The community of Black women physicians, 1864–1941: Trends in background, education, and training

2021 ◽  
pp. 007327532098741
Author(s):  
Margaret Vigil-Fowler ◽  
Sukumar Desai

We identified nearly 180 Black women who earned medical degrees prior to the start of the Second World War and found information regarding their family and social connections, premedical and medical educations, and internship experience or lack thereof for many of these women. Through their collective history, we observed large-scale trends, especially regarding the importance of “separatist” medical education and declining medical school attendance among African American women in the 1910s as medicine became an increasingly exclusionary profession. While our research uncovered trends specific to Black women physicians, the implications of our research can be applied far more widely to other historically marginalized scientific practitioners. This research reminds us of the longstanding and shifting presence of Black women in science and medicine, despite the enduring popular belief that white men represent who participates in science, both historically and today.

2019 ◽  
Vol 13 (2) ◽  
pp. 190-227 ◽  
Author(s):  
Torsten Kahlert

AbstractThis article investigates interwar internationalism from the perspective of the highest personnel of the first large-scale international administration, the League of Nations Secretariat. It applies a prosopographical approach in order to map out the development of the composition of the group of the section directors of the Secretariat over time in terms of its social and cultural characteristics and career trajectories. The analysis of gender, age, nationality, as well as educational and professional backgrounds and careers after their service for the League’s Secretariat gives insight on how this group changed over time and what it tells us about interwar internationalism. I have three key findings to offer in this article: First, the Secretariat was far from being a static organization. On the contrary, the Secretariat’s directors developed in three generations each with distinct characteristics. Second, my analysis demonstrates a clear trend towards professionalization and growing maturity of the administration over time. Third, the careers of the directors show a clear pattern of continuity across the Second World War and beyond. Even though the careers continued in different organizational contexts, the majority of the directors remained closely connected to the world of internationalism of the League, the UN world and its surrounding organizations. On a methodological level, the article offers an example of how prosopographical analysis can be used to study international organizations.


2012 ◽  
Vol 517 ◽  
pp. 13-19 ◽  
Author(s):  
P. Ohayon ◽  
Khosrow Ghavami

The results of many successfully realized Research and Development (R&D) concerned with non-conventional materials and technologies (NOCMAT) in developing countries including Brazil have not been used in large scale in practice. This is due to the lack of selection and evaluation criteria and concepts from planning and designing to implementation programs by governmental agencies and private organizations concerned with the newly developed sustainable materials and technologies. The problems of selecting and evaluating R&D innovation outputs and impacts for construction are complex and need scientific and systematic studies in order to avoid the social and environmental mistakes occurred in industrialized countries after the Second World War. This paper presents a logical framework for the implementation of pertinent indicators to be used as a tool in R&D of NOCMAT projects selection and evaluation concerned with materials, structural elements and technologies of bamboo and composites reinforced with vegetable fibers. Indicators, related to the efficiency, effectiveness, impact, relevance and sustainability of such projects are considered and discussed.


Author(s):  
J R E Wright ◽  
G E Payne

The Mediterranean migrant crisis has resulted in the highest population displacement since the Second World War. In 2016 alone, over one million made the journey across the sea. Since 2013 over 15,000 have died as a result of this journey. Small vessels such as wooden fishing boats and RIBs are commonly used by smugglers as transport. These are often unseaworthy and filled with numbers of passengers far exceeding their intended capacity. When failure occurs, rescues are typically conducted by the nearest available vessel. These vessels are often ill-equipped for a large-scale Search and Rescue (SAR) operation making it highly dangerous for all involved.  The size and quantity of lifeboats available are often insufficient for the large numbers of people to be rescued; as a result, repeat journeys are required, making the rescue process slow, inefficient and hazardous. This paper outlines a novel solution to this problem. A concept design is presented for a rapidly expandable lifeboat capable of holding large numbers of passengers, whilst still fitting into the operational envelope of common davits. The unique inflatable design can be deployed quickly from a range of vessels and aeroplanes offering an immediate platform from which disembarkation onto a suitable vessel can be achieved. CONOPS are outlined along with the required capabilities of the design. Drop stitch technology is identified as a viable means of manufacturing the large inflatable platforms. Finally, the paper discusses an alternative solution, retrofitting existing enclosed lifeboats with the solution to offer a more cost-effective alternative.  


1973 ◽  
Vol 30 (12) ◽  
pp. 2077-2084 ◽  
Author(s):  
L. P. D. Gertenbach

The exploitation of pelagic shoal resources off South Africa’s west (Atlantic) coast began during the second world war, with large-scale expansion beginning in 1947–49. At the end of the forties, the Government lacked the scientific evidence to formulate effective conservation policies, and pending the outcome of the research programs it deemed it advisable to put a brake on the expansion of these fisheries.An obvious measure was a ceiling on the annual catches. But this would not necessarily have prevented further influx into the fishing or the processing phases of the industry. As part of an economy-wide practice to require licenses for various kinds of operations, these were required for all fishing boats and factories. The Government decided in 1949 to refuse the issue of licenses for additional fish-processing factories and to limit the number and capacity to those already in operation or under construction.In 1953 the fishermen, aware of the limitation on the outlets (factory intakes) for their catches, and the continued influx of outsiders into the flourishing fishing side, willingly agreed to the freezing of the number and hold capacity of vessels fishing for pilchards and maasbankers. After the enactment by parliament of the necessary enabling laws, regulations were issued to establish a Pilchard/Maasbanker Boat Limitation Committee consisting of government, factory, and fishermen representatives to apply the controls over the number of boats, their hold capacity and the allocation of this fleet to the various factories.Adjustments, including some increases in the capacity of the fleet, were made from time to time to cope with changing conditions in the resource.A serious weakening in the control system occurred when fishing and processing licenses were granted to operators of fishmeal factory ships.The results of the limitation of entry into the fishing phase and the processing phases include several significant trends, among which are a smaller number of boats, larger-size boats with more powerful engines and equipment, and increased factory-ownership of boats. The factories introduced stickwater plants and other processes to increase the yield of meal from the available tonnage of raw fish.Although the industry has experienced difficult periods, it nevertheless seems, broadly viewed, that through the policy of restricting entry at the early stages of the new industry, it acquired sufficient resilience to cope not only with the ups but also the downs. It appears doubtful that "overcrowded" fishing and processing sectors would have had sufficient resilience to face fluctuating catches and fishmeal prices.


2020 ◽  
Vol 19 (S1) ◽  
pp. s98-s119
Author(s):  
Ronald P. Steenblik ◽  
Mark Mateo

AbstractWestern Europe's industrialization was powered largely by coal. Within 15 years after the end of the Second World War, however, governments were subsidizing coal and protecting producers from foreign competition while allowing their industries to contract in a way that avoided large-scale unemployment of miners. The oil-price shocks of 1973–1974 and 1979–1980 gave temporary reprieve to hard-coal production until international oil prices slumped in 1986. This event, combined with ever more stringent environmental regulations and, later, caps on carbon-dioxide emissions, led to the disappearance of subsidized coal mining in one country after another. As of the end of 2019, hard coal was still being mined – in small amounts – in only three Western European countries: Norway, Spain, and the United Kingdom. This paper describes the history of the industry from 1945 through to the present, and the consequences of subsidy policy for trade in hard coal and its substitutes. A common observation is that a reduction in subsidized coal production by a country has not necessarily translated into increased imports of coal on a one-for-one basis.


2020 ◽  
Vol 133 (2) ◽  
pp. 303-324
Author(s):  
Ismee Tames

Abstract Digital Access to the Legal Files of those tried for Nazi collaboration in the Netherlands: Possibilities and ImpossibilitiesThis article reflects on the findings of a pilot project called Triado that digitized a sample of the 4km of legal files created by the Special Jurisdiction for investigating Dutch Nazi collaboration (CABR) in the years after the Second World War. We show that large scale digitization may help to analyze complex historical sources in new ways, thus deepening our understanding of the consequences of war and genocide. However, this can be achieved only if all specialists involved develop ways to deal with ambiguity in the sources: instead of disambiguation we need mixed approaches that allow for data to have multiple meanings and for interpretation of meaning to change over time. This article offers suggestions and gives a brief overview of some of the possibilities for researchers and lay users of digitized historical sources.


2019 ◽  
Vol 43 (1) ◽  
pp. 91-111
Author(s):  
Mohamad Sedighi ◽  
Dick van Gameren

This article discusses the transformation of the traditional Iranian courtyard house type and neighbourhood structure in the early 20th century Iran, and focuses on the design of public housing in the country’s early years of modernisation, after the second World War. It explores how (urban) legislations by Iranian reformists and modernists, and the compulsory unveiling law implemented between 1936 and 1943 contributed to change the image of urban areas and the everyday life of Iranians, particularly in Tehran. While this article provides a short overview of these transformations, it discusses how Iranian architects, educated in Europe, attempted to reconceptualise the ideal form of living, the courtyard-garden house (Khaneh-Bagh), for large-scale housing production, in the country. This article shows how the transformation of this house type became an instrument of accommodating both change and resistance in terms of local customs and habits, in Kuy-e Chaharsad-Dastgah, built between 1946 and 1950 in Tehran. To illustrate these, the design and development of this experimental housing project is analysed in details. It is also demonstrated how this project was developed based on a “planning document” revised by a group of modernist Iranian architects, who intended to improve the hygiene condition of living environments and to accommodate a large number of low-income civil servants in post-World War II, Tehran. It is argued that dual characteristics of the Iranian courtyard house allowed for both incorporating imported models, and simultaneously resisting universalising tendencies towards homogenisation, in the case of Chaharsad-Dastgah.


2011 ◽  
Vol 34 (1) ◽  
pp. 45-68 ◽  
Author(s):  
Nadia Brown

Both politicians and the mass public believe that identity influences political behavior yet, political scientists have failed to fully detail how identity is salient for all political actors not just minorities and women legislators. To what extent do racial, gendered, and race/gendered identities affect the legislation decision process? To test this proposition, I examine how race and gender based identities shape the legislative decisions of Black women in comparison to White men, White women, and Black men. I find that Black men and women legislators interviewed believe that racial identity is relevant in their decision making processes, while White men and women members of the Maryland state legislature had difficulty deciding whether their identities mattered and had even more trouble articulating how or why they did. African American women legislators in Maryland articulate or describe an intersectional identity as a meaningful and significant component of their work as representatives. More specifically, Black women legislators use their identity to interpret legislation differently due to their race/gender identities.


2019 ◽  
Vol 10 (2) ◽  
pp. 241-250
Author(s):  
Oksana Pukhonska

The paper is devoted to analysis of the post-totalitarian memory in literary reception of Ukraine. After the decades of ignoring, this memory became the driving force of social processes and the construct of national identity. The author pays attention to the social trauma of soviet repressions and Second World War, which negatively influenced cultural consciousness of the society. Displaced and forgotten memory is understood as the main reason for lack of progress in the post-Soviet Ukraine. The traumatic experience of the past turned out to be both a lesson and an incentive for large-scale public and conscious transformations, about which modern authors write.


Author(s):  
Keenan Norris

The word “California” derives from Spanish novelist Garci Rodríguez de Montalvo’s bastardization of the Arabic “khalifa.” Montalvo’s use is probably a relic of the Moorish occupation of Spain. Calafia, the black warrior queen of Montalvo’s 1510 novel Las sergas de Esplandián, ruled the mythic island of California. The mythos of an island populated solely by black Amazons persisted among the conquistadors, who brought with them a contingent of actual Africans, enslaved persons whose free mestizo descendants would one day help to found El Pueblo de Los Angeles, the settlement that would become Los Angeles, California. While African-descended people today make up less than 10 percent of Los Angeles’s population and have, in the city’s iteration as American territory, never comprised more than 20 percent of Los Angeles citizens, Black Angelenos have played a remarkably centrifugal role in the city’s history. In 1931, while a University of Southern California graduate student, Jessie Elizabeth Bromilow published a thesis on a man little recognized in American annals, the black mestizo Pio Pico, the last governor of the Mexican state of Alta California. Based in Los Angeles, heir to a leading family un Mexican California, Pico nevertheless died forgotten. The scholarship of historians concerned with California’s black history has recovered his story and the stories of other black mestizos of Mexican California. In the 20th century, large-scale African-American migration from Arkansas, Louisiana, Oklahoma, and Texas to work in the Second World War defense industries reshaped the city. Scholarship that has focused on post–Second World War Black Los Angeles’s music, jazz and hip-hop, and its gang violence has garnered great attention. Yet, equally important is the record of the civil rights struggles in the city, which spurred changes in local and national law. Emerging from an era of widespread protest, Tom Bradley attracted a multiracial constituency and became the city’s most impactful mayor, maneuvering Los Angeles to the center of the Pacific Rim’s economic network, bringing the Olympics and an international airport to the global mega-city. But Bradley’s tenure has long come under criticism from scholars and cultural commentators on multiple fronts, not least for the disenfranchisement of the black working class and the concurrent rise of Los Angeles’s black gang culture that it witnessed. The record of Black Los Angeles is, thus, a record of its manifold complexities, racial, spatial, political, cultural.


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