scholarly journals Foundations in the Netherlands: Toward a Diversified Social Model?

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?

2020 ◽  
pp. 095892872097013
Author(s):  
Sarah Marchal ◽  
Sarah Kuypers ◽  
Ive Marx ◽  
Gerlinde Verbist

Means-tested transfer schemes in Europe and elsewhere tend to include not only income tests but also asset tests of various sorts. The role of asset tests in minimum income protection provisions has been extensively researched in the Anglo-Saxon context. Far fewer authors have assessed the role of asset tests on social policy in a continental European context. Although asset tests may be useful in singling out the more deserving of the poor, we know relatively little of their actual impact on eligibility and social outcomes in European welfare states. This paper looks at the prevalence and design of asset tests in European minimum income protection schemes. We distinguish between two main types of asset tests: outright disqualification when assets reach a certain value, versus a more gradual tapering at a fictional rate of return. We then analyse in greater detail how asset tests in Belgium and Germany, as representatives of these two types, affect minimum income protection eligibility and poverty outcomes. We use the EUROMOD microsimulation model on the Household Finance and Consumption Survey data in order to assess the effects of asset tests. This survey was explicitly designed to more realistically reflect assets and capital incomes.


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.


2019 ◽  
Vol 19 (336) ◽  
Author(s):  

The authorities are committed to very strong policies and policy frameworks. However, policy uncertainty and new priorities have created challenges and have clouded the growth outlook. Large-scale investment projects and social transfers—and a commitment to not raise taxes until after 2021—are yet to be reconciled with the administration’s fiscal targets and the objective of putting public debt on a downward path. Meanwhile, drastic budget cuts for some institutions have raised concern about their impact on human capital. A state-centered energy policy that limits the role of the private sector—putting the onus of stabilizing Pemex (the state-owned oil and gas company) squarely on the government—has imposed further pressure on the budget and has weakened prospects for oil production. Promises to tackle some of Mexico’s salient structural challenges—including corruption, informality and crime—have yet to be followed by concrete policy action.


1997 ◽  
Vol 2 (3) ◽  
pp. 213-229
Author(s):  
Antti Kasvio ◽  
Maarit Lahtonen

Global economic competition is currently placing modern welfare states under increasing pressure to change. New kinds of solutions must be sought in all spheres and at all levels of the state's functioning. But it is very difficult to mediate the macro- and micro-level approaches in a sensible manner and to utilize the innovatory potentials of social science in actual research practice. This article describes a current ongoing action research project within the City of Helsinki for the development of work in a number of the City's workplaces. The local developmental activities are closely connected to broader discussions about the development of the city's internationalization strategies and of the role of high-quality welfare services in their realization. The project assumes that it is possible to build a fruitful interaction between the development of new practices at local level and the broader strategic discussions that are going on in other echelons of the City's organization.


2013 ◽  
Author(s):  
Elisabeth J. Ploran ◽  
Ericka Rovira ◽  
James C. Thompson ◽  
Raja Parasuraman

Author(s):  
Linda MEIJER-WASSENAAR ◽  
Diny VAN EST

How can a supreme audit institution (SAI) use design thinking in auditing? SAIs audit the way taxpayers’ money is collected and spent. Adding design thinking to their activities is not to be taken lightly. SAIs independently check whether public organizations have done the right things in the right way, but the organizations might not be willing to act upon a SAI’s recommendations. Can you imagine the role of design in audits? In this paper we share our experiences of some design approaches in the work of one SAI: the Netherlands Court of Audit (NCA). Design thinking needs to be adapted (Dorst, 2015a) before it can be used by SAIs such as the NCA in order to reflect their independent, autonomous status. To dive deeper into design thinking, Buchanan’s design framework (2015) and different ways of reasoning (Dorst, 2015b) are used to explore how design thinking can be adapted for audits.


2017 ◽  
Vol 13 (1) ◽  
pp. 4486-4494 ◽  
Author(s):  
G.El Damrawi ◽  
F. Gharghar

Cerium oxide in borate glasses of composition xCeO2·(50 − x)PbO·50B2O3 plays an important role in changing both microstructure and magnetic behaviors of the system. The structural role of CeO2 as an effective agent for cluster and crystal formation in borate network is clearly evidenced by XRD technique. Both structure and size of well-formed cerium separated clusters have an effective influence on the structural properties. The cluster aggregations are documented to be found in different range ordered structures, intermediate and long range orders are the most structures in which cerium phases are involved. The nano-sized crystallized cerium species in lead borate phase are evidenced to have magnetic behavior.  The criteria of building new specific borate phase enriched with cerium as ferrimagnetism has been found to keep the magnetization in large scale even at extremely high temperature. Treating the glass thermally or exposing it to an effective dose of ionized radiation is evidenced to have an essential change in magnetic properties. Thermal heat treatment for some of investigated materials is observed to play dual roles in the glass matrix. It can not only enhance alignment processes of the magnetic moment but also increases the capacity of the crystallite species in the magnetic phases. On the other hand, reverse processes are remarked under the effect of irradiation. The magnetization was found to be lowered, since several types of the trap centers which are regarded as defective states can be produced by effect of ionized radiation. 


e-Finanse ◽  
2018 ◽  
Vol 14 (4) ◽  
pp. 67-76
Author(s):  
Piotr Bartkiewicz

AbstractThe article presents the results of the review of the empirical literature regarding the impact of quantitative easing (QE) on emerging markets (EMs). The subject is of interest to policymakers and researchers due to the increasingly larger role of EMs in the world economy and the large-scale capital flows occurring after 2009. The review is conducted in a systematic manner and takes into consideration different methodological choices, samples and measurement issues. The paper puts the summarized results in the context of transmission channels identified in the literature. There are few distinct methodological approaches present in the literature. While there is a consensus regarding the direction of the impact of QE on EMs, its size and durability have not yet been assessed with sufficient precision. In addition, there are clear gaps in the empirical findings, not least related to relative underrepresentation of the CEE region (in particular, Poland).


2016 ◽  
Vol 14 (3) ◽  
pp. 243-253
Author(s):  
Grzegorz Stefanowicz

This article undertakes to show the way that has led to the statutory decriminalization of euthanasia-related murder and assisted suicide in the Kingdom of the Netherlands. It presents the evolution of the views held by Dutch society on the euthanasia related practice, in the consequence of which death on demand has become legal after less than thirty years. Due attention is paid to the role of organs of public authority in these changes, with a particular emphasis put on the role of the Dutch Parliament – the States General. Because of scarcity of space and limited length of the article, the change in the attitudes toward euthanasia, which has taken place in the Netherlands, is presented in a synthetic way – from the first discussions on admissibility of a euthanasia-related murder carried out in the 1970s, through the practice of killing patients at their request, which was against the law at that time, but with years began more and more acceptable, up to the statutory decriminalization of euthanasia by the Dutch Parliament, made with the support of the majority of society.


2012 ◽  
Vol 7 (1) ◽  
pp. 27-46 ◽  
Author(s):  
Luisa Veronis

Issues of immigrant political incorporation and transnational politics have drawn increased interest among migration scholars. This paper contributes to debates in this field by examining the role of networks, partnerships and collaborations of immigrant community organizations as mechanisms for immigrant political participation both locally and transnationally. These issues are addressed through an ethnographic study of the Hispanic Development Council, an umbrella advocacy organization representing settlement agencies serving Latin American immigrants in Toronto, Canada. Analysis of HDC’s three sets of networks (at the community, city and transnational levels) from a geographic and relational approach demonstrates the potentials and limits of nonprofit sector partnerships as mechanisms and concrete spaces for immigrant mobilization, empowerment, and social action in a context of neoliberal governance. It is argued that a combination of partnerships with a range of both state and non-state actors and at multiple scales can be significant in enabling nonprofit organizations to advance the interests of immigrant, minority and disadvantaged communities.


Sign in / Sign up

Export Citation Format

Share Document