scholarly journals Å skrive om hendelser fra egen praksis

Author(s):  
Eli Skjeseth

In this chapter, 60 reflection notes written by 20 students of continuing education for advisors in NAV are analysed. The research question is: What do the texts tell about the students’ learning within the relationship between theory and practice? The intention of the chapter is to shed light on how the writing activity affects the students’ thinking about their practice. The analysis follows two axes: on the one hand, the level of learning found in the texts is examined – how the learning is expressed in changes in behaviour/actions, and in thinking/assessment. The second axis shows the students’ capacity for abstraction (theory formation) and for concretization based on theories. When these axes are put together, four categories emerge, which show different nuances in the relationship between theory and practice: 1) Synthesis (think ‘up’), 2) Analysis (think ‘down’), 3) Concepts promoted for practice, and 4) Testing of new methods. The analysis shows that the students commute unproblematically between these categories. Practice is both a necessary breeding ground for learning and a benchmark for learning. Practice does not contradict theory. The writing activity helps to clarify theory and develop students’ abstraction abilities. The teachers’ responsibility is to formulate high quality assignment texts that bind together theory and practice and that would prompt the students to stretch their mental borders. The analysis categories developed in this chapter can help teachers successfully face this task.

2008 ◽  
Vol 19 (1) ◽  
pp. 43-68
Author(s):  
Gordana Djeric

This text is part of a research conducted under the working title "What do we talk about when we are silent and what are we silent about when we are talking? - premises for the anthropology of silence about the nearest past." In the first part the author investigates the meaning of silence in the Croatian and Serbian press right before and during Croatia's Operation Storm. The ratio between silence, suppression of information and forgetting, on the one hand, and social memory, on the other, has been elaborated in the final part of the text by following reports about the anniversaries of Operation Storm in both Croatian and Serbian publics. The starting point lies in the belief that the phenomenon of silence (and suppression of information), being an immanent part of each discourse, represents an important factor in the creation of social relationships and system of value models, that it has important communication and cognitive functions and that the performance character lies in its essence. In short, silence makes it possible to form the prevailing image about this event, even if it does not construct it indirectly - through speech. The author has elaborated on the meaning of silence in the context of Operation Storm partly because studies about the breakup of Yugoslavia frequently mention silence as a manipulation strategy employed by some of the sides in the conflict (or analysts dealing with Yugoslav topics), while not a single study systematically investigates the semantic of silence and suppression of information in these conflicts. Most importantly, taking into account the frequency of direct silence in the newspaper discourse and rhetoric strategies that point at silence indirectly from the context and discourse, the author focuses on the relationship between the event (situation) and silence. In order to shed light on the way in which Operation Storm is remembered, i.e. forgotten, in the stakeholders' publics and political imageries, she follows the dailies - Vecernje Novosti Politika, Danas (Belgrade) - Vecernji List, Jutarnji List, Magazin supplement of the Jutarnji List (Zagreb), as well as texts about Operation Storm in weeklies such as the NIN and Vreme of Belgrade or Globus of Zagreb in the period between August 2, 1995 and mid-August 2006.


1983 ◽  
Vol 50 (4) ◽  
pp. 125-132 ◽  
Author(s):  
Laura M. Harvey

The relationship between therapists' geographic location and three program planning variables in continuing education was studied using the descriptive survey method. The findings suggested that learning needs were high in evaluation related competencies and that family responsibility and lack of appropriate programs were major barriers to participation. The overwhelming preference in delivery systems was the one or two day workshop. The study concluded that there were few significant differences between urban and rural therapists in relation to the variables studied indicating restraint rather than innovation in programming for the geographically isolated therapist.


2018 ◽  
Vol 72 (1) ◽  
pp. 48-68 ◽  
Author(s):  
Melissa Tyler

This article considers inclusion through the lens of embodied ethics. It does so by connecting feminist writing on recognition, ethics and embodiment to recent examples of political activism as instances of recognition-based organizing. In making these connections, the article draws on insights from Judith Butler’s recent writing on the ethics and politics of assembly in order to rethink how inclusion might be understood and practised. The article has three interrelated aims: (i) to emphasize the importance of a critical reconsideration of the ethics and politics of inclusion given – on the one hand, its positioning as an organizational ‘good’, and on the other, the conditions attached to it; (ii) to develop a critique of inclusion, drawing on insights from recent feminist thinking on relational ethics; and (iii) to connect this theoretical critique of inclusion, reconsidered here through the lens of embodied ethics, to assembly as a form of feminist activism. Each of these aims underpins the theoretical and empirical discussion developed in the article, specifically its focus on the relationship between embodied ethics, the interplay between theory and practice, and a politics of assembly as the basis for a critical reconsideration of inclusion.


1990 ◽  
Vol 37 ◽  
pp. 45-50
Author(s):  
Kees van Esch

In the study of the use of context and reading comprehension in a foreign language by Van Esch (1987) a more explorative research question dealt with the relation between the performances of learners of Spanish in context use and reading comprehension on the one hand and affective variables as the learners' perception of their attitude, their self-confidence and their context use in reading-comprehension on the other. These variables were measured by questionnaires of the Likert-type. To improve reliability and empirical validity, factor-analyses were carried out which yielded three factors: Attitude, Self-Confidence and Context-Use. The learners with better than average results on context-use and reading comprehension (the 'good' context-users) proved to be also more than average in these three factors. After a training programme in context-use, the perceptions of an experimental group of less than average ('poor') context-users were significantly higher in two of the three factors, Attitude and Context-Use, than the perceptions of a control group of poor context-users who did not follow this training programme. The third factor, Self-Confidence yielded contradictory results. Conclusions are drawn from the results of this study, which ends with an examination of the implications for the theory and practice of the teaching of foreign language reading comprehension.


2014 ◽  
Vol 8 (2) ◽  
Author(s):  
Simone Elisabeth Lang

AbstractIn describing the position of the narrator, research in literary studies generally follows Gérard Genette’s pioneering theory of narrative in distinguishing between the homo- and heterodiegetic type of narrator. This categorization is not sufficient to allow the position of the narrator to be described properly. The different ways in which the terms are used in literary studies reveal a shortcoming in the distinction behind them. Even in Genette’s work, there is a contradiction between the definition and the names of the two categories: Genette defines homo- and heterodiegesis with reference to the narrator’s presence in the narrated story, whereas he elsewhere states that the diegesis (in the sense of FrenchThe present article aims to do just that, starting from a theoretical standpoint. Thus, the different types of narrator that are possible are sketched in outline, and then explained with the help of examples.I begin by exposing the problems that result from using the terms in Genette’s manner (1), in order then to develop a list of possible narratorial standpoints based on the one hand on the involvement of the narratorial instance in the narrated world and on the other on its involvement in the story. By establishing separation of the two aspects as a ground rule in this way, a number of misunderstandings that are due to the varied ways in which the terminology has been used to date can be overcome.There follows a description of those cases that are unambiguously hetero- and homodiegetic (2), after which the problematic cases are considered (3), yielding the different types of homodiegetic narration that are possible. This latter set of distinctions will, like the others, shed light on the contours of the different narratorial positions and thus be capable of being put profitably into practice in textual interpretation. Accordingly, what is suggested is a way of using the terms that is first unambiguous and second beneficial to the interpretation of works, thus doing justice to the heuristic importance of narratology (see Kindt/Müller 2003; Stanzel 2002, 19).Thus, whereas the concept of diegesis provides the foundation for a distinction based on an ontological criterion that divides homo- and heterodiegesis from each other, the relationship between story and narrator is used to describe various types of homodiegetic narration. In the process, there come to light two types that are distinguished from each other by involvement in events (›homodiegetic, in the story‹ and ›homodiegetic, not in the story‹ narrators). If the narrator is not involved in events, the question arises of whether it would in principle have been possible for him to be involved in events, which is the norm with ›homodiegetic, not in the story‹ narrators, or whether a physical impossibility is the reason for his lack of involvement in the story. A special case of the ›homodiegetic, not in the story‹ narrator can be derived from this: peridiegetic narration: whereas narratorial instances of the ›homodiegetic, in the story‹ and ›homodiegetic, not in the story‹ types could in principle have been involved in the action and those of the ›homodiegetic, in the story‹ type actually were, peridiegetic narrators are marked by the fact that they cannot have been involved in the events.In summary, it will be shown that the concept of homodiegesis – in particular in the form in which it has previously been used, where links with the action and appearance in the story were not kept distinct – is in effect an umbrella term that brings together a number of possible forms. There is a prominent distinction between the ›homodiegetic, in the story‹ and the ›homodiegetic, not in the story‹ types of narrator (these types are represented in the present article by the old lawyer in Leo Perutz’s »The Beaming Moon« and the narrator who is a friend of Nathanael in E. T. A. Hoffmann’s »Sandman« respectively). The different degrees of homodiegetic narrator, which have often been mentioned in previous research and are defined by the strength of the character’s presence in the narrated world (from an uninvolved witness to an autodiegetic protagonist), are also to be situated between these two poles.It will also be shown in the process that the case of the narrator who is, for reasons of physical difference, not involved in events (the peridiegetic narrator) should be treated as a form of homodiegesis (for instance the schoolmaster in Theodor Storm’s


1995 ◽  
Vol 58 (1) ◽  
pp. 17-39
Author(s):  
O. Wright

Part 1 of this paper was concerned principally with the various problems that confront any attempt to provide a satisfactory transcription of these two examples. Given the nature of the difficulties encountered, it is clear that any generalizations we might wish to derive from them can only be tentative and provisional. Nevertheless, the paucity of comparable material, which on the one hand renders the interpretative hurdles all the more difficult to surmount, on the other makes the urge to draw at least some conclusions from the material provided by ‘Abd al-Qādir al-Marāghī and Binā'ī well-nigh irresistible. Such conclusions would involve, essentially, an assessment of the extent to which their notations shed light on the musical practice of the period and provide reliable evidence for the history of composition and styles of textsetting. But in any evaluation of this nature it is essential to avoid the temptation to confuse the sources with the speculative editorial interventions that produce the versions presented in part 1 (exs. 26–8 and 30). The area about which least can be said with regard to the naqsh notated by Binā'ī is, therefore, the nature of the text-setting, while with regard to ‘Abd al-Qādir al-Marāghī's notations it is, rather, the first topic we may consider, the relationship between melody and the underlying articulation of the rhythmic cycle.


2017 ◽  
Vol 12 (1) ◽  
pp. 64-75
Author(s):  
Zehavit Gross

This paper aims to explore how Palestinian Arab and Jewish university students in Israel, attending a course on conflict resolution, deal with their stereotypical views of the Other and their prejudices, as well as their complex emotions of fear, hate, anxiety, and love during a period of tension and violence. On the one hand, they have a natural desire for professional partnership and friendship with their fellow students. On the other hand, they are attending this class in a Jewish university, in the heart of the Middle East, where acts of terrorism occur almost daily. This violence changes the power structure and the dynamics of their mutual relationships. Through an analysis of a specific case study the paper aims to shed light on how bridging theory and practice can generate a better understanding of complex situations, enabling reflection and developing signposts to improve coping mechanisms within peace education frameworks in times of terror.


2017 ◽  
Author(s):  
Etienne P. LeBel

This research project aims to extend prior evolutionary-based results of mate poaching and enticement. Several aspects of the mate poaching process have been not yet been studied. The relationship status of the poacher and the relationship context of the enticer have not been looked at empirically. Additionally, in Schmitt and Buss’ (2001) study, some of the participants judging the effectiveness of poaching tactics had never been involved in a poaching situation, which would reduce confidence in the validity of the data. My research question will explore previously unanswered aspects of the current research on mate poaching and enticement. More specifically, I ask two main questions. First, does the relationship status of the mate poacher have an effect on the mate poaching process? That is, does relationship status of the mate poacher affect the frequency of the poach attempts? Does relationship status affect which tactics one may employ to poach? Second, does relationship context of the one being poached affect the enticement process? That is, does relationship context (e.g. married, cohabiting, beginning, ending, etc.) affect the frequency or disguise tactic use of someone who is attempting to be poached? Humans will continue to attempt to protect individuals they share intimate interactions with. Thus, a better understanding of the human mate poaching and enticement process can only improve the way we approach and appreciate life.


Author(s):  
Peter Becker

Mapping State power. The Administrative Court and its Decisions. The proceedings of the Administrative Court (Verwaltungsgerichtshof) of the Habsburg Monarchy, established in 1876, are used as an empirical point of reference to shed light on the relationship between an expanding state and a rapidly changing economy and society. The focus is on the crownland of Lower Austria, which was characterized by a coexistence of tradition and modernity, by politically and economically powerful classes on the one hand and producing classes on the other. In this field of tension, numerous conflicts arose which were dealt with by the administration and adjudicated upon by the Administrative Court. The barriers to access to the Administrative Court privileged individuals from industry and finance, property and landowners and municipalities as plaintiffs. These actors raised objections to the assessment of taxes, but also to the specific consequences of new emphases in government activity that can be associated with social citizenship. The use of the Administrative Court as an avenue via which to appeal against state activity ultimately strengthened the state’s presence.


2017 ◽  
Vol 1 (3) ◽  
pp. 61-82
Author(s):  
Marco Pedroni

The essay looks at male gambling by investigating it as a form of resistance to the utilitarian values which lie at the base of the market logic. Here the excess is viewed as a central notion in opposition to that of utility. Far from minimising the negative impact of excessive gambling on society and individuals, this contribution attempts to go beyond an analysis based on the categories of pathology and expenditure only. Through excess, the pathological gambler unveils the symbolic and arbitrary ideology of capitalism which sees economic success as a sign of election or a choice whereby money is used not as an investment or to access to goods and services, but “wasted”.To address these issues, two complementary ethnographic methods are used: (1) a three-month ethnographic observation in 23 gambling locations in Milan’s metropolitan area; (2) 10 in-depth interviews with extreme male gamblers.The article attempts to answer the following research question: How does excess take place in male gambling practices? Risk factors for extreme gambling are analysed, with a particular focus on the relationship between gambling and masculinity. In the effort to go beyond an analysis of gambling based on the categories of pathology and expenditure only, gambling is conncetd to the notion of excess. Gambling locations as facilitators of excess are studied, and the life stories of pathological gamblers discussed. The paradoxical ambivalence of gambling practices, on the one side a form of domination of the subordinate classe, on the other an opportunity to resist through an anti-utilitarian act, are highlighted.


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