scholarly journals “Something Was Attacking Them and Their Reproductive Organs”: Environmental Reproductive Justice in an Indigenous Tribe in the United States Gulf Coast

Author(s):  
Jessica L. Liddell ◽  
Sarah G. Kington

Environmental reproductive justice is increasingly being utilized as a framework for exploring how environmental exploitation and pollution contribute to reproductive health and reproductive injustices. However, little research explores how settler colonialism and historical oppression contribute to the physical transformation of land, and how this undermines tribal members’ health. Even less research explores the intersection of environmental justice and reproductive justice among Indigenous groups, especially in the Gulf South, who are especially vulnerable to environmental justice issues due to climate change, land loss, and oil company exploitation, and for tribes that are non-federally recognized. A qualitative description research methodology was used to conduct 31 life-history interviews with women from a Gulf Coast Indigenous tribe. Findings of this study reveal that central components of reproductive justice, including the ability to have children and the ability to raise children in safe and healthy environments, are undermined by environmental justice issues in the community. Among concerns raised by women were high rates of chronic healthcare issues among community members, and issues with infertility. Recognizing Indigenous sovereignty is central to addressing these environmental reproductive justice issues. This research is unique in exploring the topic of environmental reproductive justice among a state-recognized Gulf Coast tribe.

2017 ◽  
Vol 03 (02) ◽  
pp. 1650008 ◽  
Author(s):  
Craig A. Bond

The wetlands of the Gulf Coast region of the United States are under pressure from relative sea level rise and subsidence pressures that threaten to alter fishery breeding grounds and increase expected damage from stochastic storm events, among other issues. Barrier islands, marshes, and swamps are thus forms of natural capital that serve an intermediate role in supporting fishery stocks, as well as a final demand role in providing direct protection to infrastructure. In order to make good policy choices related to land loss, the values associated with these interacting stocks must be estimated. In this paper, the numerical approach of Fenichel and Abbott (2014) is extended as a proof of concept in order to illustrate the valuation of fish and wetlands stocks, allowing for the recovery of final demand and intermediate service values, and taking into account the scarcity value of each resource. Examples of policies which, when implemented, will change the subsequent valuation of each resource are also presented.


Author(s):  
Nicole Maurantonio

Abstract This article analyzes newspaper discourse in Richmond, Virginia surrounding the placement of a statue to Maggie Lena Walker, the first Black woman bank president in the United States, and the proposed removal of a live oak tree to make way for the installation of the Walker statue in the city’s Jackson Ward neighborhood, once known as the “Harlem of the South.” While at first glance, the heated debate surrounding the live oak tree’s proposed removal might conjure a familiar racial divide between white environmentalists and Black community members, this article suggests that the debate in the majority Black city instead captured a broader tension within Black communities torn between advocating for commemorative and environmental justice.


2021 ◽  
Vol 15 (1) ◽  
pp. 1-24
Author(s):  
Jessica L. Liddell ◽  
Catherine E. McKinley ◽  
Jennifer M. Lilly

Settler-colonialism is founded in environmental racism, and environmental justice is foundational to all forms of decolonialization. Native American groups located in the Gulf Coast Region of the United States are particularly vulnerable to environmental justice issues such as climate change and oil spills due to their geographic location and reliance on the coastal region for economic and social resources. This study used the framework of historical oppression, resilience, and transcendence (FHORT) to explore the historic and contemporary forms of environmental injustice experienced by a Native American tribe in the Gulf Coast region of the United States. This critical ethnography analyzeda series of individual, family, and focus group semi-structured qualitative interviews with a total of 208 participants. Following the critical ethnographic method, data were interpreted through reconstructive analysis using NVivo. Findings of this study reveal the continuing impact of the BP oil spill and difficulty accessing resources following the spill, complicated by the tribe’s lack of federal recognition. Additional themes include the continuing impact of coastal erosion, historical and contemporary land loss, geographic marginalization, and concerns about a loss of tribal identity when tribal members are forced to relocate. Lack of federal tribal recognition has exacerbated all of these issues for this tribe. This study supports national findings that Native American groups experience extensive historic and contemporary environmental injustices and contextualizes these findings for a Native American tribe in the Gulf Coast region of the United States. Recognizing Native American sovereignty is key to addressing the environmental justice issues described.


Author(s):  
Cheryl Teelucksingh

On August 12, 2017, in Charlottesville, Virginia, alt-right/White supremacy groups and Black Lives Matter (BLM) supporters came face-to-face regarding what to do about public monuments that celebrate key figures from slavery and the Jim Crow era. White supremacists and White nationalists did not hide their racist ideologies as they demanded that their privileged place in history not be erased. The BLM movement, which challenges state-sanctioned anti-Black racism, was ready to confront themes of White discontent and reverse racism, critiques of political correctness, and the assumption that racialized people should know their place and be content to be the subordinate other.It is easy to frame the events in Charlottesville as indicative of US-specific race problems. However, a sense that White spaces should prevail and an ongoing history of anti-Black racism are not unique to the United States. The rise of Canadian activism under the BLM banner also signals a movement to change Canadian forms of institutional racism in policing, education, and the labor market. This article responds to perceptions that the BLM movement has given insufficient attention to environmental concerns (Pellow 2016; Halpern 2017). Drawing on critical race theory as a conceptual tool, this article focuses on the Canadian context as part of the author’s argument in favor of greater collaboration between BLM and the environmental justice (EJ) movement in Canada. This article also engages with the common stereotype that Blacks in Canada have it better than Blacks in the United States.


2014 ◽  
Vol 155 (46) ◽  
pp. 1815-1819
Author(s):  
Máté Julesz

According to Article 14 of the Oviedo Convention on Human Rights and Biomedicine of the Council of Europe, the use of techniques of medically assisted procreation shall not be allowed for the purpose of choosing a future child’s sex, unless serious hereditary sex-related disease is to be avoided. In Israel and the United States of America, pre-conceptual sex selection for the purpose of family balancing is legal. The European health culture does not take reproductive justice for part of social justice. From this aspect, the situation is very similar in China and India. Reproductive liberty is opposed by the Catholic Church, too. According to the Catholic Church, medical grounds may not justify pre-conceptual sex selection, though being bioethically less harmful than family balancing for social reasons. In Hungary, according to Section 170 of the Criminal Code, pre-conceptual sex selection for the purpose of family balancing constitutes a crime. At present, the Hungarian legislation is in full harmony with the Oviedo Convention, enacted in Hungary in 2002 (Act No. 6 of 2002). Orv. Hetil., 2014, 155(46), 1815–1819.


2009 ◽  
Vol 95 (1) ◽  
pp. 6-12
Author(s):  
Kusuma Madamala ◽  
Claudia R. Campbell ◽  
Edbert B. Hsu ◽  
Yu-Hsiang Hsieh ◽  
James James

ABSTRACT Introduction: On Aug. 29, 2005, Hurricane Katrina made landfall along the Gulf Coast of the United States, resulting in the evacuation of more than 1.5 million people, including nearly 6000 physicians. This article examines the relocation patterns of physicians following the storm, determines the impact that the disaster had on their lives and practices, and identifies lessons learned. Methods: An Internet-based survey was conducted among licensed physicians reporting addresses within Federal Emergency Management Agency-designated disaster zones in Louisiana and Mississippi. Descriptive data analysis was used to describe respondent characteristics. Multivariate logistic regression was performed to identify the factors associated with physician nonreturn to original practice. For those remaining relocated out of state, bivariate analysis with x2 or Fisher exact test was used to determine factors associated with plans to return to original practice. Results: A total of 312 eligible responses were collected. Among disaster zone respondents, 85.6 percent lived in Louisiana and 14.4 percent resided in Mississippi before the hurricane struck. By spring 2006, 75.6 percent (n = 236) of the respondents had returned to their original homes, whereas 24.4 percent (n = 76) remained displaced. Factors associated with nonreturn to original employment included family or general medicine practice (OR 0.42, 95 percent CI 0.17–1.04; P = .059) and severe or complete damage to the workplace (OR 0.24, 95 percent CI 0.13–0.42; P < .001). Conclusions: A sizeable proportion of physicians remain displaced after Hurricane Katrina, along with a lasting decrease in the number of physicians serving in the areas affected by the disaster. Programs designed to address identified physician needs in the aftermath of the storm may give confidence to displaced physicians to return.


2018 ◽  
Vol 70 (1) ◽  
Author(s):  
Serena J. Randolph ◽  
Alan D. Maccarone

Abstract Predation on bivalve mollusks by gastropod mollusks is common in coastal regions of the United States; however, few previous studies have examined whether drilling gastropods exhibit prey selection. In 2016, shells with small holes drilled by as many as two gastropod predators were collected at three sites separated by 30 km along the Texas Upper Gulf Coast on the Bolivar Peninsula (29° 40′N, 94° 90′W). The likeliest predators in these waters are the southern oyster drill (Stramonita haemastoma Linnaeus 1767) and the moon snail (Neverita duplicate Say 1822). Collected shells were identified to species and measurements were taken to examine statistical relationships between predators and prey species. These measurements included drill-hole diameter, shell thickness, drill-hole completeness, number of drill attempts, and collection site. Across the three locations, 17 different species of shells with drill holes were collected; of these, we focused on the ten most abundant species (n = 277 shells). The sample showed high variation in drill-hole diameter, shell thickness, and drill-hole completeness. Both the total number of holes and mean drill-hole diameter differed significantly among prey species (ANOVA, both P < 0.0001). In addition, drill-hole diameter correlated directly with prey shell thickness (P < 0.0001). Shells whose drill holes were complete were significantly thinner than shells with incomplete holes (P < 0.0001). Mean prey shell thickness, mean drill-hole diameter, and mean number of drill holes all differed significantly by collection site (all P < 0.0001). Ecological and morphological implications related to gastropod predation on mollusks are discussed.


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