Edible Landscapes: Song Dong's Food Installations

2010 ◽  
Vol 10 (3) ◽  
pp. 10-12
Author(s):  
andrea gyorody ◽  
charles changduk kang

This article addresses Chinese contemporary artist Song Dong's July 2009 edible installation-cum-performance at the former PaceWildenstein Gallery in New York City, in which he created landscapes out of foodstuffs. The landscapes alluded to penjing, an artistic practice of creating miniature sceneries using natural elements. Their accompanying inscriptions on the gallery walls, on the other hand, humorously appropriated colophons commonly attached to hanging scroll paintings. The installation departed from these traditional artistic forms, however, as the viewers literally consumed the landscapes. The corporeal implications of Song's work reference the body-centric performances of Tehching Hsieh and Zhang Huan, as well as the relational aesthetics events staged by Rirkrit Tiravanija, while Song's broader emphasis on ephemerality, drawn from Zen Buddhism, points to the transience of bodily needs and desires, even as he aims to fulfill them.

Jazz in China ◽  
2018 ◽  
pp. 187-209
Author(s):  
Eugene Marlow

This chapter focuses on jazz musicians in Shanghai. Once called the “Paris of the East,” today Shanghai represents the economic and entrepreneurial center of China; Beijing is the political heart of China. Both cities have their own vibe: Beijing—spread out like Los Angeles, is clogged by an increasing number of cars and life-threatening smog; Shanghai—compact like Manhattan, New York City, is cosmopolitan and eclectic. Both cities boast their own jazz scene. Beijing is full of expats and the jazz bands tend to be more uniformly Asian. Shanghai, on the other hand, reflects a much greater international mix of musicians.


M/C Journal ◽  
1998 ◽  
Vol 1 (3) ◽  
Author(s):  
Heather Wolffram

The 'scholarly striptease', particularly as it is manifested in the United States, has attracted an increasing number of participants during the past decade. Unbeknownst to many, some academics have been getting their gear off in public; that is, publicly and provocatively showcasing their identities in order to promote their politics. While you might imagine that confessions about sexual orientation, ethnicity and pet hates could only serve to undermine academic authority, some American feminists -- and a small number of their male colleagues -- have nevertheless attempted to enhance their authority with such racy revelations. Nancy Miller's admission of a strained relationship with her father (Miller 143-147), or Jane Gallop's homage to the three 36-year-old men she had affairs with (Gallop 41), might make interesting reading for the academic voyeur (or the psychoanalyst), but what is their purpose beyond spectacle? The cynic might argue that self-promotion and intellectual celebrity or notoriety are the motivators -- and certainly he or she would have a point -- but within such performances of identity, and the metacriticism that clings to them, other reasons are cited. Apparently it is all to do with identity politics, that is, the use of your personal experience as the basis of your political stance. But while experience and the personal (remember "the personal is the political"?) have been important categories in feminist writing, the identity of the intellectual in academic discourse has traditionally been masked by a requisite objectivity. In a very real sense the foregrounding of academic identity by American feminists and those other brave souls who see fit to expose themselves, is a rejection of objectivity as the basis of intellectual authority. In the past, and also contemporaneously, intellectuals have gained and retained authority by subsuming their identity and their biases, and assuming an "objective" position. This new bid for authority, on the other hand, is based on a revelation of identity and biases. An example is Adrienne Rich's confession: "I have been for ten years a very public and visible lesbian. I have been identified as a lesbian in print both by myself and others" (Rich 199). This admission, which is not without risk, reveals possible biases and blindspots, but also allows Rich to speak with an authority which is grounded in experience of, and knowledge about lesbianism. Beyond the epistemological rejection of objectivity there appear to be other reasons for exposing one's "I", and its particular foibles, in scholarly writing. Some of these reasons may be considered a little more altruistic than others. For example, some intellectuals have used this practice, also known as "the personal mode", in a radical attempt to mark their culturally or critically marginal subjectivities. By straddling their vantage points within the marginalised subjectivity with which they identify, and their position in academia, these people can make visible the inequities they, and others like them, experience. Such performances are instances of both identity politics at work and the intellectual as activist. On the other hand, while this politically motivated use of "the personal mode" clearly has merit, cultural critics such as Elspeth Probyn have reminded us that in some cases the risks entailed by self-exposition are minimal (141), and that the discursive striptease is often little more than a vehicle for self-promotion. Certainly there is something of the tabloid in some of this writing, and even a tentative linking of the concepts of "academic" and "celebrity" -- Camille Paglia being the obvious example. While Paglia is among the few academics who are public celebrities, there are plenty of intellectuals who are famous within the academic community. It is often these people who can expose aspects of their identity without risking tenure, and it is often these same individuals who choose to confess what they had for breakfast, rather than their links with or concerns for something like a minority. For some, the advent of "the personal mode" particularly when it appears to contain a bid for academic or public fame signifies the denigration of academic discourse, its slow decline into journalistic gossip and ruin. For others, it is a truly political act allowing the participant to combine their roles as intellectual and activist. For me, it is a critical practice that fascinates and demands consideration in all its incarnations: as a bid for a new basis for academic authority, as a political act, and as a vehicle for self-promotion and fame. References Gallop, Jane. Thinking through the Body. New York: Columbia University Press, 1988. Miller, Nancy K. Getting Personal: Feminist Occasions and Other Autobiographical Acts. New York: Routledge, 1991. Probyn, Elspeth. Sexing the Self: Gendered Positions in Cultural Studies. London: Routledge, 1993. Rich, Adrienne. Blood, Bread and Poetry: Selected Prose 1979-1985. New York: W.W Norton, 1986. Citation reference for this article MLA style: Heather Wolffram. "'The Full Monty': Academics, Identity and the 'Personal Mode'." M/C: A Journal of Media and Culture 1.3 (1998). [your date of access] <http://www.uq.edu.au/mc/9810/full.php>. Chicago style: Heather Wolffram, "'The Full Monty': Academics, Identity and the 'Personal Mode'," M/C: A Journal of Media and Culture 1, no. 3 (1998), <http://www.uq.edu.au/mc/9810/full.php> ([your date of access]). APA style: Heather Wolffram. (1998) 'The full monty': academics, identity and the 'personal mode'. M/C: A Journal of Media and Culture 1(3). <http://www.uq.edu.au/mc/9810/full.php> ([your date of access])


2005 ◽  
Vol 37 (2) ◽  
pp. 55-72 ◽  
Author(s):  
Anna Aalten

After an injury; a dancer learns, at least for a short time, to heed his [sic] body if only because pain speaks a language almost anyone can understand. This heightened awareness should not disappear once the dancer returns to form; rather it should help him continue to learn about the ways his body moves and reacts (Ashley 1984, 217–218).In this statement the American dancer Merrill Ashley, who had a memorable 30-year career with the New York City Ballet, expresses a view on injuries that goes against the grain of dominant thinking within the world of ballet. According to Ashley, who suffered from several injuries in her first two years with the company, an injury can be a positive experience for a dancer, because it heightens her awareness of her body and teaches her about its possibilities and limitations. This is a rather exceptional view in a world where the vast majority of professionals commonly see injuries as a disaster (Wulff 1998; Wainwright, Williams and Turner 2005). The dominant realization that a dancer's career is short makes dancers fear an injury, because it will prevent them from dancing and cause them to lose roles. Because “there is a rule in the ballet world against casting or promoting dancers who are injured” (Wulff 1998, 106), dancers who suffer from an injury will wait as long as possible before letting others know, because they are afraid it will stop them dancing (Mainwaring, Krasnow and Kerr 2001).


Author(s):  
Thomas H. Greenland

This book challenges the convenient distinction between jazz musicians and audiences by calling attention to the collaborative interactions of performers with the other “nonperforming” participants. It provides a realistic representation of jazz in New York City by taking a somewhat paradoxical and ironic approach: it examines small, specialized jazz scenes to suggest broad-based patterns of jazz participation while also deemphasizing what is happening on stage in favor of the offstage listeners—in other words, the unseen scene. This introduction provides an overview of research on the themes addressed in the book; the symbiosis and synergism that characterize New York City's jazz scene, particularly the avant-jazz scene; and the ideological debate between essentialist and universalist positions—the former emphasizing African American cultural values and the latter emphasizing multiculturalism, individual merit, and colorblindness. The book's main argument is that jazz's deeper meanings and expressions are conveyed when both artists and audiences participate in collective improvisation.


1968 ◽  
Vol 14 (1) ◽  
pp. 42-48 ◽  
Author(s):  
James A. Hildebrand

Few studies deal with specific types of delinquent behavior. This investigation examines the runaway problem in two New York City precincts, one a low-income and high-crime area, the other a middle-income section. Attitude toward education emer ges as a pivotal factor. Parents in the high-crime area were apathetic toward education; some did not even know the name and location of the school the runaway supposedly attended. School problems also influenced the runaway from the middle- income section.


Author(s):  
Brian Tochterman

In The Other America, Michael Harrington highlighted the persistence of poverty in New York City in an otherwise affluent era, hoping to spur federal policy that could help struggling neighborhoods like Harlem and the Bowery. As this chapter highlights, however, Harrington’s work ignited a debate on “urban pathologies” centered on New York. Conservative commentators took up Harrington’s representation of an urban “culture of poverty” to perpetuate a narrative of a pathological “underclass” destroying cities like New York


Author(s):  
Kristin E. Larsen

This chapter examines Clarence Samuel Stein's interrelated community design, with particular emphasis on his Radburn Idea. It first takes a look at Stein's early large-scale unbuilt projects that demonstrate his emerging talent in site design, such as Sunnyside Park in Shelton, Connecticut, with Kohn in 1920; Fort Sheridan Gardens with Ernest Gruensfeldt; and the Spuyten Duyvil Housing Development in the northwest Bronx in 1923. It then considers Stein's development of Radburn to illustrate the benefits of communitarian regionalism: Radburn was conceived as a “complete town” for twenty-five thousand that would include “all the other facilities and conveniences which go to make for comfortable, pleasant living.” The chapter also discusses Stein's innovations in site design at Chatham Village in Pennsylvania; his design of Phipps Garden Apartments in New York City and the Wichita Art Institute; and his partnership with John W. Harris for the new town of Maplewood near Lake Charles, Louisiana.


1984 ◽  
Vol 43 (3) ◽  
pp. 238-249 ◽  
Author(s):  
Elizabeth Cromley

Riverside Park and Riverside Drive in New York City were designated a Scenic Landmark in 1980 by the New York Landmarks Preservation Commission, but this designation raises some problems for historians. The Landmark designation is based primarily on the park's status as a Frederick Law Olmsted design. My research shows, however, that only a small part of the park as it stands today was actually designed by Olmsted, and that Riverside Park was rather the result of ad hoc decisions and compromises over several decades. The history of Riverside Park presented in this article is offered as an alternative to the Landmarks Commission's history in its "Designation Report." This alternative history of a "non-Olmsted park" shows that Olmsted's design, based on an aesthetic of nature, is preserved only in the layout of Riverside Drive on the high ground above the Hudson and in the parkland immediately adjacent to the Drive. The many sculptural monuments added to Riverside Park and Drive, beginning with a temporary Grant's Tomb in the 1880s and continuing through the 1920s, are the legacy of a City Beautiful conception of the park as an instrument for cultural uplift and education. In the 1930s yet another conception of parks as active recreation space led to doubling the park's size by landfill and expanding its facilities by building many sports grounds, children's playgrounds, and a tree-bordered promenade. In my conclusion, I consider what it means, to readers of history and to makers of parks policy, to choose one or the other of these histories. If Riverside is "an Olmsted park," preservation policies will take a different form than they will if it is a "non-Olmsted park." From this discussion, I also raise some general questions about the meaning and implications of constructing particular kinds of historical stories.


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