or foundation for future research at the site.


Linguistics ◽  
2021 ◽  
Vol 0 (0) ◽  
Author(s):  
Lívia Körtvélyessy ◽  
Pavol Štekauer ◽  
Pavol Kačmár

Abstract This article presents the results of a large-scale interdisciplinary project aimed at a corroboration of the role of creativity in the way university undergraduates (N = 309) coin new complex words. Specifically, the tendency towards economy of expression, preferred by a speaker, and the tendency towards semantic transparency, preferred by a listener, were examined in the broader context of the creative potential of an individual, understood as divergent thinking abilities captured by the Torrance test of creative thinking (TTCT). The results indicate that divergent thinking abilities, as operationalized by the TTCT scores, negatively correlate with the general tendency to coin new complex words in a more economical fashion. More specifically, the general tendency towards economy of expression correlates negatively with Elaboration, Creative Strengths, and potentially with Creativity. A more detailed analysis indicates that this is especially the case for the word-formation task, where open-ended responses were analyzed and a drawing served as stimulus material for word formation. These results are not only novel but also encouraging for future research into the role of psychological factors in the psycholinguistic process of word formation conceived as a creative act of a language user.


10.28945/4606 ◽  
2020 ◽  
Author(s):  
Clara A. Nkhoma ◽  
Mathews Nkhoma ◽  
Susan Thomas ◽  
Nha Quoc Le

Aim/Purpose: This study will review the existing literature on the advantages and challenges associated with rubric design and implementation. The role of rubric as an authentic assessment instrument will also be discussed. Background: This study provides an overall understanding of ‘rubric design, the benefits and challenges of using rubrics, which will be useful for both practitioners and researchers alike. Methodology: A comprehensive literature review was carried out on rubric, educational assessment, authentic assessment and other related topics. Contribution: Different types of rubrics and essential elements to create a complete rubric for classroom effectiveness are reviewed from literature to aid researchers, students and teachers who are new to using and designing rubrics. For experienced rubric designers and users, this will be an opportunity for them to get reassurance from the literature regarding good practices of rubric usage. This project will also be of use to researchers working on rubrics. Findings: A rubric is not only an assessment tool useful for students in high-stakes exam but also an educational instrument supporting learners to select appropriate learning approaches, assisting teachers to design effective instruction strategies, and improve reliability and validity of assessment. Novice learners should begin with generic rubrics due to their simplicity. Meanwhile, a task-specific rubric is more useful to improve reliability and validity of large-scale assessment. Holistic rubrics are appropriate for assessment of learning and analytic rubrics are almost indispensable in student-centred classroom and assessment for learning. Recommendations for Practitioners: A rubric as an authentic assessment instrument is useful to enhance the reliability of authentic assessment. Moreover, other empirical results indicate that rubrics play an importance role in authentic assessment regardless of levels or disciplines. Recommendations for Researchers: Those carrying out research on rubrics, rubric design and authentic assessment will find this paper useful as a point of reference to inform their research. Impact on Society: The findings apply to both learners and instructors in terms of analyzing best practices when using rubrics. The paper highlights that there are three main factors that determine the effectiveness of a rubric in improving students’ performance: namely, the users’ perception, the design, and the purpose of using rubrics. Rubric designing variables should also be optimized based on reliable data and information about the target educational context. Armed with this information, instructors will be in a better position to optimise the learning experience of their students. Future Research: Systemic literature reviews with data analysis from both qualitative and quantitative findings should be carried out in the future to identify current trends and the role of rubrics in learning.


Author(s):  
Wiebke REIM ◽  
David Sjödin ◽  
Vinit PARIDA ◽  
Ulrika ROVA ◽  
Paul CHRISTAKOPOULOS

The shift towards a bio-economy is one of the main focus areas of political initiatives aiming for a society relying on renewable biological sources while achieving economic growth. The forest sector is expected to contribute significantly to the development of the bio-economy which at the same time support rural development by creating new markets for advanced forest based products. However there is a need to focus more on the economic feasibility of such initiatives. Literature on bio-economy often implicitly addresses certain aspects connected to business models but is lacking a holistic perspective on the role of business models for the successful shift towards a bio-economy in the forest sector. Therefore, the purpose of this paper is to conduct a systematic literature review about bio-economy business models in the forest sector to advance the understanding about increased and sufficient value generation necessary to persuade a shift towards bio-economy. This paper is based on a systematic review of 42 scientific journal articles and book chapters on forest based bio-economy. The first result of the article is a structured aggregation of the existing bio-economy business models including the maturity and potential for large scale application. The main implication of the paper is an overall framework on how to facilitate the commercialization of bio-economy based business models through an improved understanding of all elements of the business model canvas to reach market acceptance of innovative business models. Recommendations for future research are presented in the end of the paper.


2021 ◽  
Vol 13 (22) ◽  
pp. 12517
Author(s):  
Suk Bong Choi ◽  
S.M. Ebrahim Ullah ◽  
Seung-Wan Kang

Previous research has suggested that employees’ proactive personality can enhance their creative performance. However, studies that address the underlying mechanism of the effect of proactive personality on creative performance have been scarce. Additionally, contextual factors that could serve as useful conditions have received insufficient academic attention. Therefore, the present study proposed that creative self-efficacy serves as a mediator and psychological safety serves as a moderator in the positive relationship between employees’ proactive personality and their creative performance. The results of a large-scale survey revealed that a proactive personality was positively associated with creative performance. Furthermore, we found that the positive relationship between a proactive personality and creative performance was positively mediated by creative self-efficacy and further strengthened by psychological safety. Additionally, we found that psychological safety influenced the mediating role of creative self-efficacy in the link between employees’ proactive personality and creative performance. We have discussed theoretical and practical implications with future research directions.


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